ff67 - manual entry
TRANSCRIPT
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FF67 - Manual bank statement entry Functionality This transaction is used by the Treasury department to ‘MANUALLY’ enter Bank Statements into the system. Scenario You have received Bank Statements from your bank and wish to enter them into the SAP system. Requirements A copy of the Bank Statement, the Bank Key, the Bank Account Number, the Statement Number
Menu Path Accounting → Financial Accounting → Banks → Incomings → Bank Statement → FF67 - Manual Entry
Transaction Code FF67 - Manual Entry
1. Double Click on FF67 - Manual Entry
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Note: The pop up appears when you start the transaction for the first time. This setting is one time. Nevertheless you can still access the settings by clicking on Settings → Specifications
2. Click on to select it.
3. Update the following fields:
Field Name Description Values
Start variant The account assignment variant for entry of the bank statement. This variant decides for the fields available for entry e.g. Customer code, vendor code, reference field
Z9100
Processing type Field which controls whether postings via batch input are carried out online or as a background job.
2
4. Click Continue
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5. Update the following fields:
Field Name Description Values
Company code Company code 9100
House Bank House Bank ICICI
Account ID Account ID Account ID
6. Click on in case this is not the first statement.
7. Double click on
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8. Click on the last statement which was posted, in this case it is Statement no 00002
9. Click on
Note: By following steps 6 to 9, the House bank, account id, last closing balance (as opening balance) gets copied as well as the new statement number 5 gets updated automatically. In case where you are updating the bank statement for the first time, you have to update manually the following fields:- House bank, Account id, Statement number, Statement date, Currency, Beginning balance, Ending balance.
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Process Manual Bank Statement
10. Update the following fields:
Field Name Description Values
Ending balance Description of the Ending balance.
-146000
Posting date Date that the business transaction occurred
10.02.2006
11. Click on
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Process Manual Bank Statement
12. Click for possible entries
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Transaction (1) 12 Entries found
13. Select CHOU - Check issued out in list box.
Note: For receipts from Customers use ‘CHIN +’ , for bank charges use ‘BKCH –‘.
14. Update the following l fields:
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Field Name Description Values
Value date Today's date 10.02.2006
Amount Amount of the line item 95000-
Bank r Check number 100001
15. Click Enter
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16. Click
Process Manual Bank Statement
17. Click Save .
NB: This captures the details for further review - It does not post the transactions.
18. Click Overview .
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Manual Bank Statement Overview
19. Double click on
20. Double Click on the statement 00003
21. Click Back thrice
At this stage the 'Posting' has only been done in the Treasury Sub-System. To create the postings in the General Ledger, we must next go to the 'Batch Input Session' and process it as follows.
22. In another session Select System→Services→Batch input→Sessions.
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Batch Input: Session Overview
23. Click to select the batch input session
24. Click Process .
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Process Session 1600BSF06
25. Click <radio button> Display errors only .
26. Click Process .
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27. Click Exit batch input