Programme | Description |
---|---|
RTLABELB | Print shelf-edge labels from assortment list |
RTLABELC | Label determination for material maintenance |
RTLABELE | Delete messages from material maintenance |
RTLABELO | Process labeling messages |
RTMRREOT | Deletion of Data in Table TRIX_DATA (Unchecked) |
RTM_COLLECT_ALL | Collect RTM Data |
RTM_INFO | Exceptions While Parsing Dynamic SQL |
RTPM_ACCDEF_BUSTRANS_CREATE | Generate Bus. Transaction Distr. for Accr./Def. MM, OTC Derivatives |
RTPM_ACCDEF_EXTBUSTRANSID_SET | Change External BUSTRANSID for Accrual/Deferral Business Transactions |
RTPM_ACCDEF_REPAIR1 | Repair Program: Reversal Accrual/Deferral Bus. Transactions (MM, DE) |
RTPM_ACCRUAL_DEFERRAL | Treasury Products: Accrual/Deferral of Income |
RTPM_ACCRUAL_DEFERRAL_LOCK | TR: Manage Accrual/Deferral Lock |
RTPM_ACCRUAL_DEFERRAL_MAINTAIN | Treasury Products: Reversal of Accrual/Deferral of Income |
RTPM_ACCRUAL_DEFERRAL_RESET | Treasury Products: Generation of Reset Business Transactions |
RTPM_ACCRUAL_DEFERRAL_REVERSE | Treasury Products: Reverse Accrual/Deferral of Income |
RTPM_ACC_ASS_REF_CHECK | |
RTPM_AD_CUSTOMIZING_MIGRATE | Migration of Customizing Accrual/Deferral for Sec. Enterprise 1.0->2.0 |
RTPM_CASHFLOW_DISPLAY | Display Cash Flow for Object |
RTPM_CASH_MGT_TRANSFER | Report for Cash Management Transfer |
RTPM_CHECK_AMOUNTS | Consistency Check for Distributor Flow Amounts |
RTPM_CHECK_OTC_FLOWS | Report RTPM_CHECK_OTC_FLOWS |
RTPM_CHECK_QUANTITY_CONSISTENT | Consistency Check Securities Management and Operative Valuation Area |
RTPM_CHECK_QUANTITY_FUTURES | Consistency Check: Margin Management and Operative Valuation Area |
RTPM_CHECK_TRF_SUBTOTALS | Check Report for TRF Transaction Figures |
RTPM_CHECK_VALUES_CONSISTENCY | Check Program for Position Consistency |
RTPM_CLASS_POSITION_MAINTAIN | Process Class Position in Futures Account |
RTPM_CM_FDC1_CLEAR | Report for Deleting CM Table FDC1 |
RTPM_CM_UPDATE | Report for Filling CM Table FDC1 with New Entries |
RTPM_CM_UPDATE_CHECK | Check Report for TRC |
RTPM_CM_UPDATE_FROM_SLD | Fill TRC Tables from SLD |
RTPM_CORRECT_INACTIVE_LOTS | Correction Program for Deactivated Lots that Should Be Active |
RTPM_CORRECT_OTC_TRANSACTIONS | Corrects data inconsistencies for conversion to Enterprise 2.0 |
RTPM_CORRECT_RPNNR_IN_VWBEVI | Adjust Daybook No. of Type '%A' in VWBEKI |
RTPM_CUST_MIGRATION | Test Program |
RTPM_DISPLAY_LOTFLOWS | Cash Flow Display |
RTPM_DTIL_OCI_POSTINGS | Overview: Equity Capital Balances for Hedging Instruments |
RTPM_FILL_CUSTOMIZING | Program to fill TRCC_UPDATE_TYP |
RTPM_FIX_DEAL_SE | Repair Program: Fix TRD Business Transaction for Securities Trans. |
RTPM_FUT_MIGR_CHECK_POS | Correction Report for Futures Migration |
RTPM_GET_NPVS_FOR_VTVBAR | Save NPVs from the Market Risk Analyzer |
RTPM_INITIALIZE_OTC_OPT_CFM | Report RTPM_INITIALIZE_OTC_OPT_CFM |
RTPM_MIGRATION_CHECK_COND | Program RTPM_MIGRATION_CHECK_COND |
RTPM_MIGR_INTEREST_SPAIN_ERP20 | Recalculate Derived Business Transactions for Planned Interest Rates |
RTPM_MIGR_VTBFHAPO_DELETE | Report RTPM_MIGR_VTBFHAPO_DELETE |
RTPM_MIG_DISPLAY_UNKNOWN_FLOWS | Non-Converted Flows for Migration to CFM 1.0 |
RTPM_MIG_PMP | Set Up Assignment Table: TRGT_MIGR_PMP |
RTPM_MIG_PMP_INDEX | Change to PosManProcedure in TRGT_MIGR_PMP for Index Bonds |
RTPM_MIG_POSITIONS_COMPARE | Check Report for Security Positions |
RTPM_MIG_REPAIR_DBESTAND_KAPMA | Report RTPM_MIG_REPAIR_DBESTAND_KAPMA |
RTPM_MIG_SET_COM_VALCLS | Report RTPM_MIG_SET_COM_VALCLS |
RTPM_NOMINAL_CORR | Nominal Adjustment |
RTPM_PAYMENT_BLOCK_RELEASE | Program RTPM_PAYMENT_BLOCK_RELEASE |
RTPM_PAY_ASSIGN | Proposal Gereration for the Payment Relevance of Update Types |
RTPM_PIN_CHANGE | Change Position Indicator |
RTPM_PIN_CREATE | Create Position Indicator |
RTPM_PIN_DELETE | Delete Position Indicator |
RTPM_PIN_DISPLAY | Display Position Indicator |
RTPM_PIN_STOCKEX | Maintain Stock Exchange per Company Code and ID Number |
RTPM_PL_ASSIGN | Generate Profit/Loss Indicator for the Update Types (Optional) |
RTPM_POSITION_ACCOUNT_MAINTAIN | Process Class Position in Futures Account |
RTPM_POS_ACCOUNT_GENERATE_PACK | Conversion of Futures Accounts |
RTPM_REPAIR_RIGHTS01 | Report RTPM_REPAIR_RIGHTS01 |
RTPM_REVERSE_VAL_CLASS_TRANS | Reversal: Valuation Class Transfer |
RTPM_SLD_ASYNC_POST | Fix, Post or Reverse Transactions |
RTPM_SLD_REPAIR1 | SLD Repair Program: Delete DB |
RTPM_SLD_REPAIR2 | SDL Repair Program: Match SLD, TRL, TRAC |
RTPM_SLD_REPAIR3 | SLD Repair Program: Double Entry Analysis |
RTPM_TRAC_CALLBACK_ADTL | Callback of Derivation Tools for Determination of Acct Assignment Ref. |
RTPM_TRAC_CHECK | Utility Program: Reconcile TRL - TRAC - FI / SL |
RTPM_TRAC_CLEAN_DOCUMENTS | Utility Program: Delete Documents |
RTPM_TRAC_CLEAN_POSCONTEXT | Utility Program: Delete Position Contexts |
RTPM_TRAC_DFTACCREP | Display Debit und Credit Accounts for an Update Rule |
RTPM_TRAC_DUPLICATE_AWKEY | Report RTPM_TRAC_DUPLICATE_AWKEY |
RTPM_TRAC_LIST_AA_REF | Process Account Assignment Reference Allocations |
RTPM_TRAC_MANIPULATE | Utility Program: Manipulation of Data in the Posting Interface |
RTPM_TRAC_MIGRATE_REVDATA | Conversion of Reversal Dates (Date, Period, Year) and Document Date |
RTPM_TRAC_POSTING_JOURNAL | Posting Journal |
RTPM_TRAC_POST_MANUAL | Utility Program: Manual Posting of Individual Business Transactions |
RTPM_TRAC_QUEUE | Post Reversal/Recalculation |
RTPM_TRAC_REVERSE_MANUAL | Utility Program: Manual Reversal of Individual Documents |
RTPM_TRANS_PROD_TYPES_EXCL | |
RTPM_TRAT_TRANSFER | Execute Account Assignment Reference Transfer |
RTPM_TRAT_TRANSFER_REVERSAL | Reverse Account Assignment Reference Transfer |
RTPM_TRDT_DATA_EXEC | Execute Data Transfer |
RTPM_TRDT_DATA_REV | Reverse Data Transfer |
RTPM_TRDT_POS_EXEC | Transfer Data for Positions |
RTPM_TRDT_POS_REV | Reverse Data Transfer for Positions |
RTPM_TRD_BUSTRANSID_TRACKER | Report RTPM_TRD_BUSTRANSID_TRACKER |
RTPM_TRD_CONVERT_FLOW_TYPES | Treasury Position Management: Generation of Update Types |
RTPM_TRD_CREATE_TRL_FLOW_TYPES | TR Position Management: Generation of Update Types for TRL Flows |
RTPM_TRD_REPAIR1 | TRD Repair Program: Delete Business Transactions/Flows |
RTPM_TRD_REPAIR2 | TRD Repair Program: Delete Business Transactions/Flows |
RTPM_TRD_REPAIR3 | Report RTPM_TRD_REPAIR3 |
RTPM_TRF_CASHFLOW_DISPLAY | Display cash flow |
RTPM_TRF_CHECK_DATA | TRF: Check Data Consistency |
RTPM_TRF_MANUAL_POSTING | Display Cash Flow |
RTPM_TRF_POSITIONS_DISPLAY | Display Class Positions in Futures Account |
RTPM_TRF_POST_MARGIN | Debit Position for Margin Flows |
RTPM_TRF_RECALCULATE_MARGIN | Update of margin flows |
RTPM_TRF_REVERSE_MARGIN | Reversal of margins |