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Procedure documentation Assigning Banks Locate the document in its SAP Library structure

You assign each of your house banks to a transaction type in Customizing for Bank Accounting. Banks are identified by specifying bank keys and external account numbers.

To do this, choose Business Transactions ® Payment Transactions ® Electronic Bank Statement ® Make Global Settings for the Electronic Bank Statement ® Assign Bank Accounts to Transaction Types. You can find more information in the Bank Accounting Implementation Guide (IMG).

 

 

 

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