This document describes how to analyze goods receipt/invoice receipt (GR/IR) clearing accounts in SAP at a specified key date to generate adjustment postings if necessary. The transaction selects open items in GR/IR clearing accounts and creates adjustment postings in a batch input session if the open items do not balance out to zero per purchase order and item. This ensures goods delivered but not invoiced and goods invoiced but not delivered are displayed correctly in financial statements. The example provided prepares a clearing for GR/IR balances at June 30, 2002 by generating adjustment postings with a specified document date and posting period.
1. GENERAL LEDGER
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F.19 -
Functionality
This transaction analyzes goods receipt/invoice receipt (GR/IR) clearing accounts at a
specified key date, and generates adjustment postings if necessary. These are needed in
order to display the following business transactions correctly in the balance sheet:
• Goods delivered, but not invoiced
• Goods invoiced, but not delivered
The program selects all items in GR/IR clearing accounts that are open at the specified key
date. If the open items per purchase order number and item in local currency do not
balance out to zero, adjustment postings are created in a batch input session for these
items. With a credit balance, the transaction is seen as "delivered, but not invoiced". With a
debit balance, the transaction is seen as "invoiced, but not delivered".
Scenario
In this scenario you prepare a clearing for the GR/IR balances at 30.06.2002 to present in
the financial statements in the right categories.
Prerequisites
GL account, posted transactions
Menu Path Accounting → Financial Accounting → General Ledger →
Periodic Processing → Closing → Regroup → F.19 - GR/IR
Clearing
Transaction Code F.19
1. Double click on F.19 - GR/IR Clearing
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2. GENERAL LEDGER
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Analyze GR/IR Clearing Accounts and Display Acquisition Tax
2. Update the following fields:
Field Name Field Description Values
G/L account Code identifying a General
Ledger account
Example: 219914
Company code Enter here company code
number
Example: 5200
Key Date Transaction Date Example: 30.06.2002
3. Then define data selection: click Postings button:
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Analyze GR/IR Clearing Accounts and Display Acquisition Tax
4. Click Creating postings .
5. Update the following fields:
Field Name Field Description Values
Name of batch input
session
Name of batch input session
that will create postings
Example: GR/IR06
Document Date Date of the batch input session
posting
Example: 30.06.2002
Document type Code identifying the method
that the system uses to process
the transaction
Example: SA
Posting date Date when you want to post
adjustment postings
Example: 30.06.2002
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Field Name Field Description Values
Month Period for which you want to
post adjustment postings
Example: 6
Reversal posting date Date when you want to reverse
adjustment postings
Example: 01.0702002
Reversal period Period for which you want to
post reversal of adjustment
postings
Example: 7
6. Click Execute button to create a batch input session:
Analyze GR/IR Clearing Accounts and Display Acquisition Tax
7. The system has displayed a report with transactions.
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5. GENERAL LEDGER
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8. Click Postings Button to display the documents.
Tip: This function allows you to display the documents before you proceed the
batch input session. These postings are not done yet, so you can always repeat
the transaction, e.g. using different criteria.
Analyze GR/IR Clearing Accounts and Display Acquisition Tax
9. Click Back .
10. To post the adjustments, you need to process your batch input session. Select from
the main menu: SystemServicesBatch inputSessions.
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6. GENERAL LEDGER
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Batch Input: Session Overview
11. Mark the required session and click Process Button .
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Process Session GR/IR06
12. Click Background .
13. Click Process Button .
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Analysis of Session GR/IR06
Note: As shown in the above screen several documents are generated.
14. Click Back .
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Batch Input: Session Overview
15. Click Back Button .
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Batch Input: Session Overview
15. Click Back Button .
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