Tasks to be completed when documenting an operation (from creation to publication)

 1. Enter the Title of the operation / page

2. Add the following Labels

    • Scope of applicability: ww, country_accounting 

    • Country or group of countries (if applicable): belux, china, france, italy, lam, nam, uk_ie, bulgaria, dach, netherlands, iberia, poland, latvia, australia, india, japan, south_korea, thailand, singapore

    • Unit and Domain according to the List of labels to be used in the Finance Service Line space

      • E.g. 1: WW Operation in Financial Accounting under domain "Central Finance Processes & Compliance":
        • Labels to be used: ww, financial_accounting, central_fin_proc_compliance

      • E.g. 2: France Operation in Financial Accounting:
        • Labels to be used: country_accounting, france, financial_accounting
          (for country operations, the Domain is always country_accounting)


3. Fill in all fields as described above

 4. Once the description of the operation is completed, ensure it is approved and published by launching the SBS-Finance approval workflow 




Domain: Country Accounting



Responsibility area: N/A


Table of contents 

By default the table of contents displays Heading 1 & Heading 2 (other levels can be added)



Scope

3. Remove the icon when not applicable


ERP

4. Remove the icon(s) when not applicable

(to be filled)(error)

Frequency

5. Remove the icon(s) when not applicable

 

 

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References

6. Add the link to SAP transaction(s) (when it exists)


Forms

7. Insert the links accordingly and change the link text with the OP name


Attachments

8. Add the link to attachments or external links



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1. Objective and Scope

1.1. Objective of this Operation

The purpose of this document is to clear the entries made in the provision account 46900310.

1.2. Scope

This operating procedure (OP) applies to companies 7580 and 7523.


2. Definitions

N/A


3. Tasks description

3.1. Compensation of Provision Account

This task is performed with the purpose of analyzing whether the entries made by the controls in provision account, were also released by dispatchers. If entries have been released, we must clean.

3.1.1. Check of Provision Account

Go to transaction FBL3N and insert information:

  • G/L account: 46900310
  • Company code: 7523 or 7580
  • Open Items: Actual day (day that the procedure is performed)
  • Layout: /OP-05-29



Execute 


Clearing out RV vs ZC and verify the assignment if the invoice number is equal. 
Types of documents:

  • RV: Provision
  • ZC: Grouping (dispatcher affecting the release). 
    Observation: it is important to check if in the account have values in EUR currency. The compensation of the values must be done in your currency (Documents in USD = compensation in USD, documents in EUR = compensation in EUR). 

3.1.2. Compensation of Account

Go to transaction F-03 and insert information:

  • Account: 46900310
  • Clearing Date: actual date
  • Company code: 7523 or 7580
  • Currency: USD for the values in $ (US dollar) and EUR for the values in € (Euro).


Enter  

3.1.2.1. Compensation without difference

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Select the values that are to be compensated. 

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Check the box which shows us the differences between the values selected: 

If there is no values in the line not assigned click  and save the document number. 
Otherwise you have to check if the values are correctly selected, or if it has residual items.

3.1.2.2. Compensation with residual items (cents)

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When there are residual items, for different reasons, these values must be allocated in expense accounts, through the key "z02", as you can see below:

 
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Click in  


And insert the value of the difference in the document type ZC. Double click in the field will be filling with the value automatically. 


Then fill the field "RCd" with "Z02", and press enter.

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The value in the line "Not assigned" must be zero. 
Click  and save the document number. 


End of document.