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Question from SAP2016 on May 11 at 3:15 AM I have a client running payroll on a legacy non SAP system. We are now implementing SAP US Payroll on premise. The client hires their employees into a Management CoCode (for example CoCode 1030) and when payroll runs for their employees and posting to FI takes place. The requirement is to do an inter-entity posting that will take the salary expense and charge it to an Operating CoCode (example CoCode 1050) and then take the liabilities & Net payroll and charge those to the Management CoCode (example CoCode 1030). When payroll runs; checks are printed / ACH is sent from the Management CoCode (example 1030). Question: Because of this requirement to do an inter entity posting; how can we get check numbers per EE in order to reconcile with Cash Management? How will their bank statement get reconciled? Is there a method / way to distribute costs via cost center? | Reply to this email to post your response. __.____._ | In the Spotlight Become a blogger at Toolbox.com and share your expertise with the community. Start today. _.____.__ |