Difference in Cash Balance in Cash Journal and Cash GL Account

dear friends,
Can somebody tell me the reason and solution to following problem -
1. User entered on Cash Payment ( FBCJ ) entry for Vendor with TDS activated.
2. Due to some mistake in amount , he reversed the same ( FB08 ) , however amount reversed in Cash GL and TDS GL was wrong / was not same as per original document.
3. Since it give the rise to difference in balance of Cash as per GL Account and Cash Journal , we passed 2 more entries ,
1. FBCJ  - Cash Receipt ( for differential amt )
                      Cash Journal .... Dr. ....
                                To intermediate account
2. F-02 - Journal entry - for differential amt.
                      Intermediate account .....
                                    To Cash GL Account
However still problem persists. Can anybody find out reason and solution for this.
Thanks....

Hi P S,
Firstly, In cash journal the entries flow FI-BL (Bank Accounting - Sub-module) to FI and gets updated in GL Account.  That is why in the GL master master record of cash journal account, you see the "Post automatically only" option ticked. 
The solution for you problem is that
1. First reverse the f-02 entry by fb08. This will reverse the entry which has effected only FI-GL.
2. Go to cash journal wrong (original) entry (FBCJ) and select the entry and delete the transaction through delete icon on left hand bottom.
3. This will reverse the entry in FI-GL.
4. Pass fresh entry in FBCJ with correct amount.
Hope this will help you... Pls assign points if helpful.
Regards,
Vinay

Similar Messages

  • BPC Balance sheet , Profit loss and cash flow planning

    Hi Friends,
    Can anybody have the documents or links for BPC balance sheet and Profit loass and cash flowing for data flow from R/3 to BW abd BW to BPC as wells as what is process form business point of view. what are the EVdre reports and input scdules and we deelope and also data source for balancesheet and Profie and loss and Cash flow planning in BPC/
    PLease share any documents if you hae.
    Thanks
    Best regards
    SG

    Hi SG,
    What Raghu has shared are the best practices. However, what you need is the understanding of the these financial statements from a general perspective (not BPC). These documents are just financial statements. BPC is just a tool, in which you can create these statements. But, in order to create these statements in BPC, you need to understand the basic terminologies of the financial statements.
    You can search them directly. on the internet.
    Hope this helps.

  • Difference in closing balance of last year and opening balance of next year

    hi all,
    when i see the cumulative balances of bank g/l in T.code-FS10N for the last year and see the balance carried forward in this year , i have found a small amount of difference of Rs.300. I have checked the line item balances and it is showing the balances of last year only. Can anybody please tell me the reason of such difference . Is it a normal feature?
    Thanks-
    SAMRAT

    Hi,
    Please check the last year balance, if that is ok.
    Please carry forward the balance once again, then check.
    FAGLGVTR for new GL
    Note: There may be possibility that after doing the balance carry forward, user may done any back dated posting.
    Thanks and Regards
    Binoj M D

  • Difference in Cumulative balance amount of ERP and BW query report

    Hi all,
    We have a report to display the Cumulative balance amount based on G/L account.
    The issue we are facing here is, when we check a May month's cumulative balance in ERP side ( using Transaction code FAGLB03 by giving G/L account number, Company code and Year as 2010) we are getting 1000 EUR, and the May month's Balance is 300 EUR.
    When we run our Qury report in BW side for the same conditions( same G/L account, Key due date as 31.05.2010 and same Company code) we are getting the Cumulative Balance as only 900 EUR. we are missing some 100 EUR in our report for our Cumulative balance. But,When I check the Cube on which our Query report runs, I could get the May month's balance as 300 EUR.
    Kindly help me to rectify this issue.
    Thanks.
    Regards,
    Jayaprakash J

    Hi,
    Check is there any restrictions are there . the data must be displayes if the data is there in infocube.
    Regards
    sivaraju

  • Difference between Cash Counter and Cash Journal

    Hi All,
    Please tell me what is the difference between Cash Counters, Cash Journal And Cash Book.
    How can we use all of these in SAP FI?
    Please revert asap.
    Thank You

    Dear Verma
    Cash Journal
    The cash journal is a subledger of Bank Accounting. It is used to manage a company's cash transactions. The system automatically calculates and displays the opening and closing balances, and the receipts and payments totals. You can run several cash journals for each company code. You can also carry out postings to G/L accounts, as well as vendor and customer accounts.
    To my knowledge there is nothing called Cash Book and Cash Counters in SAP. If this helps please reward with points.
    Best Regards
    kesav

  • DIFFERENCE BETWEEN CASH JOURNAL AND F-02

    Dear All,
    Kindly let me know the difference between Cash Journal and F-02
    Best Regards,
    S Balasubramanian
    Moderator: Please, read basic SAP material

    Hi S Balasubramanian,
    Any transactionn which is related directly with Cash is done in Cash journal(Petty Cash).
    Example:Cash withdrawal from Bank,Cash deposit in Bank, Vendor payment in Cash, Customer payment in cash, small expense payment in cash, revenue through cash.
    Using cash journal we can identify the exact cash receipts and cash payment and cash balance.
    Regarding F-02, This transaction is used to do general ledger posting.
    Using this transaction we can do General ledger posting, customer invoice, customer payment, vendor invoice, vendor payment,
    we can post any transaction using F-02  and combination of the posting keys.
    Regards,
    Bhushan

  • Cash journal and electroni BRS

    Hi ,
         I am sunitha , plz tell me the basic steps for cash journal and electronic BRS .
                    Thank you.
    Regards,
    sunita.

    HI
    CASH  JOURNAL
    IMG/FA/BANK A/C / BUS TRANS/ CASH JOURNAL
    1.     Create GL a/c for Cash Journal – Ensure post automatically is on, so that posting can take place automatically. [ 100000 Petty Cash A/c ]
    2.     Define doc types for Cash Journal Docs  -  SK [other doc types SA GL, DZ Customer Receipt, KZ Vendor Payment] [ OBA7 ]
    3.     Define No range & interval for Cash Journal documents [ FBCJC1 ] - copy from 0001.
    4.     Setup cash journal  : [ FBCJC0 ]
    a.     Give a Cash Journal Code
    b.     Various code for GL A/c’s, Customers, Vendors.
    5.     Create, Change, Delete Business Transactions  [ FBCJC2 ] : These tran types can be copied, but as they are linked to GL a/c’s, change as reqd. These can be accessed at FBCJ.
    a.     C  receipts from bank  GL  a/c -
    b.     B  payment ot bank     GL  a/c -
    c.     R  Sales
    For vendors & Customers, GL a/c’s need not be given, as they will be different for A/P, A/R.
    6.     Setup Print params [ FBCJC3 ]– copy from 0001, output device – LP01.
    7.     Posting  -  SAP/A/c/FA/GL/Doc Entry  -  Cash Journal Posting  FBCJ
    BANK RECONCILIATION STATEMENT
    SAP/FA/Banking/MasterData/BankMasterData
    •     FI01  create.  Instead of the above, you can also create the house bank thru IMG/FA/BankAccounting/BankAccounts
    •     Define house bank  - When the house bank is entered, click create button to create. The other details on left like bank a/c con be copied wherever possible.
    •     IMG/FA/ARAP/BT/IP/AutoIP/Payment Method/Bank selection for payment prg
    o     Setup all co codes for payment transactions
         FPJ  customers
         FP    vendors
    o     Setup paying co codes for payment transactions
         Copy from …..
    o     Setup payment methods per country for payment transactions
         Copy IN  cheque exists
         Possible currencies  - include all possible currencies. If not set, payment cannot be made in that currency.
    o     Setup payment method per co code for payment transactions
         C  cheque
         Ranking order  1
         Min & max amounts for payment
         Optimize using postal code for faster searches.
    o     Setup bank determination for payment transactions
         Bank a/c create
         Available amounts for C
         Value dates
    •     IMG/FA/ARAP/BT/OP/AutoOp/PaymentMedia/CheckManagement
    o     Define no ranges for cheques
    o     Pass some bank entries thru FBCJ [cash journal]
    •     SAP/AC/Treasury/CashManagement/Incomings/ManualBankStatement
    o     FF67  enter
         Beginning balance = 0
         End balance = total or earlier entry
         In Further Processing keep Bank Posting  ON. 
         The difference enter into the statement with +=dr  & -=cr
         Save statement.
         Post statement from Bank Statement TOP.
    o     FEBA  post process.  Value date is important, as the matching takes place as per the value dates.
    Assign Points
    Z

  • Banking functions and Cash journal

    Hi,
    Can someone advise me on the full setup and configurations of the above ? And the usage.
    Thanks.
    Angel.

    Hi,
    I have set up the cash journal following the instruction in the link.
    I have some problems and questions regarding the actual posting of cash journal, FBCJ.
    1) The petty cash acct created has a zero balance. How do I record the opening balance if I have some cash on hand ? What is the double entry ? I have also set the acct to "Post Automatically" as advised by the link.
    2) To test the settings above, I manually post an entry to debit petty cash acct and credit bank acct. So that there is a balance in the petty cash acct for me to do the testing. Although this might not be the correct way to record. Waiting for advise in Qn 1 above.
    3) I tried to use FBCJ to post. However, it kept prompting me an error message.
    "Payment amount is larger than cash on hand. Change amount".
    How did the system determine that ? I already posted an amt of 100,000 in the petty cash acct.
    Can you advise me how to do a posting using FBCJ ?
    4) Under FBCJC2, I have set up one business transaction for misc expenses. Is this enough ? Or advisable to create a few more business transactions ?
    5) Under FBCJC0, instead of using GL doc type AB, is it ok if I created a doc type "SK" and used this one ?
    Please help.
    Thanks alot.
    Angel.

  • Opening balance is not appearing in cash journal printout

    Hi,
    Recently we have upgraded our sap from R3 4.7 to ECC 6
    Now while taking printout for cash journal, opening balance is not appearing in cash journal printout, but it is displaying in the screen.
    Could any body let me know what the issue might be ?
    Thanks.

    Hi,
         Go to FBCJC3 transaction 1. SO10, open necessary text for editing.
    2. Menu Insert - Symbols - Program symbol.
    3. Select program RFCASH00 (or add it in the list)
    4. Press DDIC fields.
    5. Select RFCASH (double-click) and then SALDO. Also there are other fields, like cash journal currency.  OR
    use opening and closing balance like in program RFCASH20.
    Regards
    Sridhar

  • Error while deleting Cash Journal (Numbering group 1001 can be used only for one CoCd and cash journal number)

    Hi,
        While i am try to delete Cash Journal system throws me error (Message No.:FCJ065: Numbering group 1001 can be used only for one Co. Code  and Cash Journal). Kindly provide me solution on that.
    Regards,
    Tarak

    Hi Tarak,
    You can use the config nodes in SPRO to set up number ranges for your cash journal documents.
    IMG Path> FI Global Settings>Bank Accounting>Business transactions>Cash Journal
    Define Number Range Intervals for cash Journal documents
    Define Numbering Groups
    Define Number Ranges for numbering groups
    After defining the number group here, you assign that in "Set up Cash Journal" Check if there is any clash anywhere in your configuration for different cash Journals.
    Regards,
    Kavita

  • Cash journal and Business Area assignment

    Dear Expters,
    I have created cash journal with code 1000 and 2000, and similar Business area's BLR and MUM respectivly.
    when I clear any pament from cash journal 1000 which is belongs to buiness area MUM (Cross Business transction) system entry is passing like this
      BA         G/L
    MUM   EXPENSES G/L  ....Dr
    MUM   Cash G/L ...... Cr
    but here the problem is cash journal is belongs to BLR cash should reduce from BLR buiness area.  
    As per My requirement I  need  EXP g/l  is MUM business area and Cash g/l  should be  BLR.  
      BA         G/L
    MUM   EXPENSES G/L  ....Dr
    BLR   Cash G/L ...... Cr
    we are able to give business area for only EXP g/l.  Is there any possiblety when ever i post any transacton through cash journal  1000 business area shoulod pick BLR for Cash G/L.  similarly for cash journal 2000 business area should pick MUM even if i given different BA for expense g/l.
    Edited by: chandu on Aug 27, 2010 10:07 PM

    Split works only for Expenses not Cash.  Normally BA is copied from the Expenses GL.  I dont think even substitution will work here.  Still you can try the below :
    Substitution Replace field values - Line Item
    Prerequisite :
    Transaction Code = 'FBCJ' AND Co.Code = 'XXXX' AND Document Type = 'DZ' (or anything that you have defined in your config)
    Substitute :
    Business Area {Constant Value} = 'XXXX' (your required value)
    After defining the above, activate it for your Co. Code in OBBH.
    Ravi.

  • Numbering Group G1 can be used only for one CoCd and cash journal number

    Hello,
    I was trying to create a cash journal when I got the error message:
    "Numbering Group G1 can be used only for one CoCd and cash journal number".
    Does anyone have an idea what could be wrong?
    Thank you,
    Bola

    Hi,
    Please check whether more than one number range is maintained in  transaction code FBCJC1. If yes, please keep only one as Cash Journal has only one number range. This is the internal number range for Cash Journal.
    If you want different number range for accounting documents then create new document types and assign number ranges to it.
    Regards,
    Tejas

  • Material ledger and cash journal

    In a company code where and how do I check whether cash journal and Material Ledger is activated or not?

    In fbcjc0 check whether any business transactions are set up or not in respect of your company code or not.

  • Sapscripts form of 'reciept' and 'cash journal' in FBCJ

    Hello All,
    I want to change the output for 'Reciept' and 'Cash Journal' (FBCJ). Their program configuration is in SPRO with the variant, but where are the sapscript form configured ?
    Thanks.
    Shehryar

    Hi,
    Check in OB78 transaction, this might help,
    Rgds,

  • How to block negative cash balance ?

    Dear Experts,
    I want to block -ve balance to all of my cash accounts i.e. no credit balances to cash accounts. How can i achieve this?
    What i am thinking is about a stored procedure on outgoing payment and journal entry.
    Please help me out.
    Thanks in Advance
    Best Regards
    Ashutosh T

    Hi Gorden,
    Even this code is not working, I am doing all the steps correctly. My cash account balance is 'zero' but still  i am able to make outgoing payment with payment means 'CASH'.
    Istvan ! I have putted Mr. Gorden's code under '[dbo].[SBO_SP_TransactionNotification]' as follows..
    set ANSI_NULLS ON
    set QUOTED_IDENTIFIER ON
    go
    ALTER proc [dbo].[SBO_SP_TransactionNotification]
    @object_type nvarchar(20),                     -- SBO Object Type
    @transaction_type nchar(1),               -- [A]dd, <u>pdate, [D]elete, [C]ancel, C[L]ose
    @num_of_cols_in_key int,
    @list_of_key_cols_tab_del nvarchar(255),
    @list_of_cols_val_tab_del nvarchar(255)
    AS
    begin
    -- Return values
    declare @error  int                    -- Result (0 for no error)
    declare @error_message nvarchar (200)           -- Error string to be displayed
    select @error = 0
    select @error_message = N'Ok'
    --     ADD     YOUR     CODE     HERE
    IF (@object_type = '46' AND @transaction_type in (N'A', N'U') )
    BEGIN
    IF EXISTS
    (SELECT T0.CashSum FROM OVPM T0 INNER JOIN VPM4 T1 ON T1.DOCNUM=T0.DOCENTRY
    INNER JOIN OACT T2 ON T2.AcctCode = T1.AcctCode
    WHERE T0.CashSum > T2.CurrTotal AND T1.AcctCode in ('102000030010001','102000030010001')
    AND T0.DocEntry = @list_of_cols_val_tab_del)
    BEGIN
    SELECT @error =1, @error_message = ' Cash Balance must be Greater then Zero'
    END
    END
    -- Select the return values
    select @error, @error_message
    end
    Please guide me where I am doing wrong
    Best Regards
    Ashutosh

Maybe you are looking for

  • How do you get sound through the dock connector to a PC or Mac?

    Where I work they have blocked the Pandora website. (Along with just about every other online radio site.) They don't mind if we listen to music, as long as it's not streamed online through their network. I have both a PC & a Mac on my desk. What I w

  • Boot device not found - Please install an operating system on your hard disk

    Trying to boot up this morning gave this error message: "Boot device not found Please install an operating system on your hard disk Hard Disk <3F0> F2  System Diagnostics" Pressing F2 brings up to  the "HP PC Hardware Diagnostics UEFI" page, where it

  • Change shipping information address

    I'm trying to buy a photo book I did on iphoto. I live in swtizerland. When I want to order the book, on shipping information It comes as default "United Kingdom", Is there a way I can change this into " Switzerland" Thanks

  • Resample on viewing images

    Hi, I was wondering if there's a way to make Photoshop (CS3) use "Resample" when displaying images on a zoom level less then 100%. In the default setting all pictures have jagged lines and aliasing effects which is quite annoying. I guess in a softwa

  • IPhone 4S & HD videos

    Will the iPhone 4s playback HD videos, be they movies or TV programs? I currently have an iPhone 3G and it cannot play HD video, only SD.