FF/5 - Post electronic check deposit list


SAP Transaction Code - Details

  • Transaction Code: FF/5

    Description: Post electronic check deposit list

    Release: S/4HANA and ECC 6

  • Show technical details Hide technical details
    • Program: RFEBSC10

      Screen: 1000

      Authorization Object:

    • Development Package: FTE

      Package Description: Bank accounting: External payment information

      Parent Package: FTE_MAIN

    • Module/Component: FIN-FSCM-CLM-CM-CM

      Description: Basic Functions


Smart SAP Assistant

  • SAP Tcode: FF/5 - Post electronic check deposit list
    
    Overview:
    The SAP transaction code FF/5 is used to post electronic check deposit lists. This code allows users to post a list of checks that have been deposited electronically into the bank account. This code is used to update the bank account balance and to record the checks that have been deposited. 
    
    Functionality:
    The FF/5 transaction code is used to post a list of checks that have been deposited electronically into the bank account. This code updates the bank account balance and records the checks that have been deposited. It also allows users to view the list of checks that have been deposited and to print out a report of the deposits. 
    
    Step-by-step How to Use:
    1. Enter the transaction code FF/5 in the command field. 
    2. Select the bank account for which you want to post the electronic check deposit list. 
    3. Enter the date of the deposit and select “Post”. 
    4. Enter the details of each check that has been deposited, including the check number, amount, and date of deposit. 
    5. Select “Save” when you are finished entering all of the details for each check. 
    6. Select “Print” to print out a report of all of the deposits that have been posted. 
    7. Select “Back” to return to the main menu. 
    
    Other Recommendations:
    It is important to ensure that all of the details for each check are entered correctly before posting them in order to avoid any errors or discrepancies in your bank account balance. Additionally, it is recommended that you print out a report of all of your deposits after posting them in order to keep an accurate record of your transactions.
    Artificial intelligence solution provided by tomco.ai.
    Disclaimer
    • Do you have any question about this t-code?


      Upgrade now to chat with this t-code.

Instant HelpGet instant SAP help. Start your 7-day free trial now.


Feature Free Access Free Trial
Basic T-Code Explanation T-Code Explanation T-Code Explanation 2
Step-by-Step Usage Guide Step-by-Step Step-by-Step 2
Interactive SAP Coach Assistance Interactive SAP Interactive SAP 2
AI Troubleshooting for T-Code Errors AI Troubleshooting AI Troubleshooting 2

Related SAP Transaction Codes

Click the links below to see the following related SAP tcodes:
  • FF/4 - Import Electronic Check Deposit List...

  • FF/3 - Archive advices from bank statements...

  • FF/6 - Deposit/loan mgmt analysis/posting...

  • FF/7 - Deposit/loan management int accruals...


Rating
ERPlingo's SAP support assistant is amazing. Saves me countless hours trying to solve complex SAP issues myself. It's a real game changer!
Rate 1
Thomas Michael
SAP Consultant, Author & Speaker