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J_1UFKORKO - Print programm for incoming and outgoing cash orders

J_1UFKORKO - Print programm for incoming and outgoing cash orders

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Description

Receipts for cash payments are printed by means of the J_3RFKORKO print program using the standard correspondence mechanism. At this, one of the following forms is used:

  • J_3RFCASHOR (Russia)
  • J_4KFCASHOR (Kazakhstan)
  • J_1UFCASHOR (Ukraine)

If required, forms provided in the standard configuration can be copied and adjusted to specific customer needs.

The program automatically retrieves information from the customer/vendor master record, document and HR data (if applicable). Standard and parked documents are processed.

Requirements

Defining document types

To ensure correct numeration of cash receipts and cash payments, define two document types.

Menu path: SAP Customizing Implementation Guide (IMG): Financial Accounting -> Financial Accounting Global Settings -> Document -> Document Header -> Define Document Types

Customizing the correspondence

Make correspondence settings for the program and used forms. Assignment can be performed for a separate company code or for all of them if no company code is specified.

Menu path: SAP Customizing Implementation Guide (IMG): Financial Accounting -> Financial Accounting Global Settings -> Correspondence

Example of customizing the correspondence

1. Correspondence type

SAPR1 Cash documents from FI document (RU)
X Doc. necessary

2. Assigning the program

Company Code Correspondence Name of print program Name of variant
RU01 SAPR1 J_3RFKORKO SAPR1

Example of filling out a variant of the SAPR1 selection screen for the report J_3RFKORKO

Incoming order document type PO
Outgoing order document type RO
Form RU
Cash account / in the chart of accounts 50100000
Document number x
Document reference number
Company executive Ivanov
Position Executive
Chief accountant Vasilevsky
Cashier Petrovskaya
Text ID* for passport data 1004
Text ID* for "Accepted from"/"To pay" 1006
Output to printer
Data from the trigger table x
Correspondence SAPR1

If no printer is specified in the variant for the correspondence output, it is selected:

  • printer from the master record of the user who launched the program, or
  • printer specified at task planning.

* - ID for document text is created in the Implementation Guide:

Menu path: Financial Accounting Global Settings -> Document -> Document Header -> Define Text IDs for Documents

3. Defining forms

The following forms should be defined and activated in the system. Using the "Form Painter" SE71 transaction, you can make sure that the form exists in the client as well as copy a form from another client.

4. Assigning forms to the correspondence

Company Code Program Form
RU01 J_3RFKORKO J_3RFCASHOR

5. Defining call options

CoCd Correspondence DocEntry Paym. DispDoc DispAcc
RU01 SAPR1 Cash documents X X X

Entering values in cash documents fields

Rules of outputting additional data for printing cash documents:

Field Data source

Data of confirming document Cash document "long text" (ID='1004')
against which a cash payment
document is issued (if HR
module is not used)

"Accepted from" (cash receipt - data from the customer/vendor
document) / "To pay" (cash master record
payment document) - HR data
- one-time account data of the
document
- cash document "long text" (ID='1006')
in case of the correspondence with
G/L accounts

Reason Document header text

Including "Text" field (for cash account item)

Appendix "Text" field (for correspondent item)

Output

You can print documents in two ways: via the "Internal documents" menu item, or via the correspondence trigger.

Correspondence trigger

Menu path: Financial Accounting -> General ledger/Accounts Receivable/Accounts Payable --> Periodic processing --> Print correspondence -> As per requests (transaction F.61).

A correspondence request for the processed document should be created in advance - from the document, or from the Customer/Vendor line item display.

Menu path: Environment --> Correspondence.

Internal documents

Menu path: Financial Accounting -> General ledger/Accounts Receivable/Accounts Payable --> Periodic processing --> Print correspondence -> Internal documents (transaction F.62).

Each document is issued separately. A separate spool request is generated for each company code. For testing purposes, a print preview can be viewed on screen.

If errors occur during a report run which are not serious enough to terminate processing, an error list is issued at the end of the report run. If error lists are to be issued on a specific printer, a printer must be defined in the log or versions of this. If no printer is entered for the log in the printer report, if applicable, the printer is selected from the user master data for the person who started the program, or the printer is used that was specified when the job was scheduled. If the report is executed online then the error list is shown on the screen. If the program is scheduled as a job, the spool request name for the error list consists of the identification F140ER, the printer name and, if applicable, the correspondence type and the company code.

If the report is executed directly, then if a print output is executed, a log is produced with the generated spool requests for each report run. If no printer is entered for the log in the printer report, where necessary, the printer is selected from the user master data for the person who started the program, or the printer is used that was specified when the job was scheduled. If the report is executed online then the log is shown on the screen. If the program is scheduled as a job, the spool request name for the log consists of the identification F140, the printer name, the creation date and the program identification KORD. If the print report is started by a higher-level correspondence program, the printing of the log is initiated by the higher-level program (e.g trigger for correspondence or receipts for cash payment).






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Length: 7519 Date: 20240520 Time: 093401     sap01-206 ( 106 ms )