FI Module Closing Process Guide
FI Module Closing Process Guide
User Manual
(
)
SAP R/3 FI Closing Process Guide
INDEX
1. FI-CLOSING............................................................................................................................... 3/
1-1/ HR PAY-FI INTERFACE CHECK (OR RUN) ................................................................ 3/
1-2 ERS (EVALUATED RECEIPT SETTLEMENT) RUN .................................................... 4/
1-3. BILLING DUE LIST RUN ...................................................................................................... 6/
1-4. ACCOUNTING RELEASE (BILLING DOC. W/O ACCOUNTING DOCUMENT) .. 8/
1-5. DELIVERY IN PROCESS; POST GOODS ISSUE ......................................................... 10/
1-6. BAD DEBTS PROVISION ................................................................................................... 12/
1-7. MM PERIOD CLOSING CONFIRMATION ................................................................. 13/
1-8. FI PERIOD CONTROL ........................................................................................................ 15/
1-9. DEPRECIATION RUN .......................................................................................................... 17/
1-10. MONTHLY TAX INVOICE FILING AND CHECK ................................................... 19/
1-11. TAX AMOUNT ROUNDING DIFFERENCE ADJUSTMENT ................................. 19/
1-12. AUC ORDER SETTLEMENT ( ) ........................................... 20/
1-13. GR/IR CLEARING ........................................................................................................... 20/
1-14. GR/IR REGROUPING..................................................................................................... 22/
1-15. FOREIGN CURRENCY VALUATION ............................................................................ 24/
Dynamic selection
data FI module posting
.
: Monthly
Closing level : Company code
!" field
- Company code : Company code 4 #$ !".
- Fiscal year : %& '() !"
- Dynamic Selection * +, -./ !"
- #0 1 2 34 !5 (Goods receipt : GR/IR) Invoice
verification * 67(batch ) 8$,9 :.
- ;<= 15 6 >6# Plant ?@ ;<.
: 2 by Monthly (MM module AB&#C 8$)
Closing level : Plant
!" field
- Posting date, goods receipt (D;) : ERS ,5# ,9 !5
(goods receipt) data posting 6# !".
- Company code (D;) : Company code 4 #$
- Plant (D;): ERS ;< EF Plant !".
(JK LM)
- JK Posting = vendor ?@ 1 N document C LMOP,
- Posting date Q Document date 9 ERS run * ;<,9 6#@
#RS@ LMO TU .%V 6# DW ;<OXY .
(JK LM )
- LMZ JK 9 :J [:
FB03
document type * “RE(Invoice receipt)”@ .
- Billing 8$9 O\S] accounting document C LM,
_=
/ E% release ,9
: Monthly (Sales area ? run)
Closing level : Sales area
!" field
- Organizational data (Sales organization) : Sales area !"
- Creation data (Created on from ~ to) : >6# !"(to field
v)
- b E E& ., f% u.? *
, Manual @ K.(work list @ :, ,.)
- K
Dr) XXXXXXXX(b EF-) X,XXX
Cr) XXXXXXXX(b E& ) X,XXX
: Monthly
Closing level : Company code
MM module #0 05 ;* ,9 S@ MM module
(next period)* open(posting)%9 material mater
previous period price(J C) update %9 .
material mater MM module closing
q C
MM period closing = FI period closing : OXY g.
: Monthly (MM module AB&#C ;<g)
Closing level : Company code
!" field
- Account group ?(?)@ posting period open %9
S@ 3 JK 0A' 2 0Av '
posting : C,) authorization group S@ set-up
: Monthly
Closing level : Company code
!" field
- Var : Company code 4 #$(KR02) !".
- A : closing ,5# ,9 Account type * !".
- From acct & To acct: From 1 to ZZZZZZZ S@ setting
- From per: ,5# ,9 h,x* ¡X¢ period !".
“7 £ !"* ¤”¥# “7”* !",
6 !"* ¦
.
- To period: 12 @ setting . :9 6l User `= 12 §
v
!"* ¤,¨9 k:.
- CF u' * ;<, f
- On-line S@ 29 1000 Nv ©, ;< ª.
: Monthly
Closing level : Company code
!" field
- Company code : 4 #$ !"
- Fiscal year : : ' ut) !"
- Posting period : ' %& !"
- Reason for posting run:
Planned posting run :
Multiple
Selections
Multiple
Selections
: Monthly
Closing level : Company code
!" field
- Company code : ¥m 4 #$ !"
- Selections
Balance sheet key date : ' >6# !"
Balance sheet preparation valuation (ÝW ):
' 2 : Non-check
t>' 2 : Check
Company code currency : C
. Type !"
Reverse posting date : reverse posting 6# !".(»)
Reconciliation account number : ÖCEF ©Ô u.q ;
u.* !",5 not equal * !".