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Former Member

The below settings are pre requisite for any transaction in transaction manager.These settings needs to be maintained for each of the product groups like money market, securities market etc.

Product Types  

Transaction Types

Activity Categories

Processing Types

Condition Categories

Flow Types/Categories

Update Types


Product Types

Path: Accounting - Financial Supply Chain Management –Treasury and Risk Management – Transaction Manager – Money Market – Transaction Management – Product Type

Product types are a sub classification of Product Group. Standard customizing has some standard product types as below.

Transaction Type

Path: Accounting - Financial Supply Chain Management –Treasury and Risk Management – Transaction Manager – Money Market – Transaction Management – Transaction Type

Transaction Types determines the type of transaction (investment, borrowing, sale etc.). It is assigned to Product type in combination with product type it determines a transaction and assign a number from attached Number range.

Activity Category

Controls activities possible for a particular transaction category like correspondence and establishes the sequence of individual activities.

Path: Accounting - Financial Supply Chain Management –Treasury and Risk Management – Transaction Manager – Money Market – Transaction Management – Activity Type


Flow Type

Each flow type attached to a Flow Category & assigned to Transaction type. It controls manual entries, conditions, accruals /deferrals or valuation runs.

Path: Accounting - Financial Supply Chain Management –Treasury and Risk Management – Transaction Manager – Money Market – Transaction Management – Flow Type.

Flow type is assigned to Update Type and Update Type is assigned to Posting Specification. Posting specification is assigned to Accounting Symbol and Accounting Symbols assigned to GL accounts.


Condition  Type

Condition Types along with flow type derives the financial transaction and automatic generation of flows.

Path: Accounting - Financial Supply Chain Management –Treasury and Risk Management – Transaction Manager – Money Market – Transaction Management – Condition Type

Update  Type

Transaction types are assigned to Usage, and flow types are assigned to Update types Updates types are assigned to Position Update for the position indicator.

Path: Accounting - Financial Supply Chain Management –Treasury and Risk Management – Transaction Manager – Money Market – Transaction Management – Update Type.

Update Type is assigned to Posting Specification. Posting specification is assigned to Accounting Symbol and Accounting Symbols assigned to GL accounts.

This document was co authored by varun.harlalka

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