FICA reconciliation key close and transfer them to FI
Below we have CI Billing Docs created from CI BITs.
Let’s do an invoicing and here we can provide a reconciliation key.
Now the selection picks the 4 CI billing docs.
The reconciliation key doesn’t exists and the system creates it.
Reconciliation key is now created.
Here we have a single invoicing doc .
We have a single posting document[ it is posted to FICA as open items].
Posting doc details-
Posting doc header.
Now we have few more CI billing docs and lets invoice them with the same reconciliation key .
Invoicing doc-
The posting document-
Posting Doc header-
Let’s display the reconciliation key.
Provide the reconciliation key .
See the document itemization.
So we have 2 posting documents[ generated from 2 invoicing doc] details-
Now let’s close the reconciliation key and the make transfer to FI.
Provide the reconciliation key .
Choose Close.
Yes to confirm the close of reconciliation key .
So now, the reconciliation key is closed but not yet transferred to FI G/L.
Execute- FPG1
On the selection we an provide the details and execute.
Now it is transferred to FI G/L.
Select the object key and choose accounting document.
We have 2 posting doc assigned to the reconciliation key and during the transfer to FI G/L it is summarized and one accounting doc created with the credit and debit lines.
Accounting doc header.
Now if we see again the reconciliation key , the transfer to FI is done.
We can see the document flow to see the FI accounting doc.
Execute the Tr- FBL3N to see the G/L line items.
Provide the G/L account and we can see the details-
Nice
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hi,
can you post the credit card payment process end to end
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