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Transaction Code: GJP1A
Description: CI/NPI Netting
Release: S/4HANA only
Program: SAPFGJCG_ACD
Screen: 1000
Authorization Object:
Development Package: GJVA
Package Description:
Parent Package: JVA_JV
Module/Component: CA-JVA
Description: Joint Venture und Production Sharing Accounting
Overview: GJP1A is a SAP transaction code used to perform CI/NPI netting. This process allows companies to reduce their accounts receivable and accounts payable balances by offsetting them against each other. It is a useful tool for managing cash flow and reducing the amount of time spent on manual reconciliation. Functionality: GJP1A enables companies to net their accounts receivable and accounts payable balances against each other. This process reduces the amount of time spent on manual reconciliation and helps to improve cash flow. The netting process can be done on a daily, weekly, or monthly basis, depending on the company’s needs. Step-by-step How to Use: 1. Enter transaction code GJP1A in the SAP system. 2. Select the company code for which you want to perform CI/NPI netting. 3. Select the date range for which you want to perform CI/NPI netting. 4. Select the type of netting you want to perform (e.g., customer-vendor, vendor-vendor, etc.). 5. Enter the amount of money you want to net against each other. 6. Confirm your entries and save your changes. 7. The system will generate a report showing the results of the netting process. Other Recommendations: It is important to ensure that all accounts receivable and accounts payable balances are up-to-date before performing CI/NPI netting with transaction code GJP1A. Additionally, it is recommended that companies review their netting results regularly to ensure accuracy and identify any discrepancies that may need to be addressed.