![]() In a second posting area, the program will debit the bank clearing account for incoming checks and clear open items in the customer accounts. The main lockbox program will debit the bank clearing account for accounts receivables and post a credit entry to the bank clearing account for incoming checks (lockbox). When using lockbox and electronic bank statement it is important to set up the posting rules in SAP correctly to avoid incorrect postings. ![]() It is possible to use only one of these services, or both in combination, depending on the company’s needs. The remittance information in the electronic bank statement file is limited and provides you with the consolidated amount paid by the customer. Within the electronic bank statement file you can have various types of payment transactions. It is normally used for check payments only. ![]() ![]() The lockbox file contains the remittance information the customers have sent to the bank, for example amount and number by invoice. That level of payment information allows easy reconciliation and clearing of open items in SAP Accounts Receivable. ![]() How is the lockbox file different from the electronic bank statement file? Electronic Bank Statement & Lockbox in SAP ERP: How is the lockbox file different from the electronic bank statement file? By Lennart Ullmann and Claus Wild ![]()
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