Manual BANK statment reversal

Hi Gurs
I want to know that can i  reverse/delete the Bank statment which has already Posted ? If yes ! How can i do this ? Please guide me what procedure should i take . Actually while doing manually bank statment posting date was entered wrongly and thats need to be corrected and to correct this what should we do? reverse the bank statment and GL documents or is there anyother way of correcting this issue. Please help me
Thanks

Hi,
You'd better first reverse the FI doc, then delete the bank statement in table
For delete the bank statement, follow the step:
Goto SE38 and execute the following report: RFEBKA96.
On application put 0001. Here you will find all the statements. Mark the ones you want to delete... and press Delete Statements. This will permanently delete the load from your system.
HINT: to search the statement you want to delete (Short Key), query it using table FEBKO.

Similar Messages

  • Manual bank statment

    Hi Gurus
    Statement 189 dated 09.10.09 did not post to the relevent GL. No document number was generated but thi in FF67 it shows that all the documents posted
    any help please?
    kind reagrds
    Sunitha

    Hi
    Check your GL balance (bank) and also other ledger which should get enteries. If there are no entries in GL means something is wrong doing while entering manual bank statement. You can delete bank statement and re-entere if GL accounts are not affected.
    Delete Manual Bank Statement : T.code SA38 Program: RFEBKA96
    Hope this will help you.

  • Bank statment

    Hi,
    At the time of manual bank statment what all steps need to be configured,As i haveCreated and Assign Business Transactions,and next i have  Defined Posting Keys and Posting Rules for Manual Bank Statement,and also defined Variants for Manual Bank Statement,and also created three bank accounts one is main account,incoming account,outgoing account.
    What are the next steps in FEBA and FF67
    thanks &regards,
    SAntosh kumar

    Hi,
    Kindly follow the following steps one by one:
    1 Create and Assign Business Transactions (OT52)
    2 Define Variants for Manual Bank Statements (OT43)
    3. Define Posting Keys and Posting Rules for Manual Bank Statement (T033)
    3.1. Create Account Symbols
    3.2. Assign Accounts to Account Symbol
    3.3. Create Keys for Posting Rules
    3.4. Define Posting Rules
    4. Define Posting Keys and Posting Rules for Check Deposit (T033)
    4.1 Create Account Symbols
    4.1.1 Assign Accounts to Account Symbol
    4.1.2. Create Keys for Posting Rules
    4.1.3 Define Posting Rules
    4.2 Create and Assign Business Transactions (OT53)
    4.3 Define Variants for Check Deposit (OT45)
    Testing:
    Manual Bank Reconciliation Statement: FF67
    Manual Check Deposits: FF68
    Hope this helps.
    Regards,
    Kannusamy S

  • Deleation Of Bank Statment

    HI GURUS,
    *I want to know that can i delete the Bank statment which has already Posted ?* If yes ! How can i do this ? Please guide me what procedure should i take ? Answer will be appricated !!!!!
    Arun Mulgund

    Use program RFEBKA96 to delete the bank statement. However this will not impact the already posted documents. You will have to reverse them manually.
    To delete bank statement, give application id as 0001. Be careful to ensure that only this bank statement is 'checked' to be deleted. Else ALL bank statements will get deleted and cannot be brought back.
    Statement id will be a combination of statement period+year and statement number.

  • 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

  • Configure manual bank statement ff67

    Hi!
    I am configuring manual bank statement in ff67 for my Indian customer (I am from Sweden and has not worked with it before).
    I have created three banks accounts:
    One main account
    One incoming account
    One outgoing account
    I have also created the house bank.
    How do I configure transaction code named ZBSR for outgoing payment with assignment reference and ZBSD for incoming payment.
    Thank you very much in advance!
    BR Åsa

    Hi.
    The customizing is difference according to your business requirement.
    For example you have a customer invoice document:
    01 customer 100 USD / 50 revenue 100 USD.
    Then you want to clearing Customer invoice direct with bank account in FF67
    then you have to define in your posting rule , posting area:2, as below:
    Posting Key         40                                    Posting Key
    Sp.G/L Indicator                                          Sp.G/L Indicator
    Acct symbol         Bank account                   Acct symbol
    Document Type       DZ
    Posting Type             8
    Posting on acct key
    Reversal Reason
    if you want to use a Interim bank account to clearing the inovice, then you should define
    then you have to define in your posting rule as below:
    Posting area 1
    Posting Key         40                 Posting Key         50
    Sp.G/L Indicator                       Sp.G/L Indicator
    Acct symbol         BANK            Acct symbol       bank clearing account
    Posting Key         40                                    Posting Key
    Sp.G/L Indicator                                          Sp.G/L Indicator
    Acct symbol        bank clearing account        Acct symbol
    Document Type       DZ
    Posting Type             8
    Posting on acct key
    Reversal Reason
    So it is necessary to do the customzing based on your business reqirements.
    and in your case->you want the account 198001 to be credited in ff67 and account 198000 to be debited
    Can you confirm whether the bank account defined in FI12 in your hourse bank/bank key is 198000, if yes, then you could define account symbol as below
    Acct symbol: Bank with **********
    Acct symbol:bank clearing account      with *********1
    then the following document will be posted after run FF67
    40 198000   100 USD/  50 198001      100 USD
    40 198001   100 USD/  15  customer  100 USD
    The vendor is the same senario.
    Hope above information are useful to you!
    Addition, you can use T-cd:OFTD, menu->business volumn->manually bank statement to find all customizng you should define.
    With Best Regards,
    Gladys Xing

  • Manual Bank statement not posted

    Dear All
    Can any one tell me why Manual Bank statement not posted
    in to the respective G L Accounts though in the bank statement overview it is showing as Manual Posting complte .
    I also noticed that in SM37 spool requests were created for those bank statement which are not posted .
    I  observed that for those Bank statements Batch input sessions were  created but deletion indicator has set .
    Appreciate your help and points are awarded .
    Regards
    Ravindra.

    Hi Mark
    Thanks for the response . I have checked the configuration posting rules ande found that correct bcz only on that date these bank statments were not posted , all subsequest bank statements were posted sucessfully .
    As i have mentioned previously,  In SM35 i could see two sessions which are relating to these two bank statements
    but those two sessions were set deletion indicators .
    I am not sure of whether we can process those two batch input
    seessions for which deletion indicator set .
    Regards
    Ravindra

  • Modify a manual bank statement

    Hi expert,
    We have entered a manual bank statement but we made a typing error.
    I can see the bank statement in transaction FEBA.
    Can I still correct 1 line of the statement?
    Thank you.
    Kind regards,
    Linda

    Hello,
    In FF67, see the overview. you will see how many statement are being posted for the house bank. (both electronic as well as manual). You can delete the statement as follows:
    If you want to delete the the statement posted, you can do it by running the program RFEBKA96
    Give application 0001
    By default all the statements gets selected. Deselect all other statements and select the 5th statement (in your case)
    PLEASE note that the deletion of statement only gets deleted from the Bank Accounting Sub-ledger, but not entries will NOT be deleted from GL Accounting. You have to reverse them by using FB08 or F.80
    Regards,
    Ravi

  • FF67 Manual Bank Reconciliation

    Hi
    A manual bank statement was processed with the wrong date. I.e. instead of 27.06.07 it had been entered as 27.07.07.Does anyone know whether the statement date in FF67 could be changed? The solution I can think of deleting the statement and entering it again. However since this means that already proceed documents will have to be reversed too, I’m wondering whether there is a way of just editing the statement date or an easier way.
    Thank you
    Nadini

    Hi,
    check if u cud do something using FEBA.
    Regards,
    Sridevi
    <i>* Pls. assign points, if useful</i>

  • Manual Bank Statement process flow

    I need to manually enter details of a manual bank statement in SAP, for checks outgoing and incoming.
    Here are some of my questions:
    1) How should the Cash GL be setup? Main Bank GL and clearing accounts: Bank Check outgoing and Bank Check incoming?
    2) How will this affect the payable / receivable entries?
    Payable
    DR Vendor
    CR Bank GL Check outgoing
    Receivable
    DR Bank GL Check incoming
    CR Customer
    3) After I enter the details in the manual bank statement (assuming that my GL setup is correct), will the postings be as follows?
    Payable
    DR Bank GL Check outgoing
    CR Bank Main Account GL
    Receivable
    DR Bank Main Account GL
    CR Bank GL Check incoming
    Thanks for your help!

    Hi,
    You are right. If you are using Automatic payment program, you should link the bank sub accounts like Bank-Outgoing check account, Incoming check account etc in APP or use those accounts at the time of manual payment. This will ensure that initial posting is done to the Bank-outgoing check account. When you enter the bank statement, it will reverse the entry from this account and post to Main bank account mentioned in House bank master record. This helps in preparing bank reconciliation if you have structured your bank accounts properly.
    Regards
    Suresh

  • 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

  • Manual bank statement post: with GL accounts

    User has posted the manual bank statement. It is successfully posted but in respective sub GL accounts open it management and line item management is not configured in the ledger. so after posting bank statement we have changed the open item and line item display.
    we have deleted and posted again but in main GL Account on line item is still exist and balance showing diffrence 470 EUR
    how can i change that GL Account as 0 Balance.

    Hi,
    When Manual bank statement is run, a JV gets posted knocking of subledger with debit or credit (Payment/Deposit) and one line item will be posted in the main bank account.
    In you scenario, take the document available in the main bank account and reverse it in transaction code FBRA. This will knock off all the balances and the ledger will be zero.

  • Manual Bank Statement (One entry posted with wrong Posting Key)

    In The Manual Bank Statement, the user has posted one entry with wrong posting key, How can that be rectified? Or Is there anyway wherein the entire statement can be reversed?

    Hi,
    The standard document change rule will never allow to change the posting key irrespective of the transaction being used.
    You can use program RFEBKA96 to delete the statement so that you can post the same statement.
    If document generate with wrong posting key can be reversed through regular FB08
    Regards,
    Chintan Joshi

  • 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

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