SAP FICO TCodes for Month End and Year End activities
CLOSING ACTIVITIES
- Execute Report for Inter Company Activity & Journal Entries
- Open posting period for next yr (T.Code: OB52)
- Run Business Area’s Assignment report. (T.Code: F.50)
- Review list of recurring journal entries (T.Code: FBD3)
- Execute Recurring Entries for A/R, A/P, G/L (T. Code: F.14)
- Process Parked A/R, A/P, G/L accounting documents (T.Code: FBV0)
- Final Cutoff for the Maintenance of Fixed Asset- Add Transfer and Retire (T.Code: ABUMN)
- Run Depreciation in Test Run and post (T.Code: AFAB)
- Verify Display Log for Depreciation Test Run (T.Code: AFBP)
- Capitalize AUC Assets if needed (T.Code: AIAB, AIBU)
- Enter Payroll Data to SAP (T.Code: CAT2)
- Verify Depreciation Balances with GL balances (T.Code: ABST2)
- Post Depreciation (T.Code: AFAB)
- Execute Asset History Report, and retire assets if needed (T.Code: S_ALR_87011963, ABAVN)
- Adjust specific depreciation areas if necessary (T.Code: ABCO)
- Reconcile AM sub ledger with GL (T.Code: ABST2)
- Check Bank Data (T.Code: S_P99_41000212)
- Review AR Open Items (T.Code: FBL5N)
- Review AP Open Items (FBL1N)
- Execute Pending Invoices(T.Code: MRBP)
- Clear Open Item for GRIR, freight (T.Code: F.13)
- Reconciliation of Financial Documents and transactional figures (F.03)
- Open new CO Posting Period: (T.Code: OKP1)
- Compare current (cost estimates) with last current price (Moving Avg) (T.Code: OKBH)
- Update current cost price to material master price field (T.Code: CK11N, CK24)
- Process Freight charges, Match SD freight to actual (T.Code: V-31)
- Review Internal Order Postings(T.Code: OKSA)
- Settle All Orders (T.Code: KO88)
- Verify All Post Goods Issue have been Invoiced (Billing Due List) (T.Code: VF04)
- Review SD Billing Doc from prior month that have not yet been released to accounting (T.Code: F.2D)
- Reconciliation of MM movements in Transit Intra-SAP to Non SAP
- Reconcile PI Inventory with SAP (T.Code: MI07)
- Perform Manual Adjustment if needed (T.Code: F-02, FB50)
- Verify balance of the GR/IR account (T.Code: MB5S)
- Post Accruals and Deferrals (T.Code: FBS1)
- Clearing of Cancelled Documents (T.Code: F-03, F-32, F-44)
- Check Profitability Segment Adjustment (T.Code: KISR)
- Aging Report-Reconcile GL balances with sub ledger balances AP (T.code: FBL1N, FBL5N, FBL3N)
- Check the check run numbers (T.Code: FCH1, FCHI)
- Bank reconciliation Data (T.Code: FF67 & FEBA)
- Enter Tax Journal Entry (T.Code: FB41)
- Reconcile GL balances with sub ledger balances AR/MM/AP (T.Code: F.03)
- Display Balance Sheet Adjustments (T.Code: F.5F)
- Post Balance Sheet Adjustments (T.Code: F.5E)
- Post Foreign Currency Valuation (foreign exchange) (T.Code: F.05)
- Check generic cost centers for posting with wrong accounts
- Correct wrong postings on generic cost centers
- Check Validation dates for Cost Centers, Cost Elements, CO area (T.Code: GGB0)
- Check COGI–for both month end and year end
- Doubtful receivables (T.Code: F104)
- Verify In-transit Inventory
- Reconcile PA to G/L (T.Code: KE5U)
- Post Cost Center Assessments and Distributions (T.Code: KSU5 & KSV5)
- Run CO-FI Reconciliation to balance (T.Code: KALC)
- Run BW reports P&L and Balance Sheet
- Maintain CO yr variant (T.Code: KCRQ)
- Fiscal Yr Balance carry forward AP/AR/AM (T.Code: F.07,
- Fiscal Yr Balance carry forward CO (T.Code: CXS1)
- Fiscal Yr balance carry forward FI (T.Code: F.16)
- Fiscal Yr balance carry forward PCA (T.Code: 2KES)
- Set Document number ranges – FI – new year (T.Code: OBH2, OBA7)
- Set Document number ranges AP/AR – new year (OBA7)
- Generate Financial statement Reports (T.Code:OB58) OR (T.Code: FSE2)
- Change Fiscal Year For Assets (T.Code: AJRW)
- Year end Closing– Asset Accounting–final for year end (T.Code: AJAB)
- Close CO Posting Period : (T.Code: OKP1)
- Close Prior A/R Posting Period (T.Code: OB52)
- Close Prior A/P Posting Period (T.Code: OB52)
- Close Prior MM Posting Period (T.Code: OMSY)
- Reverse accruals and deferrals for the new month (T.Code: F.81)
- Reconciliation of Financial Documents from old fiscal year and new fiscal year (T.Code: FNSL)
- Load Balances, Budget Data for Cost centers, sales
- Update Retained Earning Account , balance carry fwd (T.Code: F.16)
Month end closing Activities
- All the expenses including amortization, prepaid expenses, Preliminary expenses and accruals have been booked.
- Complete Bank Reconciliation (T.Code: FF67)
- Make sure that Sum of Inter company balances is Zero
- Suspense Accounts should be cleared regularly.
- Ensure that all documents related to MM & SD have been entered in system. (T.Code:F-22 & F-43)
- Ensure that all billing documents are released to accounting.
- Calculate Overheads on all process Orders (CO43)
- Technically complete all process orders which are fully processed (CORM).
- Calculate Variance (KKS1)à (Relevant only if Standard cost is calculated).
- Settle all process orders which are technically complete (CO88).
- Close All settled Process Orders
- Close MM period (Transaction Code: MMPV).
- Carry out GR/IR clearing (F.13) transaction
- Depreciation Run (AFAB) has been carried out for the month
- Close FI Posting period after the month end closing activity is over (T.Code:OB52)
Year end closing Activities:
- Calculate production work in progress on process orders which are not technically complete.
- Carry out Assessment cycle for Cost Centers.(T.Code: KSUB)
- All month end closing Activities should be carried out.
- Carry Forward Balances to next year
(With TC: F.16 we can carry forward the balance to next year. With TC: OBH2 copy the number ranges to next year Open next year periods by selecting the Posting Period Variant. then test by posting the transaction in F-02)
its very useful