fbcj cash paid for asset acquisition
DESCRIPTION
Cash journal process for asset acquisitionTRANSCRIPT
CASH JOURNAL NEW BUSINESS TRANSACTION: PAYMENT OF CASH FOR ASSET ACQUSITION
Tr-code: FBCJ
Post the transaction
Check the accounting entry
Now capitalise the asset by crediting Clearing account
Tr-code: F-02
THE ABOVE WILL CREATE OPEN ITEMS IN CLEARING ACCOUNT (2070051300) WHICH NEEDS TO BE CLEARED MANUALLY (BY USING TR-CODE F-03). REFER BELOW:
OR POST THE CAPITALISATION ENTRY BY DIRECTLY CLEARING THIS ACCOUNT
TR-CODE: F-04