Description Precondition Output Example
Standard texts with text ID ST are included in the standard system forcertain countries. The text names are created from the followingcharacters and a country abbreviation, for example, DE: FI_CASH_BB_* Text for the opening balance FI_CASH_CF_* Text for the balance carried forward FI_CASH_EB_* Text for the closing balance FI_CASH_SI_* Text for the signature line You have to copy the standard texts from client 000 into your currentclient. If you want to adapt a text, you should copy the original text and thenmake changes to the copy. You can use the > function to do this. You can use the variables of the RFCASH structure in the text modules.The number of debit postings is output in the SPELL structure and thecredit postings in the *SPELL structure, both written in words. The variant names consist of the indicator CASH and a countryabbreviation, for example, DE. Variants with numbers, for example, 1 and 2 are delivered with thestandard system. You can import these from client 000 into your currentclient if necessary. |
532888 | FBCJ: Functions in cash journal |
1114552 | RFCASH20 RFCASH00: VATDATE is not provided |
988893 | SAP Best Practices for Slovakia - cash journal layout |
546365 | FAQ: Cash journal |
553971 | FBCJ: RFCJ10 reconciliation cash journals against G/L acct |
490513 | FBCJ: Document split and OTA in FI cash journal |
368817 | Expiring currencies reporting |
487868 | FBCJ: Journal printing with split function |
359028 | Line items: Expiring currencies |
407198 | RFKORD80/FBCJ: Expiring currencies (cash document) |