First note down House bank I'd and Bank key

FCHI
  • House bank- click searcher
  • Remove filter 500 and list
  • Searcher - key in bank name
  • (Note down for each bank)

View red ink item (unadjusted item)

FAGLL03
  • GL (Bank Drawings / Bank remittance  for the state)
  • Posting date (Select From and To as Last month)
  • Custom selections : Year & PC
  • F8(Copy it in Excel)

Scroll Entry by schedule PA

FF67
  • (Varient - DOPI , Type - 4)
  • Bank key (Available from FCHI)
  • Bank ac no (Available on PM Cheque)
  • Currency : INR
  • Statement no - (Scroll number)
  • Statement date - current date
  • Bank posting only - Tick
  • Press <enter> three times

Trans : DP01 (For Remittance)
             DP02 (For Drawings)
Profit center 
Bank Ref  : Chq No. For drawings
                   (Assignment in FAGLL03)
                   : Doc. No. For Remittance
                   (Doc. No  in FAGLL03)
Amount :   Amt 
(Prefix minus symbol for drawings)
 Doc. date : PO accounting date
Value date : scroll date
( Enter all row entries like this )
click GOTO - Change controls
(Press enter as many times as the number of row entries)
Finally, OB/CB screen will be displayed.
Opening balance :  0
Closing balance   : Total  amt.  
(Prefix minus sign before the Total
Amt. in case of Drawings)
Click Tick
Click Tick
(Entered Amt &  Bank Amt are tallied)
Save
Save
(A table of entries in Yellow colour will be displayed)

Verify the reconciliation by APM accounts

FEBAN
DOPI
House bank : (Available from FCHI)
Account I'd : click searcher
              R00001 (For Remittance)
              D00001 (For Drawings)
  • Execute
  • Click arrow in front of House bank
  • (The scroll entries will be listed down)
  • Select the red entry
  • Post

(Drawings will be adjusted then and there)
For Remittance :
   Click document
   Enter doc no in From & To
   Post
(Do these for each entry)
(The entries in FEBAN screen will be Green.)
  • Check in FAGLL03 and verify the entries are Green now. Note that Clearing document column are filled with document numbers. Export to Excel.
  • Print

View the reconciliation report

Zfi_Recon
(Dont worry .This won't work..!!)
So FAGLL03 Report is enough.
Note 1 : The  reconciled amount will appear in the DAC of that profit center on both Receipts and Payments under Bank reconcile GL for drawings and Remittance.

Note 2 : The cheques from BNPL customers received as monthly bill will have to be adjusted like this in Bank reconciliation process so as to get accounted  in  the respective customer's account