Program | Text |
---|---|
RFBKCHACCUR | Report for Changeover of Account Currency |
RFBKCHACLOG | Report: Output of Currency Changeover Application Log |
RFBKCHAINOVR | Status Overview of Reports in End of Day Processing |
RFBKCHAINSTART | Start Sequence of Reports in End-of-Day Processing |
RFBKCHECK | Check: Throughput |
RFBKCHQ1 | Check Locks |
RFBKCLEB | End of Day Process. Batch: Increase Posting Date for Balancing Posts. |
RFBKCLED | End of Day Process. Online: Increase Posting Date for Balancing Posts. |
RFBKCLLG | BCA: Initial Screen for Output of Application Log Account Balancing |
RFBKCLOSUREUNDO | Report: Revoke Account Closure, Single Run |
RFBKCLSE | Dummy Program (No Longer Needed After 1.0) |
RFBKCOG | BCA: Tolerance Test Includes |
RFBKCOMP_BKK9B_BKKIT | Comparison BKK9B - BKKIT |
RFBKCON3 | Interest Scale List |
RFBKCON4 | BCA: Rewrite Transaction Figures Tables Per Account |
RFBKCON5 | BCA: Rewrite Transaction Figures Tables per Bank Area |
RFBKCON6 | Internal Reference Accounts (for Balancing) |
RFBKCON6X | External Reference Accounts (for Balancing) |
RFBKCONA | BCA: Initial Screen Interest Acc./Def. for General Ledger |
RFBKCONACBALBEFOREPRODDATE | Adjustment: Incorrect Account Balancing Before Go-Live Date |
RFBKCONB | BCA: Initial Screen Restart Account Balancing (Interest & Charges) |
RFBKCONC | BCA: Initial Screen Mass Acct Balancing (Interest/Charge Calculation) |
RFBKCONCOMP01 | Balancing: BKK92 / Compare Postings Legacy System |
RFBKCONCOMP02 | Limit: BKKE1, Set Date Valid From |
RFBKCOND | BCA: Initial Screen Indiv. Acct Balancing (Inters./Charge Calculation) |
RFBKCONH | BCA: Setting Data for Early Balancing (Periodic) |
RFBKCONHLST | Data List for Settlement Brought Forward |
RFBKCONI | BCA: Initial Screen for Early Mass Account Balancing |
RFBKCONJ | BCA: Initial Screen for Output of Balanced Accounts |
RFBKCONL | BCA: Initial Screen Restart Individual Account Balancing |
RFBKCONM | BCA: Initial Screen Restart Interest Accrual/Deferral for Gen. Ledger |
RFBKCONN | BCA: Initial Screen for Early Individual Account Balancing |
RFBKCONO | Initial Screen: Check of External Data Transfer Account Balancing |
RFBKCONP | Test External Data Transfer Account Balancing |
RFBKCON_ACBAL_BEFORE_PRODDATE | Adjustment: Incorrect Account Balancing Before Go-Live Date |
RFBKCOOR | Display of Totals Records from Payment Transactions |
RFBKCOORXPRA | Transport Totals Records from Payment Transactions from BKK14 to BKK15 |
RFBKCORR_BALANCE_PERIOD | Program RFBKCORR_BALANCE_PERIOD |
RFBKCORR_BKK51 | Correction Report for SubFinPayt Balance |
RFBKCORR_BKKVRS | Correction Report for Available Balance Series |
RFBKCORR_GL_CUSTOM_CHECK | Check GL Customizing |
RFBKCORR_GL_GEN_DELETE_TABLES | Adjustments: Deletes GL Tables for a Fallback Bank Area |
RFBKCORR_GL_GEN_RELOAD_TABLES | Adjustments: Reload of Saved Data |
RFBKCORR_GL_GEN_SAVE_TABLES | Adjustments: Saves GL Tables to Another Bank Area |
RFBKCORR_LIM_401_PREP_NEW_REL | Completion of Limit Definitions before Release Change |
RFBKCORR_LIM_COMPLETE_LIMITS | Completion of the Limit Definitions |
RFBKCORR_PI_DIRDEB | MaintainBeneficiary for Direct Debit Order in Payment Item |
RFBKCPBL | Setting the Go-Live Date and Balance Carry Forward Date |
RFBKCURCHDAT | Maintain Currency Changeover Date (BCA) |
RFBKCUST | Transfer of Customizing Settings |
RFBKDEL1 | Delete Account Master Data |
RFBKDEL1_EXT | Delete Account Master Data via External Account Number |
RFBKDEL1_INT | Delete Account Master Data via Internal Account Number |
RFBKDEL3 | Delete GL Update Data |
RFBKDEL5 | Delete Heirarchy Data |
RFBKDIRDEBCHCURR | Program Currency Conversion Direct Debit Orders |
RFBKDISPJOB | Schedule Within a Background Job |
RFBKENQ1 | BCA: Transfer Post Payment Item from BKKITENQ to BKKIT |
RFBKENQSHOW | BCA: Display Table BKKITENQ Entries as Totals |
RFBKEOFDAYPROC_WAIT | Wait Till End of Previous Job |
RFBKEOFSTEP | End of a Processing Step in End of Day Processing |
RFBKFILL_BKK45_HISTORY | Report to populate the BKK45_History table from Change documents |
RFBKFIXBKKCORR | General: Complete / Delete Table BKKCORR* |
RFBKFOCHCUR | Euro Currency Changeover for Forward Orders |
RFBKFOLLOWUP | Account Resubmission |
RFBKFUT | BCA: Display Planned Payment Items |
RFBKGL01 | Transfer Bank Current Accounts - FI General Ledger |
RFBKGL11 | General Ledger: Overview of BCA Reconciliation Keys |
RFBKGL12 | Reconciliation: Posting Totals per BCA Reconciliation Key |
RFBKGLAPPLLOG | Application Logs Display General Ledger Reports |
RFBKGLBKKC30 | General Ledger: Balance Sheet Preparation Data Detail Display |
RFBKGLBSPREP | Balance Sheet Preparation Bank Customer Accounts - FI General Ledger |
RFBKGLC1 | Reconciliation: Comparison - BCA Posting Totals with FI Posting Totals |
RFBKGLC2 | Reconciliation: Comparison BCA Payment Item/BCA Posting Totals for FI |
RFBKGLC4 | Obsolete: Use Transaction F97E Instead |
RFBKGLC6 | Reconciliation: List of FI Document Lines per BCA Reconciliation Key |
RFBKGLCM | Netting: Overview of BCA Accounts to be Netted |
RFBKGLCOMP01 | Adjustment: Comparison BKKC10 / Transaction Figures |
RFBKGLDI_FIKEY | Management of GL Information for Data Transfer (FIKEYs) |
RFBKGLFIX01 | Correction: Balance Sheet Data for Inconsistent Posting Date |
RFBKGLFIX02 | Adjustment: Change Transfer Status of Reconciliation Keys |
RFBKGLFIX03 | Adjustment : BKKCO1 / BKKCO1C Compare Counters (CNT_UPD / CNT_COM) |
RFBKGLIA | Interest Accrual/Deferral: Overview of Interest Accs/Defs Created |
RFBKGLIA_DETAIL | Accrual/Deferral: Itemized Statement for Accruals/Deferrals Created |
RFBKGLPP | Postprocessing: Balances of BCA and FI Accts for Items in Post Proc. |
RFBKGLRV | Creation of Counter Postings for FI Docs for Legacy Data Transfer |
RFBKGL_AT | Audit Trail: Connection Between Payment Items and FI Documents |
RFBKGL_CHECK_CUSTOMIZ | Check Customizing Settings for General Ledger Transfer |
RFBKGL_GLDATA | Duplication of GL Data for Separate FI and Checks |
RFBKGL_REC_BALANCE | Balance Statement of a GL Account from the Balances of the BCA Accts |
RFBKGL_REC_START | Statement of BCA Postings for FI Document Line; Initial Screen |
RFBKGL_VA | Maintain Individual Value Adjustment Values |
RFBKGL_VA_CALC_POST | Post Value Adjustments |
RFBKGL_VA_DI | Individual value adjustment legacy data transfer |
RFBKGL_VA_MAINTAIN | Edit Proposal List - Value Adjustments |
RFBKHISTORY_INDIV | Display Change Documents for Individual Conditions |
RFBKHISTORY_STAND | Display Change Documents for Standard Conditions |
RFBKHISTORY_ZUORD | Display Change Documents for Condition Assignments |
RFBKINDCOND | Report: Individual Condition Processing |
RFBKINITARCH | Initialize the Administration of Archived Time Periods |