| TCode | Description | Module | Top Module | Component |
|---|---|---|---|---|
| Action Types | ||||
| Action Type - Bus. Proc. - Dev. Role | ||||
| Assign profile to GTIN and Flt value | ||||
| Device Event Maintenance | ||||
| Maintain Company Prefix | ||||
| Object Category Determination | ||||
| Assign Profile for Pack Monitor | ||||
| Assign profile to ID and Encod. Type | ||||
| Assign profile to GTIN and Flt value | ||||
| Assign profile to GTIN and Flt value | ||||
| Assign profile to GTIN and Flt value | ||||
| Backend Message conditions | ||||
| Fixed Reader Message conditions | ||||
| Mobile Message conditions | ||||
| Mobile Message Conditions | ||||
| Assign profile to Bus Proc and GRAI | ||||
| Assign profile to Bus Proc and GRAI | ||||
| Date Values for Access to Archive | ||||
| Define Groupings for BCV Objects | ||||
| Define Meanings | ||||
| Maintain Query Cache | ||||
| Maintain Query Dispatcher Settings | ||||
| Define Snapshot Parameter | ||||
| Define Printing Parameters | ||||
| Material Sorting Variant | ||||
| Form for Material Sorting Variant | ||||
| Maintenance of Print Indicator | ||||
| Maintenance Empties Material Types | ||||
| Maintenance of Empties Materials | ||||
| Empties: Assign Item Categories | ||||
| Assi. of Shipment Message/Bill.Type | ||||
| Certificates for Temporary Consignee | ||||
| Tax Types Definition | ||||
| ED Procurement Type Assignment | ||||
| Tax Warehouse Definition | ||||
| SAP Stor. Loc. for ED Tax Warehouse | ||||
| ED Movement Categories per Tax Type | ||||
| Assignment Mvmnt Types to Mvmnt Cat. | ||||
| Properties of Stock Ledger Groups | ||||
| Print Formats Stock Ledger | ||||
| Movement Categories Maintenance | ||||
| Returns: Order Reasons/Tax Deferral | ||||
| Customer Groups for Special Customer | ||||
| Definition of Movement Categories | ||||
| Excise Duty Units of Measure | ||||
| Assignment Cost Center for ED Type | ||||
| Excise Duty Printer Control | ||||
| Excise Duty Tax Rates | ||||
| Column Bookable upon Period-End Cls. | ||||
| Returns: Tax Deducting Item Categor. | ||||
| Excise Duty: Basic Settings | ||||
| Header Lines for Tax Warehouse | ||||
| Storage Types for Stock Shrink. Rate | ||||
| Shrinkage Rate Rel. to Tax Warehouse | ||||
| Shrinkage Rate Rel. to Storage Loc. | ||||
| Define Theoretical Shrinkage | ||||
| Define Actual Shrinkage | ||||
| Stock Ledger Add. Fields: Definition | ||||
| Stock Ledger Add. Fields: Conditions | ||||
| Replace ED Standard Programs | ||||
| Excise Duty - Report Thresholds | ||||
| Excise Duty - Error Texts | ||||
| Define Printing Format Items | ||||
| Display Excise Duty Periods | ||||
| Display ED Year-End Closings | ||||
| Constants | ||||
| Area types (REM) | ||||
| Assigning usage type/area type (REM) | ||||
| Tax office: master data | ||||
| Tax office: master data | ||||
| Tax office: master data | ||||
| SO: Aver.prices of agricultural land | ||||
| Mapping property yax areas RE-FX | ||||
| Areas for property tax | ||||
| Company Codes to Dominant Co.Codes | ||||
| Dominant Company Codes | ||||
| Profile Type and Condn. Type Mapping | ||||
| Profile Type Creation | ||||
| CWM Message Attributes | ||||
| Default for Valuation Procedure | ||||
| Tour Data Entry Control | ||||
| DEX - Archiving Control | ||||
| Control Automatic Settlement | ||||
| Interim Accounts | ||||
| Interim Accounts, Final Difference | ||||
| General Accounts Driver, Customer | ||||
| Specific Accounts Driver, Customer | ||||
| Determination Tolerance Groups | ||||
| Tolerance Groups | ||||
| Serach Criteria Tolerance Groups | ||||
| Tolerance Types | ||||
| Visit List Archiving Control | ||||
| Characteristics for GL - Templates | ||||
| Characteristics for GL - Templates | ||||
| Activate G/L Account Posting | ||||
| Additional search helps | ||||
| Relation Interfaces and Classes | ||||
| Cust.: Assign Receiver PO Doc. Type | ||||
| Cust: Release ID f. Synchronization | ||||
| Cust.: Confign Cd Classes to Mod. ID | ||||
| Customizing: Controlled Usage Rate | ||||
| Customizing: Controlled Usage Rate | ||||
| Cust.: Master Equipment Sts Objects | ||||
| Customizing: Flight Types | ||||
| Customizing: Flight Status Objects | ||||
| Customizing: Order Type Tech. Status | ||||
| Cust.: Notification Type Tech. Sts | ||||
| Cust.: Activate Intersession Events | ||||
| Customizing: Model IDs (WS) | ||||
| Customizing: Status Function | ||||
| Cust.: Technical Status Semantics | ||||
| Cust.: Status Board Transactions | ||||
| Customizing: User Status Icons | ||||
| Customizing: Usage Rate | ||||
| Maintain Relocation | ||||
| Maintain Relocation Steps | ||||
| Maintain Weight Groups | ||||
| Maintain Relocation Types | ||||
| Cust:Cust: Cross-System Commands | ||||
| Cust.: Assign Log.Syst. to Plnt/SLoc | ||||
| Cust.: Cross-System Basic Settings | ||||
| Organizational Areas | ||||
| Structure Levels | ||||
| Structure Types | ||||
| Branches | ||||
| Readiness | ||||
| Classification of Armed Forces | ||||
| Material Indicators | ||||
| Add/Change Operational Role | ||||
| Display Operational Role | ||||
| Change or Add Site | ||||
| Display Site | ||||
| Assgmt: Relationship - Basic Type | ||||
| Customizing Usage Types | ||||
| Maintenance Relatshps: Damage Types | ||||
| Supply Relatshps: Ext. Matl Groups | ||||
| ILN for SSCC-Gen. at StorLoc Level | ||||
| ILN for SSCC-Gen. at StorLoc Level | ||||
| Shpg Deadline - Chg. Ldng Time Info | ||||
| Shpg Deadline - Disp. Ldng Time Info | ||||
| Shpg Deadl- Chg. Pick/Pack Time Info | ||||
| Shpg Deadl-Disp. Pick/Pack Time Info | ||||
| Exclusion Objs Auth./Actl Comparison | ||||
| Picking _ Change Stor.Loc. Determin. | ||||
| Picking - Display Stor.Loc.Determin. | ||||
| Change Loading Points per Shpg Point | ||||
| Display Loading Points per Shpg Pt | ||||
| Change Shpg Pt Determination (SLoc) | ||||
| Disp. Shpg Pt Determination (SLoc) | ||||
| Change Shpg Pt Determination (Plant) | ||||
| Disp. Shpg Pt Determination (Plant) | ||||
| IDEX CoS: Act. Event Cat. Coupling | ||||
| IDEX CoS: Act. Event Cat. Coupling | ||||
| IDEX CoS: Act. Event Cat. Coupling | ||||
| IDEX CoS: Maintain Switch Views | ||||
| IDEX CoS: Maintain Switch Views | ||||
| IDEX CoS: Maintain Switch Views | ||||
| Definition of Event Dimensions | ||||
| Definition of Events | ||||
| Definition - IF Type BPS Key Fig. | ||||
| Definition - Infl. Factor Type Event | ||||
| Definition - Infl. Factor Type Exit | ||||
| Definition- Infl. Ftr Type #Sls Days | ||||
| Demand Reserve | ||||
| RCCF: Process Destinations | ||||
| RCCF: Advanced Settings | ||||
| Maintain Assignment Types | ||||
| Maintain Broadcast Targets | ||||
| Tx for Maintenance view of C_RM_BTNV | ||||
| Maintain Corporate Companies | ||||
| Maintain Corporate Organization | ||||
| Maintain CRM Order Probability | ||||
| Maintain Contract Types | ||||
| Maintain Escalation Types | ||||
| Maintain Flow Down Terms | ||||
| Maintain Job Texts | ||||
| Maintain Line of Business | ||||
| Maintain Order Probablity | ||||
| Maintain Request Origins | ||||
| Maintain Project Activity types | ||||
| Maintain Partner Rejection Codes | ||||
| Maintain Partner Statuses | ||||
| Maintain Reasons for Close | ||||
| Maintain Request Types | ||||
| Maintain Role Types | ||||
| Exclude From SLA Tracking Reasons | ||||
| System parameters for qualifications | ||||
| To maintain broadcast other regions | ||||
| To maintain broadcast other regions | ||||
| Maintain Exchange Keys | ||||
| Assign CtrlArea/Origin to NF Keys | ||||
| NF Rate Reference PurchOrg --> SOrg | ||||
| Different Rate Determination, SD | ||||
| Customizing for viewer installation | ||||
| Maintain Table /SAPCEM/INV01 | ||||
| Maitain Table /SAPCEM/V_INV02 | ||||
| Control for Archiving | ||||
| Maintain Application Id | ||||
| Maintain Application Property | ||||
| Maintain Application Set | ||||
| Maintain component Id | ||||
| Maintain component Id | ||||
| Maintain Document Profile | ||||
| Maintain Document Type Texts | ||||
| MAp Frontend actions Backend action | ||||
| Front End Text Maintenence | ||||
| Actions Changing Vehicle | ||||
| Maintain Dealer Action Master | ||||
| Text of Dealer Status | ||||
| Dealer Status | ||||
| Value Table for Ext Interface ID | ||||
| External Interface | ||||
| Image Maintenence | ||||
| Partner to System Mapping | ||||
| Logical sys to RFC Dest Mapping | ||||
| User To Partner Mapping | ||||
| Map Frontend toBackend Status | ||||
| Frontend Status | ||||
| F15 Bewirtschafter Stammdaten | ||||
| F15 FI Belege mit Geschäftsjahresw. | ||||
| F15 VP Belege mit Geschäftsjahresw. | ||||
| Finanzpositionen -> Bewirtschafter | ||||
| HHM Summenbeleg Betragsarten 300/350 | ||||
| HHM Summenbeleg F15 Relevanz | ||||
| HHM Summenbeleg aktive Werttypen | ||||
| F15 Allgemeine Einstellungen | ||||
| F15 relevante Belegarten AO's | ||||
| F15 Kontonummern Korrespondenzbanken | ||||
| F15 relevante Budgetbelegarten MD's | ||||
| F15 relevante Budgetunterarten MD's | ||||
| Feldzuordnung SAP -> F15 | ||||
| F15 FMIT Abgleich HKR Gruppieru. VSL | ||||
| F15 Kassenzeichen Nummernkreis | ||||
| F15 Kassenzeichen Nummernkreis Hist. | ||||
| F15 gültige Mahnkennzeichen | ||||
| F15 relevante Belegarten FL VP MU | ||||
| F15 Klärung Belegart Barzahlung | ||||
| F15 Klärung VSL -> Buchungstyp | ||||
| F15 Klärung Klärungsfallarten | ||||
| F15 Klärung Buchungstyp -> KFA | ||||
| F15 Klärung HKR4 Fehlercode -> KFA | ||||
| F15 Klärung ZÜV900 Fehlercode -> KFA | ||||
| F15 VSL's | ||||
| F15 Zahlstelle Zuordnung Anordungen | ||||
| F15 Zahlstelle Zuordnung Bewirtsch. | ||||
| F15 Zahlstelle Zuordn. Kto u. Belart | ||||
| LZB - Kennzeichen | ||||
| Weisungsschlüssel | ||||
| Weisungen S.W.I.F.T. MT103 | ||||
| F15 Zahlstelle Stammdaten | ||||
| F15 Zahlstelle Summentabelle | ||||
| Contract availability customizing | ||||
| Assignment of MillCa Characteristics | ||||
| Rental Fees as a Percentage | ||||
| Work Center for Order Combination | ||||
| Original Batches for Add. Orders | ||||
| Link from PRT to Work Center | ||||
| Weight Allowances for Packing Type | ||||
| Weight Allowances for Lagging Type | ||||
| Switch Between PDF and SAPScript | ||||
| Discount rate maintenance | ||||
| JVA master data profile | ||||
| Edit Joint Venture Partners | ||||
| Product Master Groupings | ||||
| Peculiarity Codes for Control Class | ||||
| Maintain Geographical Group | ||||
| GTS: Map Geogr. Group from FS Group | ||||
| Assign Geography Group to Feed. Sys. | ||||
| Maintain Departure/Destination Nodes | ||||
| Comparative Index: Alias | ||||
| Comparison Index: Alias (LLNS) | ||||
| Comparative Index: Delimiter | ||||
| Comparison Index: Delimiter (LLNS) | ||||
| Comparative Index: Exclusion Text | ||||
| Comparison Index: Excl. Text (LLNS) | ||||
| Comparative Index: Normalization | ||||
| Comparison Index: Normaliz. (LLNS) | ||||
| Properties for Measure Type ID | ||||
| Customs Holding Location | ||||
| Determine Messages for Activity | ||||
| Configure Printer Determination | ||||
| Choose Method for Safekeeping | ||||
| XI Inbound Processing Ctrl Settings | ||||
| Assign Logical System | ||||
| GTS: Assign Logical System | ||||
| Assign Logical System | ||||
| Control Sett.for Comm. Code Transfer | ||||
| Interest Rates for Compensatory Int. | ||||
| Define Logical System | ||||
| GTS: Define Logical System | ||||
| Define logical system | ||||
| Det. Target Proced. from Prev. Doc. | ||||
| Determine Prev. Doc. Type from FS | ||||
| Maintain Tariff Number Attributes | ||||
| Assignment of Custms ID to Plnt/SLoc | ||||
| Define Fields for Change Structure | ||||
| Define Change Structure | ||||
| SLL: Relevant CRM Item Categories | ||||
| GTS: Ctrl f. Vend.-Based VD Worklist | ||||
| Air Cargo Portion by Connection Pt | ||||
| GTS: Call Global Trade Services | ||||
| GTS: Call GTS: Document Types | ||||
| SLL: Call Legal Srv: TransactionType | ||||
| SLL: Call Legal Srv: TransactionType | ||||
| SLL: Assgmt Server Legal Services | ||||
| GTS: Assign User Group | ||||
| GTS: Assign User Group | ||||
| Notification Control - Partners | ||||
| SAP add-on system installation | ||||
| SAP add-on system release | ||||
| SAP database system | ||||
| Frontend for SAP operating system | ||||
| SAP installation | ||||
| SAP operating system | ||||
| SAP release | ||||
| SAP system type | ||||
| SAP system type | ||||
| SRM Test Tool: Maintain Test Data | ||||
| Assign Scenario to Users | ||||
| Define Event Managers (Engines) | ||||
| Global Business Process Types Def. | ||||
| Assign Scenarios to roles | ||||
| Assign Scenario to Users | ||||
| Document Admin. in Flow (Custom.) | ||||
| Template DMS Assignment | ||||
| Register service for UI2 cache use | ||||
| Gateway - Manage SAP System Alias | ||||
| Define navigation provider | ||||
| NWBC Configuration (Customer) | ||||
| NWBC Config: Define Parameter (Cust) | ||||
| NWBC Config: Define Parameter (SAP) | ||||
| NWBC Configuration (SAP) | ||||
| Define Semantic Object - Customer | ||||
| Define Semantic Object - SAP | ||||
| Maintain Overstackability | ||||
| Maintain Pack.Mtls.Prop.for Pack.Grp | ||||
| Assign Allowed Pack.Mtls to Vehicle | ||||
| Delivery item category determination | ||||
| SAP ArchiveLink: Bar Code Entry | ||||
| Distribution profile | ||||
| EC-PCA: Substitutions | ||||
| Special handling, PrCtr goods mvmt | ||||
| Activities in Profit Center Accountg | ||||
| Detail Control Execution Services | ||||
| CO Area Settings, Business Processes | ||||
| CO-OM-ABC: Change Process Category | ||||
| Display Process Category Customizing | ||||
| Settings for B2B Sched. Agreements | ||||
| General Settings | ||||
| Allowed Movement Types | ||||
| Define Career Groups and Texts | ||||
| Customizing for delivery types | ||||
| Customizing - TBLP | ||||
| Customizing for delivery types | ||||
| Customizing: Del. Type Determin. AIP | ||||
| Customizing/deliv.item categories | ||||
| Customizing: Del.Itm.Cat.Determ. AIP | ||||
| Stat. Groups: Trans. Service Agent | ||||
| Units of measmnt. for Transp. stat. | ||||
| Statistics Update: Shipment | ||||
| Customizing Global Shipping Param. | ||||
| Statistics Groups: Shipment Types | ||||
| Assign Statistics Group/Shipmnt Type | ||||
| Customizing Shipping Types | ||||
| Customizing Modes of Transport | ||||
| Def. of Transp. Connection Point | ||||
| Customizing Transport Types | ||||
| Assign deadlines to shipment types | ||||
| Activity Profiles for Shipment Types | ||||
| Tr.Planning Pos.ext. Planning System | ||||
| Special Processing Indicator | ||||
| Tracking: Partner code types | ||||
| Tracking: Tracking ID code types | ||||
| Tracking: Location code types | ||||
| Tracking: Route type code types | ||||
| Activate Exp. Dlv. Company Globally | ||||
| Service Agnt as Express Dlv. Company | ||||
| Exp. Dlv. Cmpany - Function Modules | ||||
| XSI Carriers | ||||
| Packing Table | ||||
| Item Category Usage | ||||
| PrCtr: Field usage assessment | ||||
| PrCtr: Data control assessment | ||||
| PrCtr: Field group definition | ||||
| PrCtr: Field group texts | ||||
| PrCtr: Field usage distribution | ||||
| PrCtr: Data control distribution | ||||
| PrCtr: Field usage assessment | ||||
| PrCtr: Data control assessment | ||||
| PrCtr: Field group definition | ||||
| PrCtr: Field group texts | ||||
| PrCtr: Field usage distribution | ||||
| PrCtr: Data control distribution | ||||
| PCA: Balance Carryforw.Field Transf. | ||||
| Controlling Areas: ALE for PCA | ||||
| PCA: Rollup Substitution | ||||
| PCA: Rollup Substitution | ||||
| Maintain Condition Types | ||||
| Acct Det. for Charg. Off Val. Diff. | ||||
| Assign Cur. + Val. Profile to COArea | ||||
| Define Costing Key | ||||
| Valuation for Calculation Base | ||||
| Conversion of condition vals for TP | ||||
| Company Code Field Transfer Rule | ||||
| Open/Lock Fiscal Years in ACE | ||||
| Display Periodic Posting Runs | ||||
| Settings for data collection | ||||
| Convert Depreciation Areas | ||||
| Customizing Object GLE_ECS | ||||
| Accrual Methods | ||||
| Components Setup | ||||
| Posting Schema for Accruals | ||||
| Activities for Authorization Check | ||||
| Authorization Check Object Types | ||||
| Allowed Activities per Object Type | ||||
| Change Documents for ACO Objects | ||||
| Object Category for Auth. Admin. | ||||
| Plan data handling profile | ||||
| Version type and text maintenance | ||||
| Customize assessment: stat.key figs. | ||||
| Maintain CMC FFFC Parameters | ||||
| Display CMC FFFC Parameters | ||||
| Maintain CMC Profile | ||||
| Display CMC Profile | ||||
| MSP CIF Customizing | ||||
| SPEC2000 IP Upload: Gen. Customizing | ||||
| Maintenance: SD-SRV Valid Reports | ||||
| Customizing: Model ID Codes | ||||
| Customizing: Doc. Type f. Stock Inq. | ||||
| FO Integ.: Exceptions for Character. | ||||
| Control Archiving: Check Table | ||||
| Archiving Control: Settings | ||||
| Archiving Ctrl: Package Form. Procs | ||||
| Key Terms for Runtime Data | ||||
| Cat. Values (Items) for Runtime Data | ||||
| Global Control from WB: Control | ||||
| Global Control from WB: Settings | ||||
| Package Formation Procedures from WB | ||||
| Maintain Locks: PP Application Types | ||||
| Maintain Job Distribution for PP | ||||
| Text Pool for Program Templates | ||||
| Hierarchy Tree Definition | ||||
| Define EPC Serial Number Ranges | ||||
| C FI Maintain Table TAKOF | ||||
| MAM Debugging Settings | ||||
| Assignment Trans.Group - Asset View | ||||
| Assign number range | ||||
| Specify Depreciation Area | ||||
| Assign net worth tax area | ||||
| Add to insurance specifications | ||||
| Add to leasing entries | ||||
| Assign user fields | ||||
| Document type for posting deprec. | ||||
| Specify posting procedure | ||||
| Define Transaction Type | ||||
| Cost center check (across co.codes) | ||||
| Residence Times for CO Line Items | ||||
| Archiving Engine - Configurator | ||||
| Activate Application Stat. Types | ||||
| Definition of SAP Function OPENKEY | ||||
| Configuration of Navigation Help | ||||
| AUTOUPDATE User-Maintenance | ||||
| Assignment LIS except/BOR event | ||||
| Table T005BU | ||||
| Par.Process. Item Postings: General | ||||
| Mass Run Assign Count. Cat. to Appl. | ||||
| Mass Run Create Counter Categories | ||||
| Mass Run Limit Individual Error | ||||
| Relationships betw. Applic. Types | ||||
| Procurement Card Company | ||||
| PCard Company: Company Codes | ||||
| Procurement Card: Blocking Reasons | ||||
| Status Tracking: Call Structure | ||||
| SM30 for Maintenance of Tools | ||||
| SM30 for Maintenance of Categories | ||||
| Define EBP Residence Times | ||||
| CMS template/legal contract category | ||||
| Maintain CMS Lock entries | ||||
| Determine G/L Account by Category | ||||
| Determine Target System by Category | ||||
| Maintenance of the Backend System | ||||
| MMaint. of Objects to Be Generated | ||||
| Multiple Company: Acct for Category | ||||
| Multiple Company:Maintain FI Backend | ||||
| Multiple Company: Tax Code | ||||
| MultipleCompany:LocalAcctAssigmtData | ||||
| PCard Commitment Customizing | ||||
| Business Partner: Form of Address | ||||
| Business Partner: Marital Status | ||||
| Business Partner: Property Regime | ||||
| Business Partner: Employee Group | ||||
| Business Partner: Rating | ||||
| Business Partner: Cred. Rat. Instit. | ||||
| Business Partner: Legal Form | ||||
| Business Partner: Legal Entity | ||||
| Business Partner: Loan to Manager | ||||
| Business Partner: Employment Status | ||||
| Business Partner: GBA Information | ||||
| Business Partner: Partner Grouping | ||||
| Business Partner: Address ID |
| TCode | Description | Module | Top Module | Component |
|---|---|---|---|---|
| BP Cust: Field Grouping Activity | ||||
| CA Control: Datasets | ||||
| EBPP - Demo | ||||
| Default values for cash deposit int. | ||||
| Master Data Tab | ||||
| File Editor | ||||
| C FI-CA Table maintenance TFK044A | ||||
| FI-CA Dunning - Customizing | ||||
| Summarize Tax Lines UK | ||||
| Monitor Tax Exemptions | ||||
| Contract A/R + A/P | ||||
| Contract A/R + A/P | ||||
| Install Payment Release Workflow | ||||
| Set Processing Locks | ||||
| Payment card processing | ||||
| Determine Appl. Component | ||||
| Change Repayment Request | ||||
| Reset Check Reason in Repymt Request | ||||
| Submission to External Coll. Agency | ||||
| Submit Receivables to Coll. Agency | ||||
| Mass Act.: Submission to Coll.Agency | ||||
| Logs of Submissions for Collection | ||||
| Release of Items for Collection | ||||
| Read Collection Agency File | ||||
| History of Collection Items | ||||
| List of Collection Items | ||||
| Mass Run: Release for Collection | ||||
| Display Repayment Request | ||||
| Call Back Receivables fm Coll.Agency | ||||
| Write Off | ||||
| Display Write-Off History | ||||
| Mass Run: Write-Off | ||||
| Approve Item Write-Off | ||||
| Write Off | ||||
| Process Payment Lot | ||||
| Create Archive Index for Payment Lot | ||||
| Clarification Case Transfer | ||||
| Process Payment Lot | ||||
| Clarification proc. via CALL TRANS | ||||
| Display payment lot item | ||||
| Change Reconcil. Key for Payment Lot | ||||
| Exception Accts for Clarif. Proposal | ||||
| Account Maintenance | ||||
| Reset Clearing | ||||
| Reverse Document | ||||
| Mass Reversal | ||||
| Returns | ||||
| Returns Lot Overview | ||||
| Change Recon. Key for Returns Lot | ||||
| Field Selection Returns Lot Header | ||||
| Field Selection Returns Lot List | ||||
| Reverse Repayment Request | ||||
| FI-CA Check Deposit List | ||||
| Mass Reversal of Documents | ||||
| Process Check Lot | ||||
| Find Payment | ||||
| Find Clarification Cases | ||||
| Find Payment (fromm Payment Run) | ||||
| Process Credit Card Lot | ||||
| Transfer | ||||
| Process Payment Order Lot | ||||
| Manual Outgoing Checks Lot: | ||||
| Man. Check Lot: New Recon. Key | ||||
| Data Transfer: Man. Outgoing Checks | ||||
| Postproc.Tfr of Man. Issued Checks | ||||
| Clarif.Process. of Cashed Checks | ||||
| Transfer Encashment Data to Clarif. | ||||
| DunSch - Customer Structure Generat. | ||||
| Mass Activity: Revenue Distribution | ||||
| Post Revenue Distribution | ||||
| List of Distributed Revenues | ||||
| Evaluation of Revenue Distribution | ||||
| Returns Lot: Incorrect Bank Data | ||||
| Maintain document types-runtimes | ||||
| Maintain Correspondence Runtimes | ||||
| Activate AS for Document Archiving | ||||
| Activate AS for Paymt Lot Archiving | ||||
| Activate AS for Returns Lot Arch. | ||||
| Activate AS for contract acct arch. | ||||
| Activate AS for Correspondence arch. | ||||
| Create Customer Notifications | ||||
| FI-CA Document Archiving | ||||
| FI-CA Official Number Archiving | ||||
| FI-CA: Revenue Distribution Archivg | ||||
| Activate AS for Revenue Distribution | ||||
| FI-CA: Gen. Tax Reporting Archiving | ||||
| FI-CA: Gen. Revenue Reporting Arch. | ||||
| FI-CA: Gen. Tax Reporting Arch. | ||||
| Delete Tax Reporting Data | ||||
| Delete Reporting Data for Revenues | ||||
| FI-CA: Foreign Currency Valuation | ||||
| FI-CA: Clearing History Archive | ||||
| FI-CA: Doubtful Receivables | ||||
| FI-CA: Business Partner Archiving | ||||
| FI-CA: Cash Journal Runtime | ||||
| Cash Journal Archiving | ||||
| Activate AS for Cash Journal | ||||
| FI-CA: Collection Agency Runtimes | ||||
| Collection Agency Archiving | ||||
| Activate AS for Collection Agency | ||||
| FICA Check Deposit Archiving Runtime | ||||
| FI-CA: Check Deposit Archiving | ||||
| Runtime of Payment Specifications | ||||
| Payment Specification Archiving | ||||
| Activate AS for Payment Specificatns | ||||
| FICA: Life of Payment Specifications | ||||
| Define FICA Dun. Archiving Runtime | ||||
| FI-CA: Dunning History Archiving | ||||
| FI-CA: Sample Docs (General) Life | ||||
| Archiving of Sample Documents | ||||
| Activate AS for Sample Documents | ||||
| FI-CA Official Doc. Number Archive | ||||
| FI-CA: Res.Time SEPA Prenotification | ||||
| Archiving of Pre-Notification | ||||
| AS Activate Pre-Notification | ||||
| FICA Returns Archiving Runtime | ||||
| FI-CA: Returns Archiving | ||||
| Returns History Archiving Runtime | ||||
| FI-CA Returns History Archiving | ||||
| Delete Totals Records | ||||
| FICA: Life for Pymts Sub. to StampTx | ||||
| Archiving of Pymts Subj. to Stamp Tx | ||||
| Activate AS for Stamp Tax Payments | ||||
| FI-CA: Contract account archiving | ||||
| FI-CA: Payment Lot Archiving | ||||
| Define Payment Lot Period | ||||
| Display Archived Payment Lot | ||||
| Displ.FICA Pymt Lot ArchivInfoStruct | ||||
| Displ.FICA Docs Archiv.Info.Struct. | ||||
| Display FICA Returns Lot Archive | ||||
| FI-CA: Payment Advice Note | ||||
| Delete Payment Advice Note | ||||
| FI-CA: Pymt Advice Note fm CollAgeny | ||||
| Processing of Report File | ||||
| Foreign Trade Report - ALV List | ||||
| Create Payment Specification | ||||
| Create Payment Specification | ||||
| Change Payment Specification | ||||
| Display Payment Specification | ||||
| Reverse Payment Specification | ||||
| Reverse Item Preselection | ||||
| Payment Specifications: List | ||||
| Payment Specifications:Preselections | ||||
| Payment Specifications: Items | ||||
| Post Payment | ||||
| Document Transfer | ||||
| Paymt Lot Transfer - Cust.Struct.Gen | ||||
| ReturnsLotTransfer - Cust.Struct.Gen | ||||
| Check Register Transfer | ||||
| Check Reg. Transfer - Error Proces. | ||||
| Check Reg. Tfr - Cust. Struct. Gen. | ||||
| Transfer MultiCash File (FI-CA) | ||||
| Process Document Transfer Errors | ||||
| Payment Advice Note Transfer | ||||
| Pymt Advice Tfr - Error Processing | ||||
| Advice Note Tfr - Generate Cust.Str. | ||||
| Payment lot transfer | ||||
| Payment Lot Transfer Error Process. | ||||
| Returns Lot Transfer | ||||
| RL Transfer: Error Processing | ||||
| Transfer from Elect. Acct Statement | ||||
| Acct Stmt Transfer: Error Processing | ||||
| Doc.Transfer-Cust.Struct.Generator | ||||
| FI-CA Data Transfer Changes | ||||
| Get Locked Partners and Countries | ||||
| Process Balance Notifications | ||||
| FI-CA Dunning - Cust.Dunn. Procedure | ||||
| Collective Bill | ||||
| Display Cash Desk Closing | ||||
| Create Account Statements | ||||
| Clarification of Cashed Checks | ||||
| Post Payment | ||||
| Transfer Data to Cash Management | ||||
| Delete Completed Clarification Cases | ||||
| Online Check Printing | ||||
| Assign Payment Document to Check | ||||
| List of Issued Checks | ||||
| Create Check in Register | ||||
| Maintain Owner of Check Forms | ||||
| Check Assignment for Payment Run | ||||
| Check Management | ||||
| Document Reversal after Check Lock | ||||
| Voiding of Checks from Payment Run | ||||
| Check Extract for Report Files | ||||
| Information for Collection Agencies | ||||
| Cash Journal | ||||
| Edit Cash Object | ||||
| Cash Desk Evaluation | ||||
| Maintain Cash Journal Responsibilits | ||||
| Clarif. Incorr. Bank Data Changes | ||||
| Derivation Cllction Agncy - Custom. | ||||
| Derivation Cllction Agncy - Mainte. | ||||
| Clarification Processing: Pmnt Lot | ||||
| Clarification Processing: Pmnt Lot | ||||
| Clarif. Processing: Payment Run | ||||
| Display Creditworthiness | ||||
| Change Creditworthiness | ||||
| Clarification Processing: Returns | ||||
| Clarification Processing: Credit | ||||
| Create Credit List | ||||
| Write-Off fm Clarification Worklist | ||||
| Clarification Processing: | ||||
| Confirm Payments | ||||
| Confirm Reported Payments | ||||
| Monitoring of Third Party Payments | ||||
| Change Debit Memo Notification | ||||
| Display Debit Memo Notification | ||||
| Debit Memo Notification | ||||
| Document Extracts: Overview | ||||
| Customizing Extr. - Deletion of Ext. | ||||
| Customizing Extracts - Export | ||||
| Customizing Extracts - Import | ||||
| Partner Extracts - Del. of Extract | ||||
| Partner Extracts - Export | ||||
| Partner Extracts - Import | ||||
| Doc. Extracts - Export fm Archive | ||||
| Doc. Extracts - Deletion of Extract | ||||
| Document Extracts - Export | ||||
| Doc. Extracts - Export Extr. Docs | ||||
| Document Extracts - Import | ||||
| Trans.Postg Run for Deferred Revenue | ||||
| Dunning Telephone List | ||||
| Post Document | ||||
| Post Sample Document | ||||
| Change Document | ||||
| Reset Check Reason in Document | ||||
| Mass Document Change | ||||
| Change Sample Document | ||||
| Display Document | ||||
| Display Sample Document | ||||
| Display Document Changes | ||||
| Log Analysis for Mass Runs | ||||
| Mass Act.: Clarification Case Gen. | ||||
| EMMA: Mass Activities | ||||
| EMMA: Mass Activity for Job Analysis | ||||
| Create Reconciliation Key | ||||
| Change Reconciliation Key | ||||
| Display Reconciliation Key | ||||
| Maintain Alternative Posting Data | ||||
| Transfer Posting Totals to G/L | ||||
| General Ledger Transfer - Mass Run | ||||
| Reconcile with General Ledger | ||||
| Check G/L Documents - Mass Run | ||||
| Transfer to CO-PA | ||||
| COPA Transfer - Mass Run | ||||
| Close Reconcil. Keys Automatically | ||||
| FI-CA Docs to FI-GL Docs | ||||
| Check CO-PA Documents | ||||
| Check CO-PA Documents - Mass Run | ||||
| Reverse General Ledger Transfer | ||||
| FI-CA: Calc. Interest Individually | ||||
| FI-CA: Interest on Cash Sec. Deposit | ||||
| FI-CA: Overdue Interest Inst.Plan | ||||
| FI-CA: Display Interest Calculation | ||||
| Loan Calculation: Test Transaction | ||||
| Delete Interest History | ||||
| Interest Run | ||||
| Cash Security Dep. Interest Run | ||||
| Item Processing | ||||
| Display Account Balance | ||||
| Account Balance: Internal Call | ||||
| Acct Balance: Fullscreen Chronology | ||||
| Evaluate Processing Locks | ||||
| Delete Mass Locks Set | ||||
| Display Dunning History | ||||
| Display Returns History | ||||
| Automatic Clearing | ||||
| FI-CA: Application monitor | ||||
| Number Range Maintenance: FKK_BELEG | ||||
| Number Range Maintenance: FKKINDPAY | ||||
| Maintain Number Range: FKK_ACCOUNT | ||||
| Number Range Maintenance: FKK_ZAUFT | ||||
| Number Range Maintenance: FKKPYFORM | ||||
| Number Range Maintenance: FKK_UMB | ||||
| Number Range Maintenance: FKK_EXTDOC | ||||
| Number Range Maintenance: FKK_ED07 | ||||
| Number Range Maintenance: FKK_ED07S | ||||
| Number Range Maintenance: FKK_ED07SY | ||||
| Number Range Maintenance: FKK_ED07Y | ||||
| Number Range Maintenance: FKK_ED08 | ||||
| Number Range Maintenance: FKK_ED08S | ||||
| Number Range Maintenance: FKK_ED08SY | ||||
| Number Range Maintenance: FKK_ED08Y | ||||
| Number Range Maintenance: FKK_ED09 | ||||
| Number Range Maintenance: FKK_ED09S | ||||
| Number Range Maintenance: FKK_ED09SY | ||||
| Number Range Maintenance: FKK_ED09Y | ||||
| Number Range Maintenance: FKK_ED10 | ||||
| Number Range Maintenance: FKK_ED10S | ||||
| Number Range Maintenance: FKK_ED10SY | ||||
| Number Range Maintenance: FKK_ED10Y | ||||
| Number Range Maintenance: FKK_ED11 | ||||
| Number Range Maintenance: FKK_ED11S | ||||
| Number Range Maintenance: FKK_ED11SY | ||||
| Number Range Maintenance: FKK_ED11Y | ||||
| Number Range Maintenance: FKK_ED12 | ||||
| Number Range Maintenance: FKK_ED12S | ||||
| Number Range Maintenance: FKK_ED12SY | ||||
| Number Range Maintenance: FKK_ED12Y | ||||
| Number Range Maintenance: FKK_ED13 | ||||
| Number Range Maintenance: FKK_ED13S | ||||
| Number Range Maintenance: FKK_ED13SY | ||||
| Number Range Maintenance: FKK_ED13Y | ||||
| Number Range Maintenance: FKK_ED14 | ||||
| Number Range Maintenance: FKK_ED14S | ||||
| Number Range Maintenance: FKK_ED14SY | ||||
| Number Range Maintenance: FKK_ED14Y | ||||
| Number Range Maintenance: FKK_ED15 | ||||
| Number Range Maintenance: FKK_ED15S | ||||
| Number Range Maintenance: FKK_ED15SY | ||||
| Number Range Maintenance: FKK_ED15Y | ||||
| Number Range Maintenance: FKK_ED16 | ||||
| Number Range Maintenance: FKK_ED16S | ||||
| Number Range Maintenance: FKK_ED16SY | ||||
| Number Range Maintenance: FKK_ED16Y | ||||
| Number Range Maintenance: FKKPYORDER | ||||
| Number Range Maintenance: FKKPYANNMT | ||||
| Normalized BP for Duplicate Search | ||||
| Number Range Maintenance: FKK_REPT | ||||
| Number Range Maintenance: FKKDREGAGG | ||||
| Number Range Maintenance: FKKD_AUBID | ||||
| FI-CA: OI List per Key Date | ||||
| OI List for Key Date (Parallel) | ||||
| FI-CA Key Date-Specific OI List(Acc) | ||||
| Reconciliation of OI's in G/L | ||||
| Item Evaluation | ||||
| OI List for Key Date (Parallel) | ||||
| Evaluation of Report Totals | ||||
| Analysis of Extracted Open Items | ||||
| Display Non-Resident Customers | ||||
| Change Payment Order | ||||
| Display Payment Order | ||||
| Reverse Payment Order | ||||
| Mass Reversal of Payment Orders | ||||
| Create Contract Partner | ||||
| Change Contract Partner | ||||
| Activate Planned Changes | ||||
| Display Contract Partner | ||||
| Maintain Payment Data | ||||
| Delete Parameter Records | ||||
| Hide Parameter Records | ||||
| Move Parameter Records | ||||
| PCARD: Items in card account | ||||
| PCARD: Invoiced items | ||||
| PCARD: Business partner with cards | ||||
| PCARD: Delete logs | ||||
| PCARD: Perform invoicing | ||||
| PCARD: Log (paid items) | ||||
| PCARD: Log (payments) | ||||
| PCARD: Display invoicing file | ||||
| Payment cards: Display log | ||||
| PCARD: Items to be invoiced | ||||
| Create Installment Plan | ||||
| Change installment plan | ||||
| Display installment plan | ||||
| Display Adjusted Receivables | ||||
| Installment Plan Printing | ||||
| Post Reclassifications | ||||
| Receipt Management | ||||
| Mass Receipt Printing | ||||
| Initialization of EC Sales List | ||||
| Act. of EU Tax No. for EC Sales List | ||||
| Summarization of Reserve Postings | ||||
| Display Installment Plan Histories | ||||
| Open Repayment Requests | ||||
| Overview of Repayment Requests | ||||
| Transfer Post Adjusted Receivables | ||||
| Display Adjusted Items | ||||
| Adjust Receivables According to Age | ||||
| Clarification Account - Itemization | ||||
| Clarification Account - Itemization | ||||
| CA Selection | ||||
| Display Day-End Closing | ||||
| Selections for Evaluations | ||||
| Layout for Evaluations | ||||
| Create SEPA Mandates | ||||
| Change SEPA Mandates | ||||
| Account Bal.: Creation of Snapshots | ||||
| Account Bal.: Partner for Snapshot | ||||
| Account Bal.: Deletion of Snapshots | ||||
| Post Charge After Payment | ||||
| BP Selection | ||||
| Preselection by Transaction Data | ||||
| Document Journal | ||||
| Delete Payment Orders | ||||
| List of Payment Orders | ||||
| Delete Payment Data | ||||
| Check Totals Tables | ||||
| Check Totals Records - Mass Run | ||||
| Alternative Period Transfer | ||||
| Analyze Status of Transfer | ||||
| Display documents for reconcil. key | ||||
| Recreate Totals Records | ||||
| Statement Posting Totals | ||||
| Acct Assgt Stmt for Single Docs | ||||
| Credit Processing | ||||
| Display Log | ||||
| Maintenance of regrouping accounts | ||||
| Tfr Posting to Other Company Code | ||||
| Transfer Documents to Another Acct | ||||
| History of Transfer | ||||
| Dunning Proposal | ||||
| Dunning Activity Run | ||||
| Adjustment to Percentage of Ownersh. | ||||
| Maintenance of VBUND History | ||||
| Mass Reversal of Dunning Notices | ||||
| Transfer Dunning Telephone List | ||||
| Entries in Dunning Telephone List | ||||
| Maintain Agreed Payment Amounts | ||||
| Foreign Currency Valuation | ||||
| Log Records for For. Crcy Valuations | ||||
| Event-Controlled Inverse Posting | ||||
| Payment Run / Debit Memo Run | ||||
| Analysis Tool for Payment Runs etc. | ||||
| Year-End Postings | ||||
| Payment Run (Direct Payers) | ||||
| Reorganize Payment Documents | ||||
| Payment Form Items Overview | ||||
| Receivables correction | ||||
| Evaluate Adjusted Receivables | ||||
| Delete Withhold. Tax Reporting Data | ||||
| Deletion of Tax Rep. Data (Belgium) | ||||
| Delete Indexes for Arch. Payment Lot | ||||
| Delete EC Sales List Data | ||||
| SAP Layout Maint. for FI-CA-MASS | ||||
| Maint. of SAP Layout; VC_TAMLAY_00 | ||||
| Not to Payee Analysis - Customizing | ||||
| Note to payee Analysis - Test | ||||
| Report RFKKPD01 | ||||
| Report rfkkpd02 | ||||
| Report rfkkpd03 | ||||
| FI-CA Technical Settings | ||||
| Account Assignment of Other Taxes | ||||
| Tax at Clearing Tax Code | ||||
| Tax Specifications | ||||
| FI-CA: Late Payment Surcharge | ||||
| FI-CA: Specifications for Bundling | ||||
| C FI Maintain Table TFK022A/B | ||||
| FI-CA: Returns Specifications | ||||
| C FI Maintain Table TFK022C | ||||
| FI-CA: Withholding Tax Outgoing Payt | ||||
| FI-CA: Addtl Withholding Tax OutPayt | ||||
| FI-CA: Withholding Tax Incoming Payt | ||||
| FI-CA: Addtl Withholding Tax IncPayt | ||||
| C FI Maintain Table TFK022D | ||||
| FI-CA: Segment for G/L Item | ||||
| FI-CA: Segment for Bus. Partner Item | ||||
| C FI Maintenance Table TFK000U | ||||
| FI-CA Maintenance Table TFK061A | ||||
| FI-CA Maintenance Table TFK062A | ||||
| FI-CA: Incoming Pmnt Specifications | ||||
| FI-CA: Post Payment Order Specs | ||||
| FI-CA: Credit Card Lot Specs | ||||
| FI-CA: Specs for Man. Checks Lot | ||||
| FI-CA: Specs for Check Encashment | ||||
| FI-CA: Specs for Check Encashment | ||||
| FI-CA: Specs for Check Encashment | ||||
| Check Encashment Exp./Rev. Accounts | ||||
| FI-CA: Returns Clarification Account | ||||
| Transfer Items: Specifications | ||||
| FI-CA: Main/Sub for Official Charges | ||||
| FI-CA: Doc. Type for Official Chrges | ||||
| Settings for Credit Clarification | ||||
| Settings for Credit Clarification | ||||
| Assign Authorization in Credit Proc. | ||||
| Settings for Revenue Distribution | ||||
| Posting Specs: Revenue Distribution | ||||
| Spec. Posting Specs: Rev. Distrib. | ||||
| FI-CA: Document Type for Perception | ||||
| FI-CA: Tax Determ. Code - Argentina | ||||
| Tfr Pstg to Resp. Company Code | ||||
| Archiving of FI-CA documents | ||||
| Follow-Up: Variants for Act. Type 2 | ||||
| Follow-Up: Variants for Act. Type 3 | ||||
| Follow-Up: Variants for Act. Type 4 | ||||
| FI-CA Special Authorizations | ||||
| FI-CA: Ital. Stamp Tax Returns,Specs | ||||
| C FKK Acct Determination (General) | ||||
| C FKK Account Determination */0010 | ||||
| Prefix for Lot IDs-Acct Stmt Transfr | ||||
| Acct Determination */1091 | ||||
| Acct Determination */1200 | ||||
| Acct Determination */1200 | ||||
| C FKK Account Determination */1350 | ||||
| Spec. for Posting Reclassifications | ||||
| Determination of Posting Data | ||||
| Determination of Posting Transacts | ||||
| Receipt Management Specifications | ||||
| Credit Specif. from Follow-Up Acts | ||||
| C FKK Account Determination */0020 | ||||
| C FKK Account Determination */0030 | ||||
| C FKK Account Determination */0040 | ||||
| C FKK Account Determination */0050 | ||||
| C FKK Account Determination */0060 | ||||
| C FKK Account Determination */0070 | ||||
| Collective Bill Specifications | ||||
| C FI-CA Account Determination */0071 | ||||
| Acct Determination */0900 | ||||
| Maintenance of Table TFKCALLID | ||||
| Maintain Bank Sel. IDs for Pymt Run |
| TCode | Description | Module | Top Module | Component |
|---|---|---|---|---|
| FI-CA Technical Settings | ||||
| Account Assignment of Other Taxes | ||||
| Tax at Clearing Tax Code | ||||
| Tax Specifications | ||||
| FI-CA: Late Payment Surcharge | ||||
| FI-CA: Specifications for Bundling | ||||
| C FI Maintain Table TFK022A/B | ||||
| FI-CA: Returns Specifications | ||||
| C FI Maintain Table TFK022C | ||||
| FI-CA: Withholding Tax Outgoing Payt | ||||
| FI-CA: Addtl Withholding Tax OutPayt | ||||
| FI-CA: Withholding Tax Incoming Payt | ||||
| FI-CA: Addtl Withholding Tax IncPayt | ||||
| C FI Maintain Table TFK022D | ||||
| FI-CA: Segment for G/L Item | ||||
| FI-CA: Segment for Bus. Partner Item | ||||
| C FI Maintenance Table TFK000U | ||||
| FI-CA Maintenance Table TFK061A | ||||
| FI-CA Maintenance Table TFK062A | ||||
| FI-CA: Incoming Pmnt Specifications | ||||
| FI-CA: Post Payment Order Specs | ||||
| FI-CA: Credit Card Lot Specs | ||||
| FI-CA: Specs for Man. Checks Lot | ||||
| FI-CA: Specs for Check Encashment | ||||
| FI-CA: Specs for Check Encashment | ||||
| FI-CA: Specs for Check Encashment | ||||
| Check Encashment Exp./Rev. Accounts | ||||
| FI-CA: Returns Clarification Account | ||||
| Transfer Items: Specifications | ||||
| FI-CA: Main/Sub for Official Charges | ||||
| FI-CA: Doc. Type for Official Chrges | ||||
| Settings for Credit Clarification | ||||
| Settings for Credit Clarification | ||||
| Assign Authorization in Credit Proc. | ||||
| Settings for Revenue Distribution | ||||
| Posting Specs: Revenue Distribution | ||||
| Spec. Posting Specs: Rev. Distrib. | ||||
| BP Duplicates: Transfer Specifictns | ||||
| Fund Accounting Settings FI-CA | ||||
| Acct Determination f. Fund Clearing | ||||
| FI-CA: Document Type for Perception | ||||
| FI-CA: Tax Determ. Code - Argentina | ||||
| Tfr Pstg to Resp. Company Code | ||||
| Document Types for Invoicing Docs | ||||
| Maintain Doc. Types for Posting Docs | ||||
| Acct Assgt of General Ledger Items | ||||
| Acct Assgt of Business Partner Items | ||||
| Summarization Trans for BPtnr Items | ||||
| Assign Charge/Discount Key | ||||
| Base Amount Determ. Charges/Discnts | ||||
| Calculatn of Interest on Open Items | ||||
| Calc. of Int. on Cash Sec. Deposits | ||||
| Item Selectn: Statistical Open Items | ||||
| Activation in Invoicing | ||||
| Account Maintenance in Invoicing | ||||
| Subitems in Invoicing | ||||
| Trans. Deter. for Billing Doc. Items | ||||
| Determine Tax Code | ||||
| Determine Tax Condition Type | ||||
| Document Types for Billing Documents | ||||
| Determination of Application Form | ||||
| Invoicing: Payment Method/Form | ||||
| Assign Key for Invoice Rounding | ||||
| Archiving of FI-CA documents | ||||
| Follow-Up: Variants for Act. Type 2 | ||||
| Follow-Up: Variants for Act. Type 3 | ||||
| Follow-Up: Variants for Act. Type 4 | ||||
| FI-CA Special Authorizations | ||||
| Correspondence Data Fields | ||||
| Correspondence Data Fields | ||||
| FI-CA Corresp. - Application Forms | ||||
| FI-CA: Ital. Stamp Tax Returns,Specs | ||||
| C FKK Acct Determination (General) | ||||
| C FKK Account Determination */0010 | ||||
| Prefix for Lot IDs-Acct Stmt Transfr | ||||
| C FKK Account Determination */1071 | ||||
| Acct Determination */1091 | ||||
| Acct Determination */1200 | ||||
| Acct Determination */1200 | ||||
| C FKK Account Determination */1350 | ||||
| Spec. for Posting Reclassifications | ||||
| Acct Determ. IDOC Receivables Items | ||||
| Account Determ. IDOC Revenue Items | ||||
| Document Type Determination | ||||
| Determination of Posting Data | ||||
| Determination of Posting Transacts | ||||
| Tax IDs for IDOC Data | ||||
| Data for Reversing IDOC Documents | ||||
| Receipt Management Specifications | ||||
| Credit Specif. from Follow-Up Acts | ||||
| C FKK Account Determination */0020 | ||||
| Receipt Management Specifications | ||||
| C FKK Account Determination */0030 | ||||
| C FKK Account Determination */0040 | ||||
| C FKK Account Determination */0050 | ||||
| C FKK Account Determination */0060 | ||||
| C FKK Account Determination */0070 | ||||
| Collective Bill Specifications | ||||
| C FI-CA Account Determination */0071 | ||||
| Acct Determination */0900 | ||||
| Maintenance of Table TFKCALLID | ||||
| Maintain Bank Sel. IDs for Pymt Run | ||||
| Acct Determination: Error Analysis | ||||
| User ID for Bank Transactions | ||||
| Cont A/R + A/P - Cust. Dunn. Proced. | ||||
| Account Determination: List | ||||
| C FKK Account Determination */R600 | ||||
| CVS Bank Clearing Account | ||||
| Diff.Accts for Cons.Ports Prev. Year | ||||
| Assign Summarization Subtransactions | ||||
| Productive Start - Delete Test Data | ||||
| Synchronization - Maintain Variants | ||||
| Posting Area 3000 | ||||
| Posting Area 3001 | ||||
| Posting Area 3002 | ||||
| Events | ||||
| Activation Status Fund Accounting | ||||
| Specifications for Diff. Postings | ||||
| Specifications for Diff. Postings | ||||
| Spec. for Document Type Payment Cat. | ||||
| Spec. for Clrg Acct. Payment Categy | ||||
| Maintain Interest Keys | ||||
| Display Interest Keys | ||||
| Maintain spec. for int. on inst.plan | ||||
| Maintain Interest Entries | ||||
| Interest: Additional Functions | ||||
| Maintain Cash Sec.Deposit Entries | ||||
| Maintain Mass Activity: Interest | ||||
| Maintain Mass Activ: Cash Sec. Dep. | ||||
| Specifications-Interest on Arrears | ||||
| Processes for witholding tax code | ||||
| TFK021R (account balance: Search) | ||||
| TFK021R (account balance: Select) | ||||
| TFK021R (account balance: Sort) | ||||
| TFK021R (account balance: Add.field) | ||||
| Derivation of Credit Segment | ||||
| Maintain Credit Segment | ||||
| Central Credit Management Setting | ||||
| Derivation of Credit Segment | ||||
| TFK021R (posting totals: Search) | ||||
| TFK021R (posting totals: Sort) | ||||
| Document: Central Settings | ||||
| Document: User Settings | ||||
| Existing settings contract A/R & A/P | ||||
| Config.: Maintain Display Format | ||||
| Modifiable Fields in Account Maint. | ||||
| Broker Report: Line Layout Variants | ||||
| Document Processing: Variants | ||||
| Man. Issued Checks: Line Layout | ||||
| Payment Specification: Line Layout | ||||
| Document: Line Layout Variants (G/L) | ||||
| Account Balance:Line Layout Variants | ||||
| Bank Report: Line Layout Variants | ||||
| OI Processing: Line Layout Variants | ||||
| Document: Line Layout Variants (OI) | ||||
| Posting Totals: Line Layout Variants | ||||
| Broker Report: Item Entry | ||||
| Payment Lot: Line Layout Variants | ||||
| Account Balance: Sort Variants | ||||
| TFK021L(Acct Balance: List Cats) | ||||
| FI-CA Dunning - Cust.Dunn.Groupings | ||||
| FI-CA Dunning - Cust.Dunn.Procedures | ||||
| FI-CA Dunning - Cust. Dunning Levels | ||||
| FI-CA Dunning: Cust.Min/Max Amounts | ||||
| FI-CA Dunning-Cust.Dun. Charges Type | ||||
| FI-CA Dunning - Cust.Dunn.Groupings | ||||
| FI-CA Dunning-Cust.Dunn.Block Reason | ||||
| FI-CA Dunning - Cust.Dun.Level Types | ||||
| FI-CA Dunning - Cust.Dunn.Proc.Types | ||||
| FI-CA Dunning - Cust. Charges | ||||
| Mass Activities | ||||
| Post Gen. Request Specification Docs | ||||
| Request: Doc. Generation Specificats | ||||
| Define Payment Methods | ||||
| Item Indicator | ||||
| Payment Medium Formats | ||||
| Company Code Details for Payment | ||||
| Payment medium formats:Note to payee | ||||
| Settings for Check Creation | ||||
| Assign Internal Check Numbers | ||||
| Maintain Instruction Key | ||||
| User ID for Bank Transactions | ||||
| DME Foreign Payment Transactions | ||||
| FI-CA Returns - Reason Settings | ||||
| FI-CA Returns - AcctDet Settings | ||||
| Returns - Allocate Return Reason | ||||
| Fast Entry: Item List | ||||
| Fast Entry: G/L Item List | ||||
| Fast Entry: Payment Lot | ||||
| Security Deposit: Special Parameters | ||||
| C FI-CA Maintenance Table TFKTAXMIN | ||||
| FI-CA Maintenance Table TFK020C | ||||
| FI-CA: Transfer Posting: Addl Specs | ||||
| Transfer Items: Trans. Determination | ||||
| Customer Queries | ||||
| Vendor Queries | ||||
| G/L Account Queries | ||||
| BP Duplicates: PH Change Specs | ||||
| Doc. Type for VBUND Adjustment Pstg | ||||
| Agency Coll.: Coll. Default Values | ||||
| AgencyColl: Third-Party Default Vals | ||||
| AgencyColls: Agency Postings on Acct | ||||
| AgencyColl: Cust. Postings on Acct | ||||
| AgencyColl: Deposits/Withdrawals | ||||
| AgencyColl: Deposits/Withdrawals | ||||
| AgencyColl: Clarification Code | ||||
| AgencyColl: Internal Temp. Coll. | ||||
| AgencyColl: External Temp. Coll. | ||||
| AgencyColl: TransPost CGT | ||||
| AgencyColl: TransPost 3rd-P. Comm. | ||||
| AgencyColl: Payt Meths AgencyPaytRun | ||||
| AgencyColl: Specs Shares Insurance | ||||
| Agency Collections: Transactions | ||||
| AgencyColl: Internal Temp. Coll. | ||||
| Agency Collections: Document Types | ||||
| Agency Coll: On Acct Transactions | ||||
| Agency Coll: On Acct Clarifctn Code | ||||
| AgencyColl: Reversal Specifications | ||||
| Agency Coll: On Acct Clarif. Code | ||||
| AgencyColl: Specs Shares Insurance | ||||
| AgencyColl.: Payt Lock Subcomm. | ||||
| AgencyColl: Faxbroker Default | ||||
| AgencyColl: Internal Enh. Temp. Coll | ||||
| AgencyColl: Create Depot in TempColl | ||||
| FI-CA: Acct Det-Alt. Acct Reversal | ||||
| FI-CA: Charge-Off Specs | ||||
| FI-CA: Charge-Off Specs | ||||
| FI-CA: Mass Write-Off Specifications | ||||
| FI-CA: Mass Write-Off Specifications | ||||
| FI-CA: G/L Acct Det Write Off | ||||
| FI-CA: Write-Off Acct Determination | ||||
| Maintain Table TFK048AB | ||||
| Mass W/Off: Specif. and Default Vals | ||||
| Write-Offs: Specif. and Default Vals | ||||
| Write-Off without Tax Adjustment | ||||
| Alterna. Expense and Revenue Account | ||||
| External System for Tax Calculation | ||||
| FI-CA: Acct Det - Autom. Clearing | ||||
| FI-CA: Installm.Plan Inact. Dunn.Run | ||||
| FI-CA: Default Vals Receivable Valtn | ||||
| FI-CA: Acct Det.-Doubtful Items | ||||
| FI-CA: Acct Det - Deferred Revenues | ||||
| FI-CA: Account Balance Line Layout | ||||
| FI-CA: Default Vals Delayed Revenues | ||||
| Biller Direct: Overpayment Specifs | ||||
| Biller Direct: Overpayment Reversal | ||||
| BD: Overpayment Clearing Account | ||||
| FI-CA: Acct Det.-Ind.Val.Adjustment | ||||
| Tax Calculation Typ Indiv.Value Adj. | ||||
| FI-CA Maintenance Table TFKZGR | ||||
| FI-CA Maintenance Table TFKZRGR | ||||
| FI-CA: Coll. Agency Specifications | ||||
| FI-CA: Acct Det. - G/L Transfer | ||||
| Maintain Table TFKZVAR | ||||
| Maintain Table TFKZMETH | ||||
| Maintain Table TFKZGRME | ||||
| FI-CA: Acct Det.-Ind.Val.Adjustment | ||||
| FI-CA: OI Processing Line Layout | ||||
| FI-CA: AcctDet - Indiv. Val. Adj. CZ | ||||
| FI-CA: Collection Agency Pstg Specs. | ||||
| FI-CA: Callback Data Specifications | ||||
| FI-CA: Information to Coll. Agency | ||||
| FI-CA: Document Type for VAT Percep. | ||||
| FI-CA: Information to Coll. Agency | ||||
| Collection Agencies | ||||
| Maintain Table TFKZWEX | ||||
| Maintenance of Table TFKZVARI | ||||
| FI-CA: Posting Totals Line Layout | ||||
| FI-CA: Screen Var. B/P Item Posting | ||||
| FI-CA: Screen var.for post.G/L items | ||||
| FI-CA: Payment Lot Screen Variants | ||||
| FI-CA: Returns Lot Screen Variants | ||||
| FI-CA: Acct Det. - Output Tax | ||||
| FI-CA: AcctDet - Tax Clearing/Dwnpmt | ||||
| FI-CA: AcctDet - CoCode Clearing | ||||
| FI-CA: AccDet - Charges Rec. Revenue | ||||
| FI-CA: Account Det. - Cash Discount | ||||
| FI-CA: AcctDet - Exchange Rate Diff. | ||||
| FI-CA: Acct Det. - G/L Transfer | ||||
| FI-CA: Acct Det. - Returns | ||||
| FI-CA: AccDet - Down Pmnt/Charge | ||||
| FI-CA: Acct Maint. Default Entries | ||||
| FI-CA: Credit Memo Clearing (EBPP) | ||||
| FI-CA: Incoming Pmnt Specifications | ||||
| FI-CA: Clariftn Acct Incmg Paymnts | ||||
| FI-CA: Reverse Doc. Default Entries | ||||
| FI-CA: Payment Program: Bank Accts | ||||
| FI-CA: Doc Posting: Default Entries | ||||
| FI-CA: Act Det.-Inc.Pmnt Refund Acct | ||||
| FI-CA: AcctDet- Reset Clrd Itms Def. | ||||
| FI-CA: AcctDet.- Reset Clrg: New OI | ||||
| FI-CA: Doc Posting: Default Entries | ||||
| FI-CA: Returns: Default Entries | ||||
| FI-CA: Check Deposit Clearing | ||||
| FI-CA: AcctDet-Inst. plan charges | ||||
| FI-CA: Payment Cards: Acct Determ. | ||||
| FI-CA: Payment Cards: Acct Determ. | ||||
| FI-CA: Dunning: Defaults | ||||
| FI-CA: Instal.Plan Interest Spec. | ||||
| Create Enhancement: Broker | ||||
| Create Enhancement: Classificatn Key | ||||
| Role-Specific Activities | ||||
| Normal Clerk | ||||
| Normal Clerk | ||||
| Normal Clerk | ||||
| Clerk with Special Tasks | ||||
| Clerk with Special Tasks | ||||
| Clerk with Special Tasks | ||||
| Branch Office Manager | ||||
| Branch Office Manager | ||||
| Branch Office Manager |
| TCode | Description | Module | Top Module | Component |
|---|---|---|---|---|
| Create Contact | ||||
| Change Contact | ||||
| Display Contact | ||||
| Business Partner Contacts | ||||
| Number Range Maintenance: BCONTACT | ||||
| Archiving of Customer Contacts | ||||
| Debitorenbuch (Norwegen) | ||||
| Create Contract Account | ||||
| Change Contract Account | ||||
| Display Contract Account | ||||
| BP Cust: Field Grouping Activity | ||||
| BP Cust.: Screen Configuration | ||||
| BP Cust: Field Grouping Activity | ||||
| Field Grpg Crit: Contract Acct Cat. | ||||
| BP Control: External Applications | ||||
| BP Cust: Fld. Mof. Ext. Application | ||||
| CA Control: Application | ||||
| CA Control: Field Groups | ||||
| CA Control: Views | ||||
| CA Control: Sections | ||||
| CA Control: Screens | ||||
| CA Control: Screen Sequence Variants | ||||
| CA Control: Events | ||||
| CA Control: CUA Standard Functions | ||||
| CA Control: CUA Additional Functions | ||||
| BP Control: Match Codes | ||||
| BP Control: Asn.Scrn.Fld->DB Field | ||||
| CA Control: Field Grouping Criteria | ||||
| CA Control: Role Types | ||||
| CA Control: Role Type Grouping | ||||
| CA Control: Application Transaction | ||||
| BP Control: Tables | ||||
| BP Control: Activities | ||||
| CA Control: Datasets | ||||
| FI-CA Cust: Field Groups for Auth. | ||||
| Business Partner Configuration Menu | ||||
| Customizing: Application object | ||||
| Clarification worklist - Customizing | ||||
| CFC: Maintain status information | ||||
| Start clarification controller | ||||
| Start CFC with Obj. Key from BOR Mth | ||||
| Display Correspondence History | ||||
| EBPP - Demo | ||||
| HTML Customer Overview: Select Data | ||||
| Job Scheduler | ||||
| Default values for cash deposit int. | ||||
| IS-U Migration | ||||
| IS-U Migration Company Maintenance | ||||
| IS-U Mig: Maintain Conversion Obj. | ||||
| Compare with migration Customizing | ||||
| IS-U Migration: Maintain Fields | ||||
| Fixed Value Maintenance | ||||
| IS-U Migration: Data Import | ||||
| IS-U Migration: Job Scheduler | ||||
| IS-U Migration: Maintain KSM | ||||
| Mass Import Monitor: IS Migration | ||||
| Group Import IS Migration | ||||
| Maintain migration object | ||||
| IS-U Migration: Maintain Project | ||||
| Display Stats Record: IS-U Migration | ||||
| Maintenance of autom. data structure | ||||
| IS-U migration user maintenance | ||||
| Log Analysis and Case Creation | ||||
| Create Case | ||||
| Change Case | ||||
| Display Case | ||||
| Run Automatic Processes for Cases | ||||
| Cust. Tab. Add. Data in Transaction | ||||
| Create Case Category | ||||
| Create Case Category from Message | ||||
| Change Case Category | ||||
| Display Case Category | ||||
| Delete Case Category | ||||
| Transport Case Category | ||||
| Clarification List | ||||
| Generate Case List Program | ||||
| Case List with Shortcut Keys | ||||
| IDoc log via EMMA | ||||
| Display Job | ||||
| Job List | ||||
| Job log via EMMA | ||||
| Process Job | ||||
| Display Application Log | ||||
| Number Range Maintenance: EMMA_CASE | ||||
| Number Range Maintenance: EMMA_RUNID | ||||
| CIC: Data Environment Maintenance | ||||
| FOPs for Web GUI | ||||
| Generic IAC for Cluster Objects | ||||
| Mass act: Create Boleto from OI | ||||
| Boleto: Mass cancellation | ||||
| Boleto: Single Boleto from OI | ||||
| Create Boleto DME File | ||||
| Display boleto | ||||
| Boleto: Bank selection by percentage | ||||
| Boleto: Instruction code and keys | ||||
| Boleto: Instruction code/keys | ||||
| Number range maintenance: FKK_BOLETO | ||||
| Number range maintenance: FKK_BOLXT | ||||
| Boleto: mass cancellation | ||||
| Master Data Tab | ||||
| File Editor | ||||
| Customizing for Log Categories | ||||
| Display of Log Entries | ||||
| Reorganize Log Entries | ||||
| C FI-CA Table maintenance TFK044A | ||||
| FI-CA Dunning - Customizing | ||||
| BP Control: Activities | ||||
| Summarize Tax Lines UK | ||||
| Monitor Tax Exemptions | ||||
| Job Commander Standalone | ||||
| Job Commander from FuMo (List) | ||||
| Job Container | ||||
| Job Container | ||||
| Process BP Duplicates | ||||
| Clarification of BP Duplicates | ||||
| Display of BP Duplicates | ||||
| Import of BP Duplicate | ||||
| Dummy: FCC Authorization Check | ||||
| Display Billing Document | ||||
| Number Range for Billing Documents | ||||
| Display Invoicing Document | ||||
| Number Range for Invoicing Documents | ||||
| BW Extraction of Invoicing Documents | ||||
| Analysis of BW Extraction Orders | ||||
| Simulation of BW Extraction | ||||
| Create Mass Collective Invoicing | ||||
| Mass Invoicing | ||||
| Invoicing | ||||
| Analysis of Invoicing Orders | ||||
| Mass Reversal | ||||
| Invoicing Reversal | ||||
| Ind. Reversal | ||||
| Individual Invoicing | ||||
| Edit Requests | ||||
| Check Requests | ||||
| Display Requests | ||||
| Edit Standing Requests | ||||
| Approve Standing Requests | ||||
| Display Standing Requests | ||||
| Create EF for Standing Request | ||||
| Edit General Requests | ||||
| Check General Requests | ||||
| Display General Requests | ||||
| Edit Request Templates | ||||
| Approve Request | ||||
| Create Documents from Requests | ||||
| Number Range Maintenance: FKK_ORD | ||||
| Display Change Documents Requests | ||||
| Contract A/R + A/P | ||||
| Contract A/R + A/P | ||||
| Link Documents with External Bills | ||||
| Postprocessing Run: Link Bills | ||||
| Reversal of Bills from Billing Sys. | ||||
| Postprocessing Run: External Reversa | ||||
| Create Additional Information | ||||
| Postprocessing Run: Additional Info. | ||||
| Transfer Doc./CO-PA Characteristics | ||||
| Postprocessing Run: Transfer Docs | ||||
| Install Payment Release Workflow | ||||
| Check Conditional Locks | ||||
| Set Processing Locks | ||||
| Payment card processing | ||||
| FM Deriv. Transactions - Customizing | ||||
| FM Derivation Trans. - Distributor | ||||
| FM Deriv. Transactions - Maintenance | ||||
| Clarification Worklist - FM AcctAsgt | ||||
| Determine Appl. Component | ||||
| Change Repayment Request | ||||
| Reset Check Reason in Repymt Request | ||||
| Submission to External Coll. Agency | ||||
| Submit Receivables to Coll. Agency | ||||
| Mass Act.: Submission to Coll.Agency | ||||
| Logs of Submissions for Collection | ||||
| Release of Items for Collection | ||||
| Submit Items for Internal Collection | ||||
| Read Collection Agency File | ||||
| History of Collection Items | ||||
| List of Collection Items | ||||
| Mass Run: Release for Collection | ||||
| Display Repayment Request | ||||
| Call Back Receivables fm Coll.Agency | ||||
| Write Off | ||||
| Display Write-Off History | ||||
| Mass Run: Write-Off | ||||
| Approve Item Write-Off | ||||
| Write Off | ||||
| Process Payment Lot | ||||
| Create Archive Index for Payment Lot | ||||
| Clarification Case Transfer | ||||
| Process Payment Lot | ||||
| Clarification proc. via CALL TRANS | ||||
| Display payment lot item | ||||
| Change Reconcil. Key for Payment Lot | ||||
| Exception Accts for Clarif. Proposal | ||||
| Account Maintenance | ||||
| Reset Clearing | ||||
| Reverse Document | ||||
| Mass Reversal | ||||
| Returns | ||||
| Returns Lot Overview | ||||
| Change Recon. Key for Returns Lot | ||||
| Field Selection Returns Lot Header | ||||
| Field Selection Returns Lot List | ||||
| Reverse Repayment Request | ||||
| FI-CA Check Deposit List | ||||
| Mass Reversal of Documents | ||||
| Process Check Lot | ||||
| Find Payment | ||||
| Find Clarification Cases | ||||
| Find Payment (fromm Payment Run) | ||||
| Process Credit Card Lot | ||||
| Transfer | ||||
| Process Payment Order Lot | ||||
| Manual Outgoing Checks Lot: | ||||
| Man. Check Lot: New Recon. Key | ||||
| Data Transfer: Man. Outgoing Checks | ||||
| Postproc.Tfr of Man. Issued Checks | ||||
| Clarif.Process. of Cashed Checks | ||||
| Transfer Encashment Data to Clarif. | ||||
| DunSch - Customer Structure Generat. | ||||
| Mass Activity: Revenue Distribution | ||||
| Post Revenue Distribution | ||||
| List of Distributed Revenues | ||||
| Evaluation of Revenue Distribution | ||||
| Returns Lot: Incorrect Bank Data | ||||
| Maintain document types-runtimes | ||||
| Maintain Correspondence Runtimes | ||||
| Activate AS for Document Archiving | ||||
| Activate AS for Paymt Lot Archiving | ||||
| Activate AS for Returns Lot Arch. | ||||
| Activate AS for contract acct arch. | ||||
| Activate AS for Correspondence arch. | ||||
| Create Customer Notifications | ||||
| FI-CA Document Archiving | ||||
| FI-CA Official Number Archiving | ||||
| FI-CA: Request Archiving | ||||
| FICA Runtime for Archiving Requests | ||||
| Activate AS for Archiving Requests | ||||
| FI-CA: Revenue Distribution Archivg | ||||
| Activate AS for Revenue Distribution | ||||
| FI-CA: Gen. Tax Reporting Archiving | ||||
| FI-CA: Gen. Revenue Reporting Arch. | ||||
| FI-CA: Gen. Tax Reporting Arch. | ||||
| Delete Tax Reporting Data | ||||
| Delete Reporting Data for Revenues | ||||
| FI-CA: Foreign Currency Valuation | ||||
| FI-CA: Clearing History Archive | ||||
| FI-CA: Doubtful Receivables | ||||
| FI-CA: Invoicing by Third Party | ||||
| FI-CA Correspondence Archiving | ||||
| FI-CA: Life of Tax Info. for Com.Ops | ||||
| Archiving of Tax for Commercial Ops | ||||
| Activate AS for Tax for Commerc. Ops | ||||
| FI-CA: Business Partner Archiving | ||||
| FI-CA: Item List Runtime | ||||
| Archiving of Item List in Cases | ||||
| Activate AS for Item List in Cases | ||||
| FI-CA: Cash Journal Runtime | ||||
| Cash Journal Archiving | ||||
| Activate AS for Cash Journal | ||||
| FI-CA: Collection Agency Runtimes | ||||
| Collection Agency Archiving | ||||
| Activate AS for Collection Agency | ||||
| FICA Check Deposit Archiving Runtime | ||||
| FI-CA: Check Deposit Archiving | ||||
| Runtime of Payment Specifications | ||||
| Payment Specification Archiving | ||||
| Activate AS for Payment Specificatns | ||||
| FICA: Life of Payment Specifications | ||||
| Define FICA Dun. Archiving Runtime | ||||
| FI-CA: Dunning History Archiving | ||||
| FI-CA: Sample Docs (General) Life | ||||
| Archiving of Sample Documents | ||||
| Activate AS for Sample Documents | ||||
| FI-CA Official Doc. Number Archive | ||||
| FI-CA: Prenofitication Runtime | ||||
| Prenotification Archiving | ||||
| Activate Archive IS Prenotification | ||||
| FI-CA: Res.Time SEPA Prenotification | ||||
| Archiving of Pre-Notification | ||||
| AS Activate Pre-Notification | ||||
| FICA Returns Archiving Runtime | ||||
| FI-CA: Returns Archiving | ||||
| Returns History Archiving Runtime | ||||
| FI-CA Returns History Archiving | ||||
| Delete Totals Records | ||||
| FICA: Life for Pymts Sub. to StampTx | ||||
| Archiving of Pymts Subj. to Stamp Tx | ||||
| Activate AS for Stamp Tax Payments | ||||
| Archiving of Convergent Billing | ||||
| Activate AS for Convergent Billing | ||||
| FI-CA: Contract account archiving | ||||
| FI-CA: Payment Lot Archiving | ||||
| Define Payment Lot Period | ||||
| Display Archived Payment Lot | ||||
| Displ.FICA Pymt Lot ArchivInfoStruct | ||||
| Displ.FICA Docs Archiv.Info.Struct. | ||||
| Display FICA Returns Lot Archive | ||||
| FI-CA: Payment Advice Note | ||||
| Delete Payment Advice Note | ||||
| FI-CA: Pymt Advice Note fm CollAgeny | ||||
| Processing of Report File | ||||
| Foreign Trade Report - ALV List | ||||
| Create Payment Specification | ||||
| Create Payment Specification | ||||
| Change Payment Specification | ||||
| Display Payment Specification | ||||
| Reverse Payment Specification | ||||
| Reverse Item Preselection | ||||
| Payment Specifications: List | ||||
| Payment Specifications:Preselections | ||||
| Payment Specifications: Items | ||||
| Post Payment | ||||
| Document Transfer | ||||
| Paymt Lot Transfer - Cust.Struct.Gen | ||||
| ReturnsLotTransfer - Cust.Struct.Gen | ||||
| Check Register Transfer | ||||
| Check Reg. Transfer - Error Proces. | ||||
| Check Reg. Tfr - Cust. Struct. Gen. | ||||
| Transfer MultiCash File (FI-CA) | ||||
| Process Document Transfer Errors | ||||
| Payment Advice Note Transfer | ||||
| Pymt Advice Tfr - Error Processing | ||||
| Advice Note Tfr - Generate Cust.Str. | ||||
| Payment lot transfer | ||||
| Payment Lot Transfer Error Process. | ||||
| Returns Lot Transfer | ||||
| RL Transfer: Error Processing | ||||
| Transfer from Elect. Acct Statement | ||||
| Acct Stmt Transfer: Error Processing | ||||
| Doc.Transfer-Cust.Struct.Generator | ||||
| FI-CA Data Transfer Changes | ||||
| Get Locked Partners and Countries | ||||
| Select MultiCash Conversion Program | ||||
| Process Balance Notifications | ||||
| Prep. Master Data Change fm Ext. Sys | ||||
| Proc. Master Data Change fm Ext. Sys | ||||
| Boleto: payment medium creation | ||||
| Cancellation of Payment Order | ||||
| Brazil: Amount calculation per Levy | ||||
| BW Extraction of Open Items | ||||
| Maintain FICA Extraction Intervals | ||||
| Delete Held Jobs | ||||
| OI Selection for Extraction - Admin. | ||||
| FI-CA Dunning - Cust.Dunn. Procedure | ||||
| Collective Bill | ||||
| Display Cash Desk Closing | ||||
| Create Account Statements | ||||
| Balance Notification Account Creatn | ||||
| Create Business Partner Statement | ||||
| Generate Write-Off Notification | ||||
| Clarification of Cashed Checks | ||||
| Post Payment | ||||
| Transfer Data to Cash Management | ||||
| Delete Completed Clarification Cases | ||||
| Online Check Printing | ||||
| Assign Payment Document to Check | ||||
| List of Issued Checks | ||||
| Create Check in Register | ||||
| Maintain Owner of Check Forms | ||||
| Check Assignment for Payment Run | ||||
| Check Management | ||||
| Document Reversal after Check Lock | ||||
| Voiding of Checks from Payment Run | ||||
| Check Extract for Report Files | ||||
| Information for Collection Agencies | ||||
| BW Extraction of Cleared Items | ||||
| Set Fields for CI Extraction | ||||
| Cash Journal | ||||
| Edit Cash Object | ||||
| Cash Desk Evaluation | ||||
| Maintain Cash Journal Responsibilits | ||||
| Extraction of Collection Items | ||||
| Transfer of Credit Data | ||||
| Replication of Score | ||||
| Clarif. Incorr. Bank Data Changes | ||||
| Correspondence Dunning | ||||
| Correspondence Dunning History | ||||
| Derivation Cllction Agncy - Custom. | ||||
| Derivation Cllction Agncy - Mainte. | ||||
| Correspondence Printing | ||||
| Clarification Processing: Pmnt Lot | ||||
| Clarification Processing: Pmnt Lot | ||||
| Clarif. Processing: Payment Run | ||||
| Display Creditworthiness | ||||
| Change Creditworthiness | ||||
| Clarification Processing: Returns | ||||
| Clarification Processing: Credit | ||||
| Create Credit List | ||||
| Write-Off fm Clarification Worklist | ||||
| Clarification Processing: | ||||
| Confirm Payments | ||||
| Confirm Reported Payments | ||||
| Monitoring of Third Party Payments | ||||
| Security Deposit Statistics Report | ||||
| Overview of Security Deposits | ||||
| Change Debit Memo Notification | ||||
| Display Debit Memo Notification | ||||
| Debit Memo Notification | ||||
| Document Extracts: Overview | ||||
| Customizing Extr. - Deletion of Ext. | ||||
| Customizing Extracts - Export | ||||
| Customizing Extracts - Import | ||||
| Partner Extracts - Del. of Extract | ||||
| Partner Extracts - Export | ||||
| Partner Extracts - Import | ||||
| Doc. Extracts - Export fm Archive | ||||
| Doc. Extracts - Deletion of Extract | ||||
| Document Extracts - Export | ||||
| Doc. Extracts - Export Extr. Docs | ||||
| Document Extracts - Import | ||||
| Denmark : CPR / CVR No | ||||
| Display Dispute Cases | ||||
| Create Coll. Cases after Dunn. Run | ||||
| Display missing FI-CA document | ||||
| Trans.Postg Run for Deferred Revenue | ||||
| Create Docs from Standing Requests | ||||
| Dunning Telephone List | ||||
| Post Document | ||||
| Post Sample Document | ||||
| Change Document | ||||
| Reset Check Reason in Document | ||||
| Mass Document Change | ||||
| Change Sample Document | ||||
| Display Document | ||||
| Display Sample Document | ||||
| Display Document Changes | ||||
| Log Analysis for Mass Runs | ||||
| Mass Act.: Clarification Case Gen. | ||||
| EMMA: Mass Activities | ||||
| EMMA: Mass Activity for Job Analysis | ||||
| Euro: Reconcile with G/L | ||||
| Euro: Status of Mass Runs | ||||
| Euro: Conversion of FI-CA Documents | ||||
| EURO: Balance Determin. in FI G/L | ||||
| EURO: Conv. Inst.Plan and Coll. Bill | ||||
| Euro: Display Critical Documents | ||||
| Euro: Adjust FI Reconciliation Accts | ||||
| Euro: Check Adjustment Posting | ||||
| Log Data on Euro Differences | ||||
| EURO: Determin. of GLT0 Conv.Prog. | ||||
| EURO: FI-CA Document Balances | ||||
| Create Reconciliation Key | ||||
| Change Reconciliation Key | ||||
| Display Reconciliation Key | ||||
| Maintain Alternative Posting Data | ||||
| Transfer Posting Totals to G/L | ||||
| General Ledger Transfer - Mass Run | ||||
| Reconcile with General Ledger | ||||
| Check G/L Documents - Mass Run | ||||
| Transfer to CO-PA | ||||
| COPA Transfer - Mass Run | ||||
| Close Reconcil. Keys Automatically | ||||
| FI-CA Docs to FI-GL Docs | ||||
| Check CO-PA Documents | ||||
| Check CO-PA Documents - Mass Run | ||||
| Reverse General Ledger Transfer | ||||
| FI-CA: Calc. Interest Individually | ||||
| FI-CA: Interest on Cash Sec. Deposit | ||||
| FI-CA: Overdue Interest Inst.Plan | ||||
| FI-CA: Display Interest Calculation | ||||
| Loan Calculation: Test Transaction | ||||
| Delete Interest History | ||||
| Interest Run | ||||
| Cash Security Dep. Interest Run | ||||
| Installment Plan Extraction | ||||
| Item Processing | ||||
| Display Account Balance | ||||
| Account Balance: Internal Call | ||||
| Acct Balance: Fullscreen Chronology | ||||
| Evaluate Processing Locks | ||||
| Delete Mass Locks Set | ||||
| Display Dunning History | ||||
| Display Returns History | ||||
| Automatic Clearing | ||||
| FI-CA: Application monitor | ||||
| Number Range Maintenance: FKK_BELEG | ||||
| Number Range Maintenance: FKKINDPAY | ||||
| Number Range Maint: FKKPRENOT | ||||
| Maintain Number Range: FKK_ACCOUNT | ||||
| Number Range Maintenance: FKK_ZAUFT | ||||
| Number Range Maintenance: FKKPYFORM | ||||
| Number Range Maintenance: FKK_UMB | ||||
| Number Range Maintenance: FKK_EXTDOC | ||||
| Number Range Maintenance: FKK_ED07 | ||||
| Number Range Maintenance: FKK_ED07S | ||||
| Number Range Maintenance: FKK_ED07SY | ||||
| Number Range Maintenance: FKK_ED07Y | ||||
| Number Range Maintenance: FKK_ED08 | ||||
| Number Range Maintenance: FKK_ED08S | ||||
| Number Range Maintenance: FKK_ED08SY | ||||
| Number Range Maintenance: FKK_ED08Y | ||||
| Number Range Maintenance: FKK_ED09 | ||||
| Number Range Maintenance: FKK_ED09S | ||||
| Number Range Maintenance: FKK_ED09SY | ||||
| Number Range Maintenance: FKK_ED09Y | ||||
| Number Range Maintenance: FKK_ED10 | ||||
| Number Range Maintenance: FKK_ED10S | ||||
| Number Range Maintenance: FKK_ED10SY | ||||
| Number Range Maintenance: FKK_ED10Y |
| Language | Description |
|---|---|
| 中文 | FI-CA 维护表格 TFK061A |
| Thai | FI-CA ตารางการปรับปรุง TFK061A |
| 한국어 | FI-CA 유지보수 테이블 TFK061A |
| Română | Întreţinere tabel FI-CA TFK061A |
| Hrvatski | FI-CA tabela održavanja TFK061A |
| Українська | FI-CA таблиця ведення TFK061A |
| #### | صيانة جدول TFK061A في FI-CA |
| עברית | FI-CA טבלת אחזקה TFK061A |
| Čeština | Údržba tabulky TFK061A FI-CA |
| Deutsch | FI-CA Pflege Tabelle TFK061A |
| English | FI-CA Maintenance Table TFK061A |
| Français | Table de gestion FICA TFK061A |
| Ελληνική | FI-CA Πίνακας Συντήρησης TFK061A |
| Magyar | FI-CA táblakarbantartás TFK061A |
| Italiano | FI-CA: aggiornamento tabella TFK061A |
| 日本語 | FI-CA 更新テーブル TFK061A |
| Dansk | FI-CA vedligehold tabel TFK061A |
| polski | FI-CA Opracowanie tabeli TFK061A |
| 繁體中文 | FI-CA 維護表格 TFK061A |
| Nederlands | FI-CA: Verzorging tabel TFK061A |
| Norsk | FI-CA: Vedlikehold av tabell TFK061A |
| Português | FI-CA Atualização tabela TFK061A |
| Slovenčina | FI-CA: Údržba tabuľky TKF061A |
| Русский | FI-CA Ведение таблицы TFK061A |
| Español | FI-CA Actualización tabla TFK061A |
| Türkçe | FI-CA bakım tablosu TFK061A |
| Suomi | FI-CA-ylläpito - taulu TFK061A |
| Svenska | FI-CA Underhåll av tabell TFK061A |
| ±êÛÓÐàáÚØ | FI-CA поддръжка на таблица TFK061A |
| 83 | |
| 260 | |
| 1,210 | |
| 4,024 | |
| 1,091 | |
| 10,821 | |
| 1,733 | |
| 27,278 | |
| 15 | |
| 40 | |
| 853 | |
| 1,882 | |
| 377 | |
| 7,355 | |
| 2,609 | |
| 4,012 | |
| 710 | |
| 1 | |
| 1,543 | |
| 303 | |
| 569 | |
| 357 | |
| 1,844 | |
| 38 | |
| 492 | |
| 233 | |
| 361 | |
| 834 | |
| 304 | |
| 314 | |
| 3,306 | |
| 166 | |
| 1,906 | |
| 85 | |
| 152 | |
| 178 | |
| 76 | |
| 1,961 | |
| 165 | |
| 842 | |
| 3,713 | |
| 9 | |
| 1,028 | |
| 169 | |
| 4,805 | |
| 787 | |
| 382 | |
| 1,238 | |
| 1,824 | |
| 482 | |
| 665 | |
| 2,183 | |
| 898 | |
| 24,824 | |
| 350 | |
| 2,439 | |
| 88 | |
| 1,445 | |
| 1,578 | |
| 1,726 | |
| 1,412 | |
| 367 | |
| 112 | |
| 26 | |
| 62 |