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LMD_SYSA_FI_BANK_DEP - BAdI: Adjustment of Bank Deposit Postings

LMD_SYSA_FI_BANK_DEP - BAdI: Adjustment of Bank Deposit Postings

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This Business Add-In (BAdI) is used in the Last Mile Distribution(LE-LMD) component and is relevant for the route settlement process. You can use this BAdI to adjust information in accounting documents at header and item level. These accounting documents are used for posting bank deposits. This BAdI is called during the final settlement run and, if enabled, during intermediate settlement runs.

You have defined the parameters for posting bank deposits in the Customizing activity Define Postings for Bank Deposits. The parameters are required to create accounting documents and to post documents.

For more information about the standard settings (filters, single or multiple uses), see the Enhancement Spot Element Definitions tab in the BAdI Builder (transaction SE18).






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