This quick reference guide (QRG) document provides an overview of the bank reconciliation process as part of cash management in SAP. It outlines the steps to obtain bank statements, classify reconciliation types, process manual and electronic statements, match transactions, complete reconciliations, and correct errors. The process flow, inputs, roles, and responsibilities are explained.
Key topics covered in the guide are:
- Introduction to bank reconciliation and its role in cash management
- Process overview – inputs, triggers, steps with process flow chart
- Obtaining and classifying reconciliation types
- Processing manual statements in SAP [FF67 tcode]
- Importing electronic statement files [FF_5 tcode]
- Manually matching unmatched transactions [FEBAN tcode]
- Completing bank reconciliation and correcting errors
Download – SAP Bank Reconciliation Process: Quick Reference Guide