SAP Bank Accounting End User Documents
This set of documents explain in step by step manner with screenshots, how to do transaction in SAP FI Bank Accounting (FI-BL)
These documents can be used for power user training or end user training in the final preparation phase during implementation.
These documents help you to understand how to run transactions in SAP and complete your business process. These documents are very helpful for the entire sap user even if they are new to SAP screens.
In this document set we cover following transactions
Master Data
FI01 Bank Master Record
FI02 Change Bank
FI03 Display Bank
FI04 Display Bank Changes
FI06 Mark for Deletion
FIBPS Display Bank Chains for Partners
FIBPU Maintain Bank Chain for Partner
Cash Journal
FBCJ Cash Journal Posting
Check Processing
FCH1 Display Check Information
FCH2 Payment Document Checks
FCH3 Void Checks
FCH4 Renumber Checks
FCH5 Create Manual Checks
FCH6 Change Check
FCH7 Reprint Check
FCH8 Reverse Check Payment
FCH9 Void Issued Check
FCHD Delete Check Info on Payment Run
FCHE Delete Voided Checks
FCHF Delete Manual Checks
FCHN Check Register
FCHT Assignment to Payment
Incoming Payment
FF68 Manual Check Deposit
FF_5 Import Electronic Bank Statement
Outgoing Payment
F110 Payment Run
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SAP Bank Accounting End User Documents
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