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, new_zealand, emea_transversal, apac_transversal
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. 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
Responsibility area: N/A
1. Objective and Scope
1.1. Objective of this Operation
This document has the objective to show the FEBAN transaction process.
1.2. Scope
The procedure is applied to company 7725 and 7722 in WP1.
2. Definitions
See Finance Glossary:
- ...
3. I Process the FEBAN transaction
The bank statement is posted automatically by the Thailand team, only from the account 51000799 / 51000800 of PERU and and 51000799, 51000798 pf Chile, should be charged with FEBAN.
First choose the variant: CL y PE
If after perform the transaction, the transaction don't show any error you can start the next step.
3.1 Balance bank statements accounts.- FS10N
The bank reconciliation is made only with the transitional accounts, you will use the mirror account (510*) only to check the bank statement balance.
Go to Transaction FS10N and check if the accounts are equal to the balance of the Bank Statement, as shown in the image below
Check balance only for primary 5100 start accounts *.
Execute





