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Transaction Code: FPCHESCH_ESCH
Description: Execute Check Escheatment
Release: S/4HANA and ECC 6
Program: RFKKCRESCH2
Screen: 1000
Authorization Object:
Development Package: FKK_CHECK_MANAGEMENT
Package Description: FI-CA: Check Management
Parent Package: FI-CA
Module/Component: FI-CA
Description: Contract Accounts Receivable and Payable
Overview: The SAP transaction code FPCHESCH_ESCH is used to execute check escheatment. This process is used to identify and process checks that have not been cashed by the recipient within a certain period of time. Functionality: The FPCHESCH_ESCH transaction code is used to identify checks that have not been cashed within a certain period of time, and then process them accordingly. This process is known as escheatment, and it helps to ensure that funds are not left unclaimed or unaccounted for. Step-by-Step How to Use To use the FPCHESCH_ESCH transaction code, follow these steps 1. Log into your SAP system and navigate to the FPCHESCH_ESCH transaction code. 2. Enter the necessary parameters, such as the date range for the checks you want to process. 3. Execute the transaction code. 4. Review the results of the check escheatment process and take any necessary action. Other Recommendations: It is important to regularly review and execute the FPCHESCH_ESCH transaction code in order to ensure that all checks are properly accounted for and that funds are not left unclaimed. Additionally, it is recommended that you review any applicable laws or regulations related to check escheatment in your jurisdiction before executing this transaction code.
FPCHESCH_DISP - Display Check Escheatment Data...
FPCHESCH_CHANGE - Change Check Escheatment Data...
FPCHESCH_START - Start Check Escheatment Process...
FPCHL - List of Issued Checks...