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Reconciliation Account in SAP

Meaning of Reconciliation Account:     When ever we post the value in Sub-Leger it will automatically update the value in Main-Leger.     Example: Sub-Legers are like Vendors, Customers, Assets etc.                         Main-Ledger is G/L Reconciliation Account. Important points on Reconciliation Account:     1. If G/L Account is a Reconciliation Account it should always be updated with Sub-Leger (Vendor, Customer, Asset etc.) only.     2. It is not recommendable/cannot post directly to GL Reconciliation Account.     3. How are we linking the Main-Ledger and Sub-Leger in SAP?          A. Vendors/Business Partner : GL Reconciliation Account is given in Vendor Master (T-Code : FK01)/Business Partner (T-Code : BP)          B. Customers/Business Partner : GL Reconciliation Account is given Customer Master (T-Code: FD01)/...