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When uploading bank statement in FF_5, the items got cleared on account incorrectly.

kavmp
Participant
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177

When bank statement is uploaded through FF_5, the items at subledger level are getting cleared incorrectly. The subledger posting is done for 135000 amount where it should not have done against it as the correct amount from the xml file was 134975. In spite of the 25 dollars difference, it is clearing against 135000. 

I have debugged and check the code, but not able to make progress with the issue. Any help is appreciated. Thanks!

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RaymondGiuseppi
Active Contributor
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Did you already check for Customizing (clearing amount, tolerance groups) OBA3 for partner and OBA4 for user.

kavmp
Participant
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Yeah but there are no tolerance groups assigned for the company code in question.
RaymondGiuseppi
Active Contributor
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Has message F5264 been customised as a warning or even to be ignored?

(Are there messages in posting log)