0% found this document useful (0 votes)
12 views6 pages

AP and AR

Uploaded by

Ramesh Babu
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as DOCX, PDF, TXT or read online on Scribd
0% found this document useful (0 votes)
12 views6 pages

AP and AR

Uploaded by

Ramesh Babu
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as DOCX, PDF, TXT or read online on Scribd
You are on page 1/ 6

Ramachandra

Accounts Payable
1) Define Account Groups with Screen Layout (Vendors) - OBD3
SPRO--> Financial Accounting --> Accounts Receivable and Accounts Payable-->Vendor
Accounts-->Master Data-->Preparations for Creating Vendor Master Data-->Define account
groups with screen layout (Vendors)
2) Create Number Ranges for Vendor Accounts - XKN1
SPRO--> Financial Accounting --> Accounts Receivable and Accounts Payable-->Vendor
Accounts-->Master Data--> Create Number Ranges for Vendor Accounts
3) Assign Number Ranges to Vendor Account Groups -OBAS
SPRO--> Financial Accounting --> Accounts Receivable and Accounts Payable-->Vendor
Accounts-->Master Data--> Assign Number Ranges to Vendor Account Groups
4) Define Tolerance groups for Customers/Vendors –OBA3
SPRO--> Financial Accounting--> Accounts Receivable and Accounts Payable--> Business
Transactions--> Open Item Clearing--> Clearing Differences--> Define Tolerances for
Customers/Vendors
5) Create GL Master records -FS00
Accounting--> Financial Accounting--> General Ledger--> Master Records--> G/L Accounts-->
Individual Processing--> Centrally
6) Create Vendor Master Data - FK01 or XK01
Accounting -->Financial Accounting -->Accounts Payable -->Master Records --> Create OR
Accounting -->Financial Accounting -->Accounts Payable -->Master Records--> Maintain
Centrally--> Create
7) Define Document Types - OBA7
SPRO Financial Accounting--> Financial Accounting Global Settings--> Document--> Document
Header--> Define Document Types
8) Define Posting Keys -- OB41
SPRO Financial Accounting--> Financial Accounting Global Settings--> Document--> Line
itemControlsDefine Posting keys

End User Transactions


1) Create Purchase Invoice/Vendor Invoice/Incoming Invoice – F-43 OR FB60
Accounting--> Financial Accounting--> Accounts Payable--> Document Entry--> Invoice
General
2) Create Outgoing Payment Document / Post Vendor Payment - F-53
Accounting--> Financial Accounting--> Accounts Payable--> Document Entry--> Outgoing
Payment--> Post

3) Display/Change Vendor Line Items – FBL1N


Accounting--> Financial Accounting--> Accounts Payable--> Account-Display/Change Line Items

Accounts Payable & Accounts Receivable 1


Ramachandra

4) Vendor Ledger Balance Display – FK10N


Accounting--> Financial Accounting--> Accounts Payable--> Account--> Display Balances

Bank Customization
1) Define House Banks - FI12
SPRO--> Financial Accounting--> Bank Accounting--> Bank Accounts--> Define House Banks
2) Create Bank Account Id - FI12
SPRO--> Financial Accounting--> Bank Accounting--> Bank Accounts--> Define House Banks
3) Create Check Lots - FCHI
Accounting--> Financial Accounting--> Accounts Payable--> Periodic Processing--> Payments
From Menu bar--> Environment--> Check Information --> Number Ranges
4) Create Purchase Invoice/Vendor invoice/Incoming invoice – F-43 OR FB60
Accounting--> Financial Accounting--> Accounts Payable--> Document Entry--> Invoice General
5) Create outgoing payment document / Post Vendor Payment - F-53
Accounting--> Financial Accounting--> Accounts Payable--> Document Entry--> Outgoing
Payment--> F-53 – Post
6) Manual Check Creation - FCH5
Accounting--> Financial Accounting--> Accounts Payable--> Environment--> Check Information
--> Create--> FCH5 - Manual Checks
7) Display Check Register - FCHN
Accounting--> Financial Accounting--> Accounts Payable--> Environment--> Check Information
--> Display--> FCHN - Check Register
8) Update Check Encashment Date – FCH6
Accounting--> Financial Accounting--> Accounts Payable--> Environment--> Check Information
--> Change--> Additional Info/Cash
9) Unused Checks Cancelation - FCH3
Accounting--> Financial Accounting--> Accounts Payable--> Environment--> Check Information
--> Void--> Unused Checks
10) Delete encashment date for Check - FCHG
Accounting--> Financial Accounting--> Accounts Payable--> Environment--> Check Information
--> Delete--> Reset Data
11) Cancel Issued Check - FCH8
Accounting--> Financial Accounting--> Accounts Payable--> Environment--> Check Information
- -> Void--> Cancel Payment

Down Payment to Vendors


1) Create GL Master record Advance payment to Vendor account - FS00
Accounting--> Financial Accounting--> General Ledger--> Master Records--> G/L Accounts-->
Individual Processing--> Centrally
3) Define Alternative Reconciliation Account for Down Payments –OBYR

Accounts Payable & Accounts Receivable 2


Ramachandra

SPRO-->Financial Accounting--> Accounts Receivable and Accounts Payable--> Business


Transactions--> Down Payment Made--> Define Alternative Reconciliation Account for Down
Payments
4) Post Vendor Down Payment - F-48
Accounting--> Financial Accounting--> Accounts Payable--> Down Payment--> F-48 - Down
Payment
5) Create Purchase Invoice/Vendor invoice/Incoming invoice – F-43 OR FB60
Accounting--> Financial Accounting--> Accounts Payable--> Document Entry--> Invoice General
6) Transfer of advance from Special to Normal by clearing Special items - F-54
Accounting--> Financial Accounting--> Accounts Payable--> Down Payment--> Clearing
7) Clear Vendor Normal items – F-44
Accounting--> Financial Accounting--> Accounts Payable--> Account--> Clear

Automatic Payment Program

1. Set Up All Company Codes for Payment Transactions - FBZP


SPRO--> Financial Accounting--> Accounts Receivable and Accounts Payable--> Business
Transactions--> Outgoing Payments--> Automatic Outgoing Payments--> Payment
Method/Bank Selection for Payment Program--> Set Up All Company Codes for Payment
Transactions
2. Set Up Paying Company Codes for Payment Transactions - FBZP
SPRO--> Financial Accounting--> Accounts Receivable and Accounts Payable--> Business
Transactions--> Outgoing Payments--> Automatic Outgoing Payments--> Payment
Method/Bank Selection for Payment Program--> Set Up Paying Company Codes for Payment
Transactions
3. Set Up Payment Methods per Country for Payment Transactions - FBZP
SPRO--> Financial Accounting--> Accounts Receivable and Accounts Payable--> Business
Transactions--> Outgoing Payments--> Automatic Outgoing Payments--> Set Up Payment
Methods per Country for Payment Transactions
4. Set Up Payment Methods per Company Code for Payment Transactions -FBZP
SPRO--> Financial Accounting--> Accounts Receivable and Accounts Payable--> Business
Transactions--> Outgoing Payments--> Automatic Outgoing Payments--> Set Up Payment
Methods per Company Code for Payment Transactions
5. Set Up Bank Determination for Payment Transactions -FBZP
SPRO--> Financial Accounting--> Accounts Receivable and Accounts Payable--> Business
Transactions--> Outgoing Payments--> Automatic Outgoing Payments--> Set Up Bank
Determination for Payment Transactions

End User Area

Accounts Payable & Accounts Receivable 3


Ramachandra

1) Assign payment method in vendor master – FK02


Accounting--> Financial Accounting--> Accounts Payable--> Master Records--> Change
2) Create Purchase Invoice/Vendor invoice/Incoming invoice – F-43 OR FB60
Accounting--> Financial Accounting--> Accounts Payable--> Document Entry--> F-43 - Invoice –
General
3) Automatic payment Run – F110
Accounting--> Financial Accounting--> Accounts Payable--> Periodic Processing--> Payments

Payment Terms
1. Creation of Payment terms - OBB8
SPRO-Financial accountingAccounts receivable and accounts payableBusiness
transactions0Incoming invoices/credit memosmaintain terms of payment
2. Create Terms of payment for Installments -OBB9
SPRO-Financial accountingAccounts receivable and accounts payableBusiness
transactionsIncoming invoices/credit memosDefine terms of payment for installment payments
3. Assignment of Discount Received account for automatic Postings - OBXU
SPRO-Financial accountingAccounts receivable and accounts payableBusiness
transactionsOutgoing PaymentsOutgoing payment Global settingsDefine Accounts for Cash
discount taken
4. Post Vendor Credit memo - FB65 / F-41
Accounting--> Financial Accounting--> Accounts Payable--> Document Entry--> Credit Memo

ACCOUNTS RECEIVABLE
1) Creation of Customer Account Groups - OBD2
SPRO Financial Accounting Accounts Receivable & Accounts Payable Customer
Accounts Master Data preparations For Creating Customer Master Record Define
Account groups With Screen Layout (Customers)
2) Create Number Ranges for Customer Accounts - XDN1
SPRO Financial Accounting Accounts Receivable & Accounts Payable Customer
Accounts Master Data preparations For Creating Customer Master Record Create
Number Ranges for Customer Accounts
3) Assign Number ranges to Customer Account Groups – OABR
SPRO Financial Accounting Accounts Receivable & Accounts Payable Customer
Accounts Master Data preparations For Creating Customer Master Record Assign
number ranges to customer account groups
4) Define Tolerance limits for Customers - OBA3

Accounts Payable & Accounts Receivable 4


Ramachandra

SPRO Financial Accounting Accounts Receivable & Accounts Payable Incoming


Transactions Open Item Clearing Clearing Differences Define Tolerances for
Customers/Vendors
5) Creation of GL Master records - FS00
Accounting Financial Accounting General Ledger Master Records G/L Accounts
Individually Centrally
6) Create Customer Master record - XD01
Accounting Financial Accounting Accounts receivable Master Records Maintain
Centrally Create
7) Define Document types and Number ranges - OBA7
SPRO Financial Accounting Financial Accounting Global Settings Document Document
Header Define Document Types

END USER AREA


1) Create Customer Invoice / Outgoing Invoice - F-22/FB70
Accounting Financial Accounting Accounts receivable Document Entry Invoice
2) Post Incoming payment / Customer Payment - F-28
Accounting Financial Accounting Accounts receivable Document Entry Incoming
Payments
3) Display/Change Customer line items - FBL5N
Accounting Financial Accounting Accounts receivable Account Display/ Change line
items

ADVANCE PAYMENT FROM CUSTOMERS


1) Create GL Master Record - FS00
Accounting Financial Accounting General Ledger Master Records G/L Accounts
Individually Centrally
2) Make a link between Reconciliation a/c and Alternative Recon a/c – OBXR
SPRO Financial Accounting Accounts Receivable & Accounts Payable Business
Transactions Down payment Received Define Reconciliation Accounts for Customer Down
Payments
END USER AREA
3) Post advance payment from Customer - F-29
AccountingFinancial Accounting Accounts receivable Document EntryDown
PaymentDown Payment
4) Create Customer Invoice / Outgoing Invoice - F-22/FB70
Accounting Financial Accounting Accounts receivable Document Entry Invoice

Accounts Payable & Accounts Receivable 5


Ramachandra

5) Transfer of Advance from Special part to Normal by clearing Special items – F-39
AccountingFinancial Accounting Accounts receivable Document EntryDown
PaymentClearing
6) Clear Customer Normal items – F-32
AccountingFinancial Accounting Accounts receivableAccountClear

DUNNING
1) Define Dunning Area - OB61
SPROFinancial Accounting Accounts Receivable & Accounts Payable Business
TransactionsDunningBasic settings for DunningDefine Dunning Areas
2) Define Dunning procedures - FBMP
SPROFinancial Accounting Accounts Receivable & Accounts Payable Business
TransactionsDunningDunning ProcedureDefine Dunning Procedures
3) Assign Dunning Procedure in Customer Master Record - FD02
Accounting Financial Accounting Accounts receivable Master Records Change
4) Post Customer Invoice /Sales Invoice - F-22/FB70
Accounting Financial Accounting Accounts receivable Document Entry Invoice
5) Run Dunning - F150
Accounting Financial Accounting Accounts receivablePeriodic ProcessingDunning
6) Display Customer Master Record - FD03
Accounting Financial Accounting Accounts receivable Master Records Display

Tax on Sales / Purchases


1) Create Tax Calculation Procedure - OBYZ
SPRO Financial Accounting Financial Accounting Global SettingsTax on Sales/Purchases
Basic SettingsCheck Calculation Procedure
2) Assign Country to Tax Calculation Procedure - OBBG
SPRO Financial Accounting Financial Accounting Global SettingsTax on Sales/Purchases
Basic SettingsAssign Country to Calculation procedure
3) Define Tax Codes - FTXP
SPRO Financial Accounting Financial Accounting Global SettingsTax on Sales/Purchases
CalculationDefine Tax codes for Sales and Purchases
4) Assign GL accounts for Tax codes /Define Tax Accounts - OB40
SPRO Financial Accounting Financial Accounting Global SettingsTax on Sales/Purchases
PostingDefine Tax Accounts
5) Assign Tax codes for Non-Taxable Transactions - OBCL
SPRO Financial Accounting Financial Accounting Global SettingsTax on Sales/Purchases
PostingAssign Tax codes for Non-Taxable Transactions

Accounts Payable & Accounts Receivable 6

You might also like

pFad - Phonifier reborn

Pfad - The Proxy pFad of © 2024 Garber Painting. All rights reserved.

Note: This service is not intended for secure transactions such as banking, social media, email, or purchasing. Use at your own risk. We assume no liability whatsoever for broken pages.


Alternative Proxies:

Alternative Proxy

pFad Proxy

pFad v3 Proxy

pFad v4 Proxy