1、saplocalizationreportdocxFIN_LOC_CI_11FI,中国、沙特和阿联酋的本地化1.Account Balance Report (China) 总账余额报表(中国)Account Balance Report (China)DescriptionThis form shall cover the Account Balance Report providing information on general ledger account balance for a specified fiscal period in a format stipulated by a
2、uthorities in China. It provides information such as account number, debit/credit amounts in local currency and closing balance etc.This is to test the new programfor the Account Balance Report whether it contains all information as required by the Chinese law including the form stipulated by the le
3、gal authorities.PreparationCarry out all the necessary configurations for FI postings. (e.g. set-up company code for China, currency, document type, number range etc.)In case you want to monthly carry forward P&L account balances according Zhang Jie Fa it needs to be activated for your company code.
4、 Call transaction SM30 and define the table/viewIDCN_V_ZJFCOCD and maintain your company code.ExecutionPost many different type of FI documents with several G/L accounts using the transaction FB01/FB60/FB70/F-22 etc.Call transaction IDCNACCTBLN or execute the program RFIDCN_ACCTBLN for your company
5、code.CheckCheck if the account balance list displayed with the correct values based on what you post during testing on a form. (Beginning balance , Subtotal Current Month, Accumulatedand Annual totalin Debit/Credit/Balance).Check if the G/L account name is displayed correctly based on what you maint
6、ain the time dependent short/long texts in the G/L account master.Check if the PDF is displayed in a format stipulated by authorities in China. (See in below)(1) if the title of the report is displayed in the form header based on what you enter in the selection screen.(2) if the reporting year/perio
7、d is displayed with the correct format yyyy Year, xx Period (Start) To yyyy Year, zz Period (end) in the form header. (e.g. 2008.01-2008.01)(3) if the company name, organization unit name, accountant name and page number are displayed correctly or not.(4) if the printing date is displayed based on t
8、he report run date in the format YYYY.MM.DD.账户余额报告(中国)描述这种形式应包括帐户余额报表,总帐帐户余额为指定的会计期间中国当局规定的格式提供信息。它提供的信息,如帐户号码,借记/贷记金额以当地货币和期末余额等。这是为了测试账户余额报告的新方案,无论它包含了所有由中国法律规定的形式由法律机关所需要的信息。准备进行所有必要的配置FI帖子。 (例如,建立中国公司代码,货币,文件类型,数量范围等.)如果你想每月发扬PL账户余额按照账结法为您的公司代码需要被激活。调用事务SM30和定义表/浏览IDCN_V_ZJFCOCD和维护您的公司代码。执行发表许多不
9、同类型的FI凭证使用交易FB01/FB60/FB70/F-22等几个G / L帐户呼叫交易IDCNACCTBLN或执行程序RFIDCN_ACCTBLN,为您的公司代码。查检查账户余额清单显示正确的价值观基础上,在测试过程中的形式,你的职位。 (期初余额,本月小计,累计年度总借记卡/信用卡/平衡)。检查根据你的维持依赖时间的长/短文本中的G / L科目主,如果G / L帐户名正确显示。检查如果PDF显示中国当局规定的格式。 (显示在下面)(1)如报告标题显示的形式头的基础上选择画面中你输入什么。(2)如果报告年度/期间显示与正确格式yyyy年,XX年年份的期间(开始),ZZ期间(结束)“的形式头
10、。 (例如2008.01-2008.01)(3)如公司名称,组织单位名称,会计师名称和页码显示正确与否。(4)如果打印日期显示格式YYYY.MM.DD“报表上运行日期。2.Accounting Document Report (China) 会计凭证报表(中国)Accounting Document Report (China)DescriptionThis form shall cover the Accounting Document Report (so-called Accounting Voucher)for China which provides information on j
11、ournal entries, such as cash and bank vouchers of a company. This is required for documenting a companys business operations, and information is in the format stipulated by the legal authorities in China.This is to test the Accounting Document Form for China whether it contains all information as re
12、quired by the Chinese law including the form stipulated by the legal authorities.PreparationCarry out all the necessary configurations for FI postings. (e.g. set-up company code for China, currency, document type, number range etc.)Assign Account Document Type to Voucher Type as follows: (Go to the
13、transaction SM30 and select the table/view IDCN_V_DOCTYP.)- document type is for incoming payment, select the voucher type 1,- document type is for outgoing payment , select the voucher type 2,- document type is for the transfer, select the voucher type 3.in case the document type is not assigned to
14、 any voucher - type 3 is selected automatically.ExecutionCreate some FI document (test data) as below.(1)Incoming payment with a document type assigned to the voucher type 1 using the transaction F-28(2) Outgoing payment with a document type assigned to the voucher type 2 using the transaction F-53(
15、3) Bank Transfer with a document type assigned to the voucher type 3 using the transaction FB01 or FB50Call transaction IDCNDOC or execute the Accounting Document report (RFIDCN_ACC_DOC) for your company codeCheckCheck if the output form is displayed and printed as required by the Chinese law as bel
16、ow.(1) if Accounting Document Form is printed on a separate page with landscape orientation. (If there are more line itemsthan 5 new page should be created, same for each next5 line items and the total line should be printed only on the last page).(2) if the accounting document title in the form hea
17、der is displayed based on what is entered in the selection screen. The titles will be Receipt, Payment and Transfer for the different purposes.(3) if the accounting document posting date is displayed in the format YYYY year MM month DD date in the form header.(4) if the official document number is d
18、isplayed (26 characters) based on the format Free Text (10 chars) + underscore (1 char) + Document class (2 chars) + Fiscal year (4 chars) + period (2 chars) + underscore (1 char) + Sequence number ( 6 chars). Refer to the test case FIN_LOC_CI_11_CN_ODN - Official Document Numbering by Period (China
19、).(5) if all values in the form are displayed correctly in debit or credit side. (Values should be displayed as positive). In case of the total amount, it should be in Chinese language by the rules.(6) if the accounting manager and approver are displayed based on what is entered in the selection scr
20、een. In case of user, it will be automatically filled with the name of the person who runs the report. All name should be in the format Surname, given name.Further notesIn case you want to see Accounting Document form with the historic G/L account description (description valid at the time when acco
21、unting document was posted) uncheckthe Display account description on the posting date (Disp. Acct. Desc. on Pstng Date) control on selection screen (locate in in section G/L account description).As default actual description for G/L account is taken. Refer to the test case FIN_LOC_CI_11_CN_TIME_DEP
22、_GL - Time Dependent Text for G/L Account (China).会计文件报告(中国)描述这种形式应包括会计文件报告(所谓的会计凭证)中国期刊条目,如一家公司的现金及银行凭证提供的信息。这是必需的记录公司的业务经营,信息是在中国的法律机关规定的格式。这是为了测试中国会计文件的形式,无论它包含了所有由中国法律规定的形式由法律机关所需要的信息。准备进行所有必要的配置FI帖子。 (例如,建立中国公司代码,货币,文件类型,数量范围等.)帐户文件类型指定到凭证类型如下:(转到事务SM30,并选择表/查看IDCN_V_DOCTYP的。)- 文件类型传入付款,凭证类型选择1
23、,- 文件类型传出付款,凭证类型选择2,- 文件类型的转移,选择券型3的。情况下,文件类型不分配给任何凭证 - 3类型自动选择。执行下面创建一些FI凭证(测试数据)。(1)收款与文档型分配凭证类型1交易F-28的(2)付款与分配凭证类型2交易F-53的文档类型(3)银行转帐与文档类型分配凭证类型3交易FB01或FB50“呼叫交易IDCNDOC的或执行会计文件的报告(RFIDCN_ACC_DOC),为您的公司代码查检查显示和打印输出形式如下中国法律所要求的。(1)如会计文件的形式印在单独的页面横向。 (如果有超过5个新的页面应该创建更多的行项目,为每个未来5号线项目,线路总相同,应该只在最后一页
24、打印)。(2)如果会计凭证标题显示在窗体页眉基于选择屏幕中输入什么。标题将是“收据”,“付款方式”和转移为不同的目的。(3)如果会计文件寄发日期“显示格式为”YYYY“年MM月DD表示日期的形式头。(4)如果显示(26个字符)的官方证明文件号码“是基于”自由文本格式(10个字符)+下划线(1个字符)+文档类(2个字符)+财年(4个字符)+期间( 2个字符)+下划线(1个字符)+顺序号(6个字符)“。请参阅到测试用例FIN_LOC_CI_11_CN_ODN - 期间(中国)的正式文件编号。(5)如果所有的表单中的值显示正确的“借记卡”或“信用”的一面。 (值应该被显示为正数)。在总金额的情况下,
25、它应该是在中国的语言规则。(6)如果选择屏幕中输入什么显示基于“会计经理”和“审批”。在用户的情况下,它会自动填入与运行报告人的名称。所有的名称应该是格式姓,名。其它注意事项如果你想看到会计凭证的形式与历史悠久的G / L帐户描述(描述在被张贴会计凭证时有效)取消选中“显示帐户说明发布日期(DISP. ACCT递减。上Pstng日期选择屏幕)控制(定位在部分G / L帐户描述)。由于G / L帐户采取默认的实际描述。参考的测试用例FIN_LOC_CI_11_CN_TIME_DEP_GL的 - 时间相关的文本为G / L帐户(中国)。3.Cash Flow Statement (China) 现
26、金流量表(中国)Cash Flow Statement (China)DescriptionThe test case is about to check the reporting program and output form of cash flow statement according to the general accepted accounting principle (China GAAP- 2007) section 36 -Cash Flow Statement in China.Preparation1. You have made cash flow-related
27、postings, such as Accounts Payable (FI-AP) and Accounts Receivable (FI-AR) invoices or payments are posted.2. You have checked / updated configuration for the predefined Cash Flow Statement Version for China.In Customizing for Financial Accounting (New) (FI) under General Ledger Accounting (New) - P
28、eriodic Processing - Report - Statutory Reporting: China - Financial Reporting - Cash Flow Statements - Define Cash Flow Statement Version, select version 0003 and to maintain it, select Statement Items.Version 0003 is assigned to template Chart of Account CACN. You can change the assignment to your
29、 own Chart of Account.Execution1. Run transaction Cash Flow Statements (China) (IDCNCASH).2. Enter the required parameters on the selection screen.3. Execute the report by pressing F8.CheckThe output PDF form for cash flow statement should be prepared according the requirements defined in the Chines
30、e GAAP-2007, section 36.Further notesEnsure that the complete payment chain is maintained in the Customizing for the proper Cash Flow Statement item.现金流量表(中国)描述测试用例来检查申报程序和输出形式根据一般公认会计原则(中国企业会计准则2007年)在中国的第36现金流量表现金流量表。准备1。你已经做了现金流相关的帖子,如应付帐款(FI-AP)和应收账款(FI-AR)发票或付款张贴。2。您已检查预定义现金流量表版中国/更新的配置。(新)财务会计
31、(FI),根据总账会计(新) - 定期处理 - 报告 - 法定报告:中国 - 财务报表 - 现金流量表 - 定义现金流量表版本定制,选择版本0003,并保持它,选择报表项目。版本0003分配模板图表帐户CACN的。您可以更改分配给自己的帐户图。执行1。运行交易现金流量表(中国)(IDCNCASH)。2。在选择屏幕上输入必要的参数。3。执行报表时按F8。查应编制现金流量表输出PDF形式,根据中国公认会计准则,2007年,第36条中定义的要求。其它注意事项确保完成支付链中保持正确的现金流量表项目定制。4.Financial Statement (China) 财务报表(中国)Financial Statement (China)DescriptionAll the companies that are registered in China need to print out balance sheets and income statements periodically. The balance sheet and income statement forms currently used in China are bas
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