Error while posting manual bank statement in foreign currency
The following error is being encountered "FV079-
Foreign currency does not correspond to account currency"
while posting manual bank statement in foreign currency.
In statement upload, If you are entering any amount in Foreign currency, then currency key you enter in foreign currency should be other than that of Bank Account Currency. If both are same then how can system treat as foreign currency, so system outputs this message.
Check your Bank Account currency and see that foreign currency you are entering is other than Account currency.
Similar Messages
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Batch Input Session empty while posting Manual Bank Statement T.Code FF67
Hi Experts,
I am trying to do the Bank Reconciliation by T.Code FF67.
The statement is getting saved but I could not see the Batch Insput Session (T.Code SM35) to post the entries.
Please help me in this issue.
Thanks in advance
PriyaHi,
Saving Bank Statement Data and Posting Statement are two different transactions.
Once both amounts (in FF67, Amounts Entered, Statement Amount at the bottom) are matched then if you save, it will save the data in FF67 format. In that screen only if you save again then it will post statement and create batch input session. Similarly you also processed or differently?
Check again in FF67 statement screen & revert back.
Sarma BH -
Error in process manual bank statement
Hi, all!!!
I am having a pontual problem about a process manual statement in order to record manual bank statements in the system using the transaction ff67.
Error message:
Bank account number not unique
Message no. FV005
Diagnosis
The bank account with the data
Bank key 00193309
Account number 42573
Account currency BRL
is entered into several house bank accounts in the house bank directory.
Procedure
Check your house bank directory.
I´ve checked all tables T012*
I did not find other house bank in the house bank directory with the same house bank account.Hi Ravi,
Can you please clarify my below doubt.
Your statement"Please note that the statement numbers must be unique for Bank Statements."
Here when we unable to give the statement number which is already available in system, how it is possible to give the unique for bank statements.
Apologies if any mistake in my question, as I am new to SAP.
Thanks,
Murthy -
Manual Bank Statement for multiple Currencies
Hi All
I need to configure the manual bank statement for FF67 to hit 2 different accounts based on the Currency.
For example - if I give my rules in customizing - to pick account that ends with a +++++++++30 for foreign currency and again specify a rule to pick accounts that end with ++++++++80 for EUR. It always picks the first account on the rule.
And on my account symbol assignment to Account step - I am sepcifying the currency for the EUR.
I have Posting Rule 22 defined for Foreign currencies and a Posting Rule 22w defined for EUR postings - but it never picks the 22w.
Is there anyway to make this work?
Thanks much!
RSThis is not possible.
See your FI12, for every house bank and account ID, you have given transaction currency.
Therefore, that particular house bank and account can transact in only that currency.
For the same account, you cannot post in two different currencies. -
Error in process manual bank statement in FF67
Hello SAP Gurus
He is trying run the FF67 for month of 31.08.2010
But while running the user..he is getting in the following error
Statement date is not correct
Massage no FV069
Diagnosis
The entered statement date 2010/08/31 does not match the statement date 2010/01/31 specified when creating account statement .
Procedure
enter the value 2010/01/31
Can any body please give me suggestion based on above issue
Thanks and Regards
sudharshana vamsiHi Ravi,
Can you please clarify my below doubt.
Your statement"Please note that the statement numbers must be unique for Bank Statements."
Here when we unable to give the statement number which is already available in system, how it is possible to give the unique for bank statements.
Apologies if any mistake in my question, as I am new to SAP.
Thanks,
Murthy -
Electronic bank statement in Foreign Currency
Hi,
We have set up the system so as to create a payment order when automatic payment program is run. Now, we have a scenario, where house bank is in local currency - SEK. This is used to pay the invoices in foreign currencies USD, DKK etc using automatic payment program. The electronic bank statement we receive from the bank has transactions in different currencies. We convert this to multicash format using DME engine, mapping the amounts in local currency to the statement and item file.
When try to clear the invocies by importing this multicash statement, following error message is generated.
Message no. F5794 i.e. XXX is not a payment order for currency XXX. Correction required.
Any ponters to solve the issue.
Appreciate the help in this regard!
Thanks
/VartikaHi Narasimhulu,
Thanks for your reply.
The thing is, payment orders are in a foreign currencies - USD , EUR etc. The clearing account is in local currency SEK. The bank statement has amounts both in order currency as well as local currency for every order. But when we are clearing using multicash, we are trying to pass the amounts in local currencies for each order. This is because, as far as i understand, it is the currency in multicash statement file that is used for clearing . And there can be only one record in multicash statement file. So we have to use the local currency for clearing.
EBS:
1 Payment order 1 - 1000 USD = 7000 SEK
2 Payment order 2 -2000 EUR = 18000 SEK
Multicah Statement File :
25000 SEK
Multicash Item File :
Payment order 1 - 7000 SEK
Payment order 2 - 18000 SEK
Or is there any other way of handling it ?
Many thanks again!
Regards,
Vartika -
Correct Posting Manual Bank Statement - Transaction Code FF67
Hello,
It would be very grateful if someone can advice me on an issue pertaining to transaction code FF67.
A posting has been made with the wrong posting date. Also, the posted amount has not been recorded in FI because the amount posted was not allocated to any G/L Account.
The status of this posting is "Manual Posting Completed".
The questions, it is possible to delete this posted statement which has no effect on the accounts in FI.
Or, can this completed posting be edited ?
What will be the impact when the item is deleted.
Thanks and regards,
ElvisHi there,
What I mean about posting not hitting the GL accounts is, the balance of statement 99 is 3,000,000.00 and statement 100 is 3,500,000.00 for example, my current balance on the bank account bears the amount of statement 99.
Statement 100 has a status as posting completed, but one way or the other, the line items does not reflect in my bank account balance which should have been 3,500,000.00.
How would you reverse the entry that has a status "Posting completed"?
Thanks,
Elvis -
Errors while uploading BAI2-Bank statement using FF.5
Hi
I am trying to configure EBS-Electronic bank reconciliation using BAI2 file but when I upload a simple sample file that I created it gives me this error:
Error: (F5 263) The difference is too large for clearing
and
Error: (GLT2 201) Balancing field "Profit Center " in line item 001 not filled
where Line item 001 is
Cr. Main Bank Account
Line item 002 is
Dr. Outgoing clearing account
Posting rule that I've defined is:
Credit Main bank account
Clear Debit G/L account - Outgoign clearing account - (Posting type = 4)
Document type used is ZR-Bank reconciliation
I don't know how to avoid these errors, esp. Error: GLT2 201Balancing field "Profit Center " in line item 001 not filledAshish, Try to find some BTE for your requirement. Use FM BTE_FUNCTION_FIND .
OPEN_FI_PERFORM_00001120_P
OPEN_FI_PERFORM_00001120_E -
Error while reconciling electronic bank statement
Hi all,
Actually we had closed the the period for dec 2007 on 21 dec, so now we are trying to import bank stmt from 21 DEC to 31DEC, Now we r getting error 'Posting period 009 2007 is not open'
Plz help me in solving this?
sravanthiHi ,
When i tried to create the same environment in dev (i.e, closed the period for dec in ob52 ) and then when i run the same file using the roles of the user i did'nt get tht error....
what may b d problem?
very urgent pls......
sravanthi -
Manual bank statement incomplete
While entering manual bank statement error is coming that manual bank statement inomplete: how to resolve this
Gourav
Go to FS10N of main bank Gl account
Check what is the balance on the date
this is the opening balance
Now check similarly what is the net balace of both bank sub accounts( cheque issue clg account and cheque deposit clg account)
aad with the opening balance of bank main account
put this as closing balance in the innitial screen of FF67 ( closing balance)
now this balance should be equal to the balance of statement balance that u r entering
the amount that incresing the balce of main account would carry + sign
and that reduces would carry - sign
once ur statement balance and the balance u entered is equal( botoom part) u can save the screen( the statement)
hop it would clear you
Regards
Anup
Assign points if answer is useful
Revert me if it not works -
Upload Manual bank statement with business area
Hi Gurus,
Business area is required field. While uploading manual bank statement through ff67, how can system identify the correct business area? Is there any option in which we dont have to enter business area manually while uploading?
Please revert.
Thank YouHi,
The copy paste does not work in FF67. Only first column gets copied and then you have to copy paste column wise. This is limitation is SAP standard transaction and is not modifiable.
LSMW will not help much as the records to be uploaded in the same statement and paage down can not be handled in LSMW.
Your ABAPer need to record the transaction in SHDB and the can create a custom program to upload the excel using that recording. This is easy for programming point of view.
Regards,
Gaurav -
Manual bank statement(FF67)
Hi all
CAn any one let me know is it possible to enter tax code while processing manual bank statement (t.code FF67)
Thanks & Regards
Phaneendraany inputs?
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Error while posting FF67 "Manual Bank Statement"
Hi all,
I have a problem when I was posting u201CManual Bank Statementu201D
In Transaction Code: FF67 when I am posting the following error is coming:
u201CBank account does not existu201D
Message no. FV003
Diagnosis
The bank account number 211001 could not be found.
Procedure
Check the bank account number or the corresponding entry in the
directory of the house bank accounts.
Note: in the aboove "211001 is my Check deposit G/L a/c numhber"
Can any one tell me complete solution to post an Manual Bank Statement.
Itu2019s very IMP to me.
ThankuHello Mahesh,
Please check the following points.
a) In case if the Bank Account number in the account statement exceeds 24 places, you can get this error.
b) Note 823808 is not yet implemented (either manually or through support packs) in the system
In case, even after checking the above points you still face the issue...then please inform a developer in your team to check the logic in Function Module GET_BANK_ACCOUNT during debugging FF67.
Hope this info helps you resolving the problem.
With Regards
Vijay Gajavalli -
Manual Bank Statement: saved & posted without errors but no FI doc
Hi,
I entered details for manual bank statement to clear a vendor payment.
The transaction used was "003- Cashed Check", which has interpretation algorithm "021 Reference document number search". I've read in another Forum thread that this interpretation algorithm searches for the data stored in the Reference field of the payment document. So I entered the same data in the Bank Reference field in the manual bank statement.
The system did not throw any error, so I saved the bank statment and consequently posted. The status of the statement is "Manu. Posting complete".
As far as I understand, when the statement is "posted", an FI doc will be automatically posted with the following entry:
DR Bank Check outgoing
CR Main Bank Account GL
However, I cannot see this posting in both the Main Bank Account and Bank Check outgoing GLs.
Am I missing any step? Or is the config wrong?
Hoping for your guidance. Thanks!Yes, the entries are correct.
Below is the setup I did. Should I change the Posting Type?
Create & Assign Business Transactions
1) Transaction: 002+
Sign of the incoming amount: +/positive
Posting rule: 002+
Account modification: + (what does this do?)
Interpretation algorithm:
Text: Check credit memo through bank
2) Transaction: 003-
Sign of the incoming amount: -/negative
Posting rule: 003-
Account modification: + (what does this do?)
Interpretation algorithm: 021 Reference document number search
Text: Cashed check
Define Posting Keys & Posting Rules
Create Account Symbols
SCHECKAUSGANG Outgoing checks
SCHECKEINGANG Incoming checks
Assign Accounts to Account Symbol
1) Account Symbol: BANK
AcctMod: +
Currency: +
GL Acct: ++++++++++
Desc: Bank account
2) Account Symbol: SCHECKAUSGANG
AcctMod: +
Currency: +
GL Acct: +++++++++1
Desc: Outgoing checks
3) Account Symbol: SCHECKEINGANG
AcctMod: +
Currency: +
GL Acct: +++++++++6
Desc: Incoming checks
Create Keys for Posting Rules
1) Posting Rule: 003-
Text: Cashed check
2) Posting Rule: 002+
Text: Check deposit
Define Posting Rules
1) Posting Rule: 002+
Posting area: 1
Posting Key: 40
Account (Debit): BANK
Posting Key: 50
Account (Credit): SCHECKEINGANG
DocType: SA
Bank Statement-Posting Type: 1 Post to G/L account
2) Posting Rule: 003-
Posting area: 1
Posting Key: (blank)
Account (Debit): SCHECKAUSGANG
Posting Key: 50
Account (Credit): BANK
DocType: SA
Bank Statement-Posting Type: 4 Clear debit G/L acct -
FF67 - Manual bank statement 'not to be posted' error
Hi all,
I am using ff67 to view my manual bank statements but there is an amount with the status 'Not to be Posted'.
I go into FEBAN to find more information and this document is set as 'incomplete' (yellow status). Can someone explain to me why this is happening and how to fix this?
Thanks,Thank you for the response Atif,
My question is: why was the wrong clearing entry originally posted?
Because of this clearing entry, it looks like we now have an open item in the incoming account. When looking at the incoming/master accounts, after the manual posting has been made, we have an open item in the incoming account which cannot be cleared.
Example
Incoming a/c = -8000 <- this line is open
Master a/c = 8000
What is the way to proceed? thanks,
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