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Transaction Code ABAPDCOU AL01 AL02 AL03 AL04 AL05 AL06 AL07 AL08 AL09 AL10 AL11 AL12

AL13 AL15 AL16 AL17 AL18 AL19 AL20 AL21 AL22 BAOV BAPI BD54 BUSP CMOD DB01 DB02 DB03 DB05 DB11 DB12 DB13 DB14 DB15 DB16 DB17 DB2 DB20 DB21 DB24 DB26 DB2J DBCO DI02

DMIG FILE HIER ICON LSMW OAA1 OAA3 OAA4 OAAD OAC2 OAC5 OACA OAD0 OAD2 OAD3 OAD4 OAD5 OADR OAM1 OAOR OARE OLE OS01 OS03 OS04 OS05 OS06 OS07 OSS1 OY08 OY18 OY19 PFCG PFUD PFTC RLOG RZ01 RZ02 RZ03 RZ04 RZ06 RZ08 RZ10 RZ11 RZ12 RZ20 RZ21

S001 S002 SA38 SAD0 SADC SAINT SALE SARI SAR3 SAR4 SAR5 SAR6 SARA SARL SARP SART SB01 SB02 SBAS SC38 SCAM SCAT SCC0 SCC1 SCC2 SCC3 SCC4 SCC5 SCC6 SCC7 SCC8 SCC9 SCCL SCDO SCMP SCOM SCON SCOT SCPF SCPR1 SCPR2 SCU0 SCU1 SCU2 SCU3 SCUA SCUG

SCUM SD11 SDBE SECR SE01 SE03 SE06 SE07 SE09 SE10 SE11 SE12 SE13 SE14 SE15 SE16 SE16N SE17 SE24 SE30 SE32 SE33 SE35 SE36 SE37 SE38 SE39 SE40 SE41 SE43 SE48 SE49 SE51 SE52 SE54 SE55 SE56 SE61 SE62 SE63 SE64 SE65 SE68 SE71 SE72 SE73 SE74

SE75 SE76 SE77 SE78 SE80 SE81 SE82 SE83 SE84 SE85 SE86 SE87 SE88 SE89 SE91 SE92 SE93 SE94 SE95 SEARCH_SAP_MENU SEPS SERP SEU SF01 SFAW SFT2 SFT3 SHD0 SHDB SIAC1 SICK SIN1 SINA SLG0 SLIN SM01 SM02 SM04 SM12 SM13 SM14 SM21 SM23 SM28 SM29 SM30 SM31

SM32 SM33 SM34 SM35 SM36 SM37 SM38 SM39 SM49 SM50 SM51 SM54 SM55 SM56 SM58 SM59 SM60 SM62 SM63 SM64 SM65 SM66 SM67 SM68 SM69 SMEN SMGW SMLG SMLI SMLT SMOD SMT1 SMT2 SMW0 SMX SNOTE SNRO SO02 SO03 SO04 SO05 SO06 SO07 SO10 SO12 SO13 SO15

SO16 SO17 SO18 SO19 SO21 SO22 SO23 SO24 SO28 SO30 SO31 SO36 SO38 SO40 SO41 SO42 SO43 SO44 SO70 SO71 SO72 SO73 SO80 SO81 SO82 SO95 SO99 SOA0 SOBJ SOLE SOLI SOPE SOTD SOY1 SOY2 SOY3 SOY4 SOY5 SOY6 SOY7 SOY8 SOY9 SOYA SP00 SP01 SP02 SP11

SP12 SPAD SPAM SPAU SPCC SPDD SPHA SPIC SPRM SPRO SQ00 SQ01 SQ02 SQ03 SQ07 SQVI SRZL SSAA SSCA SSM1 SSM5 ST01 ST02 ST03 ST04 ST05 ST06 ST07 ST08 ST09 ST10 ST11 ST12 ST14 ST22 ST62 ST4A STAT STMS STUN STW1 STW2 STW3 STW4 STW5 STZAC STZAD

SU01 SU01D SU02 SU03 SU05 SU10 SU12 SU2 SU20 SU21 SU22 SU24 SU25 SU26 SU3 SU30 SU52 SU53 SU54 SU56 SUIM SUMM SUPC SUPF SUPO SWDC SWU3 SXDA TU02 USMM VOK2 WEDI WE02 WE07 WE20 WE21 WE46 WE47 $SYNC $TAB

Description ABAP Documentation SAP Alert Monitor Database Alert Monitor Operating System Alert Monitor Monitor call distribution Workload Alert Monitor Performance: Upload/Download Early Watch Report Current Active Users Data for database expertise Download to Early Watch Display operating system file from CCMS Display table buffer (Exp. session) Display Shared Memory (Expert mode) Customize SAPOSCOL destination Local Alert Monitor for Operating System Remote Alert Monitor for Operat. Syst. Local File System Monitor Remote File System Monitor Early Watch Data Collector List ABAP Program analysis Dependent objects display Add-On Version Information BAPI Explorer Maintain Logical Systems Regenerate screens during BDT development Enhancements Analyze exclusive lockwaits Analyze tables and indexes Parameter changes in database Analysis of table with respect to indexed fields Early Watch Profile Maintenance DB Backup Monitor DBA Planning Calendar DBA logs Data Archiving: Database Tables DB System Check: Monitor DB System Check: Configuration Select Database Activities DB Cost-Based Optimizer: Tab. Stats DB Cost-Based Optimizer: Config. Database Operations Monitor DB Profile:Monitor and Configuration Manage JCL jobs for OS/390 Database Connection Maintenance ABAP/4 Repository Information System: Tables.

Start Transaction for Data Migration Cross-Client File Names/Paths Internal Application Component Hierarchy Maintenance Display Icons Legacy System Migration Workbench SAP ArchiveLink: Maint.user st.syst SAP ArchiveLink protocols SAP ArchiveLink applic.maintenance ArchiveLink Administration Documents SAP ArchiveLink: Globaldoc. types SAP ArchiveLink: Bar code entry SAP ArchiveLink workflow parameters SAP ArchiveLink: Objectlinks SAP ArchiveLink document classes SAP ArchiveLink: Link tables SAP ArchiveLink: Bar code types SAP ArchiveLink: Customizing Wizard SAP ArchiveLink: Print list search SAP ArchiveLink: Monitoring Business document navigator SAP ArchiveLink:St.syst.return codes Examples for OLE Processing LAN check with ping O/S Parameter changes Local System Configuration Remote System Cconfiguration Local Operating System Activity Remote Operating SystemActivity SAP Online Service System Development Class Overview Table history Compare Tables Profile Generator (Activity Group Maintenance) User Master Data Reconciliation Workflow Data migration logging Graphical background job scheduling monitor Network graphical display of instance Presentation, Control SAP Instances Maintain Operation Modes and Instances Maintain alert threshold CCMS Alert Monitor Maintain system profiles Profile parameter maintenance Maintain RFC Server Group Assignment CCMS Monitoring Customize CCMS Alert Monitor

ABAP/4 Development Weorkbench System Administration Execute a program and ABAP reporting Address Management call Address: Maint. communication types Plug-in Installation IDoc and ALE development Archive Information System Customizing Archiving Define Archiving Class Assign Archiving Class Archiving Time Generator Archive Management Call of ArchiveLink Monitor Reporting (Tree Structure): Execute Display Reporting Tree Business Navigator - Component View Business Navigator - Process flow view Assignments to Process Model Elemts Start Report Immediately CATT management Computer Aided Test Tool Client Copy Client Copy - Special Selections Client transport Client copy log Client copy administration Delete clients Client import Client import post processing Client export Remote client copy Local client copy Display Change Document Objects View/Table comparison SAPcomm: Configuration SAPconnect - Administration SAPconnect Administration Generate enterprise IMG Customizing Profiles : Maintenance Tool Comparing Customizing profiles Compare Tables Table Comparison - Export to Tape Table Comparison Against Tape Table history Central User Administration : Distribution Model Assigment Central User Administration Structure Display

Central User Administration Field Selection Data Modeler Explain an SQL Statement Audit Information System Transport Organizer Transport Utilities Set Up Workbench Organizer CTS Status Display Workbench Organizer Customizing Organizer ABAP/4 Dictionary Maintenance ABAP/4 Dictionary Display Maintain Technical Settings (Tables) Utilities for Dictionary Tables ABAP/4 Repository Information System Data Browser Table Browser (the N stands for New, it replaces SE16) General Table Display Class Builder ABAP/4 Runtime Analysis ABAP/4 Text Element Maintenance Context Builder ABAP/4 Dialog Modules ABAP/4 Logical Databases ABAP/4 Function Modules ABAP Editor Splitscreen Editor: Program Compare MP: Standards Maint. and Translation Menu Painter Maintain Area Menu Show program call hierarchy. Very useful to see the overall structure of a program Table manipulation. Show what tables are behind a transaction code Screen Painter: Initial Screen Parameterized screenpainter call Generate View Maintenance Module Internal table view maintenance call Internal call: display table view R/3 Documentation Industry utilities Translation Terminology R/3 document. short text statistics SE66 R/3 Documentation Statistics (Test!) Translation Administration SAPScript Layouts SAPscript styles SAPscript font maintenance (revised) SAPscript format conversion

SAPscript Settings SAPscript Translation Layout Sets SAPscript Translation Styles SAPscript Graphics administration ABAP/4 Development Workbench SAP Application Hierarchy Customer Application Hierarchy Reuse Library. Provided by Smiho Mathew ABAP/4 Repository Information System ABAP/4 Dictionary Information System ABAP/4 Repository Information System Data Modeler Information System Development Coordination Info System Maintain Trees in Information System Maintain Messages Maintain system log messages Maintain Transaction Codes Customer enhancement simulation Modification Browser Find menu path for transaction code SAP Electronic Parcel Service Reporting: Change Tree Structure Object Repository Browser Client-Specific File Names Field Selection Maintenance Maintain public holiday calendar Maintain factory calendar Transaction variant maintenance Batch input recorder Web Object Administration Installation check SAPBPT: Inbox SAPBPT: Maintain Standard Config. Application Log: ObjectMaintenance ABAP: Extended Program Check Lock transactions System messages Overview of users Lock table entries (unlock locked tables) Display Update Records Update Program Administration System log System Log Analysis Installation Check Model Transfer for Tables Maintain Table Views Table Maintenance

Table maintenance Display Table ParameterID TAB Viewcluster maintenancecall View Batch Input Sessions Schedule background jobs View background jobs Queue Maintenance Transaction Job analysis Execute External OS commands Process Overview Delete jobs from system (BDC) TXCOM maintenance THOST maintenance Number Range Buffer Error log for asynchronous RFC RFC Destinations (Display/Maintain) Borrow/Return Objects Display/Maintain events Display/Maintain Operating Mode Sets Event trigger Background Processing Analysis Tool Global work process overview Job scheduling Job administration Maintain External OS Commands Display the menu path to get to a transaction Gateway Monitor Maintain Logon Group Language import utility Language transport utility SAP Enhancement Management Trusted Systems (Display <-> Maint.) Trusting systems (Display <->Maint.) SAP WEB Repository(binary data) - add/ mod images(used to put in screen containers) View background jobs SAP note assistant (if installed) Object browser for number range maintenance SAPoffice: Outbox SAPoffice: Private Folders SAPoffice: Shared Folders SAPoffice: Private Trash SAPoffice: Substitutionon/off SAPoffice: Resubmission SAPscript: Standard Texts SAPoffice: User Master SAPoffice: Substitute SAPoffice: DistributionLists

SAPoffice: Profile SAPoffice: Delete Shared Trash SAPoffice: Shared Trash SAPoffice: Default Documents Maintain PC Work Directory SAPoffice: Delete PC Temp. Files SAPoffice: DistributionLists SAPoffice: Maintenance of default PC Maintain SOGR SAPoffice: Reorg. Reorganization (daily) Create Automatic Forwarding SAPoffice: Synchr. of Folder Auths. SAPoffice: Cust. LayoutSet MAIL SAPoffice: Cust. LayoutSet TELEFAX SAPoffice: Cust.Layout Set TELEFAX_K SAPoffice: Cust.Layout Set TELEFAX_M SAPoffice: Cust. LayoutSet TELEX Hypertext: Display/Maint. Structure Test plan management Maintain Hypertext Module Import graphic into SAPfind SAPfind: Free Text Retrieval Dialog SAPfind: Free Text Indexing (Test) SAPfind: Free Text Retrieval Batch Pregenerated Search Queries Select Put Information System ArchiveLink Workflow document types Attribute Maintenance Objects OLE Applications Load OLE type info Exclude Document Classes SAPoffice: Maintain Object Types SAPoffice: Mass Maint. Users SAPoffice: Statistics data collect SAPoffice: Statistics Evaluation SAPoffice: Access overview SAPoffice: Inbox overview SAPoffice: Document overview SAPoffice: Folder overview SAPoffice: Mass Archiving SAPoffice: Inbox Reorg. SAPoffice: Change folder owner Spool and Relate Area Output Controller Display output requests TemSe directory

TemSe Administration Spool Administration SAP Patch Manager Display Modified DE Objects Spool: Consistency check Intersection SAP transport/customer modifications, DDIC Telephony administration Spool : Installation Check Current Customizing Start SAP IMG (Implementation Guide) ABAP/4 Query: Start Queries ABAP/4 Query: Maintain Queries ABAP/4 Query: Maintain Funct. Areas ABAP/4 Query: Maintain User Groups ABAP/4 Query: Language Comparison QuickViewer CCMS System Administration Assistant Appointment Diary: Administration Session Manager generation call Create Activity Group SAP System Trace Setups/Tune Buffers Performance, SAP Statistics, Workload Select DB activities Performance trace Operating System Monitor Application monitor Network monitor Network Alert monitor Table call statistics Display developer trace Application monitor Application analysis ABAP/4 Runtime Error Analysis Create industry short texts Oracle: analyze the shared cursor cache Local transaction statistics Transport Management System Performance Monitoring (not available in R/3 4.6x) Test Workbench: Test catalog Test workbench: Test plan Test workbench: Test package Test Workbench: Edit test package C maintenance table TTPLA Maintain time zone act.in client Disp.time zone activat.in client

User maintenance User Display Maintain authorization profiles Maintain authorizations Maintain Internet users User Mass Maintenance Delete ALL Users Maintain user parameters Maintain Authorization Fields Maintain Authorization Objects Authorization object check in transactions Disables Authorization Checks Imports SAP Check Indicators defaults Adjust Authorization checks Maintain own user parameters Total checks in the area of auth. Maintain own user parameters Retrieve authorisation data for object, execute after error message is displayed List for Session Manager Analyze User Buffer Infosystem Authorizations Global User Manager Profiles for activity groups Integrated User Maintenance Maintain Organization Levels Workflow Definition Consistency check: Customizing Data transfer workbench Display Active Parameters Customer measurement Output determination by functional area / output type (Output programs). IDoc and EDI Basis IDoc Display IDoc Statistics Partner profiles Port definition IDoc administration Status Maintenance Refreshes all buffers, except the program buffer Refreshes the table buffers

Transaction Code IH09 MM01 MM02 MM03 MM50 MMBE MMI1 MMN1 MMS1 MMU1 ME51N ME52N ME53N ME5A ME5J ME5K MELB ME56 ME57 ME58 ME59 ME54 ME55 ME5F MB21 MB22 MB23 MB24 MB25 MB1C MB90 MB21 MB22 MB23 MB24 MB25 MBRL MB1C MB90 MB1B MIBC MI01 MI02 MI03 MI31 MI32

Description Display Material Create Material Change Material Display Material List Extendable Materials Stock Overview Create Operating Supplies Create Non-Stock Material Create Service Create Non-Valuated Material Create Purchase Requisition Change Purchase Requisition Display Purchase Requisition Purchase Requisitions: List Display Purchase Requisitions for Project Requisitions by Account Assignment Transactions by Tracking No. Assign Source to Purch. Requisition Assign and Process Requisitions Ordering: Assigned Requisitions Automatic Generation of POs Release Purchase Requisition Collective Release of Purchase Reqs. Release Reminder: Purch. Requisition Create Reservation Change Reservation Display Reservation Reservations by Material Reservations by Account Assignment Other Goods Receipts Output Processing for Mat. Documents Create Reservation Change Reservation Display Reservation Reservations by Material Reservations by Account Assignment Return Delivery per Mat. Document Other Goods Receipts Output Processing for Mat. Documents Transfer Posting ABC Analysis for Cycle Counting Create Physical Inventory Document Change Physical Inventory Document Display Physical Inventory Document Batch Input: Create Phys. Inv. Doc. Batch Input: Block Material

MI33 MICN MIK1 MIQ1 MI01 MI02 MI03 MI31 MI32 MI33 MIK1 MIQ1 MI01 MI02 MI03 MI31 MI32 MI33 MIK1 MIQ1 MI21 MI04 MI05 MI06 MI09 MI34 MI35 MI38 MI39 MI40 MI08 MI10 MI20 MI11 MI07 MI37

Batch Input: Freeze Book Inv.Balance Inpt:Ph.Inv.Docs.for Cycle Ctng Batch Input: Ph.Inv.Doc.Vendor Cons. Batch Input: PhInvDoc. Project Stock Create Physical Inventory Document Change Physical Inventory Document Display Physical Inventory Document Batch Input: Create Phys. Inv. Doc. Batch Input: Block Material Batch Input: Freeze Book Inv.Balance Batch Input: Ph.Inv.Doc.Vendor Cons. Batch Input: PhInvDoc. Project Stock Create Physical Inventory Document Change Physical Inventory Document Display Physical Inventory Document Batch Input: Create Phys. Inv. Doc. Batch Input: Block Material Batch Input: Freeze Book Inv.Balance Batch Input: Ph.Inv.Doc.Vendor Cons. Batch Input: PhInvDoc. Project Stock Print physical inventory document Enter Inventory Count with Document Change Inventory Count Display Inventory Count Enter Inventory Count w/o Document Batch Input: Enter Count Batch Input: Post Zero Stock Balance Batch Input: Count and Differences Batch Input: Document and Count Batch Input: Doc., Count and Diff. Create List of Differences with Doc. Create List of Differences w/o Doc. Print List of Differences Physical Inventory Document Recount Process List of Differences Batch Input: Post Differences

Transaction Code Description Most frequently used transaction codes VS00 Master data VC00 Sales Support VA00 Sales VL00 Shipping VT00 Transportation VF00 Billing Transaction codes used for Configuration VOV8 Define Sales documents type (header) OVAZ Assigning Sales area to sales documents type OVAU Order reasons VOV4 Assign Item categories (Item cat determination) VOV6 Schedule line categories OVAL To assign blocks to relevant sales documents type OVLK Define delivery types V/06 Pricing V/08 Maintain pricing procedure OVKP Pricing proc determination V/07 Access sequence Transaction codes for End Users VD01 Customer Master Creation VD02 Change Customer VD03 Display Customer VD04 Customer Account Changes VD06 Flag for Deletion Customer XD01 Create Customer XD02 Modify Customer XD03 Display Customer MM00 Create Other material VB11 To create material determination condition record CO09 Material availability Overview VL01 Create outbound delivery with ref sales order VL04 Collective processing of delivery VA11 Create Inquiry VA12 Change Inquiry VA13 Display Inquiry Sales order / Quote / Agreement / Contract VA01 Create Order VA02 Change Order VA03 Display Order VA02 Sales order change VA05 List of sales orders VA32 Scheduling agreement change

VA42 VA21 VA22 VA23 Billing VF02 VF11 VF04 FBL5N FBL1N Delivery VL02N VL04 VKM5 VL06G VL06P VL09 VT02N VT70 General VKM3, VKM4 VKM1 VD52

Contract change Create Quotation Change Quotation Display Quotation

Change billing document Cancel Billing document Billing due list Display Customer invoices by line Display Vendor invoices by line

Change delivery document Delivery due list List of deliveries List of outbound deliveries for goods issue List of outbound deliveries for picking Cancel goods issue Change shipment Output for shipments

List of sales documents List of blocked SD documents Material Determination

Transaction Code F-01 F-02 F-03 F-04 F-05 F-06 F-07 F-18 F-19 F-20 F-21 F-22 F-23 F-25 F-26 F-27 F-28 F-29 F-30 F-31 F-32 F-33 F-34 F-35 F-36 F-37 F-38 F-39 F-40 F-41 F-42 F-43 F-44 F-46 F-47 F-48 F-49 F-51 F-52 F-53 F-54 F-55 F-56 F-57 F-58 F-59

Description Enter Sample Document Enter G/L Account Posting Clear G/L Account Post with Clearing Post Foreign Currency Valuation Post Incoming Payments Post Outgoing Payments Payment with Printout Reverse Statistical Posting Reverse Bill Liability Enter Transfer Posting Enter Customer Invoice Return Bill of Exchange Pmt Request Reverse Check/Bill of Exch. Incoming Payments Fast Entry Enter Customer Credit Memo Post Incoming Payments Post Customer Down Payment Post with Clearing Post Outgoing Payments Clear Customer Post Bill of Exchange Usage Post Collection Post Forfaiting Bill of Exchange Payment Customer Down Payment Request Enter Statistical Posting Clear Customer Down Payment Bill of Exchange Payment Enter Vendor Credit Memo Enter Transfer Posting Enter Vendor Invoice Clear Vendor Reverse Refinancing Acceptance Down Payment Request Post Vendor Down Payment Customer Noted Item Post with Clearing Post Incoming Payments Post Outgoing Payments Clear Vendor Down Payment Enter Statistical Posting Reverse Statistical Posting Vendor Noted Item Payment with Printout Payment Request

F-60 F-62 F-63 F-64 F-65 F-66 F-67 F-90 F-91 F-92 F.01 F.02 F.03 F.04 F.05 F.06 F.07 F.08 F.09 F.0A F.0B F.10 F.11 F.12 F.13 F.14 F.15 F.16 F.17 F.18 F.19 F.1A F.1B F.20 F.21 F.22 F.23 F.24 F.25 F.26 F.27 F.28 F.29 F.2A F.2B F.2C F.2D

Maintain Table: Posting Periods Maintain Table: Exchange Rates Park Vendor Invoice Park Customer Invoice Preliminary Posting Park Vendor Credit Memo Park Customer Credit Memo Acquisition from purchase w. vendor Asset acquis. to clearing account Asset Retire. frm Sale w/ Customer ABAP/4 Report: Balance Sheet Compact Journal Reconciliation G/L: Create Foreign Trade Report Foreign Currency Val.: Open Items Foreign Currency Valuation:G/L Assts G/L: Balance Carried Forward G/L: Account Balances G/L: Account List G/L: FTR Report on Disk G/L: Create Z2 to Z4 G/L: Chart of Accounts G/L: General Ledger from Doc.File Advance Tax Return ABAP/4 Report: Automatic Clearing ABAP/4 Report: Recurring Entries ABAP/4 Report: List Recurr.Entries ABAP/4 Report: G/L Bal.Carried Fwd ABAP/4 Report: Cust.Bal.Confirmation ABAP/4 Report: Vend.Bal.Confirmation G/L: Goods/Invoice Received Clearing Customer/Vendor Statistics Head Office and Branch Index A/R: Account List A/R: Open Items A/R: Open Item Sorted List A/R: Account Balances A/R: Interest for Days Overdue Bill of Exchange List A/R: Balance Interest Calculation A/R: Periodic Account Statements Customers: Reset Credit Limit A/R: Set Up Info System 1 Calc.cust.int.on arr.: Post (w/o OI) Calc.cust.int.on arr.: Post(with OI) Calc.cust.int.on arr.: w/o postings Customrs: FI-SD mast.data comparison

F.2E F.2F F.2G F.30 F.31 F.32 F.33 F.34 F.35 F.36 F.37 F.38 F.39 F.40 F.41 F.42 F.44 F.45 F.46 F.47 F.48 F.4A F.4B F.4C F.50 F.51 F.52 F.53 F.54 F.56 F.57 F.58 F.59 F.5A F.5B F.5C F.5D F.5E F.5F F.5G F.5I F.61 F.62 F.63 F.64 F.65 F.66

Reconciliation Btwn Affiliated Comps Management Acct Group Reconciliation Create Account Group Reconcil. G/L A/R: Evaluate Info System Credit Management - Overview Credit Management - Missing Data Credit Management - Brief Overview Credit Management - Mass Change Credit Master Sheet Adv.Ret.on Sls/Pur.Form Printout(DE) Adv.rept.tx sls/purch.form print (BE Transfer Posting of Deferred Tax C FI Maint. table T042Z (BillExcTyp) A/P: Account List A/P: Open Items A/P: Account Balances A/P: Balance Interest Calculation A/P: Set Up Info System 1 A/P: Evaluate Info System Vendors: calc.of interest on arrears Vendors: FI-MM mast.data comparison Calc.vend.int.on arr.: Post (w/o OI) Calc.vend.int.on arr.: Post(with OI) Calc.vend.int.on arr.: w/o postings G/L: Profitability Segment Adjustmnt G/L: Open Items G/L: Acct Bal.Interest Calculation G/L: Account Assignment Manual G/L: Structured Account Balances Delete Recurring Document G/L: Delete Sample Documents OI Bal.Audit Trail: fr.Document File Accum.Clas.Aud.Trail: Create Extract Accum.Clas.Aud.Trail: Eval.Extract Accum.OI Aud.Trail: Create Extract Accum.OI Audit Trail: Display Extr. G/L: Update Bal. Sheet Adjustment G/L: Post Balance Sheet Adjustment G/L: Balance Sheet Adjustment Log G/L: Subseq.Adjustment(BA/PC) Sp.ErA G/L: Adv.Rep.f.Tx on Sls/Purch.w.Jur Correspondence: Print Requests Correspondence: Print Int.Documents Correspondence: Delete Requests Correspondence: Maintain Requests Correspondence: Print Letters (Cust) Correspondence: Print Letters (Vend)

F.70 F.71 F.75 F.77 F.78 F.79 F.80 F.81 F.90 F.91 F.92 F.93 F.97 F.98 F.99 F/LA F/LB F/LC F/LD F00 F000 F010 F01N F01O F01P F01Q F01R F01S F01T F040 F041 F042 F043 F044 F045 F046 F101 F103 F104 F107 F110 F111 F13E F150 F48A F53A F53V

Bill/Exchange Pmnt Request Dunning DME with Disk: B/Excha. Presentation Extended Bill/Exchange Information C FI Maintain Table T045D C FI Maintain Table T045B C FI Maintain Table T045G Mass Reversal of Documents Reverse Posting for Accr./Defer.Docs C FI Maintain Table T045F C FI Maintain Table T045L C FI Maintain T012K (Bill/Exch.) Maintain Bill Liability and Rem.Risk General Ledger: Report Selection Vendors: Report Selection Customers: Report Selection Create Pricing Report Change pricing reports Display pricing reports Execute pricing reports SAPoffice: Short Message Accounting ABAP/4 Reporting: Fiscal Year Change Debit position RA single reversal Vacancy RU single reversal Accruals/deferrals single reversal Debit position MC single reversal MC settlement single reversal Reverse Periodic Posting Reverse Acc./Def. General Contract Reorganization Bank Master Data Archiving G/L Accounts Archiving Customer Archiving Vendor Archiving Document Archiving Transaction Figures Archiving ABAP/4 Reporting: Balance Sheet Adj. ABAP/4 Reporting: Transfer Receivbls ABAP/4 Reporting: Receivbls Provisn FI Valuation Run Parameters for Automatic Payment Parameters for Payment of PRequest ABAP/4 Report: Automatic Clearing Dunning Run Document Archiving Archiving of G/L Accounts Management of G/L Account Archives

F56A F58A F61A F64A F66A F8+0 F8+1 F8+2 F8+3 F8B4 F8B6N F8BC F8BF F8BG F8BH F8BJ F8BK F8BM F8BN F8BO F8BR F8BS F8BT F8BU F8BV F8BW F8BZ F8XX FA39 FAKA FAKP FAR1 FARA FARB FARI FARY FARZ FAX1 FAX2 FB00 FB01 FB02 FB03 FB03Z FB04 FB05 FB07

Customer Archiving Archiving of Vendors Bank archiving Transaction Figure Archiving Archiving of Bank Data Storage Display FI Main Role Definition Maintain FI Main Role Definition Display FI Amount Groups Maintain FI Amount Groups C FI Maintain Table TBKDC C FI Maintain Table TBKPV C FI Maintain Table TBKFK C FI Maintain Table T042Y Maintain Global Data for F111 Inconsistencies T042I and T042Y Maintain Clearing Accts (Rec.Bank) Maintain ALE-Compatible Pmnt Methods Maintain numb.range: Payment request Corr.Acctg Documents Payment Block Payment request archiving Levels for Payment Requests Detail display of payment requests Display Payment Requests Create payment runs automatically Reversal of Bank-to-Bank Transfers Reset Cleared Items: Payt Requests F111 Customizing Payment Request No. Ranges KI3-F8BM Call up report with report variant Config.: Show Display Format Config.: Maintain Display Format S FI-ARI Maint. table T061A S FI-ARI Maint. table T061P/Q C FI-ARI Maint. table T061R AR Interface: Third-party applicatns Table T061S Table T061V BC sample SAP DE 2.1 BC sample 2 SAP DE 2.1 Accounting Editing Options Post Document Change Document Display Document Display Document/Payment Usage Document Changes Post with Clearing Control Totals

FB08 FB09 FB10 FB11 FB12 FB13 FB1D FB1K FB1S FB21 FB22 FB31 FB41 FB50 FB60 FB65 FB70 FB75 FB99 FBA1 FBA2 FBA3 FBA6 FBA7 FBA8 FBB1 FBBA FBBP FBCJ FBCJC0 FBCJC1 FBCJC2 FBCJC3 FBCOPY FBD1 FBD2 FBD3 FBD4 FBD5 FBD9 FBDF FBE1 FBE2 FBE3 FBE6 FBE7 FBF1

Reverse Document Change Line Items Invoice/Credit Fast Entry Post Held Document Request from Correspondence Release for Payments Clear Customer Clear Vendor Clear G/L Account Enter Statistical Posting Reverse Statistical Posting Enter Noted Item Post Tax Payable G/L Acct Pstg: Single Screen Trans. Enter Incoming Invoices Enter Incoming Credit Memos Enter Outgoing Invoices Enter Outgoing Credit Memos Check if Documents can be Archived Customer Down Payment Request Post Customer Down Payment Clear Customer Down Payment Vendor Down Payment Request Post Vendor Down Payment Clear Vendor Down Payment Post Foreign Currency Valn Display Acct Determination Config. Maintain Acct Determination Config. Cash Journal C FI Maintain Tables TCJ_C_JOURNALS Cash Journal Document Number Range C FI Maint. Tables TCJ_TRANSACTIONS C FI Maintain Tables TCJ_PRINT Copy Function Module Enter Recurring Entry Change Recurring Entry Display Recurring Entry Display Recurring Entry Changes Realize Recurring Entry Enter Recurring Entry Menu Banque de France Create Payment Advice Change Payment Advice Display Payment Advice Delete Payment Advice Add to Payment Advice Account C80 Reporting Minus Sp.G/L Ind.

FBF2 FBF3 FBF4 FBF5 FBF6 FBF7 FBF8 FBFT FBIPU FBKA FBKF FBKP FBL1 FBL1N FBL2 FBL2N FBL3 FBL3N FBL4 FBL4N FBL5 FBL5N FBL6 FBL6N FBM1 FBM2 FBM3 FBM4 FBMA FBME FBMP FBN1 FBN2 FBP1 FBR1 FBR2 FBRA FBRC FBS1 FBTA FBTP FBU2 FBU3 FBU8 FBV0 FBV1 FBV2

Financial Transactions Control Report Download Documents Reports Minus Vendor Accounts Document Changes C80 Reports Minus Sp.G/L Ind. C84 Reports Customizing BDF Maintain bank chains for partner Display Accounting Configuration FBKP/Carry Out Function (Internal) Maintain Accounting Configuration Display Vendor Line Items Vendor Line Items Change Vendor Line Items Vendor Line Items Display G/L Account Line Items G/L Account Line Items Change G/L Account Line Items G/L Account Line Items Display Customer Line Items Customer Line Items Change Customer Line Items Customer Line Items Enter Sample Document Change Sample Document Display Sample Document Display Sample Document Changes Display Dunning Procedure Banks Maintain Dunning Procedure Accounting Document Number Ranges Number Range Maintenance: FI_PYORD Enter Payment Request Post with Reference Document Post Document Reset Cleared Items Reset Cleared Items (Payment Cards) Enter Accrual/Deferral Doc. Display Text Determin.Configuration Maintain Text Determin.Configuration Change Intercompany Document Display Intercompany Document Reverse Cross-Company Code Document Post Parked Document Park Document Change Parked Document

FBV3 FBV4 FBV5 FBV6 FBVB FBW1 FBW2 FBW3 FBW4 FBW5 FBW6 FBW7 FBW8 FBW9 FBWA FBWD FBWD2 FBWE FBWQ FBWR FBWS FBZ0 FBZ1 FBZ2 FBZ3 FBZ4 FBZ5 FBZ8 FBZA FBZG FBZP FC10 FC11 FC80 FC82 FCAA FCC1 FCC2 FCC3 FCC4 FCCR FCH1 FCH2 FCH3 FCH4 FCH5 FCH6

Display Parked Document Change Parked Document (Header) Document Changes of Parked Documents Parked Document $ Post Parked Document Enter Bill of Exchange Pmnt Request Post Bill of Exch.acc.to Pmt Request Post Bill of Exchange Usage Reverse Bill Liability Customer Check/Bill of Exchange Vendor Check/Bill of Exchange Bank file to file system (for FBWD) File to Bank (for Transaction FBWD) C FI Maintain Table T045DTA C FI Maintain Table T046a Returned Bills of Exchange Payable Parameter Transaction for FBWD Bill/Exch.Presentatn - International C FI Maintain Table T045T C FI Maintain Table T045W C FI Maintain Table T046s Display/Edit Payment Proposal Post Incoming Payments Post Outgoing Payments Incoming Payments Fast Entry Payment with Printout Print Check For Payment Document Display Payment Run Display Pmnt Program Configuration Failed Customer Payments Maintain Pmnt Program Configuration Financial Statements Comparison Data Extract for FI Transfer Document C80 Document C82 Check Archiving Payment Cards: Settlement Payment Cards: Repeat Settlement Payment Cards: Delete Logs Payment Cards: Display Logs Payment Card Evaluations Display Check Information Display Payment Document Checks Void Checks Renumber Checks Create Check Information Change Check Information/Cash Check

FCH7 FCH8 FCH9 FCHA FCHB FCHD FCHE FCHF FCHG FCHI FCHK FCHN FCHR FCHT FCHU FCHV FCHX FCIWCU FCIWD00 FCIWD10 FCKR FCMM FCMN FCV1 FCV2 FCV3 FC_BW_BEX FC_BW_RSA1 FC_BW_RSZDELE FC_BW_RSZV FD-1 FD01 FD02 FD02CORE FD03 FD04 FD05 FD06 FD08 FD09 FD10 FD10N FD10NA FD11 FD15 FD16 FD24

Reprint Check Reverse Check Payment Void Issued Check Check archiving Check retrieval Delete Payment Run Check Information Delete Voided Checks Delete Manual Checks Delete cashing/extract data Check Lots Check Tracing Initial Menu Check Register Online Cashed Checks Change check/payment allocation Create Reference for Check C FI Maintain Table TVOID Check Extract - Creation BW Customizing for CS Download InfoObject text Download InfoObject hierarchies International cashed checks C FI Preparations for consolidation FI Initial Consolidation Menu Create A/R Summary Delete A/R Summary Early Warning List Business Explorer Analyser BW Administrator Workbench Delete BW Query Objects Maintain BW Variables Number range maintenance: FVVD_RANL Create Customer (Accounting) Change Customer (Accounting) Maintain customer Display Customer (Accounting) Customer Changes (Accounting) Block Customer (Accounting) Mark Customer for Deletion (Acctng) Confirm Customer Individually(Actng) Confirm Customer List (Accounting) Customer Account Balance Customer Balance Display Customer Bal. Display with Worklist Customer Account Analysis Transfer customer changes: send Transfer customer changes: receive Credit Limit Changes

FD32 FD33 FD37 FDCU FDFD FDI0 FDI1 FDI2 FDI3 FDI4 FDI5 FDI6 FDIB FDIC FDIK FDIM FDIO FDIP FDIQ FDIR FDIT FDIV FDIX FDIY FDIZ FDK43 FDOO FDTA FDTT FEBA FEBC FEBMSG FEBOAS FEBOFX FEBP FEBSTS FESR FEUB FEUI FF$3 FF$4 FF$5 FF$6 FF$7 FF$A FF$B FF$C

Change Customer Credit Management Display Customer Credit Management Credit Management Mass Change Loans customizing menu Cash Management Implementation Tool Execute Report Create Report Change Report Display Report Create Form Change Form Display Form Background Processing Maintain Currency Translation Type Maintain Key Figures Report Monitor Transport Reports Transport Forms Import Reports from Client 000 Import Forms from Client 000 Translation Tool - Drilldown Report Maintain Global Variable Reorganize Drilldown Reports Reorganize Report Data Reorganize Forms Credit Management - Master Data List Borrower's notes order overview TemSe/REGUT Data Administration Treasury Data Medium Administration Postprocess Electronic Bank Statmt Generate Multicash format Display Internet Messages Request Account Statement via OFX OFX Functions Post Electronic Bank Statement Search String Search Simulation Importing of POR File (Switzerland) Adjust VIBEPP after EURO conversion Real Estate Implementation Guide Send planning data to central system Retrieve planning data Retrieve transmission results Check settings Check all external systems Maintain TR-CM subsystems Convert Planning Group Convert planning level

FF$D FF$L FF$S FF$X FF-1 FF-2 FF-3 FF-4 FF-5 FF-6 FF-7 FF-8 FF-9 FF.1 FF.3 FF.4 FF.5 FF.6 FF.7 FF.8 FF.9 FF.D FF/1 FF/2 FF/3 FF/4 FF/5 FF/6 FF/7 FF/8 FF/9 FF63 FF65 FF67 FF68 FF6A FF6B FF70 FF71 FF72 FF73 FF74 FF7A FF7B FF:1 FFB4 FFB5

Convert business areas Display transmission information Display transmission information Configure the central TR-CM system Outstanding Checks Outstanding Bills of Exchange Cash Management Summary Records CMF Data In Accounting Documents CMF Records fr.Materials Management CMF Records from Sales Forecast Item Journal Payment Advice Journal Journal Standard G/L Account Interest Scale G/L Account Cashed Checks Vendor Cashed Checks Import Electronic Bank Statement Display Electronic Bank Statement Payment Advice Comparison Print Payment Orders Post Payment Orders Generate payt req. from advices Compare Bank Terms Compare value date Archive advices from bank statements Import electronic check deposit list Post electronic check deposit list Deposit/loan mgmt analysis/posting Deposit/loan management int accruals Import Bank Statement into Cash Mgmt Compare Advices with Bank Statement Create Planning Memo Record List of Cash Management Memo Records Manual Bank Statement Manual Check Deposit Transaction Edit Cash Mgmt Pos Payment Advices Edit liquidity forecast planned item Cash Mgmt Posit./Liquidity Forecast Cash Position Liquidity forecast Cash Concentration Use Program to Access Cash Concntn Cash Position Liquidity forecast Maintain exchange rates Import electronic check deposit list Post electronic check deposit list

FFTL FFW1 FFWR FFWR_REQUEST FF_1 FF_3 FF_4 FF_5 FF_6 FG99 FGI0 FGI1 FGI2 FGI3 FGI4 FGI5 FGI6 FGIB FGIC FGIK FGIM FGIO FGIP FGIQ FGIR FGIT FGIV FGIX FGIY FGIZ FGM0 FGRP FGRW FI01 FI02 FI03 FI04 FI06 FI07 FI12 FI12CORE FI13 FIBB FIBC FIBD FIBF FIBHS

Telephone list Wire Authorization Post Payment Requests from Advice Create Payment Requests from Advice Standard G/L Account Interest Scale G/L Account Cashed Checks Vendor Cashed Checks Import Electronic Bank Statement Display Electronic Bank Statement Flexible G/L: Report Selection Execute Report Create Report Change Report Display Report Create Form Change Form Display Form Background Processing Maintain Currency Translation Type Maintain Key Figures Report Monitor Transport Reports Transport Forms Import Reports from Client 000 Import Forms from Client 000 Translation Tool - Drilldown Report. Maintain Global Variable Reorganize Drilldown Reports Reorganize Report Data Reorganize Forms Special Purpose Ledger Menu Report Painter Report Writer Menu Create Bank Change Bank Display Bank Display Bank Changes Mark Bank for Deletion Change Current Number Range Number Change House Banks/Bank Accounts Change House Banks/Bank Accounts Display House Banks/Bank Accounts Bank chain determination Scenarios for Bank Chain Determin. Allocation client Maintenance transaction BTE Display bank chains for house banks

FIBHU FIBL1 FIBL2 FIBL3 FIBPS FIBPU FIBTS FIBTU FIHC FILAUF_WF_CUS FILE FILINV_WF_CUS FINA FINF FINP FITP_RESPO FITP_SETTINGS FITP_SETTINGS_ FJA1 FJA2 FJA3 FJA4 FJA5 FJA6 FJEE FK01 FK02 FK02CORE FK03 FK04 FK05 FK06 FK08 FK09 FK10 FK10N FK10NA FK15 FK16 FKI0 FKI1 FKI2 FKI3 FKI4 FKI5 FKI6 FKIB

Maintain bank chains for house banks Control Origin Indicator Assign Origin Group of House Bank Accounts Display bank chians for partners Maintain bank chains for partner Dis. bank chains for acct carry over Main. bank chains for acctCarry over Create Inhouse Cash Center Store Order: Workflow Customizing Cross-Client File Names/Paths Store Inventory:Workflow Customizing Branch to Financial Accounting Info System Events Info System Processes Contact Partner Responsibilities Settings for Travel Planning Tree Maintenance Current Settings Inflation Adjustment of G/L Accounts Reset Transaction Data G/L Acc.Infl. Balance Sheet/P&L with Inflation Infl. Adjustment of Open Items (FC) Infl. Adj. of Open Receivables (LC) Infl. Adj. of Open Payables (LC) Exercise Subscription Right Create Vendor (Accounting) Change Vendor (Accounting) Maintain vendor Display Vendor (Accounting) Vendor Changes (Accounting) Block Vendor (Accounting) Mark Vendor for Deletion (Acctng) Confirm Vendor Individually (Acctng) Confirm Vendor List (Accounting) Vendor Account Balance Vendor Balance Display Vendor Balance Display Transfer vendor changes: receive Transfer vendor changes: receive Execute Report Create Report Change Report Display Report Create Form Change Form Display Form Background Processing

FKIC FKIK FKIM FKIO FKIP FKIQ FKIR FKIT FKIV FKIX FKIY FKIZ FKMT FLB1 FLB2 FLBP FLCV FM+0 FM+1 FM+2 FM+3 FM+4 FM+5 FM+6 FM+7 FM+8 FM+9 FM+A FM+B FM03 FM21 FM22 FM25 FM26 FM27 FM28 FM29 FM2D FM2E FM2F FM2G FM2H FM2I FM2S FM2T FM2U FM2V

Maintain Currency Translation Type Maintain Key Figures Report Monitor Transport Reports Transport Forms Import Reports from Client 000 Import Forms from Client 000 Translation Tool - Drilldown Report. Maintain Global Variable Reorganize Drilldown Reports Reorganize Report Data Reorganize Forms FI Acct Assignment Model Management Postprocessing Lockbox Data Import Lockbox File Post Lockbox Data Create/Edit Document Template WF Display FM Main Role Definition Maintain FM Main Role Definition Display FM Amount Groups Maintain FM Amount Groups Display FM Budget Line Groups Maintain FM Budget Line Groups Display FM Document Classes Maintain FM Document Classes Display FM Activity Categories Maintain FM Activity Categories Display Doc.Class->Doc.Cat. Assgmt Maintain Doc.Clase->Doc.Cat.Assgmt Display FM Document Change Original Budget Display Original Budget Change Supplement Display Supplement Change Return Transfer Budget Display Return Display Funds Center Hierarchy Change Budget Document Display Budget Document Funds Center Hierarchy Maintain Funds Center Hierarchy Create Funds Center Display Funds Center Change Releases Change Funds Center Display Releases

FM3D FM3G FM3H FM3I FM3N FM3S FM3U FM48 FM48_1 FM48_2 FM48_3 FM49 FM4G FM5I FM5S FM5U FM5_DEL FM5_DISP FM5_SEL FM6I FM6S FM6U FM71 FM72 FM78 FM79 FM7A FM7I FM7P FM7S FM7U FM9B FM9C FM9D FM9E FM9F FM9G FM9H FM9I FM9J FM9K FM9L FM9M FM9N FM9P FM9Q FM9W

Display Commitment Item Hierarchy Commitment Item Hierarchy Maintain Commitment Item Hierarchy Create Commitment Item Commitment Items for G/L Accounts Display Commitment Item Change Commitment Item Change Financial Budget: Initial Scn PS-CM: Create Planning Layout PS-CM: Change Planning Layout PS-CM: Display Planning Layout Display Financial Budget: Init.Scrn Budget Structure Element Hierarchy Create Fund Display Fund Change Fund Delete fund preselection Display fund preselection Preselection Fund Create Application of Funds Display Application of Funds Change Application of Funds Maintain Cover Pools Assign FM Acct Asst to Cover Pool Charact.Groups for Cover Pools Grouping Chars for Cover Pool Display Cover Eligibility Rules Create Attributes for FM Acct Asst Maintain Cover Eligibility Rules Display Cover Eligibility Rules Maintain Cover Eligibility Rules Copy Budget Version Plan Data Transfer from CO Lock Budget Version Unlock Budget Version Delete Budget Version Roll Up Supplement Roll up Original Budget Roll Up Return Roll Up Releases Change Budget Structure Display Budget Structure Delete Budget Structure Generate Budget Object Reconstruct Budget Distrbtd Values Total Up Budget Adjust Funds Management Budget

FMA1 FMA2 FMA3 FMA4 FMAA FMAB FMAC FMAD FMAE FMAF FMB0 FMB1 FMBI FMBUD005 FMBUD006 FMBV FMC2 FMCB FMCC FMCD FMCG FMCN FMCR FMCT FMD1 FMD2 FMDM FMDS FMDT FME1 FME2 FME3 FME4 FME5 FME6 FME7 FME8 FME9 FMEB FMEH FMEK FMEL FMEM FMEN FMEO FMEP FMEQ

Matching: Totals and Balances (CBM) Matching: CBM Line Items and Totals Matching: FI Line Items (CBM) Matching: FI Bank Line Items (CBM) Matching: Line Items and Totals (FM) Matching: FI FM Line Items Leveling: FM Commitment Line Items Leveling: FI-FM Totals Records Display Change Documents Level Line Items and Totals Items CO Document Transfer Display Security Prices-Collect. Use Revenues to Increase Expend.Bdgt FIFM Budget Data Export FIFM Budget Data Import Activate Availability Control Customizing in Day-to-Day Business Reassignment: Document Selection Reassignment: FM-CO Assignment Reassignment: Delete Work List Reassignment: Overall Assignment Reassignment: Supplement.Acct Assgt Reassignment: Display Work List Reassignment: Transfer Change Carryforward Rules Display Carryforward Rules Monitor Closing Operations Copy Carryforward Rules Display Carryforward Rules Import Forms from Client 000 Import Reports from Client 000 Transport Forms Transport Reports Reorganize Forms Reorganize Drilldown Reports Reorganize Report Data Maintain Batch Variants Translation Tool - Drilldown Structure Report Backgrnd Processing SAP-EIS: Hierarchy Maintenance FMCA: Create Drilldown Report FMCA: Change Drilldown Report FMCA: Display Drilldown Report FMCA: Create Form FMCA: Change Form FMCA: Display Form FMCA: Run Drilldown Report

FMER FMEURO1 FMEURO2 FMEURO3 FMEURO4 FMEV FMF0 FMF1 FMG1 FMG2 FMG3 FMG4 FMG5 FMHC FMHG FMHGG FMHH FMHIST FMHV FMIA FMIB FMIC FMIL FMIP FMIS FMIU FMJ1 FMJ1_TR FMJ2 FMJ2_TR FMJ3 FMJA FMJA_TR FMJB FMJB_TR FMJC FMJC_TR FMJD FMLD FMLF FMN0 FMN1 FMN2 FMN3 FMN4 FMN5 FMN8

FMCA: Drilldown Tool Test Monitor Create Euro FM Area Refresh Euro Master Data Display Euro FM Areas Deactivate Euro FM Areas Maintain Global Variable Payment Selection Revenue Transfer FM: Create Commitment Item Group FM: Change Commitment Item Group FM: Display Commitment Item Group FM: Delete Commitment Item Group Generate BS Objects fr.Cmmt Item Grp Check Bdgt Structure Elements in HR Generate Bdgt Struc Elements in HR Generate BS Elements f. Several Fnds Master Data Check Apportion Document in FM Budget Memo Texts Display Rules for Revs.Incr.Budget Increase Budget by Revenues Generate Additional Budget Incr.Data Delete Rules for Revs Incr. Budget Maintain Rules for Revs.Incr.Budget Display Rules for Revs.Incr.Budget Maintain Rules for Revs.Incr.Budget Fiscal Year Close: Select Commitment Settlement: Select Commitment Fiscal Year Close: Carr.Fwd Commts Settlement: Transfer Commitment Reverse Commitments Carryforward Budget Fiscal Year Close: Prepare Budget Settlement: Prepare Determine Budget Year-End Closing Budget Settlement: Determine Budget Fiscal-Year Close: Carry Fwd Budget Settlement: Transfer Reverse Fiscal Year Close: Budget Ledger Deletion Classify Movement Types Subsequent Posting of FI Documents Subsequent Posting of MM Documents Subsequent Posting of Billing Docs Transfer Purchase Req. Documents Transfer Purchase Order Documents Transfer Funds Reservation Documents Simulation Lists Debit Position

FMN9 FMNA FMNP FMNR FMNS FMNU FMP0 FMP1 FMP2 FMR0 FMR1 FMR2 FMR3 FMR4 FMR5A FMR6A FMRA FMRB FMRE_ARCH FMRE_EWU01 FMRE_EWU02 FMRE_SERLK FMRP18 FMSS FMSU FMU0 FMU1 FMU2 FMU3 FMU4 FMU5 FMU6 FMU7 FMU8 FMU9 FMUA FMUB FMUC FMUD FMUE FMUF FMUG FMUH FMUI FMUJ FMUK FMUL

Posted Debit Position List Display CBA Rules Maintain CBA Rules Assign SN-BUSTL to CBA Display CBA Rules Maintain CBA Rules Maintain Financial Budget Display Financial Budget Delete Financial Budget Version Reconstruct Parked Documents Actual/Commitment Report Actual/Commitment per Company Code Plan/Actual/Commitment Report Plan/Commitment Report w.Hierarchy 12 Period Forecast: Actual and Plan Three Period Display: Plan/Actual Access Report Tree Access Report Tree Archive Earmarked Funds Earmarked Funds: Euro Preprocessing Earmarked Funds: Euro Postprocessing Close Earmarked Funds Clear Subsequent Postings Display Status Assignment Change Assigned Status Display Funds Reservation Doc.Types Maintain Funds Reservation Doc.Types Display Funds Reservtn Fld Variants Maintain Funds Resvtn Field Variants Display Funds Reservation Fld Groups Maintain Funds Reservatn Fld Groups Display Funds Reservtn Field Selctn Maintain Funds Resvtn Field Selctn Display Template Type for Fds Resvtn Maintain Template Type for Fds Resvn Dispay Fds Res.Template Type Fields Maintain Fds Res.Template Type Flds Display Funds Res. Reference Type Maintain Funds Res.Reference Type Display Funds Res.Ref.Type Fields Maintaine Fds Rsvtn Ref.Type Fields Display Reasons for Decision Maintain Reasons for Decisions Display Groups for Workflow Fields Maintain Groups for Workflow Fields Display Fields in Groups for WF Maintain Fields in Groups for WF

FMUM FMUN FMUV FMV1 FMV2 FMV3 FMV4 FMV5 FMV6 FMVI FMVO FMVS FMVT FMVU FMW1 FMW2 FMW3 FMW4 FMW5 FMWA FMWAZ FMWB FMWC FMWD FMWE FMX1 FMX2 FMX3 FMX4 FMX5 FMX6 FMY1 FMY2 FMY3 FMY4 FMY5 FMY6 FMZ1 FMZ2 FMZ3 FMZ4 FMZ5 FMZ6 FMZBVT FMZZ FM_DL07 FM_DLFI

Display Field Selctn ->Variant/Group Display Field Seln->Variant/Group Funds Resvtn Field Status Var.Asst Create Forecast of Revenue Change Forecast of Revenue Display Forecast of Revenue Approve Forecast of Revenue Change FM Acct Asst in Fcst of Rev. Reduce Forecast of Revenue Manually Create Summarization Item Fund Balance Carryforward Display Summarization Item Carry Forward Fund Balance Change Summarization Item Create Funds Blocking Change Funds Blocking Display Funds Blocking Approve Funds Blocking Change FM Acct Asst in Funds Blkg Create Funds Transfer Payment Transfer Change Funds Transfer Display Funds Transfer Approve Funds Transfer Change FM Acct Asst in Funds Trsfr Create Funds Reservation Change Funds Reservation Display Funds Reservation Approve Funds Reservation Change FM Acct Asst in Funds Resvn Funds Reservation: Manual Reduction Create Funds Commitment Change Funds Commitment Display Funds Precommitment Approve Funds Precommitment Change FM Acct Asst in Funds Prcmmt Reduce Funds Precommitment Manually Create Funds Commitment Change Funds Commitment Display Funds Commitment Approve Funds Commitment Change FM Acct Asst in Funds Commt Reduce Funds Commitment Manually Carry Forward Balance Revalue Funds Commitments Delete Worklist Deletes FI Documnts Transferred from

FM_DLFM FM_DLOI FM_EURO_M FM_RC06 FM_RC07 FM_RC08 FM_RC11 FM_S123 FM_S201 FM_SD07 FN-1 FN-4 FN-5 FN-6 FN09 FN11 FN12 FN13 FN15 FN16 FN17 FN18 FN19 FN1A FN1V FN20 FN21 FN22 FN23 FN24 FN2A FN2V FN30 FN31 FN32 FN33 FN34 FN35 FN37 FN3A FN3V FN40 FN41 FN42 FN43 FN44 FN45

Deletes all FM Data (fast) Deletes Cmmts Transferred from FM Parameter maintenance for euro conv. Reconcile FI Paymts-> FM Totals Itms Reconcile FI Paymts-> FM Line Items Reconcile FM Paymts -> FM Line Items Select Old Payments GR/IR: Post OIs to FM Again Post Payments on Account to FIFM Display Worklist No.range: FVVD_RANL (Loan number) Number range maintenance: FVVD_PNNR Number range maintenance: FVVD_SNBNR Number range maintenance: FVVD_RPNR Create Borrower's Note Order Change borrower's note order Display borrower's note order Delete borrower's note order Create borrower's note contract Change borrower's note contract Display borrower's note contract Payoff borrower's note contract Reverse borrower's note contract Create other loan contract Create other loan contract Create borrower's note offer Change borrower's note offer Display borrower's note offer Delete borrower's note offer Activate borrower's note offer Change other loan application Change other loan contract Create policy interested party Change policy interested party Display policy interested party Delete policy interested party Policy interested party in applic. Policy interested party in contract Loan Reversal Chain Display other loan application Display other loan contract Create other loan interested party Change other loan interested party Display other loan interested party Delete other loan interested party Other loan interest.party in applic. Other loan interested prty in cntrct

FN4A FN4V FN5A FN5V FN61 FN62 FN63 FN70 FN72 FN80 FN81 FN82 FN83 FN84 FN85 FN86 FN87 FN88 FN8A FN8B FN8C FN8D FNA0 FNA1 FNA2 FNA3 FNA4 FNA5 FNA6 FNA7 FNA8 FNA9 FNAA FNAB FNAC FNAD FNAE FNAG FNAH FNAI FNAK FNAL FNAM FNASL FNB1 FNB2 FNB3

Delete other loan application Delete other loan contract Other loan application in contract Payoff other loan contract Create collateral value Change collateral value Display collateral value List 25 List 54 Enter manual debit position Change manual debit position Display manual debit position Create waiver Change waiver Display waiver Enter debit position depreciation Change debit position depreciation Display debit position depreciation Manual Entry: Unsched. Repayment Manual Entry: Other Bus. Operations Manual Entry: Charges Post Planned Records Policy application in contract Create mortgage application Change mortgage application Display mortgage application Complete mortgage application Mortgage application in contract Create policy application Change policy application Display policy application Delete policy application Reactivate deleted mortgage applic. Reactivate deleted mortg. int.party Reactivate deleted mortgage contract Reactivate deleted policy applicat. Reactivate deleted policy contract Reactivate deleted other loan applic Reactivate del. other loan int.party Reactivate deleted other loan cntrct Select file character Reactivate deleted BNL contract Reactivate deleted policy contract Loans: Account Analysis Transfer to a Loan Transfer from a Loan Document Reversal - Loans

FNB8 FNB9 FNBD FNBG FNBU FNCD FNCW1 FNCW2 FNDD FNEN FNENALG FNENHYP FNENPOL FNENSSD FNF1 FNF2 FNF3 FNF4 FNF9 FNFO FNFP FNFQ FNFR FNFT FNFU FNG2 FNG3 FNI1 FNI2 FNI3 FNI4 FNI5 FNI6 FNIA FNIB FNIC FNID FNIE FNIH FNIJ FNIK FNIL FNIN FNIO FNIP FNK0 FNK1

BAV Information BAV transfer Loans-Automatic bal.sheet transfer Guarantee charges list DARWIN- Loans accounting menu Transfer Customizing for Dunning Maintain Standard Role Transaction Release: Adjust Workflow Convert Dunning Data in Dunn.History Create Loan Create General Loan Create Mortgage Loan Create Policy Loan Create Borrower's Note Loan Rollover: Create file Rollover: Change file Rollover: Display file Rollover: Fill file Rollover: Evaluations ISIS: Create file ISIS: Change file ISIS: Display file ISIS: Fill file Rollover: File evaluation Rollover: Update file Total Loan Commitment Total Commitment Create mortgage application Change mortgage application Display mortgage application Delete mortgage application Mortgage application to offer Mortgage application in contract Create interested party Change interested party Display interested party Delete interested party Reactivate interested party Decision-making Create credit standing Change credit standing Display credit standing Create collateral value Change collateral value Display collateral value Multimillion Loan Display (GBA14) Loans to Managers (GBA15)

FNKO FNL1 FNL2 FNL3 FNL4 FNL5 FNL6 FNM1 FNM1S FNM2 FNM3 FNM4 FNM5 FNM6 FNM7 FNMA FNMD FNME FNMEC FNMH FNMI FNMO FNMP FNMS FNN4 FNN5 FNN6 FNN7 FNN8 FNN9 FNO1 FNO2 FNO3 FNO5 FNO6 FNO7 FNO8 FNO9 FNP0 FNP4 FNP5 FNP6 FNP7 FNP8 FNP9 FNQ2 FNQ3

Cond.types - Cond.groups allocation Rollover: Create Main File Rollover: Change Main File Rollover: Displ. Main File Structure New business New business New business Automatic Posting Automatic Posting - Single Balance sheet transfer Loans reversal module Undisclosed assignment Automatic debit position simulation Post dunning charges/int.on arrears Loan reversal chain Partner data: Settings menu Submenu General Loans Loans management menu Loans Management Menu Loans management menu Loans information system Loans Menu Policy Loans Rollover Loans Menu Borrower's Notes Display general file Edit general file Display general main file Edit general main file Display general main file Edit general overall file Create Object Change Object Display Object Create collateral Change collateral Display collateral Create Objects from File Create Collateral from File Edit rollover manually Rollover: Display file Rollover: Edit File Rollover: Display main file Rollover: Edit main file Rollover: Display overall file Rollover: Edit overall file New Business Statistics Postprocessing IP rejection

FNQ4 FNQ5 FNQ6 FNQ7 FNQ8 FNQ9 FNQF FNQG FNR0 FNR6 FNR7 FNR8 FNR9 FNRA FNRB FNRC FNRD FNRE FNRI FNRS FNS1 FNS4 FNS6 FNS7 FNSA FNSB FNSL FNT0 FNT1 FNT2 FNUB FNV0 FNV1 FNV2 FNV3 FNV4 FNV5 FNV6 FNV7 FNV8 FNV9 FNVA FNVCOMPRESSI FNVD FNVI FNVM FNVR

Customer Inc. Payment Postprocessing Transact.type - Acct determinat.adj. Compare Flow Type/Account Determin. Generate flow type Automatic Clearing for Overpayments Int. adjustment run Swiss interest adjustment run Swiss special interest run Loans: Posting Journal Insur.prtfolio trends - NEW Totals and Balance List Account statement Planning list Other accruals/deferrals Memo record update Accruals/deferrals reset Display incoming payments Reverse incoming payments Portfolio Analysis Discount/Premium Reversal Accrual/Deferral Collateral number range Cust. list parameters for loan order Installation parameter lists Loan Portfolio Trend Customizing Foreign currency valuation Master data summary Balance reconciliation list Loan correspondence (Switzerland) Autom. deadline monitoring Copy text modules to client Treasury transfer Payoff policy contract Create mortgage contract Change mortgage contract Display mortgage contract Delete mortgage contract Payoff mortgage contract Create policy contract Change policy contract Display policy contract Delete policy contract Create paid off contracts Loans: Document Data Summarization Disburse Contract Loans: General Overview Change Contract Reactivate Contract

FNVS FNVW FNWF FNWF_REP FNWO FNWS FNX1 FNX2 FNX3 FNX6 FNX7 FNX8 FNXD FNXG FNXU FNY1 FNY2 FNY3 FNY6 FNY7 FNY8 FNZ0 FNZ1 FNZA FN_1 FN_2 FN_UPD_FELDAU

Display Contract Waive Contract WF Loans Release: List of Work Items Release Workflow: Synchronization Loans: Fast Processing Housing statistics Rollover: Create Table Rollover: Change Table Rollover: Display Table Rollover: Delete Table Rollover: Deactivate Table Rollover: Print Table TR-EDT: Documentation List of Bus. Partners Transferred List of Imported Loans New Business: Create Table New Business: Change Table New Business: Display Table New Business: Delete Table New Business: Deactivate Table New Business: Print Table Rejections report Postprocessing payment transactions Account Determination Customizing Table maint. transferred loans Table maintenance transf. partner Update Program for Field Selection

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