The document discusses the configuration of electronic and manual bank statements in SAP. It provides details on:
- Setting up account symbols that represent general ledger accounts like bank and cash receipt accounts
- Assigning the account symbols to the relevant general ledger accounts
- Creating keys to define posting rules for different bank statement transactions
- Defining the actual posting rules by linking the keys to account symbols and specifying debits/credits
- Creating transaction types to assign specific bank accounts to for importing their statements