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3545881 - RECN: Cash flow due date shift by working days not happening for future periods

Symptom

You are applying a due date correction rule with a "10 Working Day" unit, which shifts the due date by X working days. As a result, the due date of the partner-related cash flow item is moved by X working days. However, in the next fiscal year, the due dates are not adjusted in the same manner.


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Environment

Flexible Real Estate Management (RE-FX)
Contract and Lease Management
SAP ERP Central Component
SAP ERP
SAP enhancement package for SAP ERP
SAP enhancement package for SAP ERP, version for SAP HANA
SAP S/4HANA Finance
SAP S/4HANA

Product

SAP ERP Central Component all versions ; SAP ERP all versions ; SAP S/4HANA Finance all versions ; SAP S/4HANA all versions ; SAP enhancement package for SAP ERP all versions ; SAP enhancement package for SAP ERP, version for SAP HANA all versions

Keywords

SAP S/4HANA, Flexible Real Estate Management, Cash Flow, Due Date, Factory Calendar, SCAL, working day, correction rule, V_TIVCDDUEDATE, DUEDATECORRCALUN, RECDDUEDATECORRCALUNIT, FABKAL , KBA , RE-FX-CF , Conditions and Cashflow , How To

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