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Bad debt configuration

ERP 1846 views 2 replies

waht the step to be performed for configuration of bad debt anf provision for bad debt .also required entry from end user point

Replies (2)

Dear  Rahul,

Follow the following steps.

 

1. Create provision for bad & doubtful debts.

2. Get approval from board/manager

3. Transfer to bad debts from provision.

4. Clear the debtors balance.

 

if you like to have entries, just mail me vinodkumar2001 @ msn.com .

 

Regards

Vinothkumar.CMA

Hi,

 

The procedure for Bad debt configuration:-

 

Define Methods: SPRO / Financial Accounting / Accounts Receivables & Payables / Business transactions / Closing / Valuate / Reserve for bad debts 

- OB04

- Double click define methods

- Select New entries button

 

Save

Creation of Bad Debts Account: FS00

 

Co.code: XXXX  

- Select with template button  G/L A/c:XXXXXX    Co.Code : XXXX

Account group: Administration 

- Select P & L Radio button

Short text: Bad debts    Long text: Bad debts  

- Select control tab button     Current currency: INR

- Select only local currency check box     

- Select line item check box,  Sort key:001  Field status variant: G001                                       

- Save

 

Define Accounts for Reserve & Bad Debts:  

- OBXD

 

SPRO / Financial Accounting / Accounts Receivables & Payables / Business transactions / Closing / Valuate / Define Accounts for Reserve & Bad debts

Chart of Accounts: XXXX

 

PROVISION METHOD     DEBIT     CREDIT

       XXX     XXXXXX      XXX        XXX        

 

Select rules tab button  Accounts are determined based on 

- Select      Debit/Credit    check box 40/50

- Select provision method check box

- Save

 

Special G/L Account:  

- FBKP

 

Double click Special G/L

Account Type     Special G/L     Special G/L Indicator 

   D          E          Reserve        Reserve for Bad debts

 

Double click Reserve 

 

Chart of Accounts

 

Account Assignment    

Reconciliation A/c:XXXXXX (SD)    Spl.G/L-XXXXXX               Save

 

Accounting / Financial Accounting / Accounts Receivable / Periodic processing / Closing / Value / Receivable transfer posting (Gross)   

         

Customer A/c:XXXXXX          Provision method: XXXX

Special G/L Indicator for Debit Rec: E (Reserve for bad debts)

- Select create batch input session check box    

 

- Batch input session name: SAPF103 

- Posting Key:09  Posting document: DA 

- F8

From the menu Select -> System -> Batch Input -> Session

- Select batch input session: SAPF103    Select process    

- Select display errors only V 

- Select process button 

- Exit Batch input

Reference: scn.sap.com

 

Thanks

 

Sheli


CCI Pro

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