
Tax authorities sometimes require a monthly revenue report on a cash basis, where revenue/expenses are accounted for when a payment has been received/made.
In this blog, we explain how the Cash Flow Reporting feature can be used in SAP PSCD to support this requirement.
Let's first have a look at the accounting postings when cash flow reporting is inactive, and then when it's active.
a) | Receivable and charges are posted |
a') | Transfer to General Ledger |
b) | Payment is received in FI (bank statements) |
c) | Payment is transferred to PSCD and clearing takes place |
c') | Transfer to General Ledger |
a) | Receivable and charges are posted |
a') | Transfer to General Ledger |
b) | Payment is received in FI (bank statements) |
c) | Payment is transferred to PSCD and clearing takes place + Zero balancing takes place |
c') | Transfer to General Ledger |
SAP note 1769341 - Cash Flow Reporting with PSCD and New G/L - SAP for Me, released in 2012, describes the customizing steps to implement cash flow reporting with SAP PSCD.
Every account must be assigned to an item category. The item category characterizes the items of an accounting document, derived from an account type, such as cash accounts, balance sheet accounts, and revenue accounts. Cash accounts (bank accounts and bank clearing accounts) must be assigned to category 04000. Balance sheet accounts must be assigned to 01000 and revenue accounts to 30000.
The document type specifies the business process.
A document type defined for incoming cash is assigned to business transaction 0400 (Bank account statement).
A document type used for forwarding postings to FI is assigned to business transaction 0000 (Unspecified posting).
From the document type used for forwarding postings, the system derives a business transaction and variant. For the relevant splitting rule, the correct account key must be assigned to that rule. It must be an account key with an account for cash postings as well as non-cash postings.
A zero-balance account for cash postings must be defined (IMG - Financial Accounting - General Ledger Accounting - Business Transactions - Document Splitting - Define Zero-Balance Clearing Account). Postings on the cash-relevant zero-balance account receive the item category 01001 (Zero-Balance Posting).
Finally, assign a default account assignment to constant 0PACC; Use anything else but RE_ACCOUNT (IMG - Financial Accounting - General Ledger Accounting - Business Transactions - Document Splitting - Edit Constant for Nonassigned Processes)
The CFR report can be accessed via transaction code PSFCL.
Selection groups can be maintained via transaction codes GS01/02/03 in the SAP Report Writer.
The following selection groups can be maintained:
The Cash Flow Analysis report then looks like the below:
From SAP Help
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