How can i configure in SAP 2 divergent reconciliation accounts for the same vendor? They want to change the reconciliation account in the posting when they are doing compensation.

Answer Posted / filipa oliveira

I have customized in Defining different divergent account 27810000 and 27813000. I have created Special GL for this 2 accounts but seems that is not working. I don't know how to solve this issue. I really need some help in this topic

Is This Answer Correct ?    0 Yes 0 No



Post New Answer       View All Answers


Please Help Members By Posting Answers For Below Questions

What is BBP for an SAP FI consultant? p,lz answer it , maximum company ask dis as the first question.

1460


What is configuration procedure for Asset procured through purchase order

2569


How can you manually clear open items? When? : fi- general ledger accounting

743


What is an exchange rate type?

789


How is account type connected to document type? : fi- general ledger

961






How to make control on vendor master data (bank account ) . We can validate the changes with transactions FK08 & FK09 in functional menu , but I need the path on Spro guide to customize the changes (bank accounts )

2237


What are the 3 errors that you must have faced during Support?

1759


What is a contract? : fi- accounts payable

813


Is periodic reposting different from reposting? : co- cost center accounting

790


What do you understand by sap cost center? Explain with the example? : cost center accounting

819


What do you mean fixed characteristic fields? : co-pa

764


Explain an account group. What does it control?

775


How many chart accounts can be assinged to a company?

735


How do you create cost center in system? What are the requirements? : cost center accounting

924


What are the two options for entering plan data? : co- cost center accounting

800