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As of S/4HANA 2020 in GL Master Data is avaiable a new account type for Cash Account.
Follow this step by step how to implement this new banking solution with less G/L accounts involved in the process. The main bank account has a reconciliation account parameter, thus allowing the creation of new checking accounts with less configuration in payment methods.
Video:
Presentation Deck Screenshot:
Using the setup for Bank Reconciliation Account, the GL Account receives direct entries from financial transactions.
The new approaching suggests less GL Accounts involved in the process.
GL Account type settings:
GLACCOUNT_SUBTYPE = “B”
Bank sub account settings
GLACCOUNT_SUBTYPE = “S”
House Bank and Account ID
FBZP – Bank Subaccount has no need to add new GL Account
OT83 and S_ER9_11001586
Automatic Payment Program - App
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