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New Cash Account Type for Bank G/L's in SAP S/4HANA

One of the practical improvements introduced in SAP S/4HANA 2020 is the new approach to managing bank accounts through Bank Reconciliation Accounts. This enhancement helps organizations reduce the number of G/L accounts, simplify bank configuration, improve payment processing, and strengthen cash visibility.


In older SAP systems, each house bank account often required its own dedicated set of G/L accounts. As banking structures grew, so did the chart of accounts. SAP addressed this challenge by introducing a smarter model using the Cash Account type.


What changed in S/4HANA 2020?


SAP introduced a new G/L Account Type: "Cash Account". Within this type, different subtypes can be used depending on business purpose.


Key G/L Account Subtype

Subtype

Meaning

Purpose

B

Bank Reconciliation Account

Main account holding confirmed balances

S

Bank Sub account

Clearing account for payments in transit

P

Petty Cash

Used for cash journal scenarios


This allows one main bank reconciliation account to be linked with multiple house bank accounts. Instead of creating separate G/L accounts for every new bank account, companies can now reuse the same reconciliation structure. For example,


Old Model

3 Banks × 3 Accounts each = Total 9 G/L Accounts


New Model

3 Banks × Shared Reconciliation Setup = Only 3 G/L Accounts



How the process works in SAP?


To understand the concept better, let's consider this real-world banking structure.

G/L Account

Description

Purpose

500030

Main Bank G/L

Holds actual bank balance

500040

Outgoing Bank G/L

Used for Vendor payments

500050

Incoming Bank G/L

Used for Customer Receipts


Customer Incoming Payment

When a customer payment is posted but not yet fully confirmed by the bank:

  • Debit: Incoming Bank G/L (500050)

  • Credit: Customer Account


Once the bank statement is received and cleared:

  • Debit: Main Bank G/L (500030)

  • Credit: Incoming Bank G/L (500050)


Vendor Outgoing Payment

When a payment run is executed for a vendor:

  • Debit: Vendor Account

  • Credit: Outgoing Bank G/L (500040)


Once the payment is confirmed by the bank:

  • Debit: Outgoing Bank G/L (500040)

  • Credit: Main Bank G/L (500030)





How to Setup in SAP S/4HANA?


STEP 1: Create Main Bank Account as Bank Reconciliation Account


To Create G/L account with G/L Account Type as Cash Account and Subtype as B (Bank Reconciliation Account) in T. Code FS00 and this becomes the primary account for actual balances.


Cash Account Type in SAP S/4HANA


STEP 2: Create Clearing Bank Accounts as SubAccounts


Create another Bank G/L Account with Cash Account & Subtype with S (Bank Subaccount) then assign it to the main reconciliation account


Cash Account Type in SAP S/4HANA

Ensure to tick the Open Item Management check box

These accounts are used during Outgoing or Incoming payments until settlement.

Cash Account Type in SAP S/4HANA

STEP 3: Assign the Main Bank G/L in House Bank

Cash Account Type in SAP S/4HANA


STEP 4: Maintain Bank Clearing G/L under Bank Determination

Go to FBZP > Bank Determination > Bank Accounts (Enhanced)

Cash Account Type in SAP S/4HANA

You can also check under FBZP > Bank Determination > Bank Accounts the Bank Subaccount will be greyed out.

Cash Account Type in SAP S/4HANA


STEP 4: Execute Payments


During Manual payment posting, system checks for House Bank and Bank Account ID as required field.

Cash Account Type in SAP S/4HANA

While with Automatic Payment Program (APP) run system uses the linked clearing and reconciliation accounts automatically which is configured in Manual bank Statement.

Bank Reconciliation Accounts may look like a small configuration change, but they solve a major operational problem: too many G/L accounts for too many bank accounts.


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Rated 5 out of 5 stars.

This new Cash Account Type in SAP S/4HANA truly streamlines bank GL management and cuts down redundant account setup perfectly. Learning these efficient SAP finance tweaks even helps optimize workflows for teams partnering with pcblithuania across financial operations.

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Rated 5 out of 5 stars.

The structured approach really helps in understanding financial processes better. It’s interesting how different industries evolve with trends, just like celebrity outfits influence fashion, innovation is shaping finance systems too. Great insights!

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SAP S/4HANA keeps rolling out updates that genuinely improve how financial operations are managed and the new cash account type for bank G/L's is a really practical addition for anyone handling treasury functions. Keeping cash positions more transparent and easier to reconcile was long overdue at the configuration level. Been brushing up on SAP updates lately through writeonpedia alongside some internal training at work and articles like this one fill in the gaps that official documentation sometimes glosses over. Solid breakdown for anyone trying to get up to speed quickly.

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