Programme | Description |
---|---|
FAGL_CLOCO_DISPLAY_EXT | Display Closing Cockpit Extract |
FAGL_CLOCO_DISPLAY_JOBLOG | Program Z_OPEN_OFFICE_DOC_REP |
FAGL_CLOCO_DISPLAY_SPOOL | Program Z_OPEN_OFFICE_DOC_REP |
FAGL_CL_REGROUP | Balance Sheet Supplement - OI - Analysis |
FAGL_COFI_APPLLOG_DISP | Online Update CO->FI: Display Application Log |
FAGL_COFI_COBK_AWORG_SET | Report FAGL_COFI_COBK_AWORG_SET |
FAGL_COFI_COBK_AWTYP_SET | Correct CO Documents with AWTYP = SPACE |
FAGL_COFI_FOLLOWUP_POSTING | Transfer CO Documents from Worklist into External Accounting |
FAGL_COFI_GENERATOR | Perform Generations for Online Reconciliation Between CO and FI |
FAGL_COFI_GL_FIELD_SERV | |
FAGL_COFI_GL_FIELD_SERV_000 | |
FAGL_COFI_GL_FIELD_SERV_001 | |
FAGL_COFI_GL_FIELD_SERV_066 | |
FAGL_COFI_GL_FIELD_SERV_100 | |
FAGL_COFI_IMG | Customizing for Online Update CO->FI |
FAGL_COFI_RECON | Comparison of New General Ledger Accounting with CO |
FAGL_COFI_TRACE_ADMIN | Trace Management for Online Update CO->FI |
FAGL_COFI_TRACE_DEL | Deletion of Log Data for Online Update CO->FI |
FAGL_COFI_TRACE_ON_OFF | Activate/Deactivate Trace for Online Update CO->FI |
FAGL_COFI_TRANSFER_CODOCS | Transfer CO Documents into External Accounting |
FAGL_COMP_SUM_RUNID | Compare Documents from Totals Document Transfer |
FAGL_COPY_LEADING_LEDGER | Copy Leading Ledger (with Transaction Data) |
FAGL_COPY_OLD_DETERMINATION | Store Old Account Determination for FI-AA During Migration |
FAGL_CORR_0001 | Correction Program F*FLEXA Tables (Fill Fields BUDAT and BSTAT) |
FAGL_CORR_0002 | Correction Program T800M BUDAT and BSTAT Entries |
FAGL_DELETE_DOCUMENT | Delete Document from New General Ledger |
FAGL_DELETE_OLD_DETERMINATION | Delete Old Account Determination for FI-AA After Migration |
FAGL_DELETE_RELOAD_LEDGERS | Delete and Post Subsequently to New General Ledger Accounting |
FAGL_DELETE_WRONG_LEDGER | Delete Inconsistent Ledgers |
FAGL_DR_PROVISION | Provisions for Doubtful Receivables |
FAGL_FCV | Foreign Currency Valuation |
FAGL_FC_TRANSLATION | Currency Translation |
FAGL_FC_VALUATION | Foreign Currency Valuation |
FAGL_FILL_COST_ELEM | New Gen. Ledger Accounting: Correction Program for the COST_ELEM Field |
FAGL_FSV_CONVERT | Conversion of Financial Statement Versions from Tab. RFDT to FAGL_011* |
FAGL_FSV_ENTRIES_CHECK | Counts Entries for Financial Statement Structures in Tables FAGL_011* |
FAGL_FSV_ENTRIES_COUNT | Counts Entries for Financial Statement Structures in Table RFDT |
FAGL_ITEM_SHOW_DETAIL_RGRE | General Ledger Line Item Details for Report-Report Interface |
FAGL_MIGRATION_3KEH_FAGL3KEH | Migration of Entries from T8A30 into FAGLT8A30 |
FAGL_MIG_ACTIVATE | Activate a Migration Plan |
FAGL_MIG_AFA_POST | Transfer All Deprec. Docs After Migration with New Acct Determination |
FAGL_MIG_CHECK_WORKLIST_OP | Check Worklist for Migrating Open Items |
FAGL_MIG_DS_DATA_COPY | Create Backup Copy (Totals Records) for Ledgers to Be Migrated |
FAGL_MIG_DS_DATA_DELETE | Delete Trans. Data in General Ledger in Accordance with Migration Plan |
FAGL_MIG_DS_DELETE_BACKUP | Delete Backup Copy |
FAGL_MIG_DS_RESTORE | Reset Subsequent Implementation of Document Splitting |
FAGL_MIG_FICHAN | Supplement FI Documents: Create Worklist |
FAGL_MIG_FICHAT | Supplement FI Documents: Implement Worklist |
FAGL_MIG_FINISH | Complete Migration |
FAGL_MIG_GCAC | Comparison with Backup Copy in a Different Client |
FAGL_MIG_OPITEMS_CRESPLIT | Generate Document Splitting Information for Open Items |
FAGL_MIG_OPITEMS_CRESUM | Migration Program for Generating Balance Carryforward for Open Items |
FAGL_MIG_OPITEMS_FILL | Create Worklist for Open Items |
FAGL_MIG_REPORT_ADJUSTMENTS | Log of Alternative Document Splitting |
FAGL_MIG_REPORT_SPLITRESULT | Display Results of Document Splitting for Migration Documents |
FAGL_MIG_REPORT_STATUS | Analysis: Migration Status |
FAGL_MIG_RESTORE | Reset Migration |
FAGL_MIG_RPITEMS_CRESPLIT | Build Document Splitting Information for Documents To Be Transferred |
FAGL_MIG_RPITEMS_FILL | Create Worklist for Documents |
FAGL_MIG_SELECTION | Determine Worklist for Migration Objects |
FAGL_MIG_SUBSEQ_POST | Update Documents to New General Ledger Accounting |
FAGL_MIG_SUBSEQ_POST_OPITEMS | Update Open Items to New General Ledger Accounting |
FAGL_MIG_SUM_STATUS | Analyze Status of Balance Carryforward Program for Migration |
FAGL_ML_ADJUST_INITIAL | Reconciliation of Material Subledger and General Ledger |
FAGL_MM_RECON | Balance Reconciliation Between General Ledger and Materials Management |
FAGL_NRIV10 | Document Number Ranges: Copy by Company Code (General Ledger View) |
FAGL_NRIV20 | Document Number Ranges: Copy by Fiscal Year (General Ledger View) |
FAGL_OBJCHECK | NewGL Analysis: Check Object Number Inconsistencies |
FAGL_PLAN_ACT_SEC | CO Plan Data Integration for Secondary Cost Elements |
FAGL_PLAN_COPY | Copy Planning Data |
FAGL_PLAN_ITEMS_GL | Plan Line Items |
FAGL_PLAN_VTR | Balance Carryforward: Plan Data |
FAGL_PROT | Display Logs |
FAGL_PROT_EXAMPLE | Example Program for Log Storage |
FAGL_REORG_APPL_LOG_DISPLAY | Evaluate Application Log |
FAGL_REORG_REASSIGN | Reassignment |
FAGL_REORG_REPOST | Transferral of Balances of a Reorganization Package |
FAGL_REORG_SNAPSHOT | Creation of a Snapshot |
FAGL_REPOST_FAGL_SPLINFO_LOG | New GL Accounting: Delete and Repost Documents from FAGL_SPLINFO_LOG |
FAGL_RKGALGA15 | Actual Assessment: General Ledger |
FAGL_RKGALGA2B | Plan Assessment: General Ledger |
FAGL_RKGALGA35 | Actual Distribution: General Ledger |
FAGL_RKGALGA4B | Plan Distribution: General Ledger |
FAGL_RMIGR | Report Transfer from EC-PCA to FI-GL (New) |
FAGL_RMIGR_LOG | Transfer of PCA Reports: Log Display |
FAGL_RRI_1AIP | Range: Cost Elements (CO) |
FAGL_RRI_1SIP | Cost Centers: Actual/Plan/Variance (CO) |
FAGL_RRI_RECON_CO | Select CO Reports for Origin Object |
FAGL_RSNAPSHOT_SHOW | Snapshot Display |
FAGL_RUNID_INIT | Reset Transfer of Totals Documents |
FAGL_R_APAR_SAVE | Save Object List Receivables/Payables FAGL_R_APAR |
FAGL_R_APAR_SIM | Tool for Subsequently Simulating APAR for Purposes of Error Analysis |
FAGL_R_ASSETS_CONSISTENZ_CHECK | Consistency Check for Fixed Assets |
FAGL_R_CHECK_CO_ACTIVITIES | Reorganization Plan: Check Period Lock on Controlling Transactions |
FAGL_R_COPA_CORRECT | Subsequent Posting of Reorganization-Relevant Billing Docs to CO-PA |
FAGL_R_DISPATCH | Reorganization: Framework Dispatcher |
FAGL_R_FILL_TRANSACTIONTYPE | Fill Consolidation Transaction Type |
FAGL_R_INFO | Information about the Reorganization |
FAGL_R_NUM_STATUS_CORR | Statistics (NUM_STATUS) of a plan being recalculated |
FAGL_R_OI_TRACK_ACTIVATE | Activate Inclusion of Open Items |