Hierarchy

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IMG Activity
ID | OHAHK_OCRP01 | Replace Checks |
Transaction Code | S_AHR_61008888 | IMG-Aktivität: OHAHK_OCRP01 |
Created on | 19981221 | |
Customizing Attributes | OHAHK_OCRP01 | Replace checks |
Customizing Activity | OHAHK_OCRP01 | Replace checks |
Document
Document Class | SIMG | Hypertext: Object Class - Class to which a document belongs. |
Document Name | OHAHK_OCRP01 |
In this step, you define the information in various tables that enables you to print a check. Here, all the normal rules for printing a check must be observed.
To ensure that a check is booked from the correct company account, you must define the appropriate report variant. In the variants you define the company code, the house bank and the account ID.
Using the subgroup for check management, you create the link between administrators and report variants. This ensures that the new check that the administrator wants to print, is issued from the correct lot. The information is assigned in the following tables:
- In the view Subgroup check management, you assign a description to each check management subgroup.
- In the view Subgroup check management - assign reports and variants, you assign a report and the appropriate variant to a subgroup for check management. The variant specified is used in the process model when the payroll results are subsequently processed in the background.
- In the view Subgroup check management - assign administrators, you assign one or more administrator(s) to the subgroup for check management. Here, you specify all the administrators who, in the Organizational Assignment infotype (0001), Payroll administrators field, have been assigned to the employees for whom you want to Replace Checks.
Example
Requirements
Create all the necessary variants for the check print program. If your company has more than one house bank, you should create the respective number of variants.
The Payroll administrators field in the Organizational Assignment infotype (0001) must be maintained.
Standard settings
Recommendation
Activities
Carry out the steps for the Replace Checks function in the correct order:
- Assign an appropriate description to each check management subgroup.
- Assign to each check management subgroup a report and the corresponding variations.
- Assign to each administrator a check management subgroup.
Further notes
Business Attributes
ASAP Roadmap ID | 204 | Establish Functions and Processes |
Mandatory / Optional | 1 | Mandatory activity |
Critical / Non-Critical | 1 | Critical |
Country-Dependency | I | Valid for countries specified |
Customizing Attributes | Country Key | Country Name |
---|---|---|
OHAHK_OCRP01 | HK | Hong Kong |
Assigned Application Components
Documentation Object Class | Documentation Object Name | Current line number | Application Component | Application Component Name |
---|---|---|---|---|
SIMG | OHAHK_OCRP01 | 0 | AHR0000314 | Gross |
Maintenance Objects
Maintenance object type | C | Customizing Object |
Assigned objects | ||||||
---|---|---|---|---|---|---|
Customizing Object | Object Type | Transaction Code | Sub-object | Do not Summarize | Skip Subset Dialog Box | Description for multiple selections |
V_T52OCP1 | V - View | SM30 | Check management grouping | |||
V_T52OCP2 | V - View | SM30 | Check management grouping - Assigned administrators | |||
V_T52OCP3 | V - View | SM30 | Check management grouping - Assign report and variants |
History
Last changed by/on | SAP | 20000128 |
SAP Release Created in |