GL Comparioson With ECC and S4 HANA
GL Comparioson With ECC and S4 HANA
GL Comparioson With ECC and S4 HANA
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Type/Description
• Use
The usage of the group account number offers the advantage that
by specifying a number, a group of accounts can be assigned
immediately to the balance sheet or P+L item.
If a balance sheet or P+L structure is to be defined which is to be
used for several company codes with different charts of accounts,
the problems which are created as a result can be avoided by
using the group account number so that:
•accounts with the same meaning have different account
numbers
•accounts with the same account number have different
meanings and, if necessary, are to be assigned to different line
items in the balance sheet or P+L.
GL Account Settings ECC 6.0
Control Data
• Account currency
The account currency indicates the currency in which this account
is held.
• If a currency other than the company code currency is
specified, users can only post items in that currency to this
account. (An exception to this is exchange rate differences
resulting from valuating G/L account balances.)
• If the company code currency is specified, users can post
items in any currency to this account.
• Tax Category
Determines whether the following apply to the G/L account:
•Is it tax-relevant?
•Is it a tax account?
•Is it a tax-relevant G/L account?
Tax-relevant account: You decide whether you want to use the
account for tax-relevant postings. If not, leave the field blank.
Tax account: You decide whether you want to use the account
exclusively for posting taxes. Define the type of tax on sales and
purchases you want to use the account for:
< Input tax account : < Output tax account : ">" and "<" are only
supported for tax accounts.
GL Account Settings ECC 6.0
Control Data – Contd.
• Tax Category
Tax-relevant G/L account?
You decide whether you want to use the account as a G/L
account to which you make tax-relevant postings.
Define the tax code which can be used to post to the
account. When posting to this account, the system then
checks whether the tax code in the line item is permitted for
this account.
This is useful if you always post to this account using the
same tax rate. When you post to this account, the tax code
is defaulted and can no longer be changed (for example, the
account Domestic trip costs taxed flat rate in Germany).
If you only want to carry out a flat-rate check for the tax
category, choose one of the following special characters:
+ Only output tax permitted
- Only input tax permitted
* All tax types permitted
If the G/L account is then posted to, you must enter a tax
code. This does not apply if you also permit postings
without tax code to the G/L account and use your own code
instead.
GL Account Settings ECC 6.0
Control Data – Contd.
• Posting without Tax allowed
Indicates that the account can still be posted to even if a tax
code has not been entered. If you do enter a tax code when
posting to this account, the system checks the entry against
the tax category It should be possible to post both taxable
and non-taxable items to an account.
You would usually set up a separate tax code for the non-
taxable transactions. When taxes are entered using
jurisdiction codes, however, this separate tax code cannot
be used since jurisdiction codes cannot be specified for
foreign customers. In this case, you allow users to post items
without tax codes in the corresponding expense and
revenue accounts.
You do not need a tax code postings in invoice verification
since the account assignments are generally derived from
the purchase order. The system therefore disregards the tax
code when these postings are made.
Dependencies
The system does not generate tax information for items
which do not have a tax code. It will exclude these items
from tax evaluation lists.
GL Account Settings ECC 6.0
Control Data – Contd.
• Recon. account for acct type
An entry in this field characterizes the G/L account as a
reconciliation account. The reconciliation account ensures
the integration of a subledger account into the general
ledger. Examples: G/L account 140000 is defined as a
reconciliation account. In the customer account 4711, the
G/L account 140000 is determined as a reconciliation
account. In this way, all postings to customer account 4711
are also posted automatically to the G/L account 140000.
The G/L account itself is not designed for direct posting. In
this way, a reconciliation between subledger and general
ledger is always guaranteed.
• Authorization Group
The authorization group allows extended authorization
protection for particular objects. The authorization groups
are freely definable. The authorization groups usually occur
in authorization objects together with an activity.
• Accounting clerk
Identification code for the accounting clerk.The name of the
accounting clerk defined by this identification code can be
used in the payment program for correspondence and
reporting (for example, open item lists).
GL Account Settings ECC 6.0
Create/Bank/Interest
• Account Group
The account group is a classifying feature within the G/L account
master records. The account group is a required entry. The
account group determines:
• The fields for the entry screens if you create or change a
master record in the company code.
• Number interval the account number must be.
• Use
The usage of the group account number offers the advantage that
by specifying a number, a group of accounts can be assigned
immediately to the balance sheet or P+L item.
If a balance sheet or P+L structure is to be defined which is to be
used for several company codes with different charts of accounts,
the problems which are created as a result can be avoided by
using the group account number so that:
•accounts with the same meaning have different account
numbers
•accounts with the same account number have different
meanings and, if necessary, are to be assigned to different line
items in the balance sheet or P+L.