After logging in for the first time, the system must be configured. Create periodFirst of all, a period should be created. Master data→Periods→[Create] Image Added Tip |
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| Please only create periods in accordance with the current usage. |
Read more in the manual Enter connection parametersAfterwards the ERP groups have to be created. Settings→Connection information→[Create] Image Added Please change the category to ERP Group. Read more in the manual Check Country SettigngsSpecify which automatic correction should be set. Image Added Read more in the manual Check interface configuration under certain circumstancesSettings→Interface configuration Image Added If the authorization exists, check whether the master data template matches the interface configuration. Image Added Image Added Tip |
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| In the table, the columns [Order] and [Header name] are important. In [Order] the position of the corresponding field from the CSV file, counted from left to right, must be entered. In [Header name] the name of the header in the first line of the corresponding column from the CSV file must be entered. |
Import master dataOnce the template has been prepared, the master data can be imported as a CSV file. Tip |
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| Please open the created CSV file in Notepad++ and check if the format is correct. |
Settings→Master data import Image Added After that, please transfer the master data to the target period. Enter tax codesThe tax code template is stored in the corresponding company including the mapping. Master data→Tax codes→[Import]→Import from CSV-file: Image Added Tip |
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| After successful upload, the tax codes and their mapping can be transferred to all other companies in the same ERP group using the [Copy to all Company codes of the ERP group] function. |
Read more in the manual Import reconciliation accountsTo be able to use all reconciliations, the chart of accounts must be imported into the VAT@GTC. This can be assigned either to an individual company or to an ERP group. This can be selected at SAP system. Master data→Reconciliations→[Manage Reconciliation accounts] Image Added Read more in the manual Specify reconciliations for companiesAt this point, individual reconciliations for the respective company can be activated or defined via the reconciliation standards for all companies. Image Added Read more in the manual Switch to the Value Added Tax AreaNow the first VAT-return can be prepared. Read more in the manual |