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PAY_BG_RI_051 - Assign Balance Sheet Accounts

PAY_BG_RI_051 - Assign Balance Sheet Accounts

Vendor Master (General Section)   CPI1466 during Backup  
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In this step, you assign balance sheet accounts to the symbolic accounts with the following account assignment types.

  • Postings to balance sheet accounts without personnel numbers (account assignment type F)
  • Postings to balance sheet accounts with personnel numbers (account assignment type Q)
  • Postings to balance sheet accounts to check the balance in retroactive accounting (account assignment type FL)
  • Postings to balance sheet accounts in the original periods only, if the wage types do not change retroactively during retroactive accounting (account assignment type FO)

Balance sheet accounts are usually assigned irrespective of the employee grouping for account determination.

You want to assign the symbolic accounts 2110, 2210, and 2220 to the G/L accounts 176000, 176100, and 176200 irrespective of the employee grouping for account determination:

Symbolic account G/L account
2110 176000
2210 176100
2220 176200

2220
  1. Enter the chart of accounts you require.
  2. Choose Rules to make the settings for the transaction HR posting to balance sheet accounts (HRF).
  3. Choose Posting key. Enter the posting key for postings to G/L accounts or copy the default values (40 for debit postings and 50 for credit postings).
  4. Choose Accounts to make the assignments for the transaction HRF:
    1. Check the default assignment between employee grouping for account assignment, symbolic account and G/L account.
    2. If required, change the entries or create new entries.





    PERFORM Short Reference   TXBHW - Original Tax Base Amount in Local Currency  
    This documentation is copyright by SAP AG.

    Length: 2424 Date: 20240523 Time: 184840     sap01-206 ( 31 ms )