When executing the App Post with Clearing the following error is received: "Account && is not a reconciliation account for account type &&"
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SAP S/4HANA CLOUD 2011 and above
Reproducing the Issue
1. App Post with Clearing
2. All data added, press on Save
3. Error is received:
"Account && is not a reconciliation account for account type &&
Message no. F5017
The account && is to be used as a reconciliation account for the desired special G/L transaction. However, the account was not defined as a reconciliation account for account type & in the company code-specific part of the master record.
If the account number is correct, change the master record of the account. If the account number is incorrect, determine via Customizing which account is to be used. The specification is made in table T074."
Account was not defined as a reconciliation account for account type && in the company code-specific part of the master record.
1. Go to App Manage Your Solution.
2. Select SSCUI 150001.
3. Select the account in question and go to tab Company Code and select company code.
4. Check account type.
5. Make necessary change in the SSSUI in the Q system if needed.
Message no. F5017, F5 017, account type, SSCUI 150001, "Die voreingestellte Variante '&' für den Zeilenaufbau ist ungültig" , KBA , FI-FIO-GL-CA , Configuration for General Ledger – Account Determination , How To