Bank Accounting Transactions
The Check nos. to be printed on the bank document is governed by the ‘Check Management’ facility in SAP. This means that for each combination of house bank and bank account ID, a Check lot needs to be maintained. This will correspond with the Check serial numbers in use. The first and last number has to be defined in the system and system automatically allots / tracks the Check number with payment documents and updates the latest Check number issued / used from the system.
Check management can be used through the following transaction codes :
Transaction Description
FCH1 : Get Vendor / Invoice details based on Check number
FCH2 : Get Check details based on payment doc. Number.
FCH3 : To Void Unused Checks.
FCH4 : To Renumber Checks
FCH5 : Input Manual Check number
FCHU : To Create Reference for Check from Payment Doc.
FCH7 : To Reprint Check
FCH8 : To Cancel Payment
FCH9 : To Void issued Checks
FCHI : For Check Lot Creation
FCHT : For Assignment to Payment
FCHN : For Check Register
» Read more: SAP Checks Management