Manual Bank Reconsilation

Dear Experts,
I am doing manual bank reconsilation and have following questions:
1. I want to clear incoming payments by customer as mentioned in bank statement directly with customer open item as recorded at time of billing. How to enable this direct clearing happen?
2. What algorithm/clearing i should use so that correct clearing should happen. Example: Their may be multiple invoice of same amount say 10000 euro. And now if bank statement has 10000 euro, it should clear with correct bill. What creterion of clearing can be used for this? and what algorithm of sap?
Request Revert. Thanks....

hi Kishore
Check this link ..it may helpfull..and check u r config once again.
https://www.sdn.sap.com/irj/sdn/go/portal/prtroot/docs/library/uuid/a97fa590-0201-0010-04ba-beed13d6cc7e

Similar Messages

  • Manual Bank Statement

    Hi,
    I have processed the manual bank statement, I could see in the stament overview that Manual posting is done and There are 2 transactions under FB01 with Debiting the amount. But nothing is shown under credit amount. When I check the concerned bank account and customer open and cleared items, no posting is made. What could be the error? Later I have done manual post processing (FEBA), still the same result. What could be the problem?
    Thanks

    Hi,
    1. Check in Bank config.. Create and assign Business Transactions and Define Posting Keys and Posting Rules for Manual Bank Statement.
    2. Check GL accounts are attached to the bank accounts under House bank node.
    3.In FF67 Verify the specifications Memo record entry -- Start variant, customer and vendor match codes and Further processing -- 'Processing Type' -- 2.
    4.Check other account assignment in FF67: Tran type, Value date, Amount, Bank ref.,Cost Center and Profit center..
    4.If the processing type is '2' Run the session by using SM35.
    Regards,
    Padmaja N.
    Edited by: NUKALA PADMAJA on Apr 29, 2008 5:04 AM

  • TCode - FF67 - Manual Bank Reco - No open items were found

    Hi all,
    We are getting the above error message on executing TCode - FF67 with the following steps made for the customisation of " Manual Bank Reco " :
    1.     Create Account Symbol
    2.     Assign Accounts to Account Symbol
    3.     Create Keys to Posting Rule
    4.     Define Posting Rules
    There is no Bank Statement available with me since I am doing the testing in " Development Server ". Hence I have posted one entry  on 30.03.2008
    Elect. Acct...........Dr......Rs.2000/-
    To Vendor Acct.... Cr...................Rs. 2000/-
    Assuming that Cheque Payment for the above amount has been cleared in UBI (Bank),I have now started executing TCode  - FF67
    Bank Key - UBI
    Bank Account - 17782
    Currency - INR
    Statement Number - 1
    Statement Date : 01.04.2008
    Opening Balance  : Rs.  -22869/- (negative as per system since Bank GL created under liability)
    Closing Balance   : Rs.  - 24869/- (After deducting further Rs. 2000/-)
    Posting Date : 31.03.2008
    Bank Postings Only - > Selected
    Press Enter  -> Next Page of TCode FF67
    Tran    - Value Date -  Amount   - Allocation  (assgn) - Bank Ref
    CHOU - 31.03.2008 - Rs. -2000 -     Blank                 -    111
    -> Save the data
    When I go in TCode - FEBA
    I have selected - Posting Area as " G/L Accounting "
    and click on Overview, system has shown me “ Red Cancellation Sign “with error message " To be posted " for Transaction " Y101 "
    Further in same screen I have selected - Line Items -> Post. I got a window  "Post with Clearing : Header Data", I went on entering for further steps till I received a message " No appropriate line item is contained in this document "
    Giving details of Posting Rules – Y101 for reference :
    Posting Rule - Y101
    Posting Area - 1 (Bank Acctg)
    Debit :
    Posting Key - <Blank>
    Acct Symbol - CHECKOUT
    Credit :
    Posting Key - 50
    Acct Symbol - MAINBANK
    Document Type - KZ
    Posting Type - 4 (Clear debit G/L acct)
    Also giving Business Transaction setting for “CHOU” which is as follows –
    Tran        +-        Post Rule           Acct Mod               Int Algthm               Text 
    CHOU     –         Y101                    Blank                    11                            Check issued out
    Giving specification details used in Tcode - FF67
    Import Advices             ->  Selected
    Start Variant                  ->  ZGSML – created separated
    Cust. Matchcode ID      ->  D
    Vendor Matchcode ID  ->  K
    Processing Type           ->  4
    Transfer Value Date      ->  Selected
    If anybody has a solution on this that will be highly appreciated.
    Points will be assigned to proper answer.
    Regards,
    Shridhar Sawant
    FICO
    Edited by: Shridhar Sawant on Apr 25, 2008 4:16 PM

    Dear all,
    I am closing this issue since I got the solution apart from the mentioned above.
    There is no need to change the Document Type since that will only change the Document type for e.g. from KZ to ZR, nothing will happen in the accounting entry.
    Solution was there in the "Posting rule" which i defined for making Cheque Payment.
    There are options of "Posting Type" - 1 which is for "Post to G/L Account" - In this case, system will Post the following entry Dr. Outgoing Bank Account & Cr. Main Bank Account without looking for any "Open Item".
    Posting Type" - 4 is for "Clear Debit G/L Account", menans that if you are having "Open Items" and you want to clear those then only use this posting key.
    While testing I had not posted any payment to vendor in Bank Outgoing Account hence no question of having "Open Items" in Bank Outgoing Account. And I had made the selection of "Posting Type" - 4, which require "Open Items" for direct clearing, hence was getting the subject error.
    This is for everybodies information.
    Thanks & Regards,
    Shridhar Sawant
    FICO

  • Reg:Document Type creation in Manual bank Statement.

    HI all,
    What is the document type for Manual bank statement reconsolation.
    I created (BZ )for Manual bank statement reconsolation which fields i have to  select.
    regards
    JK

    Hi,
    Document types are created at client level. to restrict one kind transactions only and to identify the transactions pertaining to what.
    At the time of configuring BRS we have to specify the document type there u can specify what ever you want before it has to create. go to OBA7
    Hope this is clear, if yes assign points
    Regards,
    Sankar

  • Manual bank statement upload error FB727

    Hi Experts
    When we are uploading the manual bank statements using transaction FF67, we are getting the error message FB727 "There are no transactions that have this amount's plus or minus sign"
    We are using SAP version 4.7, I am not sure how this message is coming and how can we correct this
    I could see there is a OSS note for this but that is not applicable for version 4.7 and above
    Rishi

    Hi Rishi,
    Message - FB727 says There are no transactions that have this amount's plus or minus sign
    While assigning the Business transactions to posting rules you may specified the +/- symbol to Incoming payments. Similarly while entering the amounts use the symbols.
    Eg: If the amount CHQ deposit (Incoming Payment) : +XXXX
          If the amount CHQ Issue (Out Going Payment)  : - XXXX
          If the amount Bank Charge (Expense-Outgoing) : - XXXX
    Amount with Symbol if you enter, Then you will not get this error.

  • 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.
    Thanku

    Hello 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

  • FF67 Manual bank statement transactions not updated in G/L accounts.

    Dear All,
    The user has posted the Manual bank statement in the FF67 and saved. But the postings are not updated in the G/L accounts but in FF67 the bank statement is showing that "posting completed".  When I check that The Job name has finished successfully in sm37. but when I check in SM35 the batch session also has been created with the same user ID. But it has not processed.
    When i ask the user he is saying that they don't process the Batch input session. They just save the FF67 T.code. after some thime the job will complete and post to the G/L accounts.
    Please could any body let me know what could be the problem.
    When we enter the FF67 the system will ask the start variant and the processing type. There are 4 options in the processing type. could any body explain me about the 4 options.
    Regards,
    Mr.Rao.

    Dear All,
    Here the user has selected the processing type is 2. That's why the system is created the batch input secssions. so the G/L accounts will be hitted after the batch input secssion are processed.
    Regards,
    Mr.Rao.

  • Manual Bank Statement - Upload of line items

    Hi,
    We are trying to implement Manual Bank Statement for a specific client. We are not going for electronic bank statement, taking into consideration fewer number of transactions in the month.
    The bank statement for the month has approx 40-50 transactions/line items.
    The format for entering data in manual bank statement is - Transaction type, Value date, Amount, Document no.
    My client intends to create this format in Excel, and upload all the 50 line items at one stretch. But only 21 line items are getting uploaded at single instance.
    Also, after inserting row, only one row is inserted at a time. This process would be time consuming.
    Is there a solution whereby the entire 50 line items are entered at one stretch in manual bank statement
    Thanks in advance
    Regards
    Vishwanath.B

    Hi,
    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 reconciliation Statement

    hi experts,
    In my client site I am configuring Manual bank reconciliation statement where I found the bank main account was cofigured as a clearing account(open item management activated) and manually data are posted .
    My question If I upload a bank statement in transaction code FF67 and post it, will the system throw an error because the main bank account was configured as a clearing account?
    plz help me out.
    With regards,
    Sudipto

    Hi!
    Configuration Document in Development 200 for Automatic Bank Reconciliation Process.
    1. Define Posting Rules :
    Path : SPRO u2013 Financial Accounting (New) u2013 Bank Accounting u2013 Business Transactions u2013 Payment Transactions u2013 Manual Bank Statement u2013 Define Posting Keys and Posting Rules for Manual Bank Statement u2013 Define Posting Rules.
    In this Posting Rules need to be changed to 1-Post to G/L account from u20185-Clear credit G/L actu2019 and u20184-Clear debit G/L acctu2019.
    2. Maintain Variants for Bank Statements :
    In this we define variants for Manual Bank Statements as required and then this variant is attached in FF67.
    Path : SPRO u2013 Financial Accounting (New) u2013 Bank Accounting u2013 Business Transactions u2013 Payment Transactions u2013 Manual Bank Statement u2013 Define Variants for Manual Bank Statements.
    3. Additional Rules for Automatic Clearing :
    For clearing bank accounts we need to maintain clearing rules.
    Path: SPRO u2013 Financial Accounting (New) u2013 General Ledger Accounting (New) u2013 Business Transactions u2013 Open Item Clearing u2013 Prepare Automatic clearing.
    regards,
    Rup

  • Manual Bank Subaccount Clearing 1:N – Profit Center Assignment within NEW GL

    Hello guys,
    What is the common practice to do Manual Bank Subaccount Clearing for Vendors outgoing payments? My main concern is Profit Center Assignment within New GL.
    The business process is:
    Payment Program (F110) creates multiple JEs to Bank Subaccount with different Profit Centers inherited from Vendor’s Invoices
    JE #1 (GL View)
    Debit:   Vendor_1               Profit_Center_1    $400
    Credit:  Bank Clearing GL   Profit_Center_1     $400
    JE #2 (GL View)
    Debit:   Vendor_2               Profit_Center_2     $600
    Credit:  Bank Clearing GL   Profit_Center_2      $600
    When the payment is showing on Bank Statement in a lump amount, a posting with clearing should be done to make an entry on the Main Bank Account and to clear Bank Subaccount (F-04).
    Credit: Main Bank GL   Profit_Center_?????  $1,000
    Debit:  Bank Clearing GL   Profit_Center_1      $ 400 (PC assigned automatically by the system within the clearing)
    Debit:  Bank Clearing GL   Profit_Center_2      $ 600  (PC assigned automatically by the system within the clearing)
    If Profit Center is not filled manually in Main Bank GL account line -> the system issues “Balancing field “Profit Center” in line item 001 not field”
    Please share your experience whether a user makes multiple entries to Main Bank GL as a number of Profit Centers in ACH Clearing GL, or a Dummy Profit Center is used….
    Thank you in advance 

    Hi
    In most of my projects, a common profit center is defaulted to the Bank Account through FAGL3KEH in a new gl environment. This is because the payment function had been centralized and so it was booked to the corporate profit center which was also a common profit center.
    However, it would again depend on your business requirements as to how they would like to see the profit center reporting. You may look at a substitution through an exit to default the profit center for the main bank gl.
    Regards
    Sanil

  • Manual Bank Reconciliation Statement Issue

    Hi All,
    I am getting Error in Manual Bank Statement Spool Requests.
    I have done the below steps :
    1. Posted Vendor Invoice (FB60)
    2. Made Payment to Vendor (F-53)
    3. Created Check Manually (FCH5)
    4. Done Configuration for Manual BRS.
    5. Execute FF67
    6. I got status message Statement/List Posted
    7. When I go to check Batch Input session ( I am getting an Error in FB05)
    I don't understand , what configuration I missed.
    I checked Posting Rule , Tolerance but not able to fix this issue.
    Please advice.
    Kind Regards,
    Prakash Kumar

    Hi Sanil,
    Thanks for your reply !
    It has been resolved, I missed to update Tolerance for GL (OBA0) without Group name , I just amended it.
    Its resolved.
    Kind Regards,
    Prakash Kumar

  • Process manual bank statement  ...

    Hi,
    We are having the following G/L account for Bank XXX
    xxxxx0 for Main A/c
    xxxxx1 for Cheque issued
    xxxxx2 for Cheque deposited.
    Earlier we were doing manual bank reconciliation thro FF67.
    Last two years this excises not been carried out in sap and there are 50000 line open items are available in Cheque issued and cheque depoisted account since 2005
    Now we wanted to restart again the process FF67.
    How to clear old open items and start upload current month bank statement.
    Please give your suggestion.
    Best regards
    Raja Manhoharan V.S.

    Can you confirm that the balance of account 0, 1 & 2 equals zero?
    If so you can manually clear all three GL accounts together for the date range.
    However I doubt that is the case.
    In terms of clearing, you normally have a common number in the actual banking transaction, i.e. payment and from the bank statement.
    So if you were using FF68 to enter payments, you would normally have the batch number in the payment side, send that to the bank and they would then send that back to you as part of the statement upload, so the two entries there should clear.
    Can you confirm if you have any similar logic?
    If not, I guess it is going to be a manual thing for the time being.
    However if you are saying you are going to start this up again, and you want it to clear in the future plan some logic so it can be cleared by f.13
    please assign points if useful.

  • Tables for Manual Bank Statement

    Hello,
    Can anyone tell me the tables for Manual Bank Statement?
    Regards,
    SDN_Creature

    Hi,
    The tables are FEBEP, FEBKO,U_12398 where the data are stored after the execution of manual bank statement.
    With Regards,
    Sudipto

  • Down payment request clearing in manual bank statement

    Hello,
    can somebody advice how to configure manual bank statement posting rule in order to clear down payment request (sp.GL indicator F).
    The case I would like to solve is the following:
    1. I have created a down payment request via F-37.
    2. On the bank statement I have payment received from customer for the above payment request
    3. I need to configure a posting rule in manual bank statement in order to post the received down payment.
        Debit : bank account
        Credit : customer account with sp.GL indicator A and clear down payment request.
    Thank you for any advice!
    Gabriela

    I am in 4.7. It seems that the interpretation algorithm doesn't search the items in statistical postings (down payment request). I have choosen interpretation algorithm 021 Reference document number search. The down payment request as XBLNR 134134. In program RFEBKA00, I have XBLNR number interval 112000 - 199999 and the program doesn't find the down payment. FEBCL is empty. When I fill FEBCL in the user exit, the clearing process works fine without any manual action.
    When looking in the program RFEBBU10, I can see:
    FORM X-TREFFER_PROBELESEN.
      CLEAR TREFFER.
      LOOP AT TREFFER.
        SELECT * FROM BKPF WHERE BUKRS = FEBKO-BUKRS
                             AND BSTAT = ' '
                             AND XBLNR = TREFFER-NUMMER.
    Since the down payment request has BSTAT 'S', that explains why the standard interpretation algorithm doesn't find the document (TREFFER-NUMMER has the right value 134134).

  • Problem with uploading manual bank statements

    Hey everyone,
    I am having trouble with a client who seems to have put some manual bank statements in the system using transaction ff67. Although there were some direct deposit customer payments in that account, they did not reflect in the customers account at all although there were no errors during the process.
    Anyone got any ideas as to what could have gone wrong. And is there a way to reverse these statements out of the system.
    I am a technical consultant and am not very familiar with this.

    Hi,
    There is an SAP note for reversing bank statement. But it's better to check user's preferences for bank statement ( DIRECT POSTING, BATCH INPUT,ect.).
    Svetlin

Maybe you are looking for

  • Problem in Message Mapping

    Hi, My requirement is filter message based on the condition. My source structure is like below Root_Node     |   RecordSet (1..Unbounded)       |_       |   Header (1..1)       |      |_ RecordType       |_           Detail (1.. Unbounded)           

  • How to set encoding for Web-To-Go??

    When the first launch of the Mobile Server (webtogo), there's a line showing the conversion for the charset encoding, like from MS950 to BIG5 for Chinese windows. Now I'm facing a problem where I need the encoding be UTF-8. Could someone please tell

  • Installing Flex 4 SDK on Eclipse IDE

    Hi, I want to use Eclipse IDE with Flex 4 SDK but am unable to do so. I have looked at various blog posts & threads dealing with the same, most of them are obsolete(in the sense posted way back in 2005/07 with very old Eclipse releases) or I am not g

  • Can somebody please help me? I'm having trouble with Mac OS X Lion.

    Ok so, I left my screen-saver on all night, without the adapter plugged and it had died over night, I thought since it would just die on its own it won't be as bad...but when I tried to restart it, it was stuck on the apple icon and continuously kept

  • Can not back up to another drive with ANY program

    Starting about two weks go, I noticed that Retrospect was still running after about twelve hours. This weekend it quit with an error -116 error (unknown) - scanning incomplete. I have two backup drives, one known as Backup Drive, which has Retrospect