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Table Of Contents

INTRODUCTION
1. COMPANY CODE CONFIGURATION
1.1 Creating company code
1.2 Maintain Fiscal Year Variant
1.3 Assign Company Code to a Fiscal Year Variant
1.4 Define Posting period Variant
1.5 Open and Close Posting Periods
1.6 Assign Posting period Variant to Company code
1.7 Create document number ranges for company code
1.9 Define document type and assign document number range
1.10 Enable Fiscal Year Default
1.11 Enable Default Value date
1.12 Maintain Field Status Variants
1.13 Assign Company Code to Field Status Variants
1.14 Screen variants for document entry
1.15 Define Tolerance Groups for Employees
1.16 Assign User/Tolerance Groups
1.17 Maximum Exchange Rate Difference
1.18 Define Company
1.19 Assign company code to company
1.20 Define text for line items
2. GENERAL LEDGER CONFIGURATION
2.1 Create Chart of accounts
2.2 Assign Company code to Chart of accounts
2.3 Define Account Group
2.4 Define Retained Earnings Account
2.5 Check company Code settings in Global parameters
2.6 Create GL account in Chart of accounts and company code
2.7 Delete G/L Account (OBR2)
2.8 Delete Chart of Accounts (OBY8)
2.9 Create Additional sort keys (OBY8)
3. DEFINING VALIDATION & SUBSTITUTION
3.1 Define Validations for Posting
3.2 Define Substitution in Accounting Documents (OBBH)
4. PARALLEL CURRENCIES CONFIGURATION
4.1 Define Additional Local currencies (Optional)
4.2 Define Additional Local currencies for Ledgers (Optional)
5. TAX SETTINGS SALES / PURCHASE CONFIGURATION
5.1 Check Calculation Procedure
5.2 Assign Country to Calculation Procedure
5.3 Define Tax Codes for Sales and Purchases (FTXP)
5.4 Assign Company Code to Document Date for Tax Determination
5.5 Specify Base Amount
5.6 Define Tax Accounts (OB40)
5.7 Assign Tax Codes for Non-Taxable Transactions
6. Configuration for GL Automatic clearing: -
6.1 Automatic Clearing
6.2 Define Tolerance Groups for G/L Accounts
6.3 Assigning accounts for GL Clearing Differences
7. Configuration for Foreign currency Valuation
7.1 Define Valuation methods
7.2 Assign GL accounts for Foreign Currency valuation
8. Configuration for regrouping postings
8.1 Define Adjustment Accounts for GR/IR clearing
9. Creating Balance sheet and Profit and Loss account
9.1 Define Financial Statement Version (FSV)
10. FI Integration with other modules
10.1 Integration with Overhead Cost Controlling
10.2 Integration with Materials Management
10.3 Integration with Sales and Distribution
11. Set Company Code to Productive
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GL Configuration

GL Configuration

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Published by Mahesh Goud Athelli

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Published by: Mahesh Goud Athelli on Jul 17, 2011
Copyright:Attribution Non-commercial

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04/12/2013

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