What are the steps for configuring lockboxes?

Answer Posted / hannah

Hi,
1) Create remit-to-address for house bank using transaction
OB10.
2) Reason codes and External reason codes steps:
a) Define Reason Codes
b) Define Standard Reason codes for Clearing w/Payment
advice Notes
c) Define Conversion of Payment difference Reason Codes
Note: You can configure these settings in SPRO.
3) Define house bank and bank account using transaction FI12
4) Define tolerances for customers and employees using SPRO.
Search for 'Clearing differences'.
5) Lockbox configuration – transaction OFTD
6) Control parameters using transaction OBAY
Define formats name
Define format in detail
7) Posting data using transaction OBAX
Define file sender and receiver
Posting detail

Is This Answer Correct ?    1 Yes 0 No



Post New Answer       View All Answers


Please Help Members By Posting Answers For Below Questions

Explain asset history sheet? : fi- asset accounting

716


Explain posting of costs to cost centers? : co- cost center accounting

660


Hi all.... Please explain to me... what G/L account should I maintain / create If I want to do the intercompany transfer asset - no revenue. and if I want to do the intercompany transfer asset - Net Book Value. What is the different between this 2 method. My company's requirement is ... 1. Transfering the asset on company A to company B, example Asset 1 - acquisition date : 01.06.2007 , acquisition amount : 1000, accumulated depreciation till 31.12.2007 : 10 so the net book value is 90, useful life 4 years the company wants to transfer this asset in company B. is it possible to transfer all the data just like I explain above : acquisition date : 01.06.2007 , acquisition amount : 1000, accumulated dep = 10

1526


What is the use of value field in the co-pa module? : cost center accounting

571


what is child order

2149






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 )

2069


What are the different types of data in sap system? : cost center accounting

639


What is Difference between Cost center and Profit center. Can any one explain me?

696


What is a parallel currency?

640


What is the purpose of the account type field in the gl (general ledger) master record?

952


What is the difference between 'company code' and 'company id' when in the fi global settings in the img?

666


What is generally configured in the payment term as a default for baseline date?

592


Name three ways of posting acquisition cost to a fixed asset master?

673


What is pre-closing? : fi- general ledger master data

572


What is apc?

724