Cross-Company Code TransactionsSeveral company codes can be involved in a payroll run for an employee. In such a cross-company code transaction, receivables and payables can arise between company codes.
In the following situations, cross-company code transactions occur:
An employee works for several company codes (because of proportional assignment or change of company code within a payroll period) within a payroll period.
After an employee has changed company code, retroactive accounting is performed for the time before the change of company code.
An employee changes company code retrospectively.
You can clear the receivables and payables that may arise in these three cases, either on a summarized basis or using company code clearing accounts.
You have made the necessary settings in
Payroll
Customizing, under
Reporting for Posting Payroll Results to Accounting →
Activities in HR System
→
Posting Variants
. For the posting variant you use, the
Post to company code clearing accounts
indicator must
not be set , if you want to use summary clearing
be set, if you want to use clearing using company code clearing accounts