FCLMGLACCOUNTPAYMENTCLEARING

G/L Accounts Assigned to Payment Clearing Accounts | view: FCLMGLPAYMENTCLR | Extraction: Not supported | Component: SAP Cash Management
Tables used: T042I
Column Name Description
PayingCompanyCode FK Paying company code
BankSubAccount FK G/L Account to Be Posted to (Bank Subaccount)
Column Name Description
Column Name Description
Column Name Description
Column Name Description
Column Name Description Domain name
Nr_Entry Count as Clearing Accounts for Payments
Master Data Relations Join Conditions
G/L Account to Be Posted to (Bank Subaccount)
  • Client
  • Paying company code
  • G/L Account to Be Posted to (Bank Subaccount)
  • FCLMGLACCOUNTPAYMENTCLEARING.MANDT == SKB1.MANDT
  • FCLMGLACCOUNTPAYMENTCLEARING.PAYINGCOMPANYCODE == SKB1.BUKRS
  • FCLMGLACCOUNTPAYMENTCLEARING.BANKSUBACCOUNT == SKB1.SAKNR
Paying company code
  • Client
  • Paying company code
  • FCLMGLACCOUNTPAYMENTCLEARING.MANDT == T001.MANDT
  • FCLMGLACCOUNTPAYMENTCLEARING.PAYINGCOMPANYCODE == T001.BUKRS