Sap Implementation End User Manual Cial PDF
Sap Implementation End User Manual Cial PDF
Sap Implementation End User Manual Cial PDF
PREPARED BY
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ABBREVATIONS
ABBREVATION
DESCRIPTION
CIAL
CHANGE HISTORY
Versi
on
Description
Created by
Date
Reviewed
by
Confidential
Date
Table of Contents
CREATION OF VENDOR:
10
15
20
24
29
33
INVOICE VERIFICATION
37
42
46
49
52
54
ACCOUNT CLEARING
58
60
61
63
68
REVERSAL OF DOCUMENT:
70
73
76
BG REPORT ZFI023:
78
79
79
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85
87
89
93
95
99
100
102
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CREATION OF VENDOR:
Transaction code for the vendor creation is FK01
Enter the Company Code and Vendor account group in the screen as shown below:
field.
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Press Enter twice and enter the following details in the screen as shown:
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Click on CIN Details and Enter the PAN Number of the Vendor.
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We will get a message that Vendor XXXXXXXXXX was created in Company Code in
1000.
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1.1.
Manual Procedure:
When you receive a request from a vendor for a down payment, you should raise a request which
will go for a proper approval after which the payment will be made against this request.
Procedural Steps
Access Vendor Down Payment Request transaction by:
Via Menus
Via Transaction Code
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On screen Down Payment Request: Header Date, enter information in the fields as specified in the
table below:
Field Name
Document
Date
Doc. type
Company
Code
Posting
Date
Currency/R
ate
Vendor
Account
Target
Special G/L
Indicator
Description
The document date is the date on
which the original document was
issued.
Document Type
R/O/C
R
Will default to KA
4 character identifier of an
organizational unit within external
accounting.
Effective date of posting in the
ledgers.
Document currency
Enter currency
Comments
INR
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Click on enter
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Press Enter
On screen Down Payment Request: Add Vendor Item, enter information in the fields as specified in the table
below:
Field Name
Amount
Description
Payment amount
R/O/C
R
Tax code
Enter V0
Due On
Text
Purch.doc.
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Click on SAVE on Button will trigger a workflow which will go on for approval.
On the screen Down Payment: Header Data, enter information in the fields as specified in the table below:
Field Name
Document Date
Doc. Type
Company Code
Posting Date
Currency/Rate
Vendor Account
Amount
Description
Date original document
was issued
Document type
classifies the
accounting document.
Company code ID
R/O/C
R
Effective date of
posting in the ledgers.
Payment currency
Vendor account
number
Amount of the total
down payment
Indicator which
identifies a special G/L
transaction
Comments
Will default to KZ
Will default if
previously
entered.
Will default to
current date.
Will default if
previously
entered.
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The withholding tax information on the down payments can be seen by clicking the Withholding
Tax button.
If a down payment is being made against a down payment request, click the Request button to
show the requests against this down payment, if any
Then Click on Create Down Payment Button.
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Procedural Steps :
Access Preliminary Posting of Vendor Invoice by:
Accounting Financial Accounting Accounts Payable
Document entry Document Parking Park Invoice FV60
Via Menus
On the Park Vendor Invoice screen, enter the following information in the fields as specified in the table below:
Field Name
Vendor
Description
Vendor account number
R/O/C
R
Invoice date
Reference
Amount/
Currency
Calculate
tax
Invoice Amount
Text
Enter text
Company
code
GL account
Amount
1000
Tax Code
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Field Name
Baseline Date
Field
Name
W/tax
code
Click the
Description
Baseline date is used to determine due
date. This will be the receiving date of the
vendor invoice.
Description
R/O/C
One or more
"withholding tax codes"
are assigned to each
withholding tax type.
One of the things these
codes determine is the
various percentage rates
for the withholding tax
type.
R/O/C
R
Comment
s
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Field Name
Vendor
Description
Vendor account number
R/O/C
R
Document
date
Field Name
Description
R/O/C
Reference
Amount/
Currency
Calculate
tax
Enter amount
Text
Enter text
Company
code
GL account
Amount
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Tax Code
Cost Center
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Field Name
Vendor
Description
Vendor account number
R/O/C
R
Invoice
date
Posting
date
Reference
Field Name
Description
R/O/C
Amount/
Currency
Text
Invoice Amount
Enter text
Amount
Cost
Center
Cost Center
Field Name
Baseline
Date
Description
Date from which system is
going to calculate the due
date
Key for defining payment
terms composed of cash
discount percentages
R/O/C
R
Company
code
GL account
Terms of
payment
Comments
Comments
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Comments
29
Field
Name
W/tax
code
Description
R/O/C
One or more
"withholding tax codes"
are assigned to each
withholding tax type.
One of the things these
codes determine is the
various percentage rates
for the withholding tax
type.
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Comment
s
30
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Review the invoice information by clicking Simulate Button. When the review is completed, post the
invoice by clicking on the save button.
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Field Name
Vendor
Description
Vendor account number
R/O/C
R
Invoice
date
Posting
date
Reference
Field Name
Description
R/O/C
Amount/
Currency
Invoice Amount
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Comments
Comments
33
Text
Enter text
Amount
Cost
Center
Cost Center
Field Name
Baseline
Date
Description
Date from which system is
going to calculate the due
date
Key for defining payment
terms composed of cash
discount percentages
R/O/C
R
Company
code
GL account
Terms of
payment
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Comments
34
Field
Name
W/tax
code
Description
R/O/C
One or more
"withholding tax codes"
are assigned to each
withholding tax type.
One of the things these
codes determine is the
various percentage rates
for the withholding tax
type.
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Comment
s
35
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INVOICE VERIFICATION
Logistics Invoice Verification:
Via Menus
Via Transaction Code
On screen Invoice Verification, enter information in the fields as specified in the table below:
Field Name
Invoice
date
Posting
date
Reference
Description
The invoice date is the date
on which the original invoice
was issued
Date which is used when
entering the document in
Financial Accounting or
Controlling
The reference document
number can contain the
document number of the
vendor. However it may
contain a different value
R/O/C
R
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Comments
37
Amount
and
Currency
Tax code
Indicates if it is a normal
invoice or freight and other
costs
Company
code
Purchase
order/sched
uling
agreement
Goods/Serv
ices Items
Logistics
Reference
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Description
Date from which system is
going to calculate the due date
R/O/C
R
Terms of
payment
Comments
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Click on Simulate
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On the screen Payment with Printout enter information in the fields as specified in the table below:
Field Name
Description
R/O/C
Company Code
Company Code ID
Payment method
Check lot
number
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Comments
42
Field Name
Document Date
Description
Date of the document.
R/O/C
R
Document Type
Will default to KZ
Currency/rate
Enter currency
Account (Bank
data)
Amount
Enter amount
Value Date
Field Name
Description
R/O/C
Account
(Vendor)
Company Code
Posting Date
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Comments
Comments
43
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Then click on Select all Button and Deactivate then select the respective invoice to cleared and make sure
that the amount in Not assigned should be equal to zero.
Post the payment by clicking the Save icon.
Click on Enter to Display the Cheque and Click the Back Button twice to Display the Cheque
Covering Letter
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Document Date
Posting Date
Company Code
Currency
In Bank Account
Enter Bank account Number
Amount
In Open item Selections
Enter Account Number
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Click on FCH5
Then in the Create cheque information Screen enter the following:
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Click On Enter
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Then Verify if all the fields are showing appropriate data then click on then click on SAVE
Document Number
Company Code
Fiscal Year
Payment Method
Printer For Forms
Pmt Advice Printer
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Document Date
Posting date
Company Code
Currency
In Bank Data
Account
Amount
In Open Item Selections
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Account
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ACCOUNT CLEARING
Clear Vendor Account:
Access Clear Vendor Transaction by:
Via Menus
Via Transaction Code
On screen Clear Vendor: Header Data Screen, enter information in the fields as specified in the below table:
Field Name
Account
Description
Vendor Account Number
R/O/C
R
Company Code
Enter currency
Clearing Date
Currency
Open item
selection
Normal OI
Special GL
indicator
Click if required
C
Click if required
C
Additional
selections
Comments
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Select process open items to activate the necessary open items to clear.
On screen Clear Vendor: Process Open Items Screen, specify which open items to select.
Process the open items by choosing and then activating the necessary open items. To select an open item, place the
cursor on the line item and click the Select item icon.
Select the Save icon to save the changes
Enter the following information in the Enter the statistical posting Header Data:
1.
2.
3.
4.
5.
6.
7.
Document Date.
Posting Date
Company Code
Currency
Enter Bank Name in the Reference Field
Enter the BG/LC Number in the Doc Header Text Field.
Enter the appropriate Posting Key.
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Document Date.
Posting Date
Company Code
Currency
Enter the Appropriate GL account Ex: 114003 for BGs.
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Click on Enter
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Company Code
Account Number
Account Type
Special GL Indicator If any
Click on Process Open Items
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Then Select all and Deactivate Items and select the appropriate line item
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Company
code
Open item
Description
A unique key used to clearly
identify the vendor within the
SAP system.
Four-character identifier of
the company code
R/O/C
R
Comments
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REVERSAL OF DOCUMENT:
Access transaction by:
Via Menus
Via Transaction Code
14.1.2 On screen Reverse Document: Header data, enter information in the fields as specified in the table
below:
Field Name
Document
number
Description
The document number of the
document to be reversed
R/O/C
R
Company
code
Fiscal year
Reversal
Reason
Posting
date
Posting
period
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and post by
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On the screen Reset cleared items, enter in the information from the table below:
Field Name
Clearing
document
Description
Number of the document
with which the line item was
cleared.
R/O/C
R
Company
code
Fiscal year
Four-character identifier of
the company code.
Defines a period, 12 months
as a rule, for which the
company is to create its
inventory and balance sheet.
R
R
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Comments
Make sure that you
have the information
of what payment or
offset is to be reset.
Can be set as default
parameter.
Make sure you enter
the current year,
otherwise it will affect
the G/L reporting and
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73
Select RESETTING AND REVERSE by double-clicking on the selection box this will cancel credit
refunds and reissue.
Select RESETTING by double-clicking on the selection box this cancels and reopens documents
cleared by payment allocation or other cleared items.
* If the document is involved with another clearing document, the system will generate an error
message that the document is not purely a clearing document.
When selecting Resetting and Reverse, on the Reversal data box, enter the information from the table below:
Field Name
Reversal
reason
Description
Reason for reversing a
document.
R/O/C
R
Posting date
Posting
period
Comments
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Company Code
Bank Guarantee
Contract
Purchasing Order
Document Date
Posting Date
Bank Name
Bank Branch
Bank Address
Street No
City
Postal Code
Country
Telephone
Engineer
BG No
Vendor Code
Amount/Currency
BG Expiry Date
BG Claim Date
Text
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BG Report ZFI023:
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On the Check Lots screen, enter information in the fields as specified in the below table:
Field Name
Description
R/O/C
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Paying
Company
Code
House bank
Account ID
Ex: 1000
Enter either
house bank or
bank key
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Field Name
Description
Lot Number
Check
Number
To
R/O/
C
R
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Comments
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You can ebter the Delivery details of the cheque and Remarks If any
Click on SAVE.
Cash Journal FBCJ
Click on enter
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Company Code
Fiscal Year
Business Place/Section Code
Posting Date
Document Number
Section
In Tax Remittance Details tab
Document Date
Posting Date
Bank Account
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Company Code
Fiscal year
Business place/Section Code
Bank Challan Number
Bank Challan Date
Certificate Date
Signatory
Designation
Place of Printing
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Company Code
Fiscal year
Business Place/Section Code
Bank Challan Number
Bank Challan Date
Vendor
Certificate Date
Signatory
Designation
Place of Printing
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