SAP ABAP IMG Activity EPIC_RELATED_BS (Additional Customizing and Setup for Bank Statements)
Hierarchy
SAP_FIN (Software Component) SAP_FIN
   FI-LOC (Application Component) Localization
     ID-FI-EPIC-BACOM-BL (Package) Globalization: E-Payment Int. Bank Comm. Business Logic
IMG Activity
ID EPIC_RELATED_BS Additional Customizing and Setup for Bank Statements  
Transaction Code S_EBJ_98000051   (empty) 
Created on 20120511    
Customizing Attributes EPIC_RELATED_BS   Additional Customizing and Setup for Bank Statements 
Customizing Activity    
Document
Document Class SIMG   Hypertext: Object Class - Class to which a document belongs.
Document Name EPIC_RELATED_BS    

Use

In addition to making the Customizing settings specific to Electronic Payment Integration (China) for bank statements, complete the following steps:

  1. Create XSLT transformations to map the bank statement data from your house banks' formats to the necessary fields in the following database tables:
    • Electronic Bank Statement Header Records (FEBKO)
    • Electronic Bank Statement Line Items (FEBEP)
    • Reference record for electronic bank statement line item (FEBRE)
    • Clearing data for an electronic bank statement line item (FEBCL)
  2. Create implementations for each house bank for the two methods in the Split and Parse (FIEB_GET_BANK_STMTS_X) Business Add-In (BAdI) in the Customizing for Financial Accounting -> Bank Accounting -> Business Transactions -> Payment Transactions -> Electronic Bank Statement -> XML Format and Bank-Specific Formats.
  3. Assign the XSLT transformations created in step 1 to your bank statement formats in the Define Mapping Procedure Customizing activity (Financial Accounting -> Bank Accounting -> Business Transactions -> Payment Transactions -> Electronic Bank Statement -> XML Format and Bank-Specific Formats).
  4. Make the necessary settings in the following Customizing activities:
    1. Make Global Settings for Electronic Bank Statement.
    2. Define Logical Paths. You must create a directory in which the system can store processed bank statements (the usage is 2 Store Files (Append to Existing File)) and a directory in which the system can store erroneous bank statements that could not be processed (the usage is 2 Store Files (Append to Existing File)). Do not create a source directory. The needed source directory settings are delivered with the FI, Electronic Payment Integration for China 2 (FIN_LOC_EPIC_2) business function.
    3. Define Import Parameters. Select <blank> Messages as the source path and enter the storage directory and the error directory that you created in the Define Logical Paths Customizing activity.
    4. Define Posting Parameters. For each relevant combination of company code, house bank, and house bank account, create posting parameters. The posting mode determines what initially happens to the bank statement information that is included in a response message from the bank. For more information, see the field help for the Posting Mode field.

Requirements

Standard settings

Activities

Example

Business Attributes
ASAP Roadmap ID 105   Define functions and processes 
Mandatory / Optional 2   Optional activity 
Critical / Non-Critical 2   Non-critical 
Country-Dependency I   Valid for countries specified 
Customizing Attributes Country Key Country Name
EPIC_RELATED_BS CN China
Assigned Application Components
Documentation Object Class Documentation Object Name Current line number Application Component Application Component Name
SIMG EPIC_RELATED_BS 0 HLA0009204 Accounts Payable 
Maintenance Objects
Maintenance object type    
History
Last changed by/on SAP  20120511 
SAP Release Created in 607