Import Bank statement to SAP B1
Hi everyone,
Our company is using SAP Business One 2007 A SP:00 PL:42. We have installed the BTHF add-on using the Bank Statement Processing Solutions from SAP however on step:2 which is to reassigningfile format, I am unable to locate the Import File Name column in the House bank set up window.
In addition, I don't see the "Install Bank Statement" in my Admin>System Initializaton>Company detail> Basic Initialization tab.
Any input will be appreciated.
Thank you.
Hi,
Have you searched forum to read something like:
DTAUS without Add-On Payment Engine
Re: Is the import of bank statements possible in Business One US Localization.?
Thanks,
Gordon
Similar Messages
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How to import bank statements in SAP 2007A
Hi All,
I was wondering if there are different ways to import a bank statement. My customer is wanting to do a external reconciliation on a bank statement, but they are unsure on how to import their statement. Any suggestions.
Best Regards,
Jeff Haldeman
Support OneYou can use the 'oBankPages.xlt' file available in the following folder
C:\Program Files\SAP\Data Transfer Workbench\Templates\Templates\oBankPages -
HI
Can bank statements can be imported for Indian localisation in SAP B1 8.8 PL13?
Any help is appreciated.Hello,
Try this .... i
Steps for Bank Reconcilliation Statement
1) Select check (Install Bank & Statement Processing) in company detail form.
2) Fill the house bank informaion on the same window.
3.After that need to installed BTHF add-on from Add-on Administration window for activation of import option on Bank statement process form(in Banking Module.
4.Need to install FD (Formate Definination) from same form by use this add-on we make bank format(indian bank format in SAP.
After made this format then it should be assign to house bank account level.
Administration>Setup>Banking>House bank Account and select column (import file Name) then new window will appear from this window we can make new file formate after filled relavent info (format name (SAP_TEST),formate Type(Bank Statement)).
After that assign to file format(.bfp) which made by another Add-on(FormatDefination).
click on the row which was added as file format name
After select correct file name update the file format setup form
Here we assign file format to house bank account
For Mapping on the basis of Amount :-
Now here make Internal code which will link with external code(which provided by bank ) this code will use at the time of Bank Statement Summery this code also identify that which type of posting method used at the time of bank statement processing(i.e. BP from/to Bank Account, G/L Account from/to Bank, Interim Account from/to Bank Account etc.)
Adminstration>Setup>Banking>Bank Statement Process> Internal Bank Operation Code
Administration>Setup>Banking>Bank Statement Process> External Bank Operation Code
Banking>Bank Statement And external reconciliation>Bank Statement Process form(When we click on Import from file button then here we select Bank Statement file for processing
) After successfuly import the bank statement file it show as draft document.
If we want to finilize the bank statement then double click on same draft row then new window will appear
When we import bank statement in SAP then if party have any open invoive either A/P or A/R it should be reflect for making incomming or outgoing payment. Its totally depends on which type of posting method user have mapped.
After that SAP user can adjust or reconcile all bank transaction. If user double clicks on row then new window again open for adjustment.
Thanks
Manvendra
Edited by: Manvendra Singh Niranjan on May 13, 2011 4:13 PM -
How to import bank statement file to B1 2005A patch 22? ????
Dear All,
We are using B1 2005A patch 22, Australia base. Our customer wants to import Bank statement file to B1. By far we can't find a way to import a file in to bank reconciliation yet.
Thank you in advance.Hi,
Have you tried using the DTW bank pages import? With this template you should be able to import Bank statements into B1.
Regards,
Wynand. -
Uploading Bank Statement onto SAP (MT940 giving problems, there better way?
Hi All,
We have received Bank Statements (MT940) which we tried to upload via FF.5. There seems to be some compatability issues as we always seem to have missing entries (External Transaction codes: 130,600,688,878,990).
Firstly, I would like to know how to do we go about resolving these missing entries in MT940?. And secondly, is there an easier way to upload bank statements in order to do bank reconciliations? (i.e. uploading an Excel Format bank statement onto SAP)
Thank you in advance
TomHi, Tom.
To create new external transaction codes, you should follow SPRO -> Financial Accounting -> Bank Accounting -> Business Transactions -> Payment Transactions -> Electronic Bank Statement -> Make Global Settings for Electronic Bank Statement. Once there, choose Create Transaction Type and Assign External Transaction Types to Posting Rules.
This is the path to customizing except if your problem is different from mine. In my case, the bank does not offer the transaction code but a code in the record 61.
Best regards,
Marcos. -
In indian scenario, what is the best way to import bank statements and do reconcialtion?
Hi,
According to my experience, we can import the Bank statement through DTW object is "Bank pages" by "Process External Bank Statement" and you can follow any of the methods. Manual / Semi automatic / Automatic,
Regards,
Sreenivas -
Import External Bank Statement in SAP B1 Patch level 34
Hi all,
How do we do External reconciliation in SAP B1 2005. How to Import External Bank statement in to SAP B1 2005.
Regards
ShashiProcedure
1. In SAP Business One, choose Banking - Bank Statements
and Reconciliations - Process External Bank Statement. The Process
External Bank Statement window opens.
2. In G/L Account, enter the appropriate G/L account number
and choose TAB.
3. Choose Bank File to start the import.
A file browser appears allowing you to choose a folder.
4. Open the appropriate folder and select the required bank
file.
Payment Engine uploads the file as a test run. On the Protocol tab page
of the Payment Engine window, the system displays the result of the test
run. If error messages are displayed here, go back in the process,
correct the errors and start a new test run.
If error messages are visible in the log file you are not able to store
the data in the external bank statement table OBNK.. Check the following
Check that your bank file format is correct
In the Chart of Account, check to see if the Type Input file
is correct (user-defined field).
5. If no error messages are displayed on the Protocol tab,
choose the Preview tab to view a preview of the run. You can switch
between bank and accounting view using the radio buttons.
6. Now you can start a production run. To do so, choose
Production Run and OK. The output data will be stored in the external
bank statement OBNK. After a successful run, the system informs you that
the bank statement was imported successfully.
Choose the Bank File tab to check that your file has been imported. You
can also find status information in the log file.
Regards,
Eleven -
Error when importing Bank statement in FF_5 (FB736)
Hi all,
Our customer in Germany says that they have format MT940 (STA-file..?) of their bank statement. I have done configuration but when I try to import the file I first get following error message:
House bank table: No entry with bank key XXXXXX and acct 461XXXXXXXXXEUR
Message no. FB736
Diagnosis
The house bank tables (T012 and T012K) did not have an entry with bank key XXXXXXXX and account number 461XXXXXXXXXEUR.
461 is not a part of their account number so I don´t know why it is there. Is MT940 not a standard file used in Germany? In FF_5 I have used S SWIFT MT940 with field 86 structured.
PLEASE HELP!!!!!
BR LHi,
please check below any SAP Notes which can solve your issues
1338100 FB 736: Polish account number without bank key 29.10.2009
1035786 RFEKA700: Partially misleading error message FB 736 09.03.2007
823808 Electronic account statement and IBAN: Error FB736 01.03.2005
569225 FI: Translation error: Message FB736 06.11.2002
494527 FI: Translation error: FB736 12.02.2002
165083 RFEBGB00: FB736 missing entry house bank and a/c 24.08.1999
53666 Bank no. missing/incorrect whn imprting SWIFT MT940 14.01.1997 -
Import Bank statement: Process External Bank Statement
Hi,
I am currently using SAP Business One 2007A PL45 Australia localization and I would like to use the Process External Bank Statement module.
However I have to key in my Bank Statement manually. Is the any methods/add-on that can provide the Bank statement import?
As the BTHF and Format Definition is not available for Australia localization, is there any other options?
Regards,
JackThis is helpful
question - anyone know why the "import external bank statement" process was removed from the US localization?
seems like a big hassle if you have to reconcile daily to teach an accountant to use the DTW tool.
would love to know any other options to make this easier or more automated
thanks -
FF_5 - Import Bank Statement, Err: Formatting error in the field COBL-KOSTL
Hi
When importing the bank statement I'm getting the error
Error: (00 298) Formatting error in the field COBL-KOSTL ; see next message
Why is it doing this? In OKB9 I have the GL Account and the cost center assigned. It is the ne GL that is giving this problem, in the classic GL I do not have this problem.
Thanks in advanceHi
No, it is not that. For some reason in the new GL it does not seem to determine the cost centers and profit centers as usual.
For exampl to allocate the Profit Center for Balance Sheet Account I used to use 3KEH in the classic gl but in the New gl we must use FAGL3KEH.
Now with cost center i'm having the same problem, does not determine the cost center when importing the bank statement.
Can someone help me.
Thanks in advance
Edited by: Louis De Gouveia on Mar 3, 2009 7:07 AM -
FF_5 - Import Bank Statements, Balancing field "Profit Center"
Hi
When importing the bank statement I get the error Error: (GLT2 201) Balancing field "Profit Center " in line item 001 not filled when using the NEW GL only.
I know why I'm getting the error, the document is trying to determine a Profit Center, I do want it to determine for the balance sheet also. Also due to making it mandatory in document splitting rules I get this error.
Now my problem is HOW DO I ASSIGN A PROFIT CENTER?? In the past in the classic GL I would use 3KEH and that would do the trick. It does not work now.
How do we assign a profit center for bank import postings???
Thanks in advanceHi
Thanks, that solved it.
Can you please tell me the one for the cost center?? It is also giving an error it can not determine cost center but I have entered it in OKB9.
Then can you tell me the path for the profit center.
Thank you for your assistance. -
Importing bank statement FF.5
Hi everyone,
I have a issue when i import the BAI bank statement through the FF.5 transaction. after importing the system generates the batch input, but when i let it start under only error mode, i have to fill out the business area every line item. I would like to avoid this issue. Please advice me
Thanks in advance.hi,
First of all you check in your Field status Group, whether Business Area Field is mandatory or not if it is mandatory then make it optional.
Second thing if you are using ECC 6.00 and your New GL - Document Splitting is activated then go to below path and untick against Business area
SPRO> IMG> Financial Accounting (New)> General Ledger Accounting (New)> Business Transactions > Document Splitting >Document Splitting Charactristic For general Ledger
If there Business Area Field is mandatory then remove tick from there.
hope your problem will get sorted out.
thx
Ganpat -
SAP MT940 bank statement interface to SAP
Dear expert,
We plan to integrate the bank statement in SAP MT940 format to SAP. Can you please kindly share if you have any information on how to configure the SAP for uploading the SAP MT940 format?
The configuration guide that I have is : FI Electronic Bank Statement from SAP R/3; based on this guide the recommended bank statement format is in Multicash Format.
Thank you very much in advance for your kind assistance.
Best regards,
DTanHi Tan,
Based on the external transaction type, you will link to the posting rules. Yes there are so many subfields, available if you see 61 fields, it tells you about the payment you have received/made, it gives the line item details of a particular transaction.
My sincere request is dont look at the bank statement and do the configuration. Do the configuration first and then SAP provides one program RFEBKATX. Using this program you can create a bank statement file and customer line items. Once after bank statement file is created you can import it using FF_5 and if your configuration is not properly made, it will let you know where you are missing. But this program will generate bank statement file in multi cash. How ever if your configuration is correct and if you are able to import bank statement, then there will not be any difficulty in importing MT 940.
Hope you understood.
Regards
Srikanth -
Import Electronic Bank Statement Automaticaly?
Hello,
Currently we are using transaction FF_5 for importing bank statements manually from some folder on our server into SAP ERP system. Now we are working on a cooperation with some company that will make sure that we will get bank statements from banks into a folder on one of our servers automatically.
The question that I would like to ask you is if there is a way in SAP to automate the import of such statements with some built in solution or we will have to make a custom program or program modification?
I would also like to point out that the bank statements in this folder would have different names and when they would get imported in SAP they would have to be moved to some other folder, so we would know which one wes already imported and which one not.
I will appreciate any help that you can give me.
Thanks and best regards,
DavidHello,
The best approach is to prepare the files with time stamp, i.e., date and time.
There is no standard functionality. You need to take help from ABAPer and need to write a program.
Schedule this progam at regular intervals.
Make sure you need to keep lot of checks.
1. No duplicate file is being generated.
2. No manual intervention into the files.
3. Processed files are separated to another files.
4. Error recrods are copied to a separate file etc.
You can think on these lines and develop the program.
Regards,
Ravi -
I'm working at a site setting up Cash Management for the first time in the UK - they want to import bank statements using Barclays Business Manager software - the format that seems most useful is BAI - does anyone have the specification of the fields in a BAI format file and / or written this interface in the past ?
Hi Tan,
Based on the external transaction type, you will link to the posting rules. Yes there are so many subfields, available if you see 61 fields, it tells you about the payment you have received/made, it gives the line item details of a particular transaction.
My sincere request is dont look at the bank statement and do the configuration. Do the configuration first and then SAP provides one program RFEBKATX. Using this program you can create a bank statement file and customer line items. Once after bank statement file is created you can import it using FF_5 and if your configuration is not properly made, it will let you know where you are missing. But this program will generate bank statement file in multi cash. How ever if your configuration is correct and if you are able to import bank statement, then there will not be any difficulty in importing MT 940.
Hope you understood.
Regards
Srikanth
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