|   | The Belgian Balance of Payments report dataCompanies in Belgium and
		Luxemburg must submit a Belgian Balance of Payments report. To set up the Belgian Balance of Payments report
		  data To set up the master data for the Belgian Balance of Payments
		  report, take the following steps: - In the Business Partner (tccom4100s000) session, select the default Intracom code (I-code) for
		  the transactions that you conduct with your business partners whose country is
		  an EU country other than your company's own home country. The I-code indicates
		  the transaction type.
 - In the Country Groups (tcmcs1180m000) session, define the Belgian Balance of Payments report
		  country groups according to the Belgian Balance of Payments regulations. On the
		  Belgian Balance of Payments report, the balance amounts are distributed among
		  the country groups.
 - In the Countries (tcmcs0510m000) session, link the country's BLWI country group and tax
		  country group to the countries.
 - In the Currencies (tcmcs0102m000) session, mark the currencies that are used on the
		  Belgian Balance of Payments report as Belgian Balance of Payments reporting
		  currencies.
 - In the Delivery Terms (tcmcs0141m000) session, select the Belgian Balance of Payments delivery terms groups for each of the delivery terms.
 - In the Finance Company Parameters (tfgld0503m000) session, enter the declarant's address that must be
		  printed on the Belgian Balance of Payments report.
 
 To process the Belgian Balance of Payments report
		  data To process the Belgian Balance of Payments report data and to
		  generate the Belgian Balance of Payments report, use the following sessions in
		  the Cash Management module of Financials: -  Process Belgian Balance of Payments (tfcmg3207m000).
 -  Belgian Balance of Payments Invoice Data (tfcmg3507m000).
 -  Print NBB Invoice Data (tfcmg3406m000).
 -  Print Belgian Balance of Payments (tfcmg3407m000).
 
    |   |