Electronic Bank Statement

作者:郑德鼎 约 4 分钟阅读 更新日期:2024-02-22 2 年前更新 标签:CO, FI, 财务

Electronic Bank Statement – EBS Setup

Assume that the business gets the following EBS File from its bank and this has to be

uploaded into SAP using EBS File Upload.

Let’s explore if the above file needs to be uploaded into SAP, what is it an SAP FICO

Consultant needs to do in IMG as well as SAP Application side.

Assumptions: In the above file following assumptions are made

01. Only two external transactions are included in the file while organizations use

various other transactions that are not shown in this file.

02. Just a single House Bank was used with two different account numbers – one for

the Controlled Disbursement Account and the other for the Lockbox Account.

Sample Text File of the EBS File for your test purposes

01,EBSTest,EBSTest,070312,0944,1,99,99,2,,,,,,,/

02,EBSTest,021000021,1,070312,0944,USD,,,,,,,,,/

03,008311049,USD,010,100000,,,015,140000,,,045,140000,,,/

16,115,40000,Z,,,Lockbox Payment from 6015630,,,,,,,,,/

49,140000,99,,,,,,,,,,,,,/

98,140000,1,99,,,,,,,,,,,,/

99,140000,1,99,,,,,,,,,,,,/

02,EBSTest,021000021,1,070312,0944,USD,,,,,,,,,/

03,008172915,USD,010,200000,,,015,100000,,,045,100000,,,/

16,475,100000,Z,,,Check #10003,,,,,,,,,/

49,100000,99,,,,,,,,,,,,,/

98,100000,1,99,,,,,,,,,,,,/

99,100000,1,99,,,,,,,,,,,,/

Copy the data between the lines and paste in text file and save the file. Make sure it can

be accessed by the EBS Import program.

Step 01 – Setup House Bank

Define House Bank

(I have used an existing House Bank – JP Morgan Chase for the organization)

House Bank Details

Bank Accounts Overview

Bank Account Details – Check (Checks Paid)

Enter the following data as shown in the following table

S No Field Value

01 Bank Account 008172915 (Account Number of your org with bank

02 GL 111553 (whatever GL Account you want to use

03 Currency USD (Organizational Currency)

04 Bank Key 021000021 (Each bank is identified by bank key)

05 Bank Name JP Morgan Chase (Name of your bank)

| S No | | | Field | | | Value |

01 | | | Bank Account | | | 008172915 (Account Number of your org with bank | |

02 | | | GL | | | 111553 (whatever GL Account you want to use | |

03 | | | Currency | | | USD (Organizational Currency) | |

04 | | | Bank Key | | | 021000021 (Each bank is identified by bank key) | |

05 | | | Bank Name | | | JP Morgan Chase (Name of your bank) | |

Bank Account Details – Lkbox (Lockbox Account)

Enter the following data as shown in the following table

S No Field Value

01 Bank Account 008311049 (Account Number of your org with bank

02 GL 111552 (whatever GL Account you want to use

03 Currency USD (Organizational Currency)

04 Bank Key 021000021 (Each bank is identified by bank key)

05 Bank Name JP Morgan Chase (Name of your bank)

| S No | | | Field | | | Value |

01 | | | Bank Account | | | 008311049 (Account Number of your org with bank | |

02 | | | GL | | | 111552 (whatever GL Account you want to use | |

03 | | | Currency | | | USD (Organizational Currency) | |

04 | | | Bank Key | | | 021000021 (Each bank is identified by bank key) | |

05 | | | Bank Name | | | JP Morgan Chase (Name of your bank) | |

Step 02 – Define and Setup EBS Framework

Create Account Symbols

S No Account Symbols Description

01 ZMASTER Maser GL Account

02 ZCHKLOCK Checks In (Lockbox)

03 ZCHKOUT Checks Out

Note: Based on the requirement additional account symbols can be created. Right now only those

account symbols that are highlighted are going to be used.

Assign Accounts to Account Symbols

S No Account Symbol GL Account Comments

01 ZMASTER 111550 Pick the account from the chart of accounts of

02 ZCHKOUT +++++3 your organization.

03 ZCHKLOCK +++++2

| S No | | | Account Symbols | | | Description |

01 | | | ZMASTER | | | Maser GL Account | |

02 | | | ZCHKLOCK | | | Checks In (Lockbox) | |

03 | | | ZCHKOUT | | | Checks Out | |

Note: Based on the requirement additional account symbols can be created. Right now only those account symbols that are highlighted are going to be used. | | | | | | | |

| S No | | | Account Symbol | | | GL Account | | | Comments |

01 | | | ZMASTER | | | 111550 | | | Pick the account from the chart of accounts of your organization. | |

02 | | | ZCHKOUT | | | +++++3 | | | | |

03 | | | ZCHKLOCK | | | +++++2 | | | | |

Create Keys for Posting Rules

S No Posting Rule Description

01 Z004 Outgoing Check (Outsource)

02 Z010 Checks In

Define Posting Rules

Define the Posting Rule as show in the following screenshots for each of these

Z004 – Outgoing Check (Outsource)

| S No | | | Posting Rule | | | Description |

01 | | | Z004 | | | Outgoing Check (Outsource) | |

02 | | | Z010 | | | Checks In | |

Z010 – Checks In

Create Transaction Type

Note: In this demo we are using BAI format, hence prefixed BAI with ‘Z’.

Assign External Transaction Types to Posting Rules

Assign Bank Accounts to the Transaction Types

This completes the EBS Configuration for the Electronic Bank Statement upload.

Step 03 – Test the EBS Upload

TCode: FF_5

Application Menu: Accounting (cid:198) Financial Accounting (cid:198) Banks (cid:198) Input (cid:198) Bank

Statement (cid:198) Import

Enter the parameters as show above for File Specifications, Posting Parameters, Cash

Management, Algorithms, and Output Control. In Posting Parameters we have selected radio

button ‘Do Not Post’ to do a test run.

Click Execute.

The program upon execution generates the following screen shots detailing the information on

EBS Upload file being uploaded.

Screen - 001

Click Back to display the next screen

Screen – 002

Click Back to the final screen

Screen – 003

After you run the FF_5 – Import transaction and if all these screens appear with no errors, then

your EBS Configuration and Framework definition is good to go.

And this completes the final and most important step of testing what we did earlier.

Note: To get a better understanding of the Transaction Types, Posting Rules, House

Banks etc., please refer to SAP Standard Guide for Electronic Bank Statement guide.

Suggestions/Requests

suggestions@srilogix.com

The content outlined in this document is intended for the purposes of demonstrating a specific functionality in SAP R/3. A detailed

study should be carried out to analyze the requirements and to configure the system to meet the business requirements... Sri Logix

Inc., does not take any responsibility to whatsoever purpose this document is/will be used for.

Note: To get a better understanding of the Transaction Types, Posting Rules, House

Banks etc., please refer to SAP Standard Guide for Electronic Bank Statement guide.

郑德鼎

关于作者:郑德鼎

企业信息化与 SAP 技术顾问,长期专注 SAP ABAP、FI/CO、MM、SD 等模块的技术分享与实战经验总结。查看更多介绍

来源说明:本文内容由「Electronic Bank Statement.pdf」整理生成,仅用于内部技术分享与学习交流。