Printing reciepts in the cash journal

Am getting an Error message "You selected variant SAP18 for program RFKORD80. This variant does not exist." when i want to print a receipt in the cash journal. However all settings have been maintained in FBCJC3. Can you please suggest any possible solutions to this problem?

Dear,
You may have mapped this variant to the program in FBCJC3 but may not have been created for program RFKORD80. So just execute the program RFKORD80 and click on the get variant icon and see if variant exists, if does not then create one from this screen only.
Regards,
Chintan Joshi

Similar Messages

  • How to reverse the cash journal posted entries in FBCJ

    Hi All
    In Cash journal (FBCJ) user has posted the document by mistakenly two times, is it possible to reverse the cash journal posted document. Please advise how to reverse the posted cash journal entries.
    Regards
    K.Gunasekar

    Hi,
    For reversing, select the line and then go to "Edit > Delete Entry (Shift+F2)" or "Delete Row" button at the bottom part of screen. (Deletion function reverse the document in FBCJ)
    However in case you are trying to reverse the entry after printing a receipt if you must implement OSS Note 359656 first:-
    [https://websmp130.sap-ag.de/sap(bD1lbiZjPTAwMQ==)/bc/bsp/spn/sapnotes/index2.htm?numm=359656]
    Regards,
    Gaurav

  • How to change the cash journal voucher

    Hi
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    I need to add some fields.
    Thanx

    Hi,
    U need to develop your own layout with the help of your ABAPer with the required fields.
    Then Go to the following path
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    Cheers
    P O I N T S

  • You are not authorized to read entries in the cash journal

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    Hi Holger,
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  • Seperate number range for outgoing & incoming documents in the cash journal

    Hi all:
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    HEllo,
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  • BAPI/FM for Split Postings in the Cash Journal (Transaction FBCJ)

    Hello Genious,
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    Re: FBCJ posting problem with coding
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    Edited by: Gaurang Kotecha on Oct 29, 2009 2:48 PM

  • Different Document types for Reciepts and payment-Cash Journal

    Hi Gurus,
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    Hi
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  • Additional Fields for Cash Journal Print Layout

    Hi All
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    Ravi

    Hi jain,
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    assing points if useful....
    regards
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    Edited by: lakshmi on Jun 17, 2008 1:43 PM

  • Deletion or rversal of Cash Journal After Print Out

    Hi All,
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    Please Help.
    Thanks and Regards
    Deepak

    Hi Deepak,
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    Assign points if the tip found useful
    Regards
    Gopal

  • Cash Journal Printing -Consolidated Balance

    Hi All,
    While printing the cash journal for a particular week , The transactions are listed in the posting date order and is printed accordingly.My client requires the cash journal to be printed as opening balance , balances GLs listed and Closing balance. how could this be achieved?
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    HI,
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  • No Default Profiit Centre on the Different Cash Journal

    Hi Friends,
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    Naveen.

    thx issue is solved.
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  • Account description not shown in cash journal

    hi
    when i am looking the cash journal report in S_P6B_12000118 than i am not able to see the respective GLs  from which i have done entries. how can i see the GLs , so that i can do proper reporting or there is any other way to check it

    Dear
    You can develop your own query(t.coide SQVI) by joining the following requisite tables based upon the requirement.  The following cash book tables especially TCJ_DOCUMENTS and  TCJ_POSITIONS and TCJ_TRANSACTIONS mostly have the data you need.  Just check up and after you feel satisfied with the output of the query a t.code can be developed by your abaper.
    TCJ_BALANCE FI Cash Journal: Totals Records
    TCJ_C_JOURNALS Cash Journals
    TCJ_CHECK_STACKS Check Lists in Cash Journal
    TCJ_CJ_NAMES Cash Journal Names
    TCJ_CPD FBCJ: One-Time Account Data of Cash Journa
    TCJ_DOCUMENTS Cash Journal Documents (Header Data)
    TCJ_MAX_AMOUNT Cash Journal: Amount Limit
    TCJ_POSITIONS Cash Journal Document Items
    TCJ_PRINT Cash Journal Print Parameters
    TCJ_TRANS_NAMES Cash Journal Business Transaction Names
    TCJ_TRANSACTIONS Cash Journal Business Transactions
    Regards

  • Cash Journal - S_ALR_87012309 - total containing

    Hi all,
    I need your help to do this:
    I'm using Tcode S_ALR_87012309 to print the cash journal;
    In the first selection screen " G/L account selection" i fill the field G/L account with 2 cash accounts, for instance 5311bm01 and 5311bc01.
    My question is :
    What should I do to obtain a summary containing - the total of  the opening balance and the closing balance of the two cash accounts ?
    Please help to solve this problem.
    Thanks .

    Dear Cincean,
    Please update the below details in S_ALR_87012309 Print cash journal report and you will get the opening and closing balance output as required.
    a) Chart of Accounts: Your chart of accounts. Example: INT
    b) G/L account: Mention cash related G/L accounts in ranges example: 1030900004 to 1030900005
    c) Company code: Example: 1000
    d) Key dates: From date to To date
    e) Currency: Leave it as blank as it will take all currencies
    f)  Tick Standard Documents checkbox
    g) Correspondence type: enter SAP18
    h) Tick Cash document checkbox
    i) Opening balance text: FI_CASH_BB
    j) Closing balance text: FI_CASH_BB
    k) Transfer text: FI_CASH_BB
    l) Title text: FI_CASH_BB
    j) List Variant: Select "2" for Germany
    k) Additional heading: Update your own headings and will be reflected in cash journal report.
    If you follow the above procedure, you will get the opening and closing balance of cash G/L account for the specified period.
    Hope this helps. Assign points if helpful
    Regards,
    Dwarak.

  • Cash Journal - S_ALR_87012309

    Hi all,
    I need your help to do this:
    I'm using Tcode S_ALR_87012309 to print the cash journal;
    In the first selection screen " G/L account selection" i fill the field G/L account with  2 cash accounts, for instance 5311bm01 and 5311bc01.
    My question is :
    What should I do to obtain a summary containing the opening balance and the closing balance of the two cash accounts ?
    Please help to solve this problem.
    Thanks .

    Dear Cincean,
    Please update the below details in S_ALR_87012309 Print cash journal report and you will get the opening and closing balance output as required.
    a) Chart of Accounts: Your chart of accounts. Example: INT
    b) G/L account: Mention cash related G/L accounts in ranges example: 1030900004 to 1030900005
    c) Company code: Example: 1000
    d) Key dates: From date to To date
    e) Currency: Leave it as blank as it will take all currencies
    f)  Tick Standard Documents checkbox
    g) Correspondence type: enter SAP18
    h) Tick Cash document checkbox
    i) Opening balance text: FI_CASH_BB
    j) Closing balance text: FI_CASH_BB
    k) Transfer text: FI_CASH_BB
    l) Title text: FI_CASH_BB
    j) List Variant: Select "2" for Germany
    k) Additional heading: Update your own headings and will be reflected in cash journal report.
    If you follow the above procedure, you will get the opening and closing balance of cash G/L account for the specified period.
    Hope this helps. Assign points if helpful
    Regards,
    Dwarak.

  • Cash Journal Branch creation concept

    Dear Friends,
    Can any one please explain about the Petty cash in sap.
    I did the set up in petty cash like creation of Branch account.
    Please help me to understand the actual concept of petty cash in sap. how its works in the system.
    Thanks in advance.
    Regards,
    Mahendra

    Hi,
    Concept of Cash Journal:
    You can use the cash journal to manage cash transactions in your company. You can post cash receipts and cash payments, print receipts, and print out a cash journal. The cash journal in the R/3 System is a subsidiary ledger, which contains documents that are transferred from the cash journal to the general ledger in SAP FI. A cash journal is kept in one currency.
    The cash journal does not include functions for accepting and depositing checks.
    Each cash journal is assigned a G/L account to which the documents in the general ledger are posted.
    When a posting is made to a cash journal, the documents with the following document types are posted:
    Business transaction                                   Document Type
    G/L account postings                                      AB
    Vendor: incoming/outgoing payments     KZ
    Customer: incoming/outgoing payments     DZ
    You can create your own business transactions that have to be posted. In the cash journal transaction FBCJ, you can create, change, and delete business transactions.
    We can provide the following business transactions for cash journal accounting:
    Business transaction type
    E = Expenses
    D = Customer posting
    K = Vendor posting
    B = Payment to ICBC bank account
    B = Payment to BOC bank account
    C = Payment from bank account
    C = Payment to bank account
    R = Revenue
    Cash Journal Configuration steps:
    1. Create GL Account for Cash Journal (Post Automatically): FS00 or FS01
    2. Amount Limit: Path: IMG/FA/Bank Accounting/Business Transactions/Cash Journal
    3. Define Document Types for Cash Journal Documents - Tcode: OBA7
    4. Define No. Range Intervals for Cash Journal Documents- CJC1
    5. Set up Cash Journal - Tcode: CJC0
    6. Create, Change, Delete Business Transactions - Tcode: CJC2
    7. Set up Print Parameters for Cash Journal -  CJC3
    8. Cash Journal Posting : FBCJ
    Hope this helps you,
    Regards,
    Kannusamy S

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