IN THIS BLOG I HAVE MENTIONED SOME WIDELY USED SAP TRANSACTION CODE
FOR ALL OF YOU SO ENJOY LEARNING
ANG GYAN
SAP FI/CO
General Ledger Accounting: Basic Settings
Sl.No. |
Particulars |
Transaction
Code |
I |
Enterprise Structure |
|
1 |
Creation
of Company |
OX15 |
2 |
Creation
of Company Code |
OX02 |
3 |
Assign
Company Code to Company |
OX16 |
4 |
Creation
of Business Areas |
OX03 |
II |
Fiscal
Year |
|
1 |
Creation
of Fiscal Year Variant |
OB29 |
2 |
Assign
Company Code to Fiscal Year Variant |
OB37 |
III |
Chart
of Accounts |
|
1 |
Creation
of Chart of Accounts |
OB13 |
2 |
Assign
Company Code to Chart of Accounts |
OB62 |
3 |
Define
Account Groups |
OBD4 |
4 |
Define
Retained Earnings Account |
OB53 |
IV |
Posting
Periods |
|
1 |
Define
Posting Period Variant |
OBBO |
2 |
Assign
Company Code to Posting Period Variant |
OBBP |
3 |
Open
and Close Posting Periods |
OB52 |
V |
Document
Types and Number Ranges |
|
1 |
Define
Document Types |
OBA7 |
2 |
Define
Number Ranges |
FBN1 |
VI |
Tolerances |
|
1 |
Define
Tolerance Groups for G/L Accounts |
OBA0 |
2 |
Define
Tolerance Groups for Employees |
OBA4 |
3 |
Assign
Users to Tolerance Groups |
OB57 |
VII |
Field
Status |
|
1 |
Define
Field Status Variants |
OBC4 |
2 |
Assign
Company Code to Field Status Variants |
OBC5 |
VIII |
Calculation
Procedures |
|
1 |
Assign
Country to Calculation Procedure |
OBBG |
IX |
Global
Parameters |
|
1 |
Enter
Global Parameters |
OBY6 |
X |
Foreign
Currency Settings |
|
1 |
Check
Exchange Rate Types |
OB07 |
2 |
Define
Translation Ratios for Currency Translation |
OBBS |
3 |
Enter
Exchange Rates |
OB08 |
4 |
Specify
Default Exchange Rate Type in Document Type |
OBA7 |
XI |
Creation
of G/L Accounts |
|
1 |
Creation
of G/L Account at Chart of Accounts Level |
FSP0 |
2 |
Creation
of G/L Account at Company Code Level |
FSS0 |
3 |
Creation
of G/L Account Centrally |
FS00 |
Document Posting and Other Transactions
Sl.No. |
Particulars |
Transaction
Code |
I |
Document
Posting |
|
1 |
G/L
Document Posting |
F-02 |
2 |
Post
Outgoing Payment for G/L Accounts |
F-07 |
3 |
G/L
Account Posting - Enjoy Transaction |
FB50 |
4 |
Posting
a Document with reference to another Document |
FBR2 |
5 |
Display
Document |
FB03 |
6 |
Change
Document |
FB02 |
7 |
Display
G/L Account Balances |
FS10N |
8 |
Display
G/L Account Balances for Open Item Managed A/cs |
FBL3N |
II |
Activation
of Line Item Display |
|
1 |
Flag
"Line Item Display" Checkbox in G/L Account |
FS00 |
2 |
Block
GL Account |
FS00 |
3 |
Run
Program "RFSEPA01" for activation of Line Items |
SE38 |
4 |
Unblock
GL Account |
FS00 |
III |
Other
Transactions |
|
1 |
Copy
Company Code Settings from one Company Code to another |
EC01 |
2 |
Copy
Number Ranges from one Company Code to another |
OBH1 |
3 |
Copy
Number Ranges from one Fiscal Year to another |
OBH2 |
4 |
To see
the changes in the G/L Account Master |
FS04 |
5 |
Define
Posting Keys |
OB41 |
6 |
Define
Line Item Text Templates |
OB56 |
7 |
Define
Countries - Define Group Currency |
OY01 |
8 |
Define
Additional Local Currencies for Company Code |
OB22 |
9 |
Define
Account Assignment Model |
FKMT |
10 |
Define
Fast Entry Screens |
O7E6 |
11 |
Accounting
Editing Options |
FB00 |
12 |
Reset
Transaction Data - Delete Transaction Data in a Company Code |
OBR1 |
13 |
Deleting
Master Data - Customers, Vendors & G/L Accounts |
OBR2 |
14 |
Transport
Chart of Accounts |
OBY9 |
15 |
Copy
G/L Accounts from One Company Code to another |
OBY2 |
16 |
Copy
Chart of Accounts and Account Determinations |
OBY7 |
17 |
Delete
Chart of Accounts |
OBY8 |
18 |
Maintain
Validation |
GGB0 |
19 |
Activate
Validation |
OB28 |
20 |
Maintain
Substitution |
GGB1 |
21 |
Activate
Substitution |
OBBH |
22 |
Display
Intercompany Document |
FBU3 |
23 |
Define
Clearing Accounts for Intercompany Transactions |
OBYA |
Sl.No. |
Particulars |
Transaction
Code |
IV |
Other
Transactions - Technical |
|
1 |
To View
Transport Request |
SE01;
SE09; SE10 |
2 |
To Post
Batch Input Session |
SM35 |
3 |
Table
Maintenance View Screen |
SM30 |
4 |
To View
Spool Requests |
SP01 |
5 |
To View
Background Jobs |
SM37 |
6 |
ABAP
Data Dictionary |
SE11 |
7 |
ABAP
Data Browser |
SE16 |
8 |
ABAP
Editor |
SE38 |
9 |
SAP
Quick Viewer |
SQVI |
V |
Document
Parking |
|
1 |
Creation
of Parked Document |
F-65 |
2 |
Send
System Message |
SO00 |
3 |
Display
Parked Documents |
FBV0 |
VI |
Hold
Documents |
|
1 |
Run
Program "RFTMPBLU" for conversion of Held Documents |
SE38 |
2 |
Creation
of Hold Document: From the Menu DocumentàHold |
F-02 |
3 |
Display
Held Documents |
FB11 |
VII |
Sample
Documents |
|
1 |
Creation
of Number Range "X2" for Sample Documents |
FBN1 |
2 |
Creation
of Sample Document |
F-01 |
3 |
Display
Sample Documents |
FBM3 |
4 |
Posting
of a Document with reference to Sample Document (or) F-02 : From the Menu
DocumentàPost with Reference |
FBR2 |
VIII |
Accrual/Deferral
Documents |
|
1 |
Creation
of Reversal Reason |
|
2 |
Creation
of Accrual/Deferral Document |
FBS1 |
3 |
Reversal
of Accrual/Deferral Document |
F.81 |
IX |
Recurring
Documents |
|
1 |
Creation
of Number Range "X1" for Recurring Documents |
FBN1 |
2 |
Creation
of Recurring Document |
FBD1 |
3 |
Display
of Recurring Document |
F.15 |
4 |
Posting
of Transactions by using Recurring Document templates by way of Batch Input
Session |
F.14 |
5 |
Change
Recurring Document |
FBD2 |
6 |
Define
Document Change Rules |
OB32 |
Sl.No. |
Particulars |
Transaction
Code |
X |
Open
Item Management |
|
1 |
Full
Clearing |
|
2 |
Partial
Clearing |
|
3 |
Balance
Clearing |
|
4 |
Residual
Clearing |
|
XI |
Reversals |
|
1 |
Individual
Reversal |
FB08 |
2 |
Mass
Reversal |
F.80 |
3 |
Reversal
of a Reversed Document |
FBR2 |
4 |
Reversal
of a Cleared Item |
FBRA |
5 |
Accrual/Deferral
Reversal |
F.81 |
XII |
Interest
Calculations: Account Balance Interest Calculation |
|
1 |
Define
Interest Calculation Types |
OB46 |
2 |
Prepare
Account Balance Interest Calculation |
OBAA |
3 |
Define
Reference Interest Rates |
OBAC |
4 |
Define
Time Dependent Terms |
OB81 |
5 |
Enter Interest
Rates |
OB83 |
6 |
Creation
of G/L Account |
FS00 |
7 |
Assignment
of Accounts for Automatic Posting |
OBV2 |
8 |
Posting
of Term Loan |
F-02 |
9 |
Repayment
of Term Loan |
F-02 |
10 |
Interest
Calculations |
F.52 |
XIII |
Foreign
Currencies Balances Revaluation |
|
1 |
Define
Valuation Methods |
OB59 |
2 |
Creation
of G/L Accounts |
FS00 |
3 |
Prepare
Automatic Postings |
OBA1 |
4 |
Term
Loan Receipt in Foreign Currency |
F-02 |
5 |
Enter
Exchange Rates |
OB08 |
6 |
Foreign
Currency Balances Revaluation (Forex Run) |
F.05 |
XIV |
Tax on
Sales/Purchases |
|
1 |
Define
Tax Procedures |
OBQ3 |
2 |
Assign
Country to Calculation Procedures |
OBBG |
3 |
Define
Tax Codes |
FTXP |
4 |
Assign
Tax Codes for Non-Taxable Transactions |
OBCL |
5 |
Creation
of "VAT Pool A/c" G/L Account |
FS00 |
6 |
Define
Tax Accounts |
OB40 |
7 |
Assign
Tax Codes in G/L Accounts |
FS00 |
8 |
Posting
of Sale or Purchase Invoice to Check Input and Output Taxes |
F-22 |
Accounts
Payable |
||
Sl.No. |
Particulars |
Transaction
Code |
I |
Basic
Settings |
|
1 |
Creation
of Vendor Accounts Groups |
OBD3 |
2 |
Creation
of Number Ranges for Vendor Account Groups |
XKN1 |
3 |
Assign
Number Ranges to Vendor Account Groups |
OBAS |
4 |
Maintain
Customer/Vendor Tolerance Groups |
OBA3 |
5 |
Creation
of G/L Accounts - Reconciliation A/c |
FS00 |
6 |
Creation
of Vendor Master |
XK01 |
7 |
Document
Types and Number Ranges |
OBA7;
FBN1 |
II |
Transactions |
|
1 |
Posting
of Vendor Invoice |
F-43 |
2 |
Posting
Outgoing Payment |
F-53 |
3 |
Posting
Vendor Invoice - Enjoy Transaction |
FB60 |
4 |
To View
Vendor Account |
FBL1N |
5 |
Vendor
Credit Memo |
F-41 |
6 |
Vendor
Credit Memo - Enjoy Transaction |
FB65 |
III |
House
Banks |
|
1 |
Creation
of "Bank A/c" G/L Account |
FS00 |
2 |
Creation
of House Bank and Assign G/L A/c in House Bank |
FI12 |
3 |
Creation
of Check Lots |
FCHI |
4 |
Manual
Check Updates |
FCH5 |
5 |
Display
Check Register |
FCHN |
6 |
Change
Check Issue Date/Check Encashment Date Updating |
FCH6 |
7 |
Creation
of Void Reason Code |
FCHV |
8 |
Void
Check/Unissued Check Cancellation |
FCH3 |
9 |
Remove
Check Encashment Date Data |
FCHG |
10 |
Issued
Check Cancellation |
FCH8 |
ANG GYAN
IV |
Advance
Payments or Down Payments |
|
1 |
Creation
of "Advance to Vendors A/c" G/L Account |
FS00 |
2 |
Define
Alternative Reconciliation Account for Vendor Down Payments |
OBYR |
3 |
Down
Payment Request (Noted Item) |
F-47 |
4 |
Down
Payment Made |
F-48 |
5 |
Purchase
Invoice Posting |
F-43 |
6 |
Transfer
of Advance from Special G/L to Normal by clearing Special G/L A/c |
F-54 |
7 |
Clearing
of Normal Item - Account Clear |
F-44 |
Sl.No. |
Particulars |
Transaction
Code |
V |
Terms
of Payment |
|
1 |
Creation
of Terms of Payment |
OBB8 |
2 |
Creation
of G/L Accounts |
FS00 |
·
Discount Received A/c
·
Discount Given A/c | FS00
|
3 |
Assign
G/L Account for Automatic Posting of Discount Received |
OBXU |
4 |
Assign
G/L Account for Automatic Posting of Discount Given |
OBXI |
VI |
Party
Statement of Account |
|
1 |
Assign
Programs for Correspondence Types |
OB78 |
2 |
Request
for Correspondence |
FB12 |
3 |
Maintain
Correspondence |
F.64 |
ANG GYAN
VII |
Automatic
Payment Program |
FBZP |
1 |
Setup
Payment Method per Country for Payment Transactions |
|
2 |
Setup
Payment Method Per Company Code for Payment Transactions |
|
3 |
Setup
All Company Codes for Payment Transactions |
|
4 |
Setup
Paying Company Code for Payment Transactions |
|
5 |
Setup
Bank Determination |
|
6 |
Assign
Payment Method in Vendor Master |
XK02 |
7 |
Creation
of Check Lots |
FCHI |
8 |
Payment
Run |
F110 |
VIII |
Cash
Journal |
|
1 |
Create
G/L Account for Cash Journal |
FS00 |
2 |
Define
Document Types for Cash Journal Documents |
OBA7 |
3 |
Define
Number Range Intervals for Cash Journal Documents |
FBCJC1 |
4 |
Set Up
Cash Journal |
FBCJC0 |
5 |
Create,
Change, Delete Business Transactions |
FBCJC2 |
6 |
Set Up
Print Parameters for Cash Journal |
FBCJC3 |
·
Extended Withholding Tax
Sl.No. |
Particulars |
Transaction
Code |
1 |
Check
Withholding Tax Countries |
|
2 |
Define
Official Withholding Tax Keys |
|
3 |
Define
Business Places |
|
4 |
Creation
of Factory Calendar: |
OY05 |
5 |
Assign
Factory Calendar to Business Places |
J1INCAL |
6 |
Define
Withholding Tax Types for Invoice Posting |
|
7 |
Define Withholding
Tax Types for Payment Posting |
|
8 |
Define
Withholding Tax Codes |
|
9 |
Check
Recipient Types |
|
10 |
Maintain
Tax Due Dates |
|
11 |
Maintain
Surcharge Calculation Methods |
|
12 |
Maintain
Surcharge Tax Codes |
|
13 |
Maintain
Surcharge Rates |
|
14 |
Assign
Withholding Tax Types to Company Codes |
|
15 |
Activate
Extended Withholding Tax |
|
16 |
Creation
of G/L Accounts |
FS00 |
17 |
Assignment
of Accounts |
OBWW |
18 |
Maintain
Company Code Settings [Logistics à General] |
|
19 |
Specify
Document Type for Remittance Challan Posting |
|
20 |
Maintain
Number Groups for Remittance Challans |
|
21 |
Assign
Number Ranges to Number Groups |
|
22 |
Maintain
Number Ranges |
|
23 |
Maintain
Number Group and SAP Script Forms |
|
24 |
Assign
Number Ranges to Number Groups |
|
25 |
Maintain
Number Ranges |
|
26 |
Assign
PAN & TAN Numbers |
OBY6 |
27 |
Assign
Extended Withholding Tax Codes in Vendor Master |
XK02 |
28 |
Purchase
Invoice Posting |
F-43 |
29 |
Create
Remittance Challan |
J1INCHLN |
30 |
Enter
Bank Challan |
J1INBANK |
31 |
Creation
of TDS Certificate |
J1INCERT |
32 |
Creation
of Annual Return |
J1INAR |
Accounts
Receivable |
||
Sl.No. |
Particulars |
Transaction
Code |
I |
Basic
Settings |
|
1 |
Creation
of Customer Account Groups |
OBD2 |
2 |
Creation
of Number Ranges for Customer Account Groups |
XDN1 |
3 |
Assign
Number Ranges to Customer Account Groups |
OBAR |
4 |
Creation
of G/L Account - Reconciliation Account |
FS00 |
5 |
Creation
of Customer Master |
XD01 |
6 |
Document
Types and Number Ranges |
OBA7;
FBN1 |
II |
Transactions |
|
1 |
Posting
of Customer Invoice |
F-22 |
2 |
Posting
Incoming Payment |
F-28 |
3 |
Posting
Customer Invoice - Enjoy Transaction |
FB70 |
4 |
To View
Customer Account |
FBL5N |
5 |
Customer
Credit Memo |
F-27 |
6 |
Customer
Credit Memo - Enjoy Transaction |
FB75 |
III |
Advance
Payments or Down Payments |
|
1 |
Creation
of "Advance from Customers A/c" G/L Account |
FS00 |
2 |
Define Alternative
Reconciliation Account for Customer Down Payments |
OBXR |
3 |
Down
Payment Request (Noted Item) |
F-37 |
4 |
Down
Payment Received |
F-29 |
5 |
Sale
Invoice Posting |
F-22 |
6 |
Transfer
of Advance from Special G/L to Normal by clearing Special G/L A/c |
F-39 |
7 |
Clearing
of Normal Item - Account Clear |
F-32 |
IV |
Bill
Discounting |
|
1 |
Creation
of G/L Accounts |
·
Sundry Debtors - BOE : Alternative Recon A/c
·
Bills Discounting A/c | FS00
|
2 |
Define
Alternative Reconciliation Account for Bills of Exchange Receivable |
OBYN |
3 |
Define
Bank Sub Accounts |
OBYK |
4 |
Sale
Invoice Posting |
F-22 |
5 |
Bills
of Exchange Payment |
F-36 |
6 |
Bank
Bill Discounting |
F-33 |
7 |
Report
to view Customer wise, Due Date wise, Bank wise Outstanding |
S_ALR_87012213 |
8 |
Reverse
Contingent Liability |
F-20 |
·
Sl.No. |
Particulars |
Transaction
Code |
V |
Dunning |
|
1 |
Define
Dunning Areas |
OB61 |
2 |
Define
Dunning Procedures |
FBMP |
3 |
Assign
Dunning Procedure in Customer Master |
XD02 |
4 |
Sale
Invoice Postings |
F-22 |
5 |
Dunning |
F150 |
VI |
Credit
Management |
|
1 |
Maintain
Credit Control Area |
OB45 |
2 |
Assign
Company Code to Credit Control Area |
OB38 |
3 |
Define
Credit Risk Categories |
OB01 |
4 |
Define
Accounting Clerk Groups [Credit Representative Groups] |
OB02 |
5 |
Define
Credit Representatives [Assign Employee to Credit Representative Groups] |
OB51 |
6 |
Define
Intervals for Days in Arrears for Credit management |
OB39 |
·
Note: Sales Order Type and Delivery
Type and Risk Category and order or Delivery Type is used to define the Warning
or Error Messages.
Path: Sales & Distribution à Basic Functions à Credit Processing
Asset
Accounting
Sl.No. |
Particulars |
Transaction
Code |
I |
Basic
Settings |
|
1 |
Copy
Reference Chart of Depreciation/Depreciation Areas |
EC08 |
2 |
Assign
Tax Codes for non-taxable transactions |
OBCL |
3 |
Assign
Company Code to Chart of Depreciation |
OAOB |
4 |
Maintain
Account Determinations |
- |
5 |
Maintain
Screen Layout Rules |
- |
6 |
Maintain
Number Ranges for Asset Master Data |
AS08 |
7 |
Maintain
Asset Classes |
OAOA |
8 |
Determine
Depreciation Areas in the Asset Classes |
OAYZ |
9 |
Creation
of G/L Accounts |
FS00 |
10 |
Assignment
of G/L Accounts for Automatic Postings |
AO90 |
11 |
Specify
Document type for posting of Depreciation |
- |
12 |
Specify
Intervals and Posting Rules |
OAYR |
13 |
Specify
Rounding of Net Book Value and/or Depreciation |
OAYO |
14 |
Define
Screen Layout Rules for Asset Master Data |
OA77 |
15 |
Define
Screen Layout Rules for Asset Depreciation Areas |
OA78 |
16 |
Depreciation
Keys |
AFAMD |
17 |
Creation
of Asset Master |
AS01 |
18 |
Creation
of Sub-Asset Master |
AS11 |
19 |
Main
Asset Purchase Posting |
F-90 |
20 |
Sub-Asset
Purchase Posting |
F-90 |
21 |
Asset
Explorer |
AW01N |
22 |
Asset
History Sheet |
S_ALR_87011965 |
23 |
Depreciation
Run |
AFAB |
II |
Settlement
of Capital Work-in-Progress |
|
1 |
Define
Settlement Profile |
OKO7 |
2 |
Define
Number Ranges for Settlement |
SNUM |
3 |
Creation
of Capital Work-in-Progress Asset Master |
AS01 |
4 |
Posting
of Transactions |
·
Purchase
·
Commissioning charges, etc., | F-90
|
5 |
Creation
of Main Asset Master to which Asset Under Construction is to be settled |
AS01 |
6 |
Settlement
of Capital Work-in-Progress |
AIAB |
·
Sl.No. |
Particulars |
Transaction
Code |
III |
Other
Transactions |
|
1 |
Transfer
of APC Asset Values - Periodic Asset Postings |
ASKB |
2 |
Reconciliation
of Assets with General Ledger |
ABST2 |
3 |
Sale of
Asset |
F-92 |
4 |
Sale of
Asset Without Customer |
ABAON |
4 |
Transfer
of Asset |
ABUMN |
5 |
Transfer
of Asset - Inter company |
ABT1N |
6 |
Scrapping
of Asset |
ABAVN |
7 |
Post
Capitalization of Asset |
ABNAN |
8 |
Manual
Depreciation |
ABMA |
9 |
Unplanned
Depreciation |
ABAA |
10 |
Depreciation
Forecast |
S_ALR_87012936 |
11 |
Fixation
of the Schedule as per the Indian Company's Act (or) Asset History Sheet |
AR02 |
Closing Procedures
ANG GYAN
Sl.No. |
Particulars |
Transaction
Code |
I |
Financial
Statement Version |
|
1 |
Creation
of Financial Statement Version |
OB58 |
2 |
To view
Balance Sheet and Profit and Loss Account |
F.01 |
II |
Closing
Procedures |
|
1 |
Carry
Forward of Vendors and Customers Closing Balances |
F.07 |
2 |
Carry
Forward of Asset Balances |
·
To check which year is closed for Assets
·
Closing of Assets for the Year
·
To Open Next Year | OAAQ
AJAB
AJRW
|
3 |
Carry
Forward of G/L Account Balances |
F.16 |
|
4 |
Copy
Number Range Intervals to the Next Year |
OBH2 |
|
5 |
Open/Close
Previous Period |
OB52 |
|
III |
GL
Reports |
||
1 |
Chart
of Accounts List |
S_ALR_87012326 |
|
2 |
Trial
Balance |
S_ALR_87012310 |
|
3 |
Ledger |
S_ALR_87100205 |
|
IV |
Vendor
Reports |
||
1 |
Vendor
List |
S_ALR_87012086 |
|
2 |
Vendor
wise Purchases |
S_ALR_87012093 |
|
3 |
Vendor
Outstanding List |
S_ALR_87012083 |
|
4 |
Age
wise Analysis of Vendors |
S_ALR_87012085 |
|
5 |
Advances
Report |
S_ALR_87012105 |
|
6 |
Vendor's
Ledger |
S_ALR_87012103 |
|
V |
Customer
Reports |
||
1 |
Customer
List |
S_ALR_87012179 |
|
2 |
Customer
wise Sales |
S_ALR_87012186 |
|
3 |
Customer
Outstanding List |
S_ALR_87012173 |
|
4 |
Age
wise Analysis of Customers |
S_ALR_87012176 |
|
5 |
Advances
Report |
S_ALR_87012199 |
|
6 |
Customer's
Ledger |
S_ALR_87012197 |
|
MM to
FI Integration |
|||
Sl.No. |
Particulars |
Transaction
Code |
|
I |
Basic
Settings from MM Side |
||
1 |
Define
Plant |
OX10 |
|
2 |
Define
Location |
OIAS |
|
3 |
Maintain
Storage Location |
OX09 |
|
4 |
Maintain
Purchasing Organization |
OX08 |
|
5 |
Assign
Plant to Company Code |
OX18 |
|
6 |
Assign
Purchasing Organization to Company Code |
OX01 |
|
7 |
Assign
Purchasing Organization to Plant |
OX17 |
|
8 |
Define
Attributes of Material Types |
OMS2 |
|
9 |
Maintain
Company Codes for Materials Management |
OMSY |
|
10 |
Set
Tolerance Limits for Price Variances |
OMR6 |
|
11 |
Define
Plant Parameters |
- |
|
12 |
Set
Tolerance Limits for Goods Receipts |
OMC0 |
|
13 |
Define
Default Values for Physical Inventory |
OMBH |
|
14 |
Maintain
Default Values for Tax Codes |
OMR2 |
|
15 |
Define
Tax Jurisdiction |
- |
|
16 |
Configure
Vendor Specific Tolerances |
OMRX |
|
17 |
Define
Automatic Status Change |
OMRV |
|
18 |
Define
Tolerance Limits for Invoice Verification |
- |
|
19 |
Define
Number Ranges - 50 & 51 |
FBN1 |
II |
Integration |
||
1 |
Creation
of G/L Accounts |
·
Inventory RM A/c
·
Inventory FG A/c
·
GR/IR Clearing A/c
·
Price Differences A/c | FS00
2 |
Creation
of Material Master |
MM01 |
3 |
Creation
of Vendor Master |
XK01 |
4 |
Group
Together Valuation Areas |
OMWD |
5 |
Define
Valuation Classes |
OMSK |
6 |
Define
Account Grouping for Movement Types |
OMWN |
7 |
Configure
Automatic Postings |
OBYC |
III |
Flow |
|
1 |
Creation
of Purchase Order |
ME21N |
2 |
Goods
Receipt Against Purchase Order |
MIGO |
3 |
Invoice
Verification/Invoice Receipt |
MIRO |
4 |
Payment
to Vendor - Outgoing Payment |
F-53 |
·
SD to FI Integration
Sl.No. |
Particulars |
Transaction
Code |
I |
Basic
Settings from SD Side |
|
1 |
Define
Divisions |
OVXB |
2 |
Define
Sales Organization |
OVX5 |
3 |
Define
Distribution Channels |
OVXI |
4 |
Define
Shipping Points |
OVXD |
5 |
Assign
Business Area to Plant/Valuation Area & Division |
OMJ7 |
6 |
Assign
Sales Organization to Company Code |
OVX3 |
7 |
Assign
Distribution Channel to Sales Organization |
OVXK |
8 |
Assign
Division to Sales Organization |
OVXA |
9 |
Set up
Sales Area |
OVXG |
10 |
Assign
Sales Organization - Distribution Channel - Plant |
OVX6 |
11 |
Assign
Business Area to Plant & Division |
OVF0 |
12 |
Assign
Shipping Point to Plant |
OVXC |
13 |
Define
and Assign Pricing Procedures |
OVKK |
14 |
Define
Tax Determination Rules |
OVK1 |
15 |
Assign
Delivering Plants for Tax Determination |
OX10 |
16 |
Define
Number Ranges - 48 & 49 |
FBN1 |
17 |
Assign
Shipping Point |
OVL2 |
II |
Integration |
|
1 |
Creation
of G/L Accounts |
·
Raw Material Consumption A/c
·
Sales A/c | FS00
|
2 |
Creation
of Finished Goods Material Master |
MM01 |
3 |
Creation
of Customer Master |
XD01 |
4 |
Assign
Material to Pricing Procedure - PR00 & MWST |
VK11 |
5 |
Assign
General Ledger Accounts |
VKOA |
6 |
Setup
Partner Determination |
- |
III |
Flow |
|
1 |
Goods
Receipt for Initial Start |
MB1C |
2 |
Creation
of Sales Order |
VA01 |
3 |
Outbound
Delivery |
VL01N |
4 |
Billing
Document |
VF01 |
5 |
Issue
Billing Document |
VF31 |
6 |
Incoming
Payment from Customers |
F-28 |
ANG GYAN
Controlling
Sl.No. |
Particulars |
Transaction
Code |
|
I |
Basic
Settings |
||
1 |
Maintain
Controlling Area |
OX06 |
|
2 |
Activate
Components/Control Indicators And Assignment of Company Codes to Controlling
Area |
OKKP |
|
3 |
Maintain
Number Ranges |
KANK |
|
4 |
Maintain
Versions |
OKEQ |
|
II |
Other
Transactions |
||
1 |
Set
Controlling Area |
OKKS |
|
2 |
Period
Lock |
OKP1 |
|
III |
Cost
Element Accounting |
||
1 |
Creation
of Primary Cost Element at FI Area |
FS00 |
|
2 |
Creation
of Primary Cost Element at CO Area |
KA01 |
|
3 |
Automatic
Creation of Primary Cost Elements |
·
Make Default Settings
·
Create Batch Input Session
·
Execute Batch Input Session | OKB2
OKB3
SM35
|
4 |
Creation
of Secondary Cost Element |
KA06 |
5 |
Creation
of Cost Element Groups |
KAH1 |
- |
Cost
Element Categories: |
·
1 : Costs
·
11 : Revenues
·
21 : Internal Settlement
·
41 : Overhead Costs
·
42 : Assessment
·
43 : Internal Activity Allocation | ---
|
IV |
Reconciliation
Ledger |
|
1 |
Activate
Reconciliation Ledger |
KALA |
2 |
Deactivate
Reconciliation Ledger |
KALB |
3 |
Maintain
Number Ranges for Reconciliation Ledger Documents |
OK13 |
4 |
Define
Adjustment Accounts for Reconciliation Posting |
OBYB |
5 |
Execute
Reconciliation Posting |
KALC |
·
Cost Center Accounting
Sl.No. |
Particulars |
Transaction
Code |
I |
Basic
Settings |
|
1 |
Creation
of Cost Center |
KS01 |
2 |
Creation
of Cost Center Group |
KSH1 |
3 |
Posting
of Transactions in FI |
F-02 |
4 |
To View
Cost Center Wise Report |
KSB1 |
5 |
Repost
CO Line Items |
KB61 |
6 |
Repost
Costs |
KB11N |
7 |
Planning
Cost Center Wise |
KP06 |
8 |
To View
Cost Center Wise Variance Report |
S_ALR_87013611 |
9 |
Display
Cost Center Standard Hierarchy |
OKENN |
10 |
Change
Cost Center Standard Hierarchy |
OKEON |
11 |
Display
Cost Center Accounting Document |
KSB5 |
II |
Activity
Types |
|
1 |
Creation
of Activity Types |
KL01 |
2 |
Creation
of Activity Type Groups |
KLH1 |
3 |
Enter
Activity Allocation |
KB21N |
III |
Statistical
Key Figures |
|
1 |
Creation
of Statistical Key Figures |
KK01 |
2 |
Creation
of Statistical Key Figures Groups |
KBH1 |
3 |
Enter
Statistical Key Figures |
KB31N |
IV |
Overhead
Assessment |
|
1 |
Creation
of Secondary Cost Element - 42 |
KA06 |
2 |
Creation
of Assessment Cycle |
KSU1 |
3 |
Overhead
Assessment |
KSU5 |
V |
Overhead
Distribution |
|
1 |
Creation
of Distribution Cycle |
KSV1 |
2 |
Overhead
Distribution |
KSV5 |
·
Internal Order Management
Sl.No. |
Particulars |
Transaction
Code |
I |
Basic
Settings |
|
1 |
Creation
of Internal Order Types |
KOT2 |
2 |
Creation
of Internal Orders |
KO01 |
3 |
Creation
of Internal Order Groups |
KOH1 |
4 |
Posting
of Transactions in FI |
F-02 |
5 |
To View
Internal Order Wise Report |
KOB1 |
6 |
Repost
CO Line Items |
KB61 |
7 |
Repost
Costs |
KB11N |
8 |
Planning
Internal Order Wise |
KPF6` |
9 |
To View
Variance Report |
S_ALR_87012993 |
II |
Internal
Order Settlement - Only Real Orders can be settled. |
|
1 |
Creation
of Settlement Cost Elements - 21 |
KA06 |
2 |
Maintain
Allocation Structure |
OKO6 |
3 |
Maintain
Settlement Profile |
OKO7 |
4 |
Maintain
Number Ranges for Settlement Documents |
KO8N |
5 |
Creation
of Number Ranges in CO Area - KOAO |
KANK |
6 |
Internal
Order Settlement |
KO88 |
·
Profit Center Accounting
Sl.No. |
Particulars |
Transaction
Code |
I |
Basic
Settings |
|
1 |
Maintain
Controlling Area Settings |
0KE5 |
2 |
Creation
of Dummy Profit Center |
KE59 |
3 |
Set
Control Parameters for Actual Data |
1KEF |
4 |
Maintain
Plan Versions |
OKEQ |
5 |
Maintain
Number Ranges for Local Documents |
GB02 |
6 |
Change
Profit Center Standard Hierarchy |
KCH5N |
7 |
Display
Profit Center Standard Hierarchy |
KCH6N |
8 |
Display
Settings for Profit Center Accounting |
1KE1 |
9 |
Creation
of Profit Center |
KE51 |
10 |
Creation
of Profit Center Group |
KCH1 |
11 |
Maintain
Automatic Account Assignment of Revenue Elements |
OKB9 |
12 |
Choose
Additional Balance Sheet and Profit & Loss Accounts |
3KEH |
13 |
Default
Assignment to a Profit Center - Profit Center Derivation Rules |
3KEI |
14 |
Planning
Profit Center Wise for Profit & Loss Account Items |
7KE1 |
15 |
Planning
Profit Center Wise for Balance Sheet Account Items |
7KE3 |
16 |
To View
Profit Center Wise Variance Report for Profit and Loss Account Items |
S_ALR_87013326 |
17 |
To View
Profit Center Wise Variance Report for Balance Sheet Account Items |
S_ALR_87013336 |
18 |
Transfer
from one Profit Center to Another Profit Center |
9KE0 |
19 |
Display
Profit Center Accounting Document |
9KE9 |
20 |
Transfer
Payables/Receivables in Profit Center Accounting |
1KEK |
21 |
Display
Profit Center Actual Line Items |
KE5Z |
22 |
Balance
Carry Forward in EC-PCA |
2KES |
II |
Assessment
- EC-PCA |
|
1 |
Maintain
Assessment Cost Element |
KA06 |
2 |
Define
Actual Assessment Cycle for EC-PCA |
3KE1 |
3 |
Actual
Assessment |
3KE5 |
III |
Distribution
- EC-PCA |
|
1 |
Define
Distribution Cycle |
4KE1 |
2 |
Actual
Distribution |
4KE5 |
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