Summary Clearing

Use

If the Post to company code clearing accounts indicator is not set in Customizing for the posting variant you use, when cross-company code transactions take place, this results in balances on the document-split accounts, the recalculation difference account or the payment accounts. These balances illustrate receivables or payables between the company codes.

You can only use summary clearing if balancing the receivables and payables between the company codes involved is permitted and if it is also sufficient to explain the receivables and payables between the company codes from the procedure only.

Prerequisites

To use summary clearing, you must make sure that the Post to company code clearing accounts indicator is not set for the posting variant that you use. You make these settings in Start of the navigation path Payroll Next navigation step Customizing, under Next navigation step Reporting for Posting Payroll Results to Accounting Next navigation step Activities in AC System Next navigation step Create Posting Variants) End of the navigation path .