Bills of Exchange

December 13th, 2008 by admin Leave a reply »

Bills of exchange

This Process is applicable for accounting of bill of exchange & releasing payment against bill of exchange on due date.  The bill of exchange is a written “Acceptence” by the drawee to pay money to the payee.

Vendor Invoice booking through SAP T Code MIRO / FB60

Following is the entry at time of Bill booking.

GRIR / Expenses A/c Dr.
To Accounts payable – Domestic   Cr.

Bill of exchange payment – (SAP T Code F-40)

This process will transfer the outstanding amount from normal vendor reconciliation account to bills payable account with actual bill of exchange amount by selecting special G/L indicator (Bill of Exchange payable). Payable outstanding will still reflect under main vendor account with due date (as per bank) and with special G/L indicator.

Following is the accounting entry at time of F-40 

Accounts Payable – Domestic  Dr.
To Bill of Exchange Payable  Cr. (with special G/L indicator)
To Discounting charges received  Cr.

Payment with printout Header Data – SAP T Code F-58

This process is used for releasing payment to payee (Bank) on due date. 

Following is the entry at time of F-58

Bill of exchange payable A/c.  Dr.  (With Special G/L )
To Bank A/c.    Cr.

SAP T Codes to be used

F-40 : Bill of     Exchange Payment
F-58 : Payment with printout
FK01 : Vendor Master
F-04 : Post with Clearing

Complete Document Kit for SAP FI AP is available for download ! Click here to know more !

SAP FI AP AR Configuration Document SAP FI AP AR Configuration Document

SAP FI Accounts Payable (AP) End User DocumentsSAP FI Accounts Payable (AP) End User Documents

SAP Account Payable Concept Presentation SAP Account Payable Concept Presentation

You may be interested in

Advertisement

Leave a Reply