Generated Include to Extension - WERTHMANNT - 19.07.2000 INCLUDE HBABST1 OBJECT DOKU ID TX LANGUAGE E IF 'Never Display' = 'True' Generated Include to Extension - WERTHMANNT - 19.07.2000 INCLUDE HBABST1 OBJECT DOKU ID TX LANGUAGE E IF 'Never Display' = 'True'Title Program for recording the balance of a GL account from the balances ofthe BCA accounts. Purpose You use this program to reconcile the balance of a GL account with thebalances of the BCA accounts. Based on the balances and transactionfigures of the BCA accounts, the system compares the balances in BCAand FI. There are a few additional checks made regarding Customizing. Thesechecks include the following:
- Reconciliation can only be executed for balance sheet accounts
- There may be no BCA items in post processing
- There may be no BCA items in the lock table
- Post processing and actual posting have to be assigned to different GL
accounts
- Reconciliation takes place on a date after the date of GL transfer
Features ENDIF ENDIF
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