How to use S_BFI_75000002 -


SAP Transaction Code - Details

  • Transaction Code: S_BFI_75000002

    Description: SAP has not provided a description for this transaction.

    Release: S/4HANA and ECC 6

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    • Program: SAPLS_CUS_IMG_ACTIVITY

      Screen: 200

      Authorization Object:

    • Development Package: BS_POC_MAIN

      Package Description: Process Orchestration - Runtime

      Parent Package: BS_POC

    • Module/Component: CA-EPT-POC

      Description: Process Orchestration for Built-In Processes


Smart SAP Assistant

  • SAP Tcode: S_BFI_75000002 -
    
    Overview:
    S_BFI_75000002 is a SAP transaction code used to access the Bank Statement Reconciliation program. This program allows users to reconcile bank statements with the corresponding entries in the SAP system. 
    
    Functionality: 
    The Bank Statement Reconciliation program allows users to compare the bank statement with the corresponding entries in the SAP system. It helps to identify any discrepancies between the two and allows users to make corrections as needed. The program also provides a detailed report of all transactions that have been reconciled. 
    
    Step-by-step How to Use: 
    1. Enter transaction code S_BFI_75000002 in the command field. 
    2. Select the bank statement you wish to reconcile from the list of available statements. 
    3. Select the reconciliation type (e.g., manual or automatic). 
    4. Enter any additional parameters as needed (e.g., date range, account number, etc.). 
    5. Click “Execute” to start the reconciliation process. 
    6. Review the reconciliation report and make any necessary corrections or adjustments as needed. 
    7. Click “Save” to save your changes and complete the reconciliation process. 
    
    Other Recommendations: 
    It is important to regularly reconcile bank statements with SAP entries in order to ensure accuracy and prevent any discrepancies from occurring in the future. Additionally, it is recommended that users review all reconciliation reports carefully before saving any changes, as incorrect entries can lead to financial losses or other issues down the line.
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