@@AbdullahGalal Hi please be very specific when you reply to questions. The field will not be compulsory unless it is set to be a mandatory field. Vendors can be created in the system without a reconciliation account but cannot be posted to.
A sub ledger will report into summarized accounts in the general ledger, we can have 1000 vendor in our AP subledger that all have the same recon account in General Ledger (A/P domestic for example)
Can each sub-ledger close their own module or only GL close for all module? Example FA close their own, AP close its own. If we use OB52 can we create security rule that AP can not close FA module? They own see and close their own module.
Thanks. Basically you have assigned $1000 to the vendor account with out selecting invoice because there are only one document but what if you have multiple invoices and need to choose particular invoices?
I share the configuration documents for anything I explain with the elite channel members check the link www.youtube.com/@abdullahgalal/join If you want the full official configuration documents then you should subscribe to the sap learning hub
Hello, can you please introduce me a document or a movie that is different bank accounting configuration in ECC With S4 Hana explained step by step and completely
شكر على العمل ، راي الشخصي أن هناك الكثير من الدروس باللغة الانجليزية، لو تسطيع ان تتكلم بالعربية و الإنجليزية للفهم اكثر مع ترك الاسماء التقنية بالإنجليزي طبعا . شكر على المجهود
مجهود رائع ربنا يقويك يا بشمهندس
شكرا يا رضا :)
Great training, thank you Abdullah
My pleasure
Hello Galal,
At 6:17 Sec is that account means Reconcillation Account/GL/ Bank account
TIA
Jazakallah, I was looking this entry.
Jazana Allahu w eyakum :) ..glad to help
So well explained!!
Thank you Akshay!
Subscribe for more 😉
Thank you sir ! Very good explained
You're welcome
You are the best! Keep going.
Thanks, will do!
Thanks you..!!
You're welcome! Thank you for supporting the channel 😁
Thanks you sir
good
Great training session, thank you!
You're so welcome!
how to make no changes will be allowed to Reconciliation account filed after creation?
After creation of vendor/ customer? you can control this through field status of business partner
Hi Abdullah Plz keep countinu tutorials.
Will do my best, thank you :)
Thank you !!!
You're welcome!
What if we do not assign a recon account during vendor creation? Will the vendor subledger entries appear in the Trial Balance ?
It's a mandatory field, you can't create a vendor without a reconciliation account
@@AbdullahGalal
Hi please be very specific when you reply to questions. The field will not be compulsory unless it is set to be a mandatory field. Vendors can be created in the system without a reconciliation account but cannot be posted to.
Hi how will purchase membership. Try but payment not done.
What's the difference between Reconciliation account and General Ledger
The reconciliation account Isa general ledger account
Hello Galal, Just a quick question. I was taught that AP is a Subledger, How come AP be a sub-ledger and R. Account at the same time ? Thanks,
A sub ledger will report into summarized accounts in the general ledger, we can have 1000 vendor in our AP subledger that all have the same recon account in General Ledger (A/P domestic for example)
@@AbdullahGalal Many thanks man, your explanation is very clear.
Can please tell us how we can post document for multiple profit center
Hi Farhan, every line item in finance posting can have a different profit center, so multiple profit centers = multiple lines
Need to discuss about course
Contact me on LinkedIn please
Can each sub-ledger close their own module or only GL close for all module? Example FA close their own, AP close its own. If we use OB52 can we create security rule that AP can not close FA module? They own see and close their own module.
When you say close, you mean prevent posting?
@@AbdullahGalal
Correct.
thanks
can you explain how to transfer asset from one company code to another company code
There's a transaction for Intercompany Asset Transfer, will explain it when I get to Fixed Assets part Insha'Allah
Thanks. Basically you have assigned $1000 to the vendor account with out selecting invoice because there are only one document but what if you have multiple invoices and need to choose particular invoices?
Then you just choose them by double clicking on the invoice numbers, didn't want to get into much details in the video
where can I get SAP S/4HANA FICO configuration documents? I need your help guys!!
I share the configuration documents for anything I explain with the elite channel members check the link www.youtube.com/@abdullahgalal/join
If you want the full official configuration documents then you should subscribe to the sap learning hub
Hello, can you please introduce me a document or a movie that is different bank accounting configuration in ECC With S4 Hana explained step by step and completely
There are many articles available on blogs.sap.com
Hey Abdallah, can you make more Excel skills videos? Thank you :)
MS Excel?
Hi Abdullah.. how much you charge for your training and can you please provide your course materials/syllabus.
Please send me a message on Linkedin, the link is in the video
شكر على العمل ، راي الشخصي أن هناك الكثير من الدروس باللغة الانجليزية، لو تسطيع ان تتكلم بالعربية و الإنجليزية للفهم اكثر مع ترك الاسماء التقنية بالإنجليزي طبعا . شكر على المجهود
شكرا لك ..الهدف من هذه القناة هو التطوير الذاتي لي ايضا و هذا يشمل تطوير اللغة