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Vendor Invoice, payment & Manual Bank Reconciliation process in SAP

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Hi Forum,

 

Please follow the below vendor invoice, payment and Manual bank reconciliation process step by step in SAP.

 

Vendor Invoice: (FBL1N)

1.jpg

 

Accounting Entry:

 

IT Outsourcing Expenses DR

TO Vendor CR

 

Payment through APP (F110):

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3.jpg

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Check payment variant:

5.jpg

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Edit proposal:

 

8.jpg

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Payment run:

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Accounting Entry at the time of payment:

 

Vendor Account DR

TO Check out Account CR

 

After payment the vendor line item display is as follows:

12.jpg

 

Check out account GL Display: 4000 $ Open balance before manual bank reconciliation

13.jpg

 

Transaction code: FF67

Opening and closing balance before bank file execution.

 

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In FF67 front screen give the bank key, bank account number of the house bank.

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Press enter and give the checkout transaction which was created, value date, amount and bank reference

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Click on save

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Now click on save to post the statement.

 

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Now execute the scheduled job.

Transaction code: SM35

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Now execute in fore ground.

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Main bank account (100001) is crediting from the configuration.

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The checkout GL line items after manual bank file execution in SAP.

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Accounting Entry:

 

Check out Account DR

TO main Bank Account CR

27.jpg.

 

Happy learning, wish you all the best.

 

Regards,

Ravi


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