This operation is applicable for the following entities:
Tasks to be completed when documenting an operation (from creation to publication)1. Enter the Title of the operation / page2. Add the following Labels :
3. Fill in all fields as described above4. Name the title of each section using OPD methodology naming convention - Infinitive verb without the “to”, mainly action verb...something) - " I do something..."5. Once the description of the operation is completed, ensure it is approved and published by launching the SBS-Finance approval workflow |
| Domain: 1. Enter the Domain identified in OPD matrix (for Country specific operations, Domain = Country Accounting) |
Responsibility area: 2. Enter the responsibility area described in OPD matrix ("N/A" for Country Accounting Operations) |
By default the table of contents displays Heading 1 & Heading 2 (other levels can be added)
ScopeERP4. Remove the icon(s) when not applicable
Frequency5. Remove the icon(s) when not applicable
References6. Add the link to SAP transaction(s) (when it exists) Forms7. Insert the links accordingly and change the link text with the Form name Attachments8. Add the link to attachments or external links Previous operation << |
WP1 Bank Reconciliation: The bank reconciliation it’s a daily task that consist in ensure the information between the bank transaction and SAP records it’s consistent.
The objective of the document is to explain the bank reconciliation process for accounts from 7723 company.
This operation is applicable only for 7723 company.
See Finance Glossary:
51000801 is used to pay the local bills from the company, for example water, local tax, lodge card electrical energy.
These mirror accounts will reflect in 4 accounts (50060801, 50060823, 50020801 and 50990801), (Confirmar com Roberta).
WHAT and HOW - Main content of the operation
The content should be mainly organized in 2 levels of Headings to ensure a proper link with the Table of Contents.
Select the level of heading in the "Paragraph" option.
The reconciliation process is specific for each bank; however the general process is the same for all of them. The main guidelines are described in the steps below.
Regarding the specificities of each bank, they are included in the excel file attached to this procedure.
3.1.1. I check bank statement balance in SAP
To check the bank statement balance you will use the SAP extract accounts 51000801 and 51000823 in transaction FBL3N and check the balance until the current date.
Go to transaction FBL3N:
Complete the fields:

Then, you will check the balance with the transaction FBL3N with the bank statement, you should make an subtotal by G/L account and check the balance, as you see below.
In the SAP:

Example: Citibank Statement


After check the balance from SAP and the bank statement, you should create the global posting file with the new amounts from the bank statements and upload in SAP with the Global Posting File attached to this procedure.
(*posting file apenas para conta da PECA*)
(processo automatizado pela feban)
After create the posting file you need upload the file by RPA posting.
(Anexar os dois modelos de posting file)
*3.1.3 - colocar o processo na FEBAN
3.1.3. I perform the bank reconciliation
The bank reconciliation is made only with the transitional accounts (50060801, 50060823, 50020801 and 50990801)**COLOCAR TODAS - SEPARAR PECA E NORMAL**. In general, to perform the reconciliation you have to compensate documents type SK (bank documents uploaded by FEBAN and with the global posting file) only with others documents types. Usually the SAP show the documents that will need be compensate in F-03, but you need to check if you could clean then or not.
To check the documents posted you need check the transaction FBL3N.
* Important: You never shouldn't compensate document SK with another SK document. *
(A unica exceção são os estornos e lançamentos errados)
To check if you could clean these documents:

If after check all these information, before to clean you will need check one more thing.
We recommended check if you have more than one document with the same amount, for example.
Go in the document KZ and click in the button
, Environment and Payment Usage.

And them you need to go in the document RE and click in the bottom
;


If the document header text and the reference are the same, so you can clear the documents in transaction F-03.
3.2. I
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