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Transaction Code: ORLPTA
Description: Assign Account Posting Types
Release: S/4HANA and ECC 6
Program:
Screen: 0
Authorization Object:
Development Package: ISAUTO_VHU_RL_CUST
Package Description: Customizing for Returnable Packaging Logistics
Parent Package: DIMP
Module/Component: IS-A-RL
Description: Returnable Packaging Logistics
to Ledger Groups Overview: The SAP transaction code ORLPTA is used to assign account posting types to ledger groups. This allows users to define the account posting types that are available for each ledger group. Functionality: The ORLPTA transaction code allows users to assign account posting types to ledger groups. This ensures that the correct account posting types are available for each ledger group. This helps to ensure that the correct accounts are posted when transactions are processed. Step-by-step How to Use: 1. Enter the transaction code ORLPTA in the command field. 2. Select the ledger group for which you want to assign account posting types. 3. Select the account posting types that you want to assign to the ledger group. 4. Click “Save” to save your changes. Other Recommendations: It is important to ensure that the correct account posting types are assigned to each ledger group. This will help ensure that transactions are posted correctly and that financial reports are accurate. It is also important to regularly review and update the account posting types assigned to each ledger group, as this will help ensure that transactions are posted correctly and financial reports remain accurate.