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Accounts Payable Task T-Code Process Description

The document provides descriptions of tasks and T-Codes for processing accounts payable, accounts receivable, cash and bank accounting in SAP. Some of the key tasks described include creating vendors and customers, processing invoices, payments, bank statement reconciliation, issuing advances from petty cash, and other common financial transactions. T-Codes provided can be used to access the specific transaction screens in SAP.
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0% found this document useful (0 votes)
651 views7 pages

Accounts Payable Task T-Code Process Description

The document provides descriptions of tasks and T-Codes for processing accounts payable, accounts receivable, cash and bank accounting in SAP. Some of the key tasks described include creating vendors and customers, processing invoices, payments, bank statement reconciliation, issuing advances from petty cash, and other common financial transactions. T-Codes provided can be used to access the specific transaction screens in SAP.
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
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Accounts payable

Task T-CODE Process Description


Create vendor FK01 8 screens maintain>save
Change vendor FK02 8 screens maintain>save
Block/unblock vendor FK03 Provide relevant infor > save
Mapping of vendor account group with GL ZVCG
Carry forward of vendor balances F.07
Staff reimbursement through cheque-invoice parking / posting
processing FB60 Fillin relevant info>simulate> save> note doc no
Staff reimbursement through cheque -cheque / letter printing FBZ5 Fillin info> print
Post vendor invoice FBV0 Fillin relevant info>edit>simulate>post>note document no
Doc no generated: 2500000062 >>> reversed document number 4800000004
GL reporting FAGLL03 2500000063 withholding tax
OKB9
Fillin data> select line item>additional data>select reason>time barred>save>note
Processing of time barred cheque FB02 document number
Vendor line item report FBL1N
Reversal of invoice/ individual reversal FB08 Fillin relevant info>display to revise>post>note new doc number
Stop payment with cancellation of invoice FCH8 Fillin all info with reason of cancelation > cancel payment> note doc no
Stop payment without cancellation of invoice FCH9 Fillin all info with void reason>void>note cheque no
Re-issuance of cheque after void of cheque-step 1 FBZ5 Print instrument after filling relevant inf
Re-issuance of cheque after void of cheque-step 2 double
check "for payment document" FCH2 Enter doc no and relevant info to view doc
Re-issuance of cheque: simultaneous void of cheque &
issuance FBZ5 Fillin infor>print>select new cheque
Advance payment with reference to po F-48 Maintain infor+po do with amount and po number>save
Fillin info>tr to be processed-incoming payment>continue>amount>process open
Adjustment of advance against bank guarantee (10% write off) F-04 items>fill >process open items.>simulate>post> note doc no.
Advance against salary/traveling/gpf/loans FB60 Simulate > post
Park vendor invoice FB60 Fillin all relevant infor>stimulate> park>note document number
Withholding tax splitting FB60 Fillin relevant field>withholding tax tab>tax code>amount aplit tab>simulate>park
Maintain exchange rates- F-62 Save
Foreign currency payments F-53 Simulate>save
Simulate>12. Profitability segment - functions / products>save
Late delivery charges F-53 note document number
Fillin all relevant infor>process open item> select all item>deactivate>double click
invoices to be paid> doc overview> double click on item> enter amount> simulate>
Staff reimbursement through cheque- payment processing F-53 save> note document number
Fillin info>process open items>double click on voices to be paid> doc overview>double
Full adjustment of advance & its clearing F-53 click item>enter item>stimulate>save>note doc no
Cheque with alternative payee-payment processing- step2 F-53 Simulate> check alternate payee> save-note document number
Fillin relevant info> process open item>partial payment>amount>doc overview>double
Partial payment of invoice F-53 click item line>enter amount>verify net amount>stimulate>save>note doc number
Partial adjustment of advance/down payment F-54 Fillin inf>process down payment> enter partial payment>stimulate>save
Post bank guarantee against advance from vendor F-55 Fillin infor>save
Adjust advance against bank guarantee F-56 Fillin info>edit line item>activate line item (+)>save>note doc no.
Cheque with alternative payee-change in master data FK02 Alternative payee in document-individual spec.>save

Cheque with alternative payee-payment processing-step1 FB60 Payment tab>individual payee>simulate>save> note document number
Cheque with alternative payee-payment processing- step3 FBZ5 For print
Create cheque lot FCHI Fill fields>change>create>fill info>save
Accounts receivable

Task T-CODE Notes EASY ACCESS MENU PATH


Accounting>AR>Master
Create customer FD01 all relevant info records>create
Change customer FD02 Accounting>AR>Master records>change
Display customer FD03 Accounting>AR>Master records>display
Accounting>AR>Master
Block /unblock customer FD05 here clicks all company code> save records>Block/Unblock
Carry forward of FA>AR>Periodic Processing>Closing>Carry
customer balances F.07 Forward>Balance Carry Forward
Customer security
deposit F-22 Simulate >save> note doc no. FA>AR>doc entry>invoice-general
Guarantee from
customer F-38 create Statistical posting> post for doc menu> note doc no.
Down payment / FA>AR>doc entry>down
advance from customers f-29 fillin required field>stimulate>save> note doc number payment>down payment
fillin required field>process down FA>AR>doc entry>down
Down payment clearing f-39 payment>stimulate>save> note doc number payment>clearing
Customer invoice FB70 fillin basic, payment, details>stimulate>save Accounting>AR>doc entry>invoice
Accounts>AR>Doc Entry>Credit
Customer credit memo FB75 fillin basic, payment, details,>stimulate>save>note doc no memo
Fillin infor>patrial paymt tab>enter received Accounts>AR>Doc Entry>incoming
Partial payment f-28 amount>stimulate>save>note doc no payments
Accounting>AR>Doc>special
Reversal / encashment Fillin required fields>edit items>double click amount to general ledger transaction>reverse
of bank guarantee F-19 select>post>note doc no statistical posting
Joint settlement of
customer and vendor fillin info>select invoices for Accounts>AR>Doc Entry>incoming
invoices f-28 settlement>stimulate>save>note doc payments
Customer invoice - scrap fillin basic, payment, details>output tax code> calculate
sale FB70 tax>stimulate>save Accounting>AR>doc entry>invoice
Cash and Bank
Accounting
Task T-CODE Notes EASY ACCESS MENU PATH
Create bank key FI01 Accounting>Bank>Master data> Create
Flag bank key for Accounting>Bank>Master data> set
deletion FI06 check deletion indicator and save deletion flag
Change bank key master
data FI02 Accounting>Bank>Master data> change
Upload of bank Fill required fields>upload file>run SM35>select ur session>click
statement ZRECON process>background>process>exit
Post processing of bank FEBA_BANK_STATEME Accounting>FA> Banks>Incomings>Bank
statement NT Statement>Reprocesses>fill inf>post
Issuance of
temporary/travelling select temp alw>amount>profit center>select row>save Accounting>FA>Banks>Incomings>
advance from petty cash FBCJ selection>exit Cash Journal
date>doc type>CoCd>Posting dt>currency>header
text>posting key>account>amount>cost center>profit
cneter>fun code & product-telecom>more>personnel
no.>line item text>posting key of next line
item>account>amount>profit center>personnel
no.>posting key of next line item>account>amount>profit
cneter>personnel ...>stimulate>save>doc no
Advance adjustment TCode: FBCJ: net payment travel adv> amount>profit Accounting>FA>GL>Posting>Gener
from petty cash F-02 center>personnel no.>select row>save sel. al posting
Replenishment of petty Cash recept>replenish>amount>profit cntr>pers.no>sale Accounting>FA>Banks>Incomings>
cash FBCJ row>sav sel. Cash Journal
doc date>doc type>CoCd>Posting date>Currency>header
text>posting key>account>amount>paymt terms>baseline
date>lint item text> posting key of next line
item>account>amount>profit cneter>line item
text>perso.no>more data>reference key2>doc Accounting>FA>AR>Doc
Replenishment invoice F-43 menu>stimulate>post>save do no entry>Invoice -general
Cash recept>reason>amount>profit cntr>pers.no>select Accounting>FA>Banks>Incomings>
Petty cash receipts FBCJ row>sav sel. Cash Journal
Deposit of cash Cash recept>reason>amount>profit cntr>pers.no>sele Accounting>FA>Banks>Incomings>
collection FBCJ row>sav sel. Cash Journal
Reimbursement of Cash recept>reason>amount>tax code>cost Accounting>FA>Banks>Incomings>
expenses from petty FBCJ cntr>pers.no>sele row>sav sel. Cash Journal
Daily closing of cash print cash journal tab>select layout>back>post>cash Accounting>FA>Banks>Incomings>
journal FBCJ receipt tab>post Cash Journal
Create house bank FI12 CoCd>New entries>House bank>bank country>key>tel>contact person>save
Create account id FI12 CoCd>House bank>Acct ID>bank acct No.>G/L>currency>save

General ledger
Task T-CODE Notes EASY ACCESS MENU PATH
hierarchy view>Cash and Bank Balances>cash
clearing>new entry>GL>CoCd>Acct grp>select bank and
bank balances>account type-P&L statement account>short
text>Long txt>trading partner>control data tab> acct
currency(only local)>check open time mgt; line time Accounting>FA>G/L>Master
display, sort key>create/bank/interest tab>field status Records>GL Account>Ind.
Create general ledger FS00 group>chk relevant to cash flow>save>not GL number Processing>Centrally
Accounting>FA>G/L>Master
Records>GL Account>Ind.
Block General Ledger FS00 other current assets>GL>Block icon>Save Processing>Centrally
Accounting>FA>G/L>Master Records>GL
Change GL FS00 Account>Ind. Processing>Centrally
Display GL FS00
Month end accruals FBS1 doc date; type>CoCd>Posting date>Currency>Doc header Account>periodic
reference, text>reversal reason, date>posting processing>closing>valuate>enter
key>account>amount>cost center>function>product- accrual/deferral doc
telecom>continue>posting for next line tem>account for
next line item>amount>profit center>line item
text>simulate>save>click on doc in menu bar> note doc
no.; display

Tcode: F.81-Reverse Accrual / Deferral Document>fillin


CoCd-Fiscal yr., reverse posting date>check test>
date>doc type>CoCd>Posting dt>currency>header
reference, text>posting key>account>amount>cost
center>profit segment icon>fun code>product-
telecom>posting key for next line item>account>amount
Non routine for next line item>profit center>line item text>doc Accounting>FA>GL>Posting>Gener
adjustments F-02 overview>doc>simulate>Post>note doc no al posting
Accounting>FA>GL>periodic
processing>closing>carry
FAGLGVT ledger>CoCd>Year>Processing Option& list output>Log & forward>balance carry forward
Balance carry forward R Back>Execute>Log> (new)
date>doc type>CoCd>Posting dt>currency>header
reference, text>posting key>account>amount>profit
center>bassline date-due on> line item text>perso
no.>confirm>posting key of next line item>account
number of next line item>amount>Line item
text>Withholding tax icon>withholding tax code>Doc
menu>Simulate>Post>

F-02> date>doc type>CoCd>Posting dt>currency>header


reference, text>posting key>account>amount>profit
center>line item txt>posting key of next line item>act
number of next line item>amount>cost center>doc
menu>simulate>post>

F.03-Without specification of clearing


General ledger account currency>CoCd>Year>GL>Test run>Log display & Accounting>FA>GL>Posting>Gener
clearing F-02 back>update run al posting
Open and close posting OB52 Accounting>FA>GL>Environment>current
period settings>S_ALR_87003642 - Open and Close
Posting Periods
date>doc type>CoCd>Posting dt>currency>header
text>posting key>account>amount>Cost center>functional
&products-Telecom>line item text>posting for next line
item>account>amount>Profit center>save>doc no.

F-02>post with reference>doc no.>CoCd>yr.>mark "Enter


GL account items>marked line item>check acct assignment Accounting>FA>GL>Posting>Refere
Sample document F-01 & back> save> note doc no. nce Documents>sample document

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