FI Bank and Cash Journal Content

Hi all,
Is there any standard infocube for FI Banking and FI Cash Journal?
Regards.

hi.
please check cubes
0SEMPA_C1 Profitability Analysis.
0TB_C01  Account Balances
0CML_C04  Summarization by Planned Payment Date / Payment Date
0CML_C04  Cash Flow Analysis
0CML_C01  Summarization by Posting Date
0CML_C02 Summarization by Due Date.
0CMS_IC01  Collateral Agreement Values
there all are IS-Banking related cubes.
hope this will help you.
thanks

Similar Messages

  • 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

  • Derivation of Profit Centers in case of bank and Cash line items

    We are in the process of configuring the Profit Center Accounting functionality. We are in ECC 6.0 but have not migrated to New G/L.
    We understand that Profit center needs to be derived for each of the items for which it does not flow online in realtime. As regards Bank and Cash Line Items, we are not able to understand how Profit Center Derivation will happen.
    We have posted an FI payment document using Tcode F110 and further to which we executed F.5D and 1KEK. Further to this, we have checked the Profit Center Total records report (2KEE). It updates the vendor line items. But it does not reflect the Bank line item. Unless this happens, we understand that our Profit Center wise Trial Balance will not tally.
    Kindly let us know how bank and Cash line items will update in PCA. In our view, it should derive the Profit center from the offsetting entry in the vendor invoice. Pl. correct me if I am wrong.
    Pl. help.
    Venkat Iyer

    Hi Venkat,
    You may define a derivation rule in 3KEH
    Regarda
    Sachin

  • 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

  • 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,

  • 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.

  • 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

  • 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.

  • FI/FM - Earmarked funds - Consumption History (and cash journal)

    Hello, I create accounting document (payment) in FBCJ and in FB01 transactions
    - Accounting document contains tax positions (Tax code + Calculate tax)
    - Accounting document contains a refer to Earmarked funds
    When I create accounting document in FBCJ (cash journal), there are two positions in Consumption History of Earmarked funds appear - one position with total amount and another position with tax amount. Theese two positions have inverse sings. (see pic.)
    When I create accounting document in FB01, only one position appears in Consumption History of Earmarked funds - with total amount. (see pic.)
    I need to know how I can create accounting documents in FBCJ and create only one position in Consumption History of Earmarked funds? Probably I need some customization..?
    [Documents - picture ...|http://belrealty.ru/_my/sap/pic_04.gif]
    Best regards, Nick.

    Solved.
    System creates reference to Earmarked funds In tax position of accounting document (in BSEG) when posting an accounting document from FBCJ. We create substitution in OBBH which delete this reference. The problem was solved.

  • Use Adobe Forms in F110 and Cash Journal Receipt

    Hello,
    I'm trying to change the standard Sapscript with the news standards in Adobe Forms, but seems that this two transactions don't want to change :P
    I search in the Support Portal, and found the note 774207, I made all the modifications and programs that the note says, but when I execute the FBCJ, the receipt don't show nothing (if I change again the program and form to the sapscript, the receipt works fine)
    And for the F110, have a similar problem: I change the form in the FBZP choosing PDF, my form is a copy of the standard F110_AVIS_INT, but when I try to print the form, I have this error (in the job log): Invalid value for parameter ARCHDEST.
    Has anyone an example about this changes? or an issue for my problem??
    Thanks!!!
    Diana
    PD: I'm working with program RFFOES_T

    Hi Bhavik,
    there is extensive documentation on creating PDF-based forms for printing in ABAP Workbench (transaction SFP) on the SAP Help Portal at http://help.sap.com/saphelp_nw04/helpdata/en/d2/4a94696de6429cada345c12098b009/frameset.htm.
    The infrastructure is identical (ADS on Java Engine) except that you need an ABAP backend (minimum 6.40) and the corresponding SAP GUI. You also need to create an HTTP connection from your ABAP system to the ADS in transaction SM59 (see ADS Configuration Guide).
    Your Adobe LiveCycle Designer installation from the NWDS should be OK, if you are working on the same frontend. (If you have difficulties with Designer, uninstall it and install it with the SAP GUI again).
    Note that Web Dynpro for ABAP integration is only supported as of NetWeaver 2004s (going into ramp-up with mySAP ERP 2005 this month), which means that interactive scenarios are more cumbersome to implement in ABAP with NetWeaver 04.
    Some of the things you get with the Web Dynpro framework (such as the return of data in interactive scenarios via the WD context) would need to be manually coded when working in SFP, which was designed for output forms.
    Hope this helps,
    Markus Meisl
    SAP NetWeaver Product Management

  • IS Utilities: Cash Desk and Cash Journal

    SAP Provides Transactions FPCJ and FPCD.
    It appears that you can use one; but not both. Is that correct.
    Under what business scenario do you use FPCJ and FPCD?
    Please advise.

    Hi Aditya,
    In a simple word, whichever documents are posted with MAIN/SUB creates a new row in DFKKOP with document number in DFKKOP-OPBEL.
    If a payment is posted as an open credit item, it should be there DFKKOP-OPBEL field and BETRW and BETRH will be populated with payment amount.
    However if a payment is posted as a clearing document against a debt, system updates that row of DFKKOP where DFKKOP-OPBEL is the cleared document number (debt, mostly an invoice). Clearing document (DFKKOP-AUGBL) of that row is updated with the payment document number.
    In either of the cases DFKKKO and DFKKOPK are updated and below are the reason.
    DFKKKO - document header level information (as who created, at what time, origin key, reco key etc.)
    DFKKOPK - (GL level information of the document)
    For payment lot and payment document related information you can refer DFKKZK, DFKKZP and DFKKZPT tables.
    Hope it clarifies your query.
    Thanks, Bodhisattwa

  • 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

  • Create check lot for cash journal

    I need to create the check lot in order to link this to cash journal.
    Currently we are using the check lot to pay vendors (AP) and the doc
    type KZ is triggered and other payments through GL which gives doc type
    PV.
    Now I will need to create a check lot in order for receiving a check
    into my petty cash through the cash journal.
    Usually, the steps involved is via FCHI, FCH5 and lastly FBZ5.
    How do I ensure that when a check is issued from our bank to cash
    journal and I record this in FBCJ, the doc type triggered is also PV.
    Another problem is that we require the payment advice to be created for
    the check issued via FBZ5.
    Regards.

    Can't it be routed through one time vendor account
    issue a check to one time account & later in FBCJ do a receipt from the same one time account. So you dont have to create a sepreate check lot for cash journal.
    One time account has to be cleared manually.
    You dont have to use check related transaction to create the checks sepreately,
    Hope this solves your issue.
    Revert if not solved in detail.
    Thanks,
    Chandu
    Message was edited by:
            Chandu

  • Using of cash journal for advance payment to vendor or from customer.

    using of cash journal for advance payment to vendor or from customer.please give advice?

    Hi,
    Set up a new transaction for "Advance Payment to Vendor" in Cash Journal IMG. The menu path in IMG is Financial Acct --> Bank Accounting --> Business transction --> Cash Journal --> Create, Change, Delete Business Transactions. Transaction Code for this configuraiton activity is FBCJC2.
    Enter Company Code, Business Transaction Type as "K" and Cash Journal Business Transaction as "Advance Payment to Vendor". This will work if you are paying to Vendor from Petty Cash.
    Check Receipt from Customer is supported if you take it in Cash Journal and then later deposit to Bank. But check payment to Vendor should be handled trhough either automatic payment program or outgoing payment transaction.
    Hope this helps,
    Reagrds
    CSM Reddy

  • How to configurel advance payment to vendor in  cash journal

    Hi,
    This is thiyagarajan,
    My client wants  to pay the advance to vendors through cash journal
    How to configure this one . its urgent please help me out..
    if u have any document pls send to my mail id   [email protected]
    Regards
    Thiyagarajan......
    91-9916082477

    Hi,
    Set up a new transaction for "Advance Payment to Vendor" in Cash Journal IMG.  The menu path in IMG is Financial Acct --> Bank Accounting --> Business transction --> Cash Journal --> Create, Change, Delete Business Transactions.  Transaction Code for this configuraiton activity is FBCJC2.
    Enter Company Code,  Business Transaction Type as "K" and Cash Journal Business Transaction as "Advance Payment to Vendor".  This will work if you are paying to Vendor from Petty Cash. 
    Check Receipt from Customer is supported if you take it in Cash Journal and then later deposit to Bank.  But check payment to Vendor should be handled trhough either automatic payment program or outgoing payment transaction.
    Pls reward points if you find this helpful.
    Regards,
    Chirag

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