FPCL_ACC_PARA

Parameter for the Posting | #other | Component: Payment Progam / Payment transfer (DE, JP, US)
Column Name Description
MANDT FK Client
BUKRS FK Company Code
AKONT Reconciliation Account in General Ledger
Column Name Description
Column Name Description
Column Name Description
Column Name Description
Column Name Description Domain name
RECON_ACCOUNT Creditor Alternative Reconciliation Account SAKNR
RECON_ACCOUNT2 Alternative Reconciliation Account Original Recipient SAKNR
Master Data Relations Join Conditions
Document Type
  • Document Type
  • Client
  • FPCL_ACC_PARA.BLARK == T003.BLART
  • FPCL_ACC_PARA.MANDT == T003.MANDT
Posting Key for Credit Postings to Vendor Account
  • FPCL_ACC_PARA.MANDT == TBSL.MANDT
  • FPCL_ACC_PARA.BSKHA == TBSL.BSCHL
Posting Key for Debit Postings to Vendor Account
  • FPCL_ACC_PARA.MANDT == TBSL.MANDT
  • FPCL_ACC_PARA.BSKSO == TBSL.BSCHL
Company Code
  • FPCL_ACC_PARA.MANDT == T001.MANDT
  • FPCL_ACC_PARA.BUKRS == T001.BUKRS
Client FPCL_ACC_PARA.MANDT == T000.MANDT
Special G/L Indicator
  • Special G/L Indicator
  • ?
  • FPCL_ACC_PARA.MANDT == T074U.MANDT
  • FPCL_ACC_PARA.UMSKZ == T074U.UMSKZ
  • FPCL_ACC_PARA.[column in domain "KOART"] == T074U.KOART