Cash Management SAP S - 4HANA
Cash Management SAP S - 4HANA
Cash Management SAP S - 4HANA
In the Bank Account Hierarchy view, choose the Edit Bank Hierarchy button.
In the right side of the screen, from the list, select a node under which you want to add a bank
(BANK1 — 50070010).
From the left side of the screen, choose the bank to be added (12345612) under the selected node
On the Manage Banks screen choose the bank previously created (12345612).
Choose Edit button and select House Banks tab
On the Search G/L Accounts screen, enter the G/L Account 11001000 and enter the Chart of
Accounts YCOA
Click on the displayed account number. Select the GL Account line
Enter the required data in the House Bank and Account ID fields.
Choose ok
Choose Save.
The mapping between G/L account and house bank master data needs to be defined as a 1:1
relation. For each house bank an individual G/L account should be created.
The message is displayed as “Account has been saved successfully”
6. Approve the creation of new bank account
On the SAP Fiori Launchpad, Choose My Bank Account Worklist tile
Select our account number of the bank if you want to view the details
It displays the details of the bank
Here we see the bank status is Active
Here it displays the account details of the bank
8. Close a bank account at the end of year:
On the SAP Fiori Launchpad, Choose Manage Bank Accounts tile
\
Enter your user in the search box term Select cash manager
Enter your user in the search box term Select cash manager
Select create button
Click on Save
Here data was saved
10. Make a bank transfers
On the SAP Fiori Launchpad, Choose make bank transfers tile
Click on payment method drop down button and Select bank transfer
Enter transfer amount in the note box
Click on make bank transfers
These are the bank transfer details and click on Payment details
Here we will see the payment details
11. Configure the Payment Program
On the SAP Logon, Click on S4IDES, Click on Logon
Enter user name as BEST and Password as Welcome123 (W caps) and click on enter
Click on confirm selection
On the Change View "Company Codes": Overview screen, double-click the required company
code.
On the Change View "Company Codes": Details screen, verify and, if necessary, update the data
in the Sending company code , Paying company code , Tolerance days for payable as 5, and
Outgoing pmnt with cash disc. From as 2.0 and choose Save button
Click on continue
Here data was saved
On the Change View "Paying Company Codes: Overview" screen, double-click the appropriate
paying company code.
On the Change View "Paying Company Codes": Details screen, verify and, if necessary, update
the data in the Minimum amount for incoming payment and Minimum amount for outgoing
payment fields and click on form fields
Verify the data in the Form for the Payment Advice field. Choose Save
Click on create request
Enter Country as DE
Payment Method as S and click on continue
Double click on Payment method ‘S’
On the Change View "Payment Method/Country": Details screen, take note of the settings
selected.
Choose Back
On the Change View "Payment Method/Country": Overview screen, choose payment method ‘T’
for Germany.
On the Change View "Payment Method/Country": Details screen, take note of the settings
selected
Choose back twice.
4. Choose Set Up Payment Methods per Company Code for Payment Transactions
On the Change View "Maintenance of Company Code Data for a Payment Method": O screen,
choose payment method S.
On the Change View "Maintenance of Company Code Data for a Payment Method": D screen,
take note of the settings selected.
On the Change View "Maintenance of Company Code Data for a Payment Method": O screen,
choose payment method T.
On the Change View "Maintenance of Company Code Data for a Payment Method": D screen,
take note of the settings selected.
Click on save
Here data was already saved
4. Assign the selection variant SEPA_CT_VAR to the payment medium format SEPA_CT
for your company code and house bank
On the Display IMG screen, choose Financial Accounting (New) → Accounts Receivable and
Accounts Payable → Business Transactions → Outgoing Payments → Automatic Outgoing
Payments
Expand Payment Media → Make Settings for Payment Medium Formats from Payment Medium
Workbench → Select Create/Assign Selection Variants.
On the Payment Medium: Selection Variants screen, double-click the payment medium format
“SEPA_CT”.
In the Paymt Medium Output Separated With... area, scroll down to your company code 1010
and house bank Bank1, enter the variant SEPA_CT_VAR. Choose Save.
On the Change View "Ranking Order": Overview screen, for the required payment method (T),
overwrite the value in the House Bk (house bank) field with the required data, Choose Save
Click on Create request
On the Change View "Bank Accounts (Enhanced)": Overview screen, choose New Entries.
On the New Entries: Overview of Added Entries screen, enter the required data in the House Bk
(house bank), PM (payment method), Acct ID (account ID), and Bank subacct (bank subaccount)
fields. Choose Save.
On the Change View "Available Amounts": Overview screen, choose New Entries.
On the New Entries: Overview of Added Entries screen, enter the required data in the House
Bank, account ID, Days, Currency, and Available for outgoing payment fields. Choose Save.
On the Change View "Value Date": Overview screen, choose New Entries.
On the New Entries: Overview of Added Entries screen, enter the required data in the
payment method, house bank, Account ID, Amount Limit, and Days fields. Choose Save
Payment run indicator: select drop down list and select R press enter
Click on new entries
Enter Identifier as 000* and select BRM check box Click on save button
Click on create request
Click on continue
Here data was saved