This OP describes how to post cheques using FF68 and SM35 transactions and which are the different steps to be followed in order to clear the invoices on customer accounts.
Cheques flow:
For cheques in other currency than EUR, the cheques should be sent to: Solvay CICC S.A. |
The following information should be sent along with the cheque:
For the Cheques received by post , see below the procedure:
Remark: there are these two models available in AR area ready to be used.
BNP bank account information:
Model ET0101 (Portuguese cheques):
Model ET0101

Model ET0121 (Foreign cheques):
Example:



If a cheque is rejected, the original case should be found and the information regarding the rejection should be added to the case. The letter sent to the customer with the cheque returned should be scanned and added to the case as well all the information's we have regarding rejection reason. Additionally a dispute should be created in customer account to Collections team requesting a new payment to the customer |
For the Cheques received by Credit Managers, see below the procedure:
Example:

Follow the steps below:
When processing this transaction for the first time or to switch from Region, click on 'Settings' and then on 'Specifications'. |
Afterwards, we should save this document, attach it to the case received in AR Level 1and send it to the requester.
The invoices should be blocked with dunning block "I" and the text "Cheque received" should be added to the "Text" field as below:
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The person responsible for clearing the sub-accounts should check if a TI has entered on 50*15 and process the batch on SM35 transaction so that the cheques are posted on customer accounts against the invoices. To find the case with the cheques images, search by amount on Salesforce. Then find the correspondent batch-input and process it.
Typical errors which may be displayed are: