This document provides information about configuring automatic postings in SAP for inventory management and invoice verification transactions. It describes how the system determines the relevant general ledger accounts to post to for each transaction based on factors like the chart of accounts, valuation grouping code, transaction/event key, valuation class, and account grouping. It also outlines the steps to define the account assignments for each transaction, check the settings using a simulation, and review further details on specific posting transactions.