You are on page 1of 17

Hello,

If you want to post cash journal entries in FBCJ then you have to create business transactions in FBCJC2. Bus.transactiona can be
created under different bus.transaction types such as

R - Cash receipts/revenues

E - Cash payments/expenses

B - Bank deposits

C - Withdrawals from bank

D - Cash receipts from /payments to customers

K - Cash receipts from /payments to vendors.

In FBCJ you have to select the respective bus.transaction you created and make the postings under the tabs cash payments , cash
receipts , check receipts.

Hi,

You have to check the following settings whether exists or not before posting any entries in FBCJ:

Steps:

1. Create a GL A/c (Petty Cash A/c) in FS00: Important Fields to be selected:

A. Under Control Data, select "Only balances in local currency" and

B. Under Create/bank/interest, select "Post automatically only" and "Relevant to cash flow"

2. Amount Limit (FI_BL_CJ_V_MAXAMOUNT):

Here give the maximum amount limit for your cash journal
3. Define Document Types for Cash Journal Documents (OBA7):

Document type for cash journal: CJ is available in the std SAP system. We need not create it. If it is not available (For example, it is
not available in 4.7), we have to create it.

4. Define No Ranges for Cash Journal (CJC1):

Create document number ranges in T code CJC1 and assign the same to the document type: CJ (In step No.3)

5. Set Up Cash Journal (CJC0):

To set up a new cash journal for a company code, enter the appropriate data for the following fields:

A. Company Code

B. CJ number: This is a random number for CJ identification purpose

C. G/L account: Itu2019s nothing but Petty Cash A/c created in Step 1.

D. Currency: Currency in which you want to run the cash journal

E. Document Types: AB, KZ and DZ

6. Create, Change, Delete Business Transactions (CJC2):

Business transaction types:

E (Expense): Here you can select the GL A/c for expenses (For example: Admn Exp A/c, Rent A/c, Conveyance A/c, Miscellaneous
Expenses A/c etc.)

R (Revenue): Here you can select Revenue GL A/cs like Sales A/c etc.

B (Cash transfer cash journal to bank): Itu2019s nothing but Cash deposited into Bank. Select Bank GL A/c here.

C (Cash transfer bank to cash journal): Itu2019s nothing but Cash withdrawals from Bank. Select Bank GL.

D (Customers-incoming/outgoing payment). Since it is related to Customers (Sub ledger A/cs), we need not select any account
number. We have to Customer A/c number at the time of posting the entry in FBCJ.
K (Vendors-outgoing/incoming payment): Same rule for Customers.

These are the important settings before CJ posting.

Cash Journal Posting: T Code: FBCJ

Steps:

1. Select suitable Business Transaction Types i.e Cash Payments or Cash Receipts before entering any line items

2. Keep cursor under Business Transaction and press F4. You will find all the transactions which are entered in Step No. 6 above.
Select suitable business transaction, give other necessary details and post the entry.

Hi Swamy,

thank u so much, this is realy valuable.

it means that Business Transactions are nothing but grouping? please correct me if i m going wrong.

now please lemme if based Cash Journal's Business Transaction, will i be able to generate a MIS/Cash Book analysis, to track the
cash outflow Business Transaction wise?

Hi Merchant,

It is a business transaction Name, Which is attached to G/L Account for carrying out posting of cash payment or receipt entry directly
to GL Account other then cash account. This can be configured or as well as created fro SAP Menu, while entering New Transaction.
- While Carrying out Cash journal Entry Business Transaction name will be asked not G/L Account

Hope this is clear.

Rgds
Manish

This is complied for understanding of basic concepts of cash journal configuration with steps of:
Creating Cash Journal (T. Code FS00)
Define Document Types for Cash Journal Document (T. Code OBA7)
Define Number Range Intervals for Cash Journal Document (T Code FBCJC1)
Setup Cash Journal (T Code FBCJCO)
Create Business Transactions ( T. Code FBCJC2)
Cash Journal Entry ( T Code FBCJ)

Configuration For Cash Journal


Cash Journal:

IMG/FA/BANK A/C / BUS TRANS/ CASH JOURNAL

- Create GL a/c for Cash Journal Ensure post automatically is on, so that posting can take place
automatically. [ 100000 Petty Cash A/c ]
- Define doc types for Cash Journal Docs - SK [other doc types SA GL, DZ Customer Receipt, KZ Vendor
Payment] [ OBA7 ]

- Define No range & interval for Cash Journal documents [ FBCJC1 ] - copy from 0001.

- Setup cash journal : [ FBCJC0 ]


Give a Cash Journal Code
Various code for GL A/cs, Customers, Vendors.

- Create, Change, Delete Business Transactions [ FBCJC2 ] : These tran types can be copied, but as
they are linked to GL a/cs, change as reqd. These can be accessed at FBCJ.
C receipts from bank GL a/c -------
B payment ot bank GL a/c --------
R Sales

For vendors & Customers, GL a/cs need not be given, as they will be different for A/P, A/R.

- Setup Print params [ FBCJC3 ] copy from 0001, output device LP01.
- Posting - SAP/A/c/FA/GL/Doc Entry - Cash Journal Posting FBCJ

Posted by RaviRamanujam at 6:13 PM

P Cash Bank Accounting (cash Journal) FBCJ

Cash journal SAP T Code FBCJ

This Cash journal is a single-screen entry for making all cash receipts and payments.
Each cash journal can be assigned to one G/L account.
Cash transactions can be saved in the cash journal and can be posted later to the general ledger. (for eg. At the
end of the day)
Choose the correct company code and a cash journal code.
Depending on what transactions you want to enter, select either the Receipts or Payments tab.
Posted entries can also be deleted, the system will pass an reversal entry automatically.
We can see the line items / balances day wise, weekly and monthly.
We can print Cash receipt vouchers immediately on entry.
Day book / cash journal can also be printed.

Cash Receipts

1 Cash receipts from Bank


2 Cash receipt from another cash pool. ( eg. Main cash to petty cash )
3 Cash receipt from an employee.
4 Cash receipt from a Customer
5 Cash receipt from the Supplier
6 Cash receipt against sale of scrap

Cash payments

1 Cash payment to employee towards any expense reimbursement.


2 Cash payment towards travel / employee as advance
3 Cash transfer of one cash A/c to another
4 Cash withdrawal by employees against personal cheques.
5 Payment of wages at factories
6 Cash deposited in bank.
7 Cash payment towards spares & material purchase in some cases
8 Cash payment towards freight & octroi.
9 Cash payment towards establishment expenses.

For Cash receipt (withdrawal from bank for petty cash)

Cash withdrawal from Bank will be through a self cheque

We need to create Self as vendor.

Vendor A/c (self) Dr


To Bank A/c Cr
(On withdrawal of cash from bank with a self cheque)

On cash receipt in the location entry will be made in cash receipts of Cash Journal FBCJ
A business transaction for cash receipt will be selected on receipts tab.
Entry will be as follows:
Cash Pool A/c Dr
To Vendor A/c (Self) Cr
(On receipt of cash in cash pool )

For Cash receipt from Sale of Scrap

On cash receipt, entry will be made in cash receipts of Cash Journal. FBCJ
The invoice for sale of scrap will also be raised (covered under PDD .xxx.)
Business transaction for scrap sale will be selected.

Accounting entry will be.


Cash Pool Dr.
To Customer A/c Cr.

For Payments expenses (other than employees)


Depending on business transaction selected, enter Cost center, Profit center or WBS (projects) code is asked.
WBS element selected identifies all costs related to the Projects.

Example of journal entry generated :


ODE / Project cost A/c Dr.
TO Cash Pool A/c Cr.

For Employee related payments & receipts

Employees are to be created as vendors


Employee payments covered are of the following nature :

Personal Cheque Encashment.


Any kind of advance paid
Reimbursement of expenses.
Payment of wages (at factories only).
Payment of Perks / allowances

Cash is paid against receipt of employees personal cheques. For these cheques receipt will be accounted through
incoming payments from Vendor F-52 .

The entries will be :


Vendor Account (employee) A/c Dr
To Cash Pool Cr
(Cash paid against personal Cheque)

Bank A/c Dr
To Vendor Account (employee) A/c Cr
(After banking the cheque and making entry for cheque receipt )

Cash will be paid to employees as advance against travel, Salary or festival. This payment will be booked to
employee vendor account in Cash Journal (FBCJ).

Vendor Account (employee) A/c Dr


To Cash Pool Cr

The cashier also need to pass a Transfer Posting entry in F-51 with a special GL Indicator. The Special GL indicator
is used to identify various types of advances made. This posting will transfer the Debit from Employee Vendor
account to advances account. Even though it is transferred from employee vendor control account, it can still be
tracked with the employee vendor.

Settlement of advances can happen through :


Travel expense voucher.
Partial cash return & remaining through expense voucher.
Payment return through cheque.
Deduction from salary.

The settlement of vouchers will be booked as employee vendor invoices. The travel expense settlement process will
result either into refund from or payment to the employee either by cash or cheque. Cash refund from or to
employee can be done through cash journal.

Further, Advance account has to be cleared with the expenses booking voucher using session F-44

SAP T Code to be Used

FBCJ : Cash Journal

Previous Entry: Account Receivable AR Incoming Payment Process in SAP

Next Entry: SAP Bank Reconciliation Process

You may be interested in


SAP Checks Management
SAP Bank Reconciliation Process
SAP Bank Accounting End User Documents
SAP Bank Accounting Configuration Document
SAP Bank Accounting Concept Document

Posted in Financial Accounting

Tags: SAP BANK

You can follow any responses to this entry through the RSS 2.0 Feed. You can leave a response , or trackbackfrom your own site.

Advertisement

5 comments

Add your comment

1. govind agarwal

September 12, 2009 at 10:18 PM

Sir,
Pls send the details of cash / bank entry creat in a SAP.
Govind

2. Kelemogile

September 27, 2010 at 3:37 PM

We can print Cash receipt vouchers immediately on entry what are the steps of Printing the Cash Receipt voucher ? I tried to
click on the Receipt printer icon but nothing happened.

3. sreekanth

January 21, 2011 at 10:14 AM

Very good explanation

4. parag

August 29, 2011 at 11:28 AM

in fbcj i want to O/acct text beside Offsetting acct no. and order disription .s_alr_87012309 how to take park doucement.

5. narender

June 3, 2012 at 12:05 PM

what is cash journal configuration and how to cash withdrawal and deposit in the bank. it must take the cheque number and bank
name.
please pass me in information my mail id v_vnarendra@yahoo.com

Leave a Reply
Name (required)

Mail (will not be published) (required)

Website
Submit Comment

Notify me of follow-up comments by email.

Notify me of new posts by email.

o SUBSCRIBESubscribe to my blogs feed

o PREVIOUS ENTRYAccount Receivable AR Incoming Payment Process in SAP


o NEXT ENTRYSAP Bank Reconciliation Process

CASH JOURNAL
By: saket | 08 May 2008 2:03 pm

Create GL Account for Cash Journal


T-code (FS00)
Financial Accounting
General Ledger Accounting
Bank Accounting
Business Transactions
Cash Journal
Create GL Account for Cash Journal
(Make this account capable of automatic posting)

Define Document Types for Cash Journal

Financial Accounting
General Ledger Accounting
Bank Accounting
Business Transactions
Cash Journal
Define Document Types for Cash Journal

Define Number Range Interval for Cash Journal Document

Financial Accounting
General Ledger Accounting
Bank Accounting
Business Transactions
Cash Journal
Define Number Range interval for Cash Journal Document

Determine whether the number range interval 01 has already been predefined by the system.
If number range interval 01 has not been predefined, define the interval in the company code required.
Set up cash Journal

Financial Accounting
General Ledger Accounting
Bank Accounting
Business Transactions
Cash Journal
Set up cash Journal
Create, Change, Delete Business Transaction

Financial Accounting
General Ledger Accounting
Bank Accounting
Business Transactions
Cash Journal
Create, Change, Delete Business Transaction
Set up Print Parameter for cash journal

Financial Accounting
General Ledger Accounting
Bank Accounting
Business Transactions
Cash Journal
Set up Print Parameter for cash journal
(FF_Cash 20 SAP 18)
In order to print the cash journal and the cash journal receipts, you have to set up the corresponding print program parameters per
company code.
For Posting the transaction in cash journal
(FBCJ)
Accounting
Document Entry
Cash Journal Posting

CASH JOURNAL
IMG/FA/BANK A/C / BUS TRANS/ CASH JOURNAL1. Create GL a/c
for Cash Journal Ensure post automatically is on, so that
posting cantake place automatically. [ 100000 Petty Cash A/c ]
IMG > Financial Accounting > Bank Accounting > Business Transaction >
C a s h J o u r n a l Create G/L Accounts for Cash
Journal
It refers to the activity at FS00. Petty cash items are entered thru Cash
Journal while in some cases, even receipt of customercheques is also
allowed.SAP standard Petty Cash a/c no. is 100000Important settings
are:FSV G001 (with text, assignment)Post automatically on Relevant to
Cash Flow yes
2. Define doc types for Cash Journal Docs - SK [other doc
types SA GL, DZ CustomerReceipt, KZ Vendor Payment]
[ OBA7 ]3. Define No range & interval for Cash Journal
documents [ FBCJC1 ] - copy from
0001.4. Setup cash journal : [ FBCJC0 ]a. Give a Cash Journal
Codeb. Various code for GL A/cs, Customers, Vendors.
Set up Cash Journal
Here a name (usu. Petty Cash) and code (any numeric or character) is
given to the Cash Journal w.r.t the Company Code.Though CJ code shows
a pop-up button, no CJ code is available as it is created here only. So give
any code desired and save.One Cash Journal can be maintained for one
currency type. However if one want to maintain more than one currency
in thesame Cash Journal, G/L Account for Cash Journal should not have
Post Automatically On (FS00).
5. Create, Change, Delete
Business Transactions [ FBCJC2 ] : These tran types
can becopied, but as they are linked to GL a/cs, change as
reqd. These can be accessed atFBCJ.a. C
receipts from bank GL a/c -------b. B payment ot bank GL
a/c --------c. R SalesFor vendors & Customers, GL a/cs need not
be given, as they will be different forA/P, A/R.6. Setup Print
params [ FBCJC3 ] copy from 0001, output device
LP01.7. Posting - SAP/A/c/FA/GL/Doc Entry
- Cash Journal Posting FBCJ
Financial Accounting Tcodes
Financial Accounting Define Company

0X15 Define Company Company Codes


OXO2 Assign Company Code to Company
OX16 Define Business Area
OXO3 Create Chart of Accounts
OB13 Assign Chart of Accounts to Company Code
OB62 Create the Account Groups
OBD4 Retain Earning Accounts
OB53 Creation Fiscal year Variant
OB29 Assign Fiscal year variant to company Code
OB37 Define Posting Periods Variant
OBBO Assign Posting period variant Company Code
OBBP Define Open and Closing Periods for Variant
OB52 Path for posting Period at user Level
S_ALR_87003642

You might also like