In this configuration activity we are able to define cash journal id per company code as well as additional parameters for document types which will be used in those postings. Transaction: FBCJC0 IMG Path: Financial Accounting (New) -> Bank Accounting (Business Transactions) -> Cash Journal -> Set Up Cash Journal Tables: TCJ_C_JOURNALS, TCJ_CJ_NAMES When you open the transaction you will see a list of all predefined items. Maintaining a new entry is done in the same grid.
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