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Showing posts with label SAP. Show all posts

Dear Friends,

Employees Self Service(ESS) is made available to access from public domain for enabling employee access at home or any other places other than offices.

Host file entry is not necessary for accessing Employee portal as being circulated in WhatsApp Group. 

All Browsers are compatible for access ESS portal in Computer, Laptop and Mobile Phones. Standard browsers i.e Internet Explorer, Chrome and Firefox are recommended for secured and reliable connection.

The access of Employee portal is very slow in public domain in working hours most probably  0600 to 2300 hours.



SAP Employee Portal has now been provisioned over Internet also. Henceforth, SAP Employee Portal will have a common URL for both Internet and Intranet. 
 
URL for ESS portal :
New URL: https://sapep.indiapost.gov.in/irj/portal

Step 1:

 Double Click SAP
 Double Click ECP
 Use SSP/SP Login & Password
➼ Enter T Code => ZLSS
 Click EMPLOYEE SCHEDULING SCREEN
➼ Click ENTER
 Click OUTSOURCE STAFF REQUEST
 Click Enter
 Click Add New Row
 Feed No of Resources =01
 Work ID => Choose => General
 Outsource Type => Choose => Direct
 From Date :_________
 To Date :_________ ( 180 days Only)
 BO ID:__________ ( Select Branch Office Facility ID)
 Reason => _Vacant_______
 Click Request for Approval

Step 2:

http://sapep.indiapost.gov.in:8080/irj/portal
➼ Feed SSP/SP Login ID & Password
 Click Work 
 Click Outsource Request
 Enter
 Feed Employee Name :_____________
 Date of Birth :_____( Dummy DOB)
 Age:__
 Employee Address:______
 Employee Gender:______
 Work Hours : 3
 Click Create & Save
 Note Down the Employee Number

Step 3:

 Double Click SAP
 Double Click ECP
 Use SSP/SP Login & Password
 Enter T Code => ZLSS
 Click Create Normal Employee Vendor ( Staff Vendor Creation)
 Title:____
 Name :
 Personnel Number :________( Employee number which is generated in Leave Portal)
 Street:______
 Postal Code:______
 City:______
 Region:22
 Click F8 (Execute)

What’s New in Ver 2.0 >>> 

ZCOD_DUPLICATE T-Code
Has been enhanced to identify duplicate articles from Paid and unpaid article list Biller ID wise. 
Introduction :
The Purpose of this document is to enable user to make Payment against Cash on Delivery collections of Mail articles within CSI. 
Objectives of CSI COD Front Ending :
1. Accounting document posted against Delivery office after DPMS EOD& COD cash collected from postman/Window Delivery/RICT delivery/BO returns will be processed directly (Pan India) for Payment.

Hence Article can be paid soon after Delivery confirmation & COD cash collected from postman.

2. COD reports introduced for Delivery & RTS articles list based on Booking Date & Delivery Date.

3. ZART_UPLOAD restricted for the front ended biller & hence Booking Data cannot be created. 

• Article can be delivered or returned only if the booking data is available in CSI.

4. No changes in Delivery operations & few modifications in Payment process:

a. Payment due report (FBL5N). 
b. Posting Payment (F-58). 
c. Payment Details (ZFI_EPAY). 
5. Payment of COD Collections made at Non-CSI Office (Including TNF) continues with existing process.

6. CEPT E-payment site/Parcelnet reports will not include the collections/payments of CSI Offices.

7. Any files related to delivery/payments for COD Customer to be generated at nodal Payment/Booking Office only.

Hence no download currently possible at CEPT Epayment site for COD Customers.

Legacy CODE mapping is also not required.

Extracting Liquidity Forecasting - ZLIQF

DoP Liquidity Forecasting will gather cash management information to predict the cash balance on given day based on planned cash/bank or payment/recipts transactions

Liquidity Forecast in DoP will allow a user to predict future cash outflows such as Accounts Payable Transactions (i.e Vendor dues, Cash certificate maturity Payments. Pension Payments)
To Generate ECB MEMO Follow Below Steps 

Start The Transaction Using below mentioned  tcode

T-Code : ZLIQF

Enter

Company Name As DOPI
Profit Centre [OFFICE PROFIT CENTRE]
Date. [In DD.MM.YYYY Format]
Click On Execute  Button

The DoP internal users need to log on to CRM system to work on Complaint Management Process.


• The RDA Office should be responsible the assign the required role (Role: YS: SAP_CRM_DOP_INT_EMP) to DoP


• If the employee has only above mentioned role assigned, then after login, the Complaint search page will directly open.


• If the employee has multiple roles assigned, then they need to select the below mentioned role in the first screen appearing after Log on to perform the Complaint Management activities

SAP T-Code :
ZINT_DIP_EMP
User Manual For CSI-CRM Process pdf


HOW TO SPEED UP “SAP” BY EASY STEPS?

Now SAP & Employee portal is working very slowly. By using the following steps we can

Improve the performance and appearance of SAP. Try and realize the hidden secret.


Please do the steps with the guidance of your DSM/SAs.

Step1: Press the windows key and type “SAP GUI CONFIGURATION” and press enter. If it is not working open control panel > Personalization and appearance > SAP GUI Configuration.

Step 2: Change the theme as Blue Crystal or Classic theme . Classic theme is working with more speed.

Step 3: Change the Font settings >> Fixed Width Font Settings >> Lucida Console, 14

Step4 : Click the Traces & local Data and clear the files as per the below screen shot periodically.



by
Shri. S. Thiyagarajan
Mayiladuthurai Division
Mayiladuthurai 609001Tamil Nadu
Email: raajansankaran@gmail.com




SB - SBCO Related General Ledger Code / Account Head

GL starts with 1 is for revenue.
GL starts with 3 is for expenditure
GL starts with 8 is for Receipts
GL starts with 4 is for Payments

All receipts from customers has to repaid by us to customers in the form of Payments.

Revenue is our income. Ex. MO Commission, ePayment Commission.

Expenditure is all the Bills paid by us.

Savings Bank transactions Document number will always start with 6.

Insurance transactions Document number will always start with 7.

While doing Expenditure transactions Cost Centre is must.

While doing Revenue transactions Profit Centre is must.

So please understand and do the transaction accordingly.


1. What are the reasons for failure of RMFS transactions?
Failure of RMFS transactions is due to the issues in connectivity between the client system and SAP System/Vendor machine

2. How can the user check whether a transaction is in failed status?
The status of a transaction can be viewed in SAP Franking portal using the “Credit / Recharge Report”. Please follow the steps detailed below to view the report.

(a)Login to SAP
(b)Use Tcode zdop_main to get DOP Main screen and click on “Franking”
(c)The user can view the RMFS portal

(c)The user can view the RMFS portal.

(d) Click on “Credit / Recharge Report” on the left pane. Please enter the CR Number / Receipt number and click and click on execute.

(e) The user will get a report as shown below.

(f) Drag the scroll bar to the right hand side. In case of successful transaction the status will be shown as “Completed” in column “Amt Dwn by FM”

(g) A transaction will be complete only after receipt of acknowledgement for the fund file from the OEM( Franking Machine vendor). Normally fund file will be sent to the OEM at 6 AM on the next day . Successful transactions will be shown as “Open” till receipt of acknowledgement from the OEM. Once acknowledgement is received, the status will be changed as “Completed” in column “Amt Dwn by FM”. In case there is undue delay in status getting changed to “Completed” , the office of credit may raise a ticket with service desk.

(h) In case of failed transactions the status will be shown as “Error” in column “Amt Dwn by FM” . If the status is “Error” the office of credit has to raise a ticket with CSI service desk.
3. How to check the status of RMFS transactions using Tcode in SAP.

(a) Please use the Tcode “zmo_fkg_lic_recharge” in SAP. A data entry form as shown below will appear. Enter the necessary data viz CR Number / Receipt details and then execute 

(b) The following screen will be shown on execution. Please drag the scrollbar to the right hand side. In case of successful transaction thestatus will be shown as “Completed” in column “Amt Dwn by FM”.”

(c) A transaction will be complete only after receipt of acknowledgement of the fund file from the OEM( Franking Machine vendor). Normally fund file will be sent to the OEM at 6 AM on the next day . Successful transactions will be shown as “Open” till receipt of acknowledgement from the OEM. Once acknowledgement is received, the status will be changed as “Completed” in column “Amt Dwn by FM”. In case there is undue delay in status getting changed to “Completed” , the office of credit may raise a ticket with service desk.

(d)In case of failed transactions the status will be shown as “Error” in column “Amt Dwn by FM”. If the status is “Error” the office of credit has to raise a ticket with CSI service desk

eMO – Frequently Asked Questions 
1. How to find the unpaid eMOs available at any office?
Enter zemo_unpaid→enter the facility id→Any date range of 30 days can be entered→execute.


2. Can we see the unpaid emos at any postoffice?
Yes.

3. When the remitter complaints at the booking office about non receipt of money order by the payee, what are the checks to be done by the booking office?
Booking office should track the emo events in zmoipvs / indiapost tracking. If the emo is shown as received at a particular post office, then the availability/status(printed/invoiced/onhold etc) of that eMO can be confirmed with the unpaid eMO report of the destination office (zemo_unpaid→select the facility id of that destination office→select the date of receipt (as per track and trace). The office should be instructed to further process the Emo.

4. What is the action to be performed by the destination office for any eMO complaints?
Initially, eMO to be tracked in IPVS/Indiapost tracking. Further, the destination office should check the eMO in the eMO unpaid report (zemo_unpaid) selecting the received date(as per track and trace). The status of the eMO at the destination office will be shown in the report.

Further login to the dpms application→eMO view/update option→enter the received date in the from date and to date range→ press enter. To find the particular eMO, click find option and enter the eMO number and click ok in the page displayed. The eMO details will be displayed.

Alternatively, the availability of the eMO can be checked in window delivery option also.

5. What are the checks to be done by the postmaster before EOD for ensuring VPMO is booked for the VP articles delivered?
Before EOD, the daily account should be checked. If VP is delivered and VPMO is not booked, then only a single entry in the receipt side as “Value Payable Post clearing account” will be available. If VPMO is booked, then 3 entries viz “Receipt side: Value Payable Post clearing account, eMO issue /commission and Payment side: Value Payable Post clearing account” would be available in the daily account.

So, if only one entry (VP clearing account) is available in the receipt side, then postmaster should ensure to book the VPMO for VP delivered. This activity is important as the VPMO has to be booked on the same day of VP article delivery. System will not allow booking of VPMO on a later date.
eMO – Frequently asked questions

Further before EOD, the supervisor has to confirm booking of VPMOs for all VP articles delivered on the day by viewing VPMO Booking Report.

6. If redirected eMO is available in unpaid eMO report of the redirecting office and not available in view/update screen of the destination office, what is the action to be taken by the redirecting office? Ie The redirected/RTS emo has not reached the destination postoffice.
This happens when the approval of the supervisor is pending(not done) for the redirected eMO. The 
supervisor should approve the redirection.

7. What is the date range to be entered for viewing RTS eMO?
The received date as shown in the unpaid eMO report should be entered in the from date range for viewing the RTS eMO.

8. An emo is appearing in the unpaid emo report but not available for printing/invoicing to postman. What is the further course of action?
The date range in the view/update screen needs to be selected correctly. The received date shown in the unpaidemo report for that emo should be entered in the date range selection of view/update screen.

9. If the eMO is destined for non csi office and shown as picked by payment office, what is the action to be done by the non csi office?
It means the eMO is already received at the destination. It can be verified in the ENQUIRY option in the eMO module. It should come for printing and disposal. If the eMO is not available in enquiry option, please contact CEPT, Mysore with eMO client folder.

10. If the eMO is shown as received at data centre and not received by the non csi office, what is the procedure?
From the divisional login, request resend option to be executed.

SAP Info Type Codes with Infotype Name
InfoTypeInfotype Name
00000Actions
00001Organizational Assignment
00002Personal Data
00003Payroll Status
00004Physically Challenged
00005Leave Entitlement
00006Addresses
00007Planned Working Time
00008Basic Pay
00009Bank Details
00011Ext. Bank Transfers
00014Recur. Payments/Deds.
00015Additional Payments
00016Contract Elements
00017Travel Privileges
00019Monitoring of Dates
00021Family/Related Person
00022Education
00023Other/Previous ERs
00024Qualifications
00025Appraisals
00027Cost Distribution
00028Int. Medical Service
00029Workers' Compensation
00030Power of Attorney
00031Reference Pers. Nos.
00032Internal Control
00033Statistics
00034Corporate Function
00035Company Instructions
00037Insurance
00040Objects on Loan
00041Date Specifications
00045Company Loans
00050Time Recording Info.
00052Wage Maintenance
00054Works Councils
00057Membership Fees
00065Tax Data - GB
00069National Insurance GB
00070Court Orders GB
00071Pension Funds GB
00077Additional Personal Data
00078Loan Payments
00080Maternity Protection/Parental Leave
00081Military Service
00082Additional Absence Data
00083Leave Compensation
00084SSP Control GB
00085SSP1(L) Form Data GB
00086SSP/SMP Exclusions GB
00087WFTC/DPTC GB (this infotype is no longer used - use 0757 instead)
00088Maternity GB
00094Residence Status
00105Communication
00121RefPerNo Priority
00128Notifications
00130Test Procedures
00131Garnishment/Cession
00139EE's Applicant No.
00165Deduction Limits
00167Health Plans
00168Insurance Plans
00169Savings Plans
00183Awards
00185Teachers DfES Number
00198Schedular Deduction Tax
00199Addl. tax deduction
00207Residence Tax Area
00208Work Tax Area
00209Unemployment State
00216Garnish. Adjustment
00302Additional Actions
00416Quota Compensation
00422Company Cars GB
00614HESA Master Data
00615HE Contract Data
00616HESA Submitted Data
00617Clinical Details
00618HESA Academic Qualification
00757Working Family Tax Credit (to be used instead of 0087)
00793Payment Made in Error GB
00874Predetermination PAYE and NIC Adjus
Commonly used Organisation Management infotypes
Infotype Infotype Name
01000Object
01001Relationships
01002Description
01003Department/Staff
01008Account assignment features
01011Work schedule
01015Cost planning
01016Standard profiles
01017PD profiles
01027Site-dependent information
01028Address
01032Mail address
01037Billing/allocation information
01039Shift group
01208SAP organisational object
Commonly used Time Managem ent infotypes
Infotype Infotype Name
02001Absences
02002Attendances
02003Substitutions
02004Availability
02005Overtime
02006Absence Quotas
02007Attendance Quotas
02010EE Remuneration Info
02011Time Events
02012Time Transfer Specifi cations
02013Quota Corrections
02050Annual Calendar
02051Monthly Calendar
02052Weekly Calendar
Commonly used Recruitment infotypes
Infotype Infotype Name
04000Applicant Actions
04001Applications
04002Vacancy Assignment
04003Applicant Activities
04004Status of Applicant Activity
04005Applicant's Pers.No.

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