In today’s fast-changing job market, having the right skills can make all the difference. Whether you’re a student, a job […]
In this configuration activity we are able to define dunning procedures. Main settings are how many levels do we have, […]
This configuration action allows us to specify the reasons for dunning blocks. They are employed to keep customers or specific customer products from being dunned. Transaction: OB18 IMG Path: Financial Accounting (New) -> Accounts Receivable and Accounts Payable -> Business Transactions -> Dunning -> […]
You can specify risk categories for credit control zones in this setting exercise. When you wish to classify various risk levels, those are useful. For instance, high-, medium-, and low-risk clients, as well as new and existing ones. Transaction: OB01 IMG Path: Financial Accounting (New) -> Accounts Receivable and Accounts Payable -> Credit Management -> Credit Control Account […]
We can provide the reason codes that are utilized in payment postings in this configuration action. You might have various codes and GL account postings depending on various situations with their assistance. Transaction: OBBE IMG Path: Financial Accounting (New) -> Accounts Receivable and Accounts Payable -> Business Transactions -> Incoming Payments […]
You can specify tolerance groups for client payments in this configuration action. In order to keep a sound controlling environment when clearing customer items, those are required. Transaction: OBA3 IMG Path: Financial Accounting (New) -> Accounts Receivable and Accounts Payable -> Business Transactions -> Incoming Payments […]
In this configuration activity we are able to assign a number range to an account group for customer master data. […]
We can retain customer master data number ranges in this configuration action, which we can then utilize to allocate them to account groups. Number ranges can be assigned to you internally or externally. Transaction: XDN1 IMG Path: Financial Accounting (New) -> Accounts Receivable and Accounts Payable -> Customer Accounts -> Master Data -> […]
Based on the tasks we are completing, we can provide the screen layout version for client master data in this configuration activity. Transaction: OB20 IMG Path: Financial Accounting (New) -> Accounts Receivable and Accounts Payable -> Customer Accounts -> Master Data -> […]
You can specify different screen layouts for client master data according to company code in this configuration action. Tranasction: OB21 IMG Path: Financial Accounting (New) -> Accounts Receivable and Accounts Payable -> Customer Accounts -> Master Data -> Preparations […]

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