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Transaction Code: SAIS_FIORI_RECONDECL
Description: Tax Reconciliation Account Balance
Release: S/4HANA only
Program:
Screen: 0
Authorization Object:
Development Package: FAIS
Package Description: Audit Info System FI
Parent Package: APPL
Module/Component: FI-GL-IS
Description: Information System
Declaration Overview: The SAP transaction code SAIS_FIORI_RECONDECL is used to declare the balance of a tax reconciliation account. This code is part of the Fiori app suite, which provides a modern user interface for SAP applications. Functionality: The SAIS_FIORI_RECONDECL transaction code allows users to declare the balance of a tax reconciliation account. This declaration is used to reconcile the balance of the account with the balance reported in the tax return. The declaration can be made for multiple accounts at once, and users can also view and edit existing declarations. Step-by-step How to Use: 1. Open the Fiori app suite and select the SAIS_FIORI_RECONDECL transaction code. 2. Select the tax reconciliation account you wish to declare the balance for. 3. Enter the balance of the account in the appropriate field. 4. Submit your declaration. Other Recommendations: It is important to ensure that all declarations are accurate and up-to-date in order to avoid any discrepancies between the declared balance and the actual balance reported in the tax return. Additionally, users should be aware that any changes made to existing declarations must be approved by an authorized user before they can take effect.
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