Mercedes-Benz - USA
Intercompany
FI-IC01
Business Process Scenarios
Table of Contents
Intercompany Invoice – Credit Memo Entry 5
Intercompany Credit memo Entry 14
Inter-company Internal Transfer Posting 23
Internal Transfer Posting – With Clearing Step 1 24
Internal Transfer Posting – With Clearing Step 2 31
Intercompany Reconciliation 44
Internal Transfer Posting – With Clearing 56
Internal Transfer Posting – With Clearing 68
Intercompany Invoice – Credit Memo Entry 81
FI-AP Intercompany Invoice Entry 82
FI-AP Intercompany Credit Memo Entry 90
Inter-company Internal Transfer Posting 99
Internal Transfer Posting – With Clearing Step 1 100
Internal Transfer Posting – With Clearing Step 2 107
Account Line Item Displays 118
Intercompany Reconciliation 120
Internal Transfer Posting – With Clearing 132
Account Line Item Displays 142
Internal Transfer Posting – With Clearing 145
Index of Component Document Titles 165
Intercompany Invoice – Credit Memo Entry
Sub-Process: Reporting
Tasks included:
- Invoice Entry
Task/Script Overview:
This task encompasses the creation of an FI-AR intercompany invoice. Majority of intercompany receivable transactions will be posted through an interface (ie Warranty).
Intercompany Invoice Entry
Access Transaction by:
Via Menu: | Via: Accounting à Financial Accounting à Accounts Receivable à Document à Invoice |
Via Transaction Code: | F-22 |
The following screen is displayed:
Field | Possible Entries | Action |
Document Date | Enter Invoice Date | Required |
Doc. Type | DD= MBS Invoice | Defaulted |
Company Code | 1336 = MBUSA 1340 = MBSC | Required |
Posting Date | Defaults to current system date | System |
Period | System Generated | System |
Currency/rate | USD = US Dollars | Required |
Document Number | Internally assigned | System |
Translation Date | N\A | Not Required |
Reference | Enter MBS Reference Number | Required |
Cross-CC no. | N\A | Not Required |
Doc. Header Text | Transaction Description (ie Purpose of invoice) | Not Required |
Trading Part. BA | N\A | Not Required |
First Line Item – PstKy | 01 = Customer Invoice. Only one customer should be posted to in a document. | Required |
First Line Item – Account | Customer Number – Search Function Available | Required |
First Line Item – Sp. G\L | Not Utilized | Not Required |
First Line Item – Trans. Type | Not Utilized (Only for Fixed Assets) | Not Required |
Click Enter to advance to the first line item -
The following screen is displayed:
Field | Possible Entries | Action |
Amount | Enter invoice amount | Required |
Tax Amount | Not Utilized (For Interfaces only) | Not Required |
Calculate Tax | X Indicator Always | Required |
Tax Code | ** | Required |
Payt Terms | Enter payment terms if different from Customer Master | Not Required |
Days/percent | Default from Payment Terms | System |
Baseline date | Default from Document Date | System |
Fixed | Default from Payment Terms | System |
Discount Base | Default from Payment Terms | System |
Discount Amount | Default from Payment Terms | System |
Invoice ref. | Not Utilized | Not Required |
Pmnt Block | Enter payment block in order to create transaction level payment block | Optional |
Pmnt Method | Enter payment method for specific output | Not Required |
Allocation |
| Optional |
Text | Transaction Description. | Required |
Next Line Item – PstKy | 50 = Credit Entry | Required |
Next Line Item – Account | Account to be Charged – Search Function Available | Required |
Next Line Item – Sp. G\L | Not Utilized | Not Required |
Next Line Item – Trans. Type | Not Utilized | Not Required |
The following screen is displayed:
Field | Possible Entries | Action |
Amount | Enter line item amount | Required |
Profit Center | Default from Order | Dependant on Trans. |
Order | Enter internal order # | Required |
More | Not Utilized | Not Required |
Quantity | Not Utilized. Not all accounts will have the field available for input | Not Required |
Allocation |
|
|
Text | Transaction Description. | Required |
Next Line Item – PstKy |
| Blank |
Next Line Item – Account |
| Blank |
Next Line Item – Sp. G\L | Not Utilized | Not Required |
Next Line Item – Trans. Type | Not Utilized | Not Required |
Click Enter to advance to the next line item - if more than one account has to be posted to. Otherwise, continue with the following steps.
Click Document Overview to display entries for current document -
The following screen is displayed:
Document Overview displays the information that has been entered into the document at that point in time. The document may be complete or incomplete.
The option to Park the document is available throughout the document entry process.
Click the park document button or follow the menu path Document à Park Document
Document Simulate
Follow menu path – Document à Simulate
Document Simulate displays the document as it will post. However, if there are any errors in the document a message will appear and SAP will display the Document Overview at that point in time.
Click on the Save icon to save your changes (ie: post the document).
Depending on the options of the user –
The following screen is displayed:
Intercompany Credit memo Entry
Access Transaction by:
Via Menu: | Via: Accounting à Financial Accounting à Accounts Receivable à Document à Credit memo |
Via Transaction Code: | F-27 |
The following screen is displayed:
Field | Possible Entries | Action |
Document Date | Enter Credit memo Date | Required |
Doc. Type | DC= MBS Credit Memo | Defaulted |
Company Code | 1336 = MBUSA 1340 = MBSC | Required |
Posting Date | Defaults to current system date | System |
Period | System Generated | System |
Currency/rate | USD = US Dollars | Required |
Document Number | Internally assigned | System |
Translation Date | N\A | Not Required |
Reference | Enter MBS Reference Number | Required |
Cross-CC no. | N\A | Not Required |
Doc. Header Text | Transaction Description (ie Purpose of invoice) | Not Required |
Trading Part. BA | N\A | Not Required |
First Line Item – PstKy | 11 = Customer Credit Only one customer should be posted to in a document. | Required |
First Line Item – Account | Customer Number – Search Function Available | Required |
First Line Item – Sp. G\L | Not Utilized | Not Required |
First Line Item – Trans. Type | Not Utilized (Only for Fixed Assets) | Not Required |
Click Enter to advance to the first line item -
The following screen is displayed:
Field | Possible Entries | Action |
Amount | Enter credit amount | Required |
Tax Amount | Not Utilized (For Interfaces only) | Not Required |
Calculate Tax | X Indicator Always | Required |
Tax Code | ** | Required |
Payt Terms | Enter payment terms if different from Customer Master | Not Required |
Days/percent | Default from Payment Terms | System |
Baseline date | Default from Document Date | System |
Fixed | Default from Payment Terms | System |
Discount Base | Default from Payment Terms | System |
Discount Amount | Default from Payment Terms | System |
Invoice ref. | Not Utilized | Not Required |
Pmnt Block | Enter payment block in order to create transaction level payment block | Optional |
Pmnt Method | Enter payment method for specific output | Not Required |
Allocation |
| Optional |
Text | Transaction Description | Required |
Next Line Item – PstKy |
| Blank |
Next Line Item – Account |
| Blank |
Next Line Item – Sp. G\L | Not Utilized | Not Required |
Next Line Item – Trans. Type | Not Utilized | Not Required |
The following screen is displayed:
Field | Possible Entries | Action |
Amount | Enter line item amount | Required |
Tax Code | User Determined: O0/I0 – Exempt, O1/I1- Taxable, | Required |
Jurisdiction Code | Default from Vertex based on Internal Order | System |
Profit Center | Default from Order | Dependant on Trans. |
Order | Enter internal order # | Required |
More | Not Utilized | Not Required |
Quantity | Not Utilized. Not all accounts will have the field available for input | Not Required |
Allocation |
|
|
Text | Transaction Description. | Required |
Next Line Item – PstKy | 40 = Credit Entry if more than one account need to be charged. | Required |
Next Line Item – Account | Account to be Charged – Search Function Available | Required |
Next Line Item – Sp. G\L | Not Utilized | Not Required |
Next Line Item – Trans. Type | Not Utilized | Not Required |
Click Enter to advance to the next line item - if more than one account has to be posted to.
Click Document Overview to display entries for current document -
Document Overview displays the information that has been entered into the document at that point in time. The document may be complete or incomplete.
The option to Park the document is available throughout the document entry process.
Click the park document button or follow the menu path Document à Park Document
Document Simulate
Follow menu path – Document à Simulate
Document Simulate displays the document as it will post. However, if there are any errors in the document a message will appear and SAP will display the Document Overview at that point in time.
Click on the Save icon to save your changes (ie: post the document).
Depending on the options of the user –
The following screen is displayed:
Inter-company Internal Transfer Posting
Process):
Sub-Process: Reporting
Tasks included:
- Internal Transfer Posting – With Clearing Step 1(Two – step process)
- Internal Transfer Posting – With Clearing Step 2 (Two – step process)
Task/Script Overview:
This task involves the posting of internal transfer transactions. Typically, the internal transfer postings can be used to address mispostings to inter-company customer \ vendor accounts.
Intercompany or affiliate accounts are assigned trading partners in their master records. In a document, there can only be one trading partner as the trading partner on the line item is copied over to the document header information. Therefore, in a transfer posting that involves two or more affiliate vendor masters, the entry has to make use of a clearing account and two posted documents instead of one.
Procedural Steps:
Internal Transfer Posting – With Clearing Step 1
Access Transaction by:
Via Menu: | Via: Accounting à Financial Accounting à Accounts Receivable à Other à Intern. Trnsf. Psting à With Clearing |
Via Transaction Code: | F – 30 |
The following screen is displayed:
Field | Possible Entries | Action |
Document Date | Enter Invoice Date | Required |
Doc. Type | SI – Intercompany Document | Required |
Company Code | 1336 = MBUSA | Required |
Posting Date | Defaults to current system date | System |
Period | System Generated | System |
Currency/rate | USD = US Dollars | Required |
Document Number | Internally assigned | System |
Translation Date | N\A | Not Required |
Reference | Enter Invoice Number | Required |
Cross-CC no. | N\A | Not Required |
Doc. Header Text | Transaction Description | Not Required |
ClearingText | Clearing transaction description | Required |
Outgoing Payment | Flag indicator based on transaction | Trans. Dependant |
Incoming Payment | Flag indicator based on transaction | Trans. Dependant |
Credit Memo | Flag indicator based on transaction | Trans. Dependant |
Transfer Posting with Clearing | Flag indicator based on transaction | Trans. Dependant |
First Line Item – PstKy | 01 = Cust. Invoice 31 = Vendor Invoice | Required |
First Line Item – Account | New Line Item To Be Posted Intercompany Customer \ Vendor Number – Search Function Available | Required |
First Line Item – Sp. G\L | Not Utilized | Not Required |
First Line Item – Trans. Type | Not Utilized (Only for Fixed Assets) | Not Required |
Click Enter or Choose Open Items to advance to the first line item - or
The following screen is displayed:
Field | Possible Entries | Action |
Amount | Enter invoice amount | Required |
Tax Amount | Not Utilized (Interfaces Only) | Not Required |
Calculate Tax | X Indicator Always | Not Required |
Tax Code | ** | Required |
Payt Terms | Enter payment terms if different from Vendor Master | Not Required |
Days/percent | Default from Payment Terms | System |
Baseline date | Default from Document Date | System |
Fixed | Default from Payment Terms | System |
Discount Base | Default from Payment Terms | System |
Discount Amount | Default from Payment Terms | System |
Invoice ref. | Not Utilized | Not Required |
Pmnt Block | Enter payment block in order to create transaction level payment block | Not Required |
Pmnt Method | Enter payment method for specific output | Not Required |
Allocation |
| Optional |
Text | Transaction Description | Required |
Next Line Item – PstKy | 40 Debit GL | Required |
Next Line Item – Account | Intercompany Clearing account to be used | Required |
Next Line Item – Sp. G\L | Not Utilized | Not Required |
Next Line Item – Trans. Type | Not Utilized | Not Required |
Click the Enter button.
The following screen is displayed:
Field | Possible Entries | Action |
Amount | Enter invoice amount | Required |
Profit Center | Enter respective profit center – Drop down search box | Required |
More | Not Utilized | Not Required |
Value Date | Default from document date | System |
Allocation |
| Optional |
Text | Transaction Description | Required |
Next Line Item – PstKy | Blank – End of entry | Blank |
Next Line Item – Account | Blank – End of entry | Blank |
Next Line Item – Sp. G\L | Not Utilized | Not Required |
Next Line Item – Trans. Type | Not Utilized | Not Required |
Click on Simulate.
The following screen is displayed:
Click on Save .
The following screen is displayed:
Internal Transfer Posting – With Clearing Step 2
Access Transaction by:
Via Menu: | Via: Accounting à Financial Accounting à Accounts Receivable à Other à Intern. Trnsf. Psting à With Clearing |
Via Transaction Code: | F – 30 |
The following screen is displayed:
Field | Possible Entries | Action |
Document Date | Enter Invoice Date | Required |
Doc. Type | SI – Intercompany Document | Required |
Company Code | 1336 = MBUSA | Required |
Posting Date | Defaults to current system date | System |
Period | System Generated | System |
Currency/rate | USD = US Dollars | Required |
Document Number | Internally assigned | System |
Translation Date | N\A | Not Required |
Reference | Enter Invoice Number | Required |
Cross-CC no. | N\A | Not Required |
Doc. Header Text | Transaction Description | Not Required |
ClearingText | Clearing transaction description | Required |
Outgoing Payment | Flag indicator based on transaction | Trans. Dependant |
Incoming Payment | Flag indicator based on transaction | Trans. Dependant |
Credit Memo | Flag indicator based on transaction | Trans. Dependant |
Transfer Posting with Clearing | Flag indicator based on transaction | Trans. Dependant |
First Line Item – PstKy | 50 Credit posting | Required |
First Line Item – Account | Clearing account used in step one | Required |
First Line Item – Sp. G\L | Not Utilized | Not Required |
First Line Item – Trans. Type | Not Utilized (Only for Fixed Assets) | Not Required |
Click Enter or Choose Open Items to advance to the first line item - or
The following screen is displayed:
Field | Possible Entries | Action |
Amount | Enter invoice amount | Required |
Calculate Tax | X Indicator Always | Not Required |
Profit Center | Profit center | Required |
Allocation |
| Optional |
Text | Transaction Description | Required |
Next Line Item – PstKy |
| Blank |
Next Line Item – Account |
| Blank |
Next Line Item – Sp. G\L | Not Utilized | Not Required |
Next Line Item – Trans. Type | Not Utilized | Not Required |
Click on Choose Open items
The following screen is displayed:
Field | Possible Entries | Action |
Company Code | 1336 = MBUSA | Required |
Account | Vendor account | Required |
Account Type | System default | System default |
Special G\L Ind. | Not Utilized | Not Required |
Normal OI | Indicator On = Standard Open Items only - always | Required |
Pmnt advice no. | Key of a payment advice for which the accompanying open items are to be processed. | Optional |
Other Accounts | Select the field if you want to clear across several accounts or across several company codes. | Optional |
Distribute by Age | Distribute automatically by due date | Optional |
Automatic Search | Indicator that the system should try to find the open items to be cleared given the clearing amount. | Optional |
Complete the desired parameters in the additional selection fields in order to narrow the items and click on the Process Open Items button -
The following screen is displayed:
The following screen is displayed with the selected items:
Field | Possible Entries | Action |
Discount | Cash discount deduction for the item. The cash discount which is taken into account during clearing | Optional |
Cash D% | Selected cash discount percentage rate | Optional |
Display from item | First item to be displayed on the page | Not Required |
Reason code | Key which represents a reason for payment differences. The keys can be freely defined in the system. | N\A – Accts. Payable |
Difference postings | Total of difference postings | Optional |
Double click to deselect the items that you are not to be involved in the transfer. To mass select invoices, click on Select All then Inactive .
The following screen is displayed:
Follow menu path – Document à Simulate
Document Simulate displays the document as it will post. However, if there are any errors in the document a message will appear and SAP will display the Document Overview at that point in time.
Click on the Save icon to save your changes (ie: post the document).
The following screen is displayed:
Account Line Item Displays
Vendor 150000 (Items cleared from account as a result of transfer to 150001):
Vendor 150001:
(Note: The document noted in the script would not normally be cleared. Item is displayed as cleared line item as a result of payment program processing. In production, the payment program would not clear such items.)
Intercompany Reconciliation
Process (use drop down list):
Sub-Process: Reporting
Business process owner: Steve Sliwicki
Business process coordinator: Tom Haegley
Consultant: Teresa Braganza
Subject matter expert: Jim Johnson
File version: 1.0 (last updated on 01/29/01)
Path: \3 Business Scenarios\Treasury (AR)\AR_busse_6.3 Intercompany Reconciliation.doc
Tasks included:
Account Display Line Items
Internal Transfer Posting – With Clearing (Clear items to Consolidated)
Internal Transfer Posting – With Clearing (Payment)
Task/Script Overview:
This task involves the review of intercompany account line items, clearing of items from specific intercompany customer \ vendor accounts (ie. vehicles, parts, etc.) and the posting of internal transfer transactions for payments.
Procedural Steps:
Account Line Item Display
Access Transaction by:
Via Menu: | Via: Accounting à Financial Accounting à Accounts Receivable à Account àDisplay Line Items
|
Via Transaction Code: | FBL5 |
The following input screen is displayed:
Field | Possible Entries | Action |
Vendor | Enter the customer \ vendor's account number. Use the drop down search tool to find an account number if you don't know it. | Required |
Company code | Enter 1336 for MBUSA | Required |
Line item selection | Select the type of documents you wish to display. Click on the Open Items indicator. | Required |
Selection criteria | Enables limiting factors for a search. | Optional |
With worklist | Use this only if you are going to display documents for more than one vendor, and you have created a work list of your Vendors. | Optional |
Line layout | Possible line layouts for list displays and list processing. This can be set to default by the user. For example - vehicles, use "MBUSA - Vehicle Model, MY, Serial #". For Parts & Other, use the Special Variant "MBUSA Parts & Other - I/F, Doc Type, #" (see image below) | Defaults |
Totals variant | The fields according to which the line items are to be totaled up to three levels. For example – vehicles, use "Vehicles Totals Variant". For Parts & Other, use Document Type - Document Date". | Defaults |
Sort variant | Determines the sorting of the line items. For example – vehicles, use "MBUSA - Vehicles Sort". For all others, use "Standard" | Defaults |
List begins with | Indicates how the results will be presented. Line items will show all detail with summary data at the end. Totals begins with the summary data and permits a 'drill down' to the detail. | Required |
Click button to display the open items on the account.
The following screen is displayed:
The following "hot buttons" can be used to manage the view of the data:
: This button allows you to change the view of the line layout. However, the standard line layout should serve the purposes of intercompany reconciliation.
: This button will allow you to add an additional field to the current line layout. Note that if your cursor is currently on the screen in one of the columns, the new field column will be placed precisely there. Otherwise, place your cursor at the end of the current line layout to have the additional field added at the end. You can only add one additional field per view. Click on the Additional Field button to bring up a list of the available fields that can be added to the view:
Again, the standard line layout should be adequate for analysis. However, the additional fields can be expanded in the future.
Use the button to revert to the original line layout.
: (Also found using menu path Edit > Totaling) The summation button permits a totaling according to pre-defined totals variants when the button is clicked. For example, to total by Document Type, the cursor is left on the Document Type title while the button is pressed. The data is then sorted according to new instances of data in this field:
Double click on the line item to see the details. In this example select Vendor Invoice - Parts. The screen detailing the next totaling variable is displayed:
Double Click again on the line item to see the detail of the two items summarized within:
Invoice level detail is displayed now. Use the to return to the previous summarized level until you have returned to the full listing of all open items.
: (Also found using menu path Edit > Sort) The sort buttons permit a view of the data sorted according to the variable you choose, whether it is dollar value, legacy invoice number, model or model year. The following shows an ascending sort by Amount:
(Also found using menu path Edit > Find) The find button allows you to immediately locate a document according to a value or value range. You may choose up to three different fields to find documents with, such as document type, posting date, and amount as follows:
Click the green check to accept the field selection. The following screen is displayed:
You can now enter a value or range. The button requires that both criteria be met for documents to be included in the search results. The button permits either criteria to be met for documents to be included in the search results. Click on the green check mark to display the results:
Display Document: This button acts the same as double-clicking on the line item in the listing. It "drills down" to the line item within the document itself as follows:
Use the to return to the previous summarized level until you have returned to the full listing of all open items.
: (Also found using menu path Line Items > Print) This is the print button used to print the list.
: (Also found using menu path Line Items > Spreadsheet) The Spreadsheet button quickly enables you to export the list to an Excel Spreadsheet pivot table format. The following is displayed:
Clicking on the green check mark will open up Excel and populate a spreadsheet with the list data.
Internal Transfer Posting – With Clearing
Access Transaction by:
Via Menu: | Via: Accounting à Financial Accounting à Accounts Receivable Other à Intern. Trnsf. Psting à With Clearing |
Via Transaction Code: | F - 30 |
Field | Possible Entries | Action |
Document Date | Enter Invoice Date | Required |
Doc. Type | SI – Intercompany Document | Required |
Company Code | 1336 = MBUSA 1340 = MBSC | Required |
Posting Date | Defaults to current system date | System |
Period | System Generated | System |
Currency/rate | USD = US Dollars | Required |
Document Number | Internally assigned | System |
Translation Date | N\A | Not Required |
Reference | Enter Invoice Number | Required |
Cross-CC no. | N\A | Not Required |
Doc. Header Text | Transaction Description | Not Required |
ClearingText | Clearing transaction description | Required |
Outgoing Payment | Flag indicator based on transaction | Trans. Dependant |
Incoming Payment | Flag indicator based on transaction | Trans. Dependant |
Credit Memo | Flag indicator based on transaction | Trans. Dependant |
Transfer Posting with Clearing | Flag indicator based on transaction | Trans. Dependant |
First Line Item – PstKy | 50 Credit posting | Required |
First Line Item – Account | Customer \ Vendor Account | Required |
First Line Item – Sp. G\L | Not Utilized | Not Required |
First Line Item – Trans. Type | Not Utilized (Only for Fixed Assets) | Not Required |
Click Enter or Choose Open Items to advance to the first line item - or
The following screen is displayed:
Field | Possible Entries | Action |
Amount | Enter invoice amount | Required |
Calculate Tax | X Indicator Always | Not Required |
Profit Center | Profit center | Required |
Allocation | Optional | |
Text | Transaction Description | Required |
Next Line Item – PstKy |
| Blank |
Next Line Item – Account |
| Blank |
Next Line Item – Sp. G\L | Not Utilized | Not Required |
Next Line Item – Trans. Type | Not Utilized | Not Required |
Click on Choose Open items
The following screen is displayed:
Field | Possible Entries | Action |
Company Code | 1336 = MBUSA | Required |
Account | Customer \ Vendor account | Required |
Account Type | System default | System default |
Special G\L Ind. | Not Utilized | Not Required |
Normal OI | Indicator On = Standard Open Items only - always | Required |
Pmnt advice no. | Key of a payment advice for which the accompanying open items are to be processed. | Optional |
Other Accounts | Select the field if you want to clear across several accounts or across several company codes. | Optional |
Distribute by Age | Distribute automatically by due date | Optional |
Automatic Search | Indicator that the system should try to find the open items to be cleared given the clearing amount. | Optional |
Complete the desired parameters in the additional selection fields in order to narrow the items and click on the Process Open Items button -
The following screen is displayed with the selected items:
Field | Possible Entries | Action |
Discount | Cash discount deduction for the item. The cash discount which is taken into account during clearing | Optional |
Cash D% | Selected cash discount percentage rate | Optional |
Display from item | First item to be displayed on the page | Not Required |
Reason code | Key which represents a reason for payment differences. The keys can be freely defined in the system. | N\A – Accts. Payable |
Difference postings | Total of difference postings | Optional |
Double click to deselect the items that you are not to be involved in the transfer. To mass select invoices, click on Select All then Inactive .
The following screen is displayed:
Scan through the entire list and select the items included in the amount for clearing:
Follow menu path – Document à Simulate
Document Simulate displays the document as it will post. However, if there are any errors in the document a message will appear and SAP will display the Document Overview at that point in time.
Click on the Save icon to save your changes (ie: post the document).
The following screen is displayed:
Account Line Item Displays
Vendor 150000 (Items cleared from account as a result of transfer to 150003):
Vendor 150003:
Internal Transfer Posting – With Clearing
Access Transaction by:
Via Menu: | Via: Accounting à Financial Accounting à Accounts Receivable Other à Intern. Trnsf. Psting à With Clearing |
Via Transaction Code: | F - 30 |
Field | Possible Entries | Action |
Document Date | Enter Invoice Date | Required |
Doc. Type | SI – Intercompany Document | Required |
Company Code | 1336 = MBUSA | Required |
Posting Date | Defaults to current system date | System |
Period | System Generated | System |
Currency/rate | USD = US Dollars | Required |
Document Number | Internally assigned | System |
Translation Date | N\A | Not Required |
Reference | Enter Invoice Number | Required |
Cross-CC no. | N\A | Not Required |
Doc. Header Text | Transaction Description | Not Required |
ClearingText | Clearing transaction description | Required |
Outgoing Payment | Flag indicator based on transaction | Trans. Dependant |
Incoming Payment | Flag indicator based on transaction | Trans. Dependant |
Credit Memo | Flag indicator based on transaction | Trans. Dependant |
Transfer Posting with Clearing | Flag indicator based on transaction | Trans. Dependant |
First Line Item – PstKy | 50 Credit posting | Required |
First Line Item – Account | Bank Account | Required |
First Line Item – Sp. G\L | Not Utilized | Not Required |
First Line Item – Trans. Type | Not Utilized (Only for Fixed Assets) | Not Required |
Click Enter or Choose Open Items to advance to the first line item - or
The following screen is displayed:
Field | Possible Entries | Action |
Amount | Enter invoice amount | Required |
Calculate Tax | X Indicator Always | Not Required |
Profit Center | Profit center | Required |
Allocation | Optional | |
Text | Transaction Description | Required |
Next Line Item – PstKy |
| Blank |
Next Line Item – Account |
| Blank |
Next Line Item – Sp. G\L | Not Utilized | Not Required |
Next Line Item – Trans. Type | Not Utilized | Not Required |
Click on Choose Open items
The following screen is displayed:
Field | Possible Entries | Action |
Company Code | 1336 = MBUSA | Required |
Account | Customer \ Vendor account | Required |
Account Type | System default | System default |
Special G\L Ind. | Not Utilized | Not Required |
Normal OI | Indicator On = Standard Open Items only - always | Required |
Pmnt advice no. | Key of a payment advice for which the accompanying open items are to be processed. | Optional |
Other Accounts | Select the field if you want to clear across several accounts or across several company codes. | Optional |
Distribute by Age | Distribute automatically by due date | Optional |
Automatic Search | Indicator that the system should try to find the open items to be cleared given the clearing amount. | Optional |
Complete the desired parameters in the additional selection fields in order to narrow the items and click on the Process Open Items button -
The following screen is displayed with the selected items:
Field | Possible Entries | Action |
Discount | Cash discount deduction for the item. The cash discount which is taken into account during clearing | Optional |
Cash D% | Selected cash discount percentage rate | Optional |
Display from item | First item to be displayed on the page | Not Required |
Reason code | Key which represents a reason for payment differences. The keys can be freely defined in the system. | N\A – Accts. Payable |
Difference postings | Total of difference postings | Optional |
Double click to deselect the items that you are not to be involved in the transfer. To mass select invoices, click on Select All then Inactive . In this case, the item selected was correct and no action is necessary.
Follow menu path – Document à Simulate
Document Simulate displays the document as it will post. However, if there are any errors in the document a message will appear and SAP will display the Document Overview at that point in time.
Click on the Save icon to save your changes (ie: post the document).
The following screen is displayed:
Account Line Item Display
Vendor 150003:
AR to AP Sections Divide
Stan's Notes
This page is left intentionally as a collating aid separating the AP from the AR sections of the Cource FIIC01. Personally, I think each section should bear separate course name though they may be given in the same class session.
Intercompany Invoice – Credit Memo Entry
Process (use drop down list):
Sub-Process: Reporting
Business process owner: Steve Sliwicki
Business process coordinator: Tom Haegley
Consultant: Teresa Braganza
Subject matter expert: Michael Iuliano
File version: 1.0 (last updated on 01/29/01)
Path: -> M:\MBUSASAP\Implementation\3 Business Scenarios\Accounts Payable\AP_busse_7.1 Intercompany Invoice-Credit Memo Entry.doc
Tasks included:
Invoice Entry
Task/Script Overview:
This task encompasses the creation of an FI-AP intercompany invoice. Majority of intercompany payable transactions will be posted through an interface (ie Vehicle wholesale purchase, PICS). For any manual processing, an intercompany invoice will not be checked against the AP validation for amount > USD $5000.
FI-AP Intercompany Invoice Entry
Procedural Steps:
Access Transaction by:
Via Menu: | Via: Accounting à Financial Accounting à Accounts Payable Document à Invoice |
Via Transaction Code: | F-43 |
Field | Possible Entries | Action |
Document Date | Enter Invoice Date | Required |
Doc. Type | SI – Intercompany Document | Required |
Company Code | 1336 = MBUSA 1340 = MBSC | Required |
Posting Date | System Generated | System |
Period | System Generated | System |
Currency/rate | USD = US Dollars | Required |
Document Number | System Generated | System |
Translation Date | N\A | Not Required |
Reference | Enter Invoice Number | Required |
Cross-CC no. | N\A | Not Required |
Doc. Header Text | Transaction Description | Not Required |
Trading Part. BA | N\A | Not Required |
First Line Item – PstKy | 31 = Vendor Invoice | Required |
First Line Item – Account | Intercompany Vendor Number – Search Function Available | Required |
First Line Item – Sp. G\L | Not Utilized | Not Required |
First Line Item – Trans. Type | Not Utilized | Not Required |
Click Enter to advance to the first line item -
The following screen is displayed:
Field | Possible Entries | Action |
Amount | Enter invoice amount | Required |
Tax Amount | N\A (Interface only) | Blank |
Calculate Tax | X Indicator Always | Required |
Tax Code | ** | Required |
Payt Terms | Enter payment terms if different from Vendor Master | Not Required |
Days/percent | Default from Payment Terms | System |
Baseline date | Default from Document Date | System |
Fixed | Default from Payment Terms | System |
Discount Base | Default from Payment Terms | System |
Discount Amount | Default from Payment Terms | System |
Invoice ref. | Not Utilized | Not Required |
Pmnt Block | N\A - Enter payment block in order to create transaction level payment block | Blank |
Pmnt Method | N\A - Enter payment method for specific output | Blank – will be reconciled with the Decade |
Allocation | Optional | |
Text | Transaction Description | Required |
Next Line Item – PstKy | 40 = Debit Entry | Required |
Next Line Item – Account | Account to be Charged – Search Function Available | Required |
Next Line Item – Sp. G\L | Not Utilized | Not Required |
Next Line Item – Trans. Type | Not Utilized | Not Required |
Click Enter to advance to the next line item -
Field | Possible Entries | Action |
Amount | Enter line item amount | Required |
Profit Center | Default from Order | Dependant on Trans. |
Order | Enter internal order # | Required |
More | Not Utilized | Not Required |
Quantity | Not Utilized | Not Required |
Allocation | Optional | |
Text | Transaction Description | Required |
Next Line Item – PstKy | Not Utilized | Not Required |
Next Line Item – Account | Not Utilized | Not Required |
Next Line Item – Sp. G\L | Not Utilized | Not Required |
Next Line Item – Trans. Type | Not Utilized | Not Required |
Click Document Overview to display entries for current document -
Document Overview displays the information that has been entered into the document at that point in time. The document may be complete or incomplete.
The option to Park the document is available throughout the document entry process.
Click the park document button or follow the menu path Document à Park Document
Document Simulate
Follow menu path – Document à Simulate
Document Simulate displays the document, as it will post. However, if there are any errors in the document a message will appear and SAP will display the Document Overview at that point in time.
Click on the Save icon to save your changes (ie: post the document).
FI-AP Intercompany Credit Memo Entry
Procedural Steps:
FI-AP credit memo entry posts a debit to the vendor account and credits the respective offsetting line item(s).
Access Transaction by:
Via Menu: | Via: Accounting à Financial Accounting à Accounts Payable Document à Credit Memo |
Via Transaction Code: | F - 41 |
Field | Possible Entries | Action |
Document Date | Enter Invoice Date | Required |
Doc. Type | SI – Intercompany Document | Required |
Company Code | 1336 = MBUSA 1340 = MBSC | Required |
Posting Date | System Generated | System |
Period | System Generated | System |
Currency/rate | USD = US Dollars | Required |
Document Number | System Generated | System |
Translation Date | N\A | Not Required |
Reference | Enter Credit Memo Number | Required |
Cross-CC no. | N\A | Not Required |
Doc. Header Text | Transaction Description | Not Required |
Trading Part. BA | N\A | Not Required |
First Line Item – PstKy | 21 = Vendor Credit Memo | Required |
First Line Item – Account | Intercompany Vendor Number – Search Function Available | Required |
First Line Item – Sp. G\L | Not Utilized | Not Required |
First Line Item – Trans. Type | Not Utilized | Not Required |
Click Enter to advance to the first line item -
The following screen is displayed:
Field | Possible Entries | Action |
Amount | Enter credit memo amount | Required |
Tax Amount | Not Utilized | Not Required |
Calculate Tax | X Indicator Always | Not Required |
Tax Code | ** | Required |
Payt Terms | Enter payment terms if different from Vendor Master | Not Required |
Days/percent | Default from Payment Terms | System |
Baseline date | Default from Document Date | System |
Fixed | Default from Payment Terms | System |
Discount Base | Default from Payment Terms | System |
Discount Amount | Default from Payment Terms | System |
Invoice ref. | Not Utilized | Not Required |
Pmnt Block | Enter payment block in order to create transaction level payment block | Not Required |
Pmnt Method | Enter payment method for specific output | Not Required |
Allocation | Optional | |
Text | Transaction Description | Required |
Next Line Item – PstKy | 50 = Credit Entry | Required |
Next Line Item – Account | Account to be Charged – Search Function Available | Required |
Next Line Item – Sp. G\L | Not Utilized | Not Required |
Next Line Item – Trans. Type | Not Utilized | Not Required |
Click Enter to advance to the next line item -
The following screen is displayed:
Field | Possible Entries | Action |
Amount | Enter line item amount | Required |
Tax Code | User Determined: I0 – A\P Tax Exempt I1 – A\P Sales Tax Vendor Assessed U1 – Use Tax-Self Assessed | Required |
Jurisdiction Code | Default from Vertex based on Cost Center | System |
Profit Center | Display - Default from Order | Default |
Order | Enter internal order # | Required |
More | Not Utilized | Not Required |
Quantity | Not Utilized | Not Required |
Allocation | Optional | |
Text | Transaction Description | Required |
Next Line Item – PstKy | Not Utilized | Not Required |
Next Line Item – Account | Not Utilized | Not Required |
Next Line Item – Sp. G\L | Not Utilized | Not Required |
Next Line Item – Trans. Type | Not Utilized | Not Required |
Click Document Overview to display entries for current document -
Document Overview displays the information that has been entered into the document at that point in time. The document may be complete or incomplete.
The option to Park the document is available throughout the document entry process.
Click the park document button or follow the menu path Document à Park Document
Follow menu path – Document à Simulate
Document Simulate displays the document as it will post. However, if there are any errors in the document a message will appear and SAP will display the Document Overview at that point in time.
Click on the Save icon to save your changes (ie: post the document).
Depending on the options of the user –
The following screen is displayed:
Inter-company Internal Transfer Posting
Process (use drop down list):
Sub-Process: Reporting
Business process owner: Steve Sliwicki
Business process coordinator: Tom Haegley
Consultant: Teresa Braganza
Subject matter expert: Michael Iuliano
File version: 1.0 (last updated on 01/29/01)
Path: -> M:\MBUSASAP\Implementation\3 Business Scenarios\Accounts Payable\AP_busse_7.2 Intercompany Internal Transfer posting.doc
Tasks included:
Internal Transfer Posting – With Clearing Step 1(Two – step process)
Internal Transfer Posting – With Clearing Step 2 (Two – step process)
Task/Script Overview:
This task involves the posting of internal transfer transactions. Typically, the internal transfer postings can be used to address mispostings to inter-company customer \ vendor accounts.
Intercompany or affiliate accounts are assigned trading partners in their master records. In a document, there can only be one trading partner as the trading partner on the line item is copied over to the document header information. Therefore, in a transfer posting that involves two or more affiliate vendor masters, the entry has to make use of a clearing account and two posted documents instead of one.
Procedural Steps:
Internal Transfer Posting – With Clearing Step 1
Access Transaction by:
Via Menu: | Via: Accounting à Financial Accounting à Accounts Payable Other à Intern. Trnsf. Psting à With Clearing |
Via Transaction Code: | F – 51 |
Field | Possible Entries | Action |
Document Date | Enter Invoice Date | Required |
Doc. Type | SI – Intercompany Document | Required |
Company Code | 1336 = MBUSA | Required |
Posting Date | Defaults to current system date | System |
Period | System Generated | System |
Currency/rate | USD = US Dollars | Required |
Document Number | Internally assigned | System |
Translation Date | N\A | Not Required |
Reference | Enter Invoice Number | Required |
Cross-CC no. | N\A | Not Required |
Doc. Header Text | Transaction Description | Not Required |
ClearingText | Clearing transaction description | Required |
Outgoing Payment | Flag indicator based on transaction | Trans. Dependant |
Incoming Payment | Flag indicator based on transaction | Trans. Dependant |
Credit Memo | Flag indicator based on transaction | Trans. Dependant |
Transfer Posting with Clearing | Flag indicator based on transaction | Trans. Dependant |
First Line Item – PstKy | 31 = Vendor Invoice | Required |
First Line Item – Account | New Line Item To Be Posted | Required |
First Line Item – Sp. G\L | Not Utilized | Not Required |
First Line Item – Trans. Type | Not Utilized (Only for Fixed Assets) | Not Required |
Click Enter or Choose Open Items to advance to the first line item - or
The following screen is displayed:
Field | Possible Entries | Action |
Amount | Enter invoice amount | Required |
Tax Amount | Not Utilized (Interfaces Only) | Not Required |
Calculate Tax | X Indicator Always | Not Required |
Tax Code | ** | Required |
Payt Terms | Enter payment terms if different from Vendor Master | Not Required |
Days/percent | Default from Payment Terms | System |
Baseline date | Default from Document Date | System |
Fixed | Default from Payment Terms | System |
Discount Base | Default from Payment Terms | System |
Discount Amount | Default from Payment Terms | System |
Invoice ref. | Not Utilized | Not Required |
Pmnt Block | Enter payment block in order to create transaction level payment block | Not Required |
Pmnt Method | Enter payment method for specific output | Not Required |
Allocation | Optional | |
Text | Transaction Description | Required |
Next Line Item – PstKy | 40 Debit GL | Required |
Next Line Item – Account | Intercompany Clearing account to be used | Required |
Next Line Item – Sp. G\L | Not Utilized | Not Required |
Next Line Item – Trans. Type | Not Utilized | Not Required |
Click the Enter button.
The following screen is displayed:
Field | Possible Entries | Action |
Amount | Enter invoice amount | Required |
Profit Center | Enter respective profit center – Drop down search box | Required |
More | Not Utilized | Not Required |
Value Date | Default from document date | System |
Allocation | Optional | |
Text | Transaction Description | Required |
Next Line Item – PstKy | Blank – End of entry | Blank |
Next Line Item – Account | Blank – End of entry | Blank |
Next Line Item – Sp. G\L | Not Utilized | Not Required |
Next Line Item – Trans. Type | Not Utilized | Not Required |
Click on Simulate. The following screen is displayed:
Click on Save .
Internal Transfer Posting – With Clearing Step 2
Access Transaction by:
Via Menu: | Via: Accounting à Financial Accounting à Accounts Payable Other à Intern. Trnsf. Psting à With Clearing |
Via Transaction Code: | F - 51 |
Field | Possible Entries | Action |
Document Date | Enter Invoice Date | Required |
Doc. Type | SI – Intercompany Document | Required |
Company Code | 1336 = MBUSA | Required |
Posting Date | Defaults to current system date | System |
Period | System Generated | System |
Currency/rate | USD = US Dollars | Required |
Document Number | Internally assigned | System |
Translation Date | N\A | Not Required |
Reference | Enter Invoice Number | Required |
Cross-CC no. | N\A | Not Required |
Doc. Header Text | Transaction Description | Not Required |
ClearingText | Clearing transaction description | Required |
Outgoing Payment | Flag indicator based on transaction | Trans. Dependant |
Incoming Payment | Flag indicator based on transaction | Trans. Dependant |
Credit Memo | Flag indicator based on transaction | Trans. Dependant |
Transfer Posting with Clearing | Flag indicator based on transaction | Trans. Dependant |
First Line Item – PstKy | 50 Credit posting | Required |
First Line Item – Account | Clearing account used in step one | Required |
First Line Item – Sp. G\L | Not Utilized | Not Required |
First Line Item – Trans. Type | Not Utilized (Only for Fixed Assets) | Not Required |
Choose Open Items
Click Enter or Choose Open Items to advance to the first line item - or
The following screen is displayed:
Field | Possible Entries | Action |
Amount | Enter invoice amount | Required |
Calculate Tax | X Indicator Always | Not Required |
Profit Center | Profit center | Required |
Allocation | Optional | |
Text | Transaction Description | Required |
Next Line Item – PstKy |
| Blank |
Next Line Item – Account |
| Blank |
Next Line Item – Sp. G\L | Not Utilized | Not Required |
Next Line Item – Trans. Type | Not Utilized | Not Required |
Click on Choose Open items
The following screen is displayed:
Field | Possible Entries | Action |
Company Code | 1336 = MBUSA | Required |
Account | Vendor account | Required |
Account Type | System default - K = Vendor | System default |
Special G\L Ind. | Not Utilized | Not Required |
Normal OI | Indicator On = Standard Open Items only - always | Required |
Pmnt advice no. | Key of a payment advice for which the accompanying open items are to be processed. | Optional |
Other Accounts | Select the field if you want to clear across several accounts or across several company codes. | Optional |
Distribute by Age | Distribute automatically by due date | Optional |
Automatic Search | Indicator that the system should try to find the open items to be cleared given the clearing amount. | Optional |
Complete the desired parameters in the additional selection fields in order to narrow the items and click on the Process Open Items button -
The following screen is displayed with the selected items:
Field | Possible Entries | Action |
Discount | Cash discount deduction for the item. The cash discount which is taken into account during clearing | Optional |
Cash D% | Selected cash discount percentage rate | Optional |
Display from item | First item to be displayed on the page | Not Required |
Reason code | Key which represents a reason for payment differences. The keys can be freely defined in the system. | N\A – Accts. Payable |
Difference postings | Total of difference postings | Optional |
Double click to deselect the items that you are not to be involved in the transfer. To mass select invoices, click on Select All then Inactive .
The following screen is displayed:
Follow menu path – Document à Simulate
Document Simulate displays the document as it will post. However, if there are any errors in the document a message will appear and SAP will display the Document Overview at that point in time.
Click on the Save icon to save your changes (ie: post the document).
The following screen is displayed:
Account Line Item Displays
Vendor 150000 (Items cleared from account as a result of transfer to 150001):
Vendor 150001:
(Note: The document noted in the script would not normally be cleared. Item is displayed as cleared line item as a result of payment program processing. In production, the payment program would not clear such items.)
Intercompany Reconciliation
Process (use drop down list):
Sub-Process: Reporting
Business process owner: Steve Sliwicki
Business process coordinator: Tom Haegley
Consultant: Teresa Braganza
Subject matter expert: Michael Iuliano
File version: 1.0 (last updated on 01/29/01)
Path: -> M:\MBUSASAP\Implementation\3 Business Scenarios\Accounts Payable\AP_busse_7.3 Intercompany Reconciliation.doc
Tasks included:
Account Display Line Items
Internal Transfer Posting – With Clearing (Clear items to Consolidated)
Internal Transfer Posting – With Clearing (Payment)
Task/Script Overview:
This task involves the review of intercompany account line items, clearing of items from specific intercompany customer \ vendor accounts (ie. vehicles, parts, etc.) and the posting of internal transfer transactions for payments.
Procedural Steps:
Account Line Item Display
Access Transaction by:
Via Menu: | Via: Accounting à Financial Accounting à Accounts Payable à Account àDisplay Line Items
|
Via Transaction Code: | FBL1 |
The following input screen is displayed:
Field | Possible Entries | Action |
Vendor | Enter the customer \ vendor's account number. Use the drop down search tool to find an account number if you don't know it. | Required |
Company code | Enter 1336 for MBUSA | Required |
Line item selection | Select the type of documents you wish to display. Click on the Open Items indicator. | Required |
Selection criteria | Enables limiting factors for a search. | Optional |
With worklist | Use this only if you are going to display documents for more than one vendor, and you have created a work list of your Vendors. | Optional |
Line layout | Possible line layouts for list displays and list processing. This can be set to default by the user. For example - vehicles, use "MBUSA - Vehicle Model, MY, Serial #". For Parts & Other, use the Special Variant "MBUSA Parts & Other - I/F, Doc Type, #" (see image below) | Defaults |
Totals variant | The fields according to which the line items are to be totaled up to three levels. For example – vehicles, use "Vehicles Totals Variant". For Parts & Other, use Document Type - Document Date". | Defaults |
Sort variant | Determines the sorting of the line items. For example – vehicles, use "MBUSA - Vehicles Sort". For all others, use "Standard" | Defaults |
List begins with | Indicates how the results will be presented. Line items will show all detail with summary data at the end. Totals begins with the summary data and permits a 'drill down' to the detail. | Required |
Click button to display the open items on the account.
The following screen is displayed:
The following "hot buttons" can be used to manage the view of the data:
: This button allows you to change the view of the line layout. However, the standard line layout should serve the purposes of intercompany reconciliation.
: This button will allow you to add an additional field to the current line layout. Note that if your cursor is currently on the screen in one of the columns, the new field column will be placed precisely there. Otherwise, place your cursor at the end of the current line layout to have the additional field added at the end. You can only add one additional field per view. Click on the Additional Field button to bring up a list of the available fields that can be added to the view:
Again, the standard line layout should be adequate for analysis. However, the additional fields can be expanded in the future.
Use the button to revert to the original line layout.
: (Also found using menu path Edit > Totaling) The summation button permits a totaling according to pre-defined totals variants when the button is clicked. For example, to total by Document Type, the cursor is left on the Document Type title while the button is pressed. The data is then sorted according to new instances of data in this field:
Double click on the line item to see the details. In this example select Vendor Invoice - Parts. The screen detailing the next totaling variable is displayed:
Double Click again on the line item to see the detail of the two items summarized within:
Invoice level detail is displayed now. Use the to return to the previous summarized level until you have returned to the full listing of all open items.
: (Also found using menu path Edit > Sort) The sort buttons permit a view of the data sorted according to the variable you choose, whether it is dollar value, legacy invoice number, model or model year. The following shows an ascending sort by Amount:
(Also found using menu path Edit > Find) The find button allows you to immediately locate a document according to a value or value range. You may choose up to three different fields to find documents with, such as document type, posting date, and amount as follows:
Click the green check to accept the field selection. The following screen is displayed:
You can now enter a value or range. The button requires that both criteria be met for documents to be included in the search results. The button permits either criteria to be met for documents to be included in the search results. Click on the green check mark to display the results:
Display Document: This button acts the same as double-clicking on the line item in the listing. It "drills down" to the line item within the document itself as follows:
Use the to return to the previous summarized level until you have returned to the full listing of all open items.
: (Also found using menu path Line Items > Print) This is the print button used to print the list.
: (Also found using menu path Line Items > Spreadsheet) The Spreadsheet button quickly enables you to export the list to an Excel Spreadsheet pivot table format. The following is displayed:
Clicking on the green check mark will open up Excel and populate a spreadsheet with the list data.
Internal Transfer Posting – With Clearing
Access Transaction by:
Via Menu: | Via: Accounting à Financial Accounting à Accounts Payable Other à Intern. Trnsf. Psting à With Clearing |
Via Transaction Code: | F - 51 |
Field | Possible Entries | Action |
Document Date | Enter Invoice Date | Required |
Doc. Type | SI – Intercompany Document | Required |
Company Code | 1336 = MBUSA 1340 = MBSC | Required |
Posting Date | Defaults to current system date | System |
Period | System Generated | System |
Currency/rate | USD = US Dollars | Required |
Document Number | Internally assigned | System |
Translation Date | N\A | Not Required |
Reference | Enter Invoice Number | Required |
Cross-CC no. | N\A | Not Required |
Doc. Header Text | Transaction Description | Not Required |
ClearingText | Clearing transaction description | Required |
Outgoing Payment | Flag indicator based on transaction | Trans. Dependant |
Incoming Payment | Flag indicator based on transaction | Trans. Dependant |
Credit Memo | Flag indicator based on transaction | Trans. Dependant |
Transfer Posting with Clearing | Flag indicator based on transaction | Trans. Dependant |
First Line Item – PstKy | 50 Credit posting | Required |
First Line Item – Account | Customer \ Vendor Account | Required |
First Line Item – Sp. G\L | Not Utilized | Not Required |
First Line Item – Trans. Type | Not Utilized (Only for Fixed Assets) | Not Required |
Click Enter or Choose Open Items to advance to the first line item - or
The following screen is displayed:
Field | Possible Entries | Action |
Amount | Enter invoice amount | Required |
Calculate Tax | X Indicator Always | Not Required |
Profit Center | Profit center | Required |
Allocation | Optional | |
Text | Transaction Description | Required |
Next Line Item – PstKy |
| Blank |
Next Line Item – Account |
| Blank |
Next Line Item – Sp. G\L | Not Utilized | Not Required |
Next Line Item – Trans. Type | Not Utilized | Not Required |
Click on Choose Open items
The following screen is displayed:
Field | Possible Entries | Action |
Company Code | 1336 = MBUSA | Required |
Account | Customer \ Vendor account | Required |
Account Type | System default | System default |
Special G\L Ind. | Not Utilized | Not Required |
Normal OI | Indicator On = Standard Open Items only - always | Required |
Pmnt advice no. | Key of a payment advice for which the accompanying open items are to be processed. | Optional |
Other Accounts | Select the field if you want to clear across several accounts or across several company codes. | Optional |
Distribute by Age | Distribute automatically by due date | Optional |
Automatic Search | Indicator that the system should try to find the open items to be cleared given the clearing amount. | Optional |
Complete the desired parameters in the additional selection fields in order to narrow the items and click on the Process Open Items button -
The following screen is displayed with the selected items:
Field | Possible Entries | Action |
Discount | Cash discount deduction for the item. The cash discount which is taken into account during clearing | Optional |
Cash D% | Selected cash discount percentage rate | Optional |
Display from item | First item to be displayed on the page | Not Required |
Reason code | Key which represents a reason for payment differences. The keys can be freely defined in the system. | N\A – Accts. Payable |
Difference postings | Total of difference postings | Optional |
Double click to deselect the items that you are not to be involved in the transfer. To mass select invoices, click on Select All then Inactive .
The following screen is displayed:
Scan through the entire list and select the items included in the amount for clearing:
Follow menu path – Document à Simulate
Document Simulate displays the document as it will post. However, if there are any errors in the document a message will appear and SAP will display the Document Overview at that point in time.
Click on the Save icon to save your changes (ie: post the document).
The following screen is displayed:
Account Line Item Displays
Vendor 150000 (Items cleared from account as a result of transfer to 150003):
Vendor 150003:
Internal Transfer Posting – With Clearing
Access Transaction by:
Via Menu: | Via: Accounting à Financial Accounting à Accounts Payable Other à Intern. Trnsf. Psting à With Clearing |
Via Transaction Code: | F - 51 |
Field | Possible Entries | Action |
Document Date | Enter Invoice Date | Required |
Doc. Type | SI – Intercompany Document | Required |
Company Code | 1336 = MBUSA | Required |
Posting Date | Defaults to current system date | System |
Period | System Generated | System |
Currency/rate | USD = US Dollars | Required |
Document Number | Internally assigned | System |
Translation Date | N\A | Not Required |
Reference | Enter Invoice Number | Required |
Cross-CC no. | N\A | Not Required |
Doc. Header Text | Transaction Description | Not Required |
ClearingText | Clearing transaction description | Required |
Outgoing Payment | Flag indicator based on transaction | Trans. Dependant |
Incoming Payment | Flag indicator based on transaction | Trans. Dependant |
Credit Memo | Flag indicator based on transaction | Trans. Dependant |
Transfer Posting with Clearing | Flag indicator based on transaction | Trans. Dependant |
First Line Item – PstKy | 50 Credit posting | Required |
First Line Item – Account | Bank Account | Required |
First Line Item – Sp. G\L | Not Utilized | Not Required |
First Line Item – Trans. Type | Not Utilized (Only for Fixed Assets) | Not Required |
Click Enter or Choose Open Items to advance to the first line item - or
The following screen is displayed:
Field | Possible Entries | Action |
Amount | Enter invoice amount | Required |
Calculate Tax | X Indicator Always | Not Required |
Profit Center | Profit center | Required |
Allocation | Optional | |
Text | Transaction Description | Required |
Next Line Item – PstKy |
| Blank |
Next Line Item – Account |
| Blank |
Next Line Item – Sp. G\L | Not Utilized | Not Required |
Next Line Item – Trans. Type | Not Utilized | Not Required |
Click on Choose Open items
The following screen is displayed:
Field | Possible Entries | Action |
Company Code | 1336 = MBUSA | Required |
Account | Customer \ Vendor account | Required |
Account Type | System default | System default |
Special G\L Ind. | Not Utilized | Not Required |
Normal OI | Indicator On = Standard Open Items only - always | Required |
Pmnt advice no. | Key of a payment advice for which the accompanying open items are to be processed. | Optional |
Other Accounts | Select the field if you want to clear across several accounts or across several company codes. | Optional |
Distribute by Age | Distribute automatically by due date | Optional |
Automatic Search | Indicator that the system should try to find the open items to be cleared given the clearing amount. | Optional |
Complete the desired parameters in the additional selection fields in order to narrow the items and click on the Process Open Items button -
The following screen is displayed with the selected items:
Field | Possible Entries | Action |
Discount | Cash discount deduction for the item. The cash discount which is taken into account during clearing | Optional |
Cash D% | Selected cash discount percentage rate | Optional |
Display from item | First item to be displayed on the page | Not Required |
Reason code | Key which represents a reason for payment differences. The keys can be freely defined in the system. | N\A – Accts. Payable |
Difference postings | Total of difference postings | Optional |
Double click to deselect the items that you are not to be involved in the transfer. To mass select invoices, click on Select All then Inactive . In this case, the item selected was correct and no action is necessary.
Follow menu path – Document à Simulate
Document Simulate displays the document as it will post. However, if there are any errors in the document a message will appear and SAP will display the Document Overview at that point in time.
Click on the Save icon to save your changes (ie: post the document).
The following screen is displayed:
Account Line Item Display
Vendor 150003:
Automatic Clearing
Process (use drop down list):
Sub-Process: Intercompany Account Maintenance
Business process owner: Steve Sliwicki
Business process coordinator: Tom Haegley
Consultant: Teresa Braganza
Subject matter expert: Michael Iuliano
File version: 1.0 (last updated on 01/29/01)
Path: -> M:\MBUSASAP\Implementation\3 Business Scenarios\Accounts Payable\AP_busse_7.4 Automatic Clearing.doc
Tasks included:
Automatic Clearing
Task/Script Overview:
If open items are cleared in one or more accounts without the need for clearing entries (no adjustment), the system generates a clearing document header for each company code involved in the clearing procedure. The system also generates this document header if open items are cleared by running the clearing program.
Clearing Entries
In clearing open items, the system automatically generates the necessary clearing entries. These postings contain all information necessary for properly updating transaction figures, commitments, and account balances. Separate clearing entries can be generated for each of the different company codes, business areas, accounts, or trading partners.
It is also possible to distinguish clearing entries by other criteria such as assignment, reference number, or contract number and at the same time to transfer their account assignments to the cleared items.
Automatic Clearing
The clearing programs SAPF123 and SAPF123W have been replaced by the program SAPF124. This new clearing program uses the clearing transactions that are available for manual account clearing so that the system can post any exchange rate differences or generate transfer postings if the items being cleared have different business areas or trading partners. Furthermore, the new program can clear documents that were posted using the net method and documents that contain parallel currencies.
The system no longer uses the business area and trading partner entries as fixed criteria for grouping open items for clearing so that automatic clearing can be performed across multiple business areas.
You also have to specify a clearing date.
Procedural Steps:
Automatic Clearing
Access Transaction by:
Via Menu: | Via: Accounting à Financial Accounting à Accounts Payable Periodic Processing à Automatic Clearing |
Via Transaction Code: | F-13 |
Field | Possible Entries | Action |
Company Code | MBUSA = 1336 | Required |
Fiscal Years | Respective fiscal year | Optional |
Document Number | Not necessary – automatic clearing will "sweep" vendor | Not necessary |
Posting Date | Posting date range for documents to be cleared | Required |
Select Vendors | If you select this field, then all vendor open items which are not special G/L transactions are selected. | Required |
Vendor Accounts | Vendor #150001 – DCAG Dummy | Required |
Clearing Date | Date which is used when entering the document in Financial Accounting or Controlling. | System default |
Test Run | If you set this indicator, then the program will be started in test mode. In this mode, the system does not make any changes to the database or to the archive but all checks are carried out. | Optional |
Detail List with error log | Choose this option to create a detailed list of selected open and cleared (or clearable) line items. The program groups together and displays any groups of items that meet the system and user criteria. Once you execute an update run, you can view the error log to find out why a group of line items that could be cleared were not cleared. | Optional |
Only docs which can be cleared | If you select this indicator then only documents which can be cleared are displayed in the detailed list. This indicator does not affect the brief list (statistics). | Optional |
Click on the Execute button -
Test Run:
The following listing is created detailing open and cleared items that will be processed.
Production Run:
The following warning screen is displayed:
Click the OK button -
Click the Enter button -
The following screen is displayed:
The following listing is created detailing open and cleared items that have been processed.
Vendor Account Line Item Display – Open Items prior to automatic clearing
The following Account Line Item Display shows the impact of the clearing:
Index of Component Document Titles
AP_busse_7.1 Intercompany Invoice-Credit Memo Entry.doc 58
AP_busse_7.3 Intercompany Reconciliation.doc 86
AP_busse_7.4 Automatic Clearing.doc 113
AR_busse_6.1 Intercompany Invoice-Credit Memo Entry.doc 3
AR_busse_6.2 Intercompany Internal Transfer posting.doc 16
AR_busse_6.3 Intercompany Reconciliation.doc 31
No comments:
Post a Comment