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 Cross-Company Code Invoice Posting (Credit Side): Example

Assume the following:

  • Two company codes make a joint purchase from a vendor.

  • Cash discount and tax are not relevant for this business transaction.

  • Company code 0001 receives and posts the vendor invoice.

  • Both company code 0001 and company code 0002 post items to the expense accounts.

To post this transaction, proceed as follows:

  1. From the Accounts Payable menu, choose Start of the navigation path Document entry Next navigation step Other Next navigation step Invoice - general End of the navigation path (if, for example, you want to enter an invoice).

  2. Enter the document header data.

  3. Either enter a number in the Cross-CC no. field (cross-company code transaction number) in the document header or let the system assign a number. For example, you could enter MACHINES as the cross-company code transaction number.

  4. If you do not enter a number in this field, the system generates an internal document number by putting together the document number in the first company code (ten characters), the company code (four characters), and the fiscal year (two characters).

  5. At the bottom of the initial screen, enter a posting key, such as 31 for a vendor invoice, and 78900 for a vendor account. Choose Enter .

  6. The screen to enter a line item is the same whether you are entering a vendor invoice in one company code or in a cross-company code transaction.

  7. Enter an amount (for example, 25,000) for the vendor item. At the bottom of this screen, enter a posting key (such as 40 ) and the G/L account number for the expense account (for example, 476000 ).

  8. If you do not specify a company code, the system posts the next line item to the same company code as in the previous line item. In this example, the company code in the previous line item is 0001.

  9. Choose Enter .

  10. The screen for the G/L account item is the same for one company code as it is for a cross-company code transaction.

  11. Enter the G/L account item for company code 0001 (amount 12,500 for example). At the bottom of the screen, enter the posting key ( 40 ), the G/L account number ( 476000 ), and the company code ( 0002 ). Choose Enter . The system makes sure that the second company code has the same local currency as the first if this is a prerequisite for the business transaction.

  12. If the document type requires an external document number, the system prompts you to enter a document number for the second document.

  13. Enter the amount ( 12,500) for the G/L account line item in the other company code ( 0002) .

  14. You can display the overview by choosing Start of the navigation path Goto Next navigation step Document overview End of the navigation path .

  15. The system displays a list containing the document numbers for all the company codes concerned.

  16. To post the cross-company code transaction, choose Start of the navigation path Document Next navigation step Post End of the navigation path .

The system generates certain document items automatically. These are receivables and payables between the company codes involved.

Result

Note that the debits equal the credits for each document in a company code. The system posts one SAP document for each company code involved.

See also:

Cross-Company Code Transactions

Prerequisites for Cross-Company Code Transactions