SAP Programs

Program Text
RFBIPPG3 Generation Report: Reset Fields if Necessary (BSEG)
RFBISA00 Interface for General Ledger Account Master Data
RFBISA01 Interface for General Ledger Account Master Data
RFBISA10 Copy General Ledger Account Master Data: Send
RFBISA20 Copy G/L Account Master Data in Target Company Code: Receive
RFBISA30 Create G/L Acct Master Data with Reference - Generation of BI Session
RFBISA40 Copy Company Code: G/L Accounts
RFBISA50 Extract G/L Account Master Data in File
RFBISA51 Extract G/L Account Master Data in File
RFBISAG0 Generating Program for RFBISA02
RFBISAG1 Generating program for RFBISA11
RFBISAG5 Generating program for RFBISA53
RFBITB01 Posting of Failed Payment Procedures
RFBITB01_NACC Posting of Failed Payment Procedures
RFBITO00 FI Data Transfer - Display/Change Contents of Sequential File
RFBKABL0 Display of Bank Changes
RFBKABSA Bank Statement Archiving: Archiving Program
RFBKABSD Bank Statement Archiving: Delete Program
RFBKABSR Bank Statement Archiving: Reload Program
RFBKABSS Bank Statement Archiving: Read Program
RFBKACCB Accounts Locked by End-of-Day Processing
RFBKACCBSINGLE Accounts Blocked by Individual Balancing
RFBKACCINPROC List of Accounts Edited by End of Day Processing Runs
RFBKACCL Report: Account Closure
RFBKACFA Archiving Balance Carry Forwards: Archiving Program
RFBKACFD Balance Carry Forward Archiving: Delete Program
RFBKACFR Archiving Balance Carry Forwards: Reload Program
RFBKACFS Archiving Balance Carry Forwards: Analysis Program
RFBKACLG Report: Output of ApplicationLog Account Closure
RFBKACTEST1 Test: Legacy Data Transfer Account Master Data (1 shell account)
RFBKACTEST2 Test: Legacy Data Transfer Account Master Data (2 Complete Accounts)
RFBKAGLA BCA General Ledger Data: Archiving Program
RFBKAGLD BCA General Ledger Data: Delete Program
RFBKAGLR BCA General Ledger Data: Reload Program
RFBKAICA BCA, Archiving Account Balancing Detail Data: Archiving Program
RFBKAICD BCA, Archiving Account Balancing Detail Data: Delete Program
RFBKAICR BCA, Archiving Account Balancing Detail Data: Reload Program
RFBKAICS BCA, Archiving Account Balancing Detail Data: Read Program
RFBKAITA Archiving Payment Items: Archiving Program
RFBKAITAN Archiving Payment Items: Write Program
RFBKAITD Archiving Payment Items: Delete Program
RFBKAITR Archiving Payment Items: Reload Program
RFBKAITS Archiving Payment Items: Analysis Program
RFBKAMWFCU Assign Workflow Tasks (Payment Transactions)
RFBKAORA BCA, Payment Order Archiving: Archiving Program
RFBKAORD BCA, Payment Order Archiving: Delete Program
RFBKAORR BCA, Archiving Payment Orders: Reload Program
RFBKAORS BCA, Archiving Payment Orders: Read Program
RFBKAPCA BCA, Archiving Account Balancing Data: Archiving Program
RFBKAPCD BCA, Archiving Account Balancing Data: Delete Program
RFBKAPCR BCA, Archiving Account Balancing Data: Reload Program
RFBKAPCS BCA, Archiving Account Balancing Data: Read Program
RFBKAPLG BCA: Report for Output of Application Log
RFBKAPPLLOGDEL Report for Deletion of Application Logs Used Within BCA
RFBKARLG BCA: Initial Screen for Output of Application Log Acc./Def.
RFBKASOA BCA, Archiving Standing Orders: Archiving Program
RFBKASOD BCA, Archiving Standing Orders: Delete Program
RFBKASOR BCA, Archiving Standing Orders: Reload Program
RFBKASOS BCA, Archiving Standing Orders: Read Program
RFBKASO_DINP_TEST1 Test: Legacy Data Transfer Standing Order
RFBKATOA Archiving Value Date Trans. Figures: Archiving Program
RFBKATOAN Archiving value date transaction figures: Arch. prg w/performance impr
RFBKATOD Archiving Value Date Transaction Figures: Delete Program
RFBKATOR Archiving Value Date Trans. Figures: Reload Program
RFBKATOS Archiving Value Date Transaction Figures: Read Program
RFBKBAL1 Account Balances
RFBKBAL1_VAL Balance List by Key Date (Value Date or Posting Date)
RFBKBALNOT Create Balance Notifications - Mass Run
RFBKBALNOTFILL BCA: Entry of Periodic Data for Balance Notification
RFBKBALNOT_REST Start Balance Notifications - Restart
RFBKBALNOT_SINGLE Create One Single Balance Notification (on Request)
RFBKBANKSTATDUPL Start Creation of Bank Statements Duplicate
RFBKBATEST Test report for creating data for balance transfer
RFBKBDCOND RFBKBDCOND - Retroactive Changes of Standard Conditions
RFBKBENCH00 Benchmark BCA: Payment Transactions
RFBKBENCH01 Benchmark BCA: Account Balancing
RFBKBENCH03 Benchmark BCA: Bank Statement
RFBKBENCH10 Benchmark BCA: Payment Transactions by Online Users
RFBKBENCHGE1 BCA Benchmark: Generation of Customizing
RFBKBENCHGE2 Benchmark: Master Data Generation
RFBKBENCHGE3 BCA Benchmark: Postings for Account Balancing
RFBKBENCHGE4 BCA Benchmark: Postings for Account Balancing
RFBKBENCHMON00 BCA Benchmark: Benchmark Monitor for Payment Transactions
RFBKBENCHMON01 BCA Benchmark: Monitor of Posted Data
RFBKBENCHMON02 Benchmark: Master Data Monitors in the System
RFBKBENCHUTI00 BCA Benchmark. Utility Delete Enq. Tab
RFBKBENCHUTI01 BCA Benchmark: Utility - Prepare End of Day Processing Restart
RFBKBENCHUTI02 BCA Benchmark: Utility - Undo Account Balancing
RFBKBENCHUTI03 BCA Benchmark: Prepare Utility - BKKM2 for Restart
RFBKBENCHUTI04 BCA Benchmark: Utility - Collection of Statistics
RFBKBENCHUTI05 BCA Benchmark: Utility - Deletion of Benchmark Data
RFBKBKK42CC01 Adjustment Report for Euro Balance in BKK42_CC
RFBKBKK45_CORR_FILL Migrate to Correspondence Receiver Administration
RFBKBSLG View Application Log for Bank Statement
RFBKBSRE Start Bank Statements - Restart
RFBKBSSG Create One Single Bank Statement (On Request)
RFBKBSSG_DUPL Duplicate Creation of a Bank Statement (Single Run)
RFBKBSST Start Bank Statements
RFBKBTEINFO Business Transaction Events: Publish & Subscribe Interfaces
RFBKCCINF01 Account Overview for Currency Conversion
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