SAP Note 333222 - FBCJ: incorrect balance after check deposit

Component : Bank-Related Accounting - General Ledger Accounting

Solution : https://service.sap.com/sap/support/notes/333222 (SAP Service marketplace login required)

Key words :
additional key words totals posting, system incorrectly takes, respective support package, fi cash journal, totals posting, cash journal, actual checks, program error, advance correction, prerequisites

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377853FBCJ: Opening and closing balance