One of the most common requirements is the segregation of responsibilities in the Finance department: who can Post Journal Entries (JE)? Who can Submit JE? Who can verify whether to accept or reject the JE?
SAP S/4HANA Cloud provides you with a standard solution to configure flexible workflows in the Verification Journal Entries process, where you can define Business Users as Requestors who can submit JE and Business Users as Processors who can approve or reject the JE.
In this blog, I explain how to define the business roles and responsibilities groups for the Requestors and Processors and activate the Workflow to verify the Journal Entries.
The following example was executed in an SAP Internal System. The activation of the Workflow to Verify General Journal Entries is based on the documentation provided by SAP Help Portal - SAP S/4HANA Cloud 2302 Examples of Defining Workflows for Journal Entry Verification > Example 3 Link.
Let's assume the requirement is the following:
The GL Accountant wants to verify all Journal Entries for a specific Company Code submitted by other business users. The Accounting Manager wants to verify the JE when the amount is equal to or exceeds 5,000 USD in the Post General Journal Entries app before posting.
The configuration consists of three parts:
The definition of this role allows business user requestors to submit JE instead of Post directly. The Submit status does not impact accounting until the processor verifies and accepts the JE.
Configuration:
Open the Maintain Business Roles app
Remove the Requestor Business User in the GL_ACCOUNTANT role.
Delete the GL_ACCOUNTANT role from the Business User Requestor to take off the authorization to Post JE directly.
Configuration:
Open the Maintain Business Users app
Add the new GL_ACCOUNTANT role created in the first step to the Business User Requestor to authorize the submission of JE.
Configuration:
Open the Manage Business Roles app
In this step, define the Business User Processors that will approve or reject the Submitted Journal Entries. Create a Team for each approval level.
Configuration:
Open the Manage Teams and Responsibilities For Journal Entry Verification in General Ledger app
In this step, you will create the workflow with two approvals levels in sequence based on the threshold amount. For this example:
Define the Workflow to trigger the verification step:
The following step is to create the first level of verification for Journal Entries:
Recipients tab
Steps Conditions tab:
Go back to the previous screen.
The following configuration is to create the second level of verification Journal Entries.
Configuration:
In the initial screen, click the Create button in the Workflow Steps.
Header:
Recipients:
Step Conditions:
Go back to the previous screen.
On this screen, click the Save button and then the Activate button.
Go back to the initial screen.
The new Workflow must appear as an Active status.
Once the configuration is completed, all the Journal Entries created by the Requestor are expected to be saved with the Submitted status.
In the Verify General Journal Entries app, you can see the journal entries' current status and who the processor is, which is pending approval.
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