Program | Text |
---|---|
RFBKINTEREST_INDIV | Individual condition |
RFBKITTEST | Test Report for Creating Data for Item Transfer |
RFBKIZI1 | BCA: Control Report Payment Items (Post Processing + Release) |
RFBKIZI2 | BCA: Control Report Payment Item (displ.,rev.,pst.pri.per.,edit gen.) |
RFBKIZI3 | BCA: Control Report CpD Payment Items |
RFBKIZO1 | BCA: Control Report for Processes Account Management -> Payment Orders |
RFBKKC00 | Cash Concentration for Bank Accounts (Start Report) |
RFBKKC10 | Application Log Cash Concentration |
RFBKKC20 | Cash Concentration: Mass Run |
RFBKKCFILL | Report for Filling Transfer Categories and Rounding-off Pos. Cash Con. |
RFBKKH00 | Account Hierarchy Display for Bank Accounts (Start Report) |
RFBKLIRE | Report: List of Limits to Be Released |
RFBKLIRL | Limit Editing |
RFBKLOC1 | Account Locks |
RFBKMAINJOB | Program RFBKMAINJOB |
RFBKMAINOFFICCHANG | Change of Business Partner |
RFBKMASSREST | Restart on a Mass Run in End of Day Processing |
RFBKNTC | Notice: Call up Screen Sequence From SAP Menu |
RFBKOVR1 | Overdraft List |
RFBKOVR_CNTRL | Tolerated Overdrafts |
RFBKOVR_CNTRL_LIST | Accounts with Tolerated Overdraft |
RFBKPARUNOVR | Overview of Current End of Day Processing Runs |
RFBKPAYD | Payment Regulation List for Download to EXCEL |
RFBKPAYMEX_APPLOG | Display Application Log |
RFBKPAYMEX_DE_DTA | Report for Creation of an EFT |
RFBKPAYMEX_HEADER | Overview of EFT Files Created (Outgoing Payment Transactions) |
RFBKPAYMINREST_DE_DTA | Restart of EFTs in DTAUS Format (Incoming Payment Transactions) |
RFBKPAYMINREV_DE_DTA | Reversal Run of an EFT in DTAUS Format |
RFBKPAYMIN_APPLOG | Display Application Log |
RFBKPAYMIN_DE_DTA | Importing Report of an EFT in DTAUS Format |
RFBKPAYMIN_HEADER | Overview EFT Files (Incoming Payment Transactions) |
RFBKPDAT | BCA: Set Posting Date in Dialog Mode |
RFBKPDT2 | BCA: Set Posting Date in Batch/Dialog |
RFBKPDT4 | BCA: Set Posting Date in Batch/Dialog for Test |
RFBKPI01 | BCA: Call Screen Int. Payment Transactions via Transaction Parameter |
RFBKPI02 | Delete Planned Item |
RFBKPICHCUR | Euro Currency Changeover for Planned Items |
RFBKPO01 | BCA: Call Screen Int. Payment Transactions via Transaction Parameter |
RFBKPO02 | BCA: Delete Forward Order |
RFBKPOEX | Transfers Recipient Positions from Payment Orders to Legacy System |
RFBKPRE1 | To transfer pre-posted payment items (LIMIT) |
RFBKPRODUCTDELETE | Deletes Products from Customizing Tables |
RFBKREBOOK | Correction report on subsequently setting the transfer flag |
RFBKREFCSB00 | Output Bank Data & References (CSB 19 Annex 6) |
RFBKRELCHCUR | Editing of Currency Change |
RFBKSCREENSTO402 | Conversion Customer Screen Layout in BDT Customizing of Account - 4.02 |
RFBKSOCHCUR | BCA, Euro Conversion Standing Orders |
RFBKSOCR | Post Standing Orders |
RFBKSOCRPAR | Post Standing Orders |
RFBKSOLG | BCA: Display Application Log Standing Order |
RFBKSTANDORDWDAY | Standing Order: Setting Working Day of Execution (All Standing Orders) |
RFBKSTRT | Call Account Maintenance in Online Mode for Changing/Displaying |
RFBKSYNCJOB | Synchronization of Concurrent Process Branches |
RFBKSYNCJOBOLD | Synchronization of Concurrent Process Branches |
RFBKTDEPOSITCOLLECTION | Collection of Contract Amt and Increase Amts to Fixed-Term Deposit ACs |
RFBKTERMLLG | Include RFBKTERMLLG |
RFBKTMP1 | BCA: Transfer Post Planned Payment Items to BKKIT |
RFBKTMP1LOG | BCA: Display Application Log Standing Order |
RFBKTMP1LOG_PO | BCA: Display Application Log of Planned Payment Orders |
RFBKTMP1_PO | BCA:Execution of Forward Orders |
RFBKTTERMCONTROL | Fixing Fixed-Term Deposit Accounts |
RFBKTTERMPOSTPROCESSING | Postprocessing Fixed-Term Deposits |
RFBKTTERMPRENOTICE | Pre-Notification of Maturity for Fixed-Term Deposit Accounts |
RFBKTTERMRESTART | Restart Fixed-Term Deposits |
RFBKTTTERMMATURE | Calling Fixed-Deposit Accounts |
RFBKUPTJOB | Parallel Processing UPT JOB |
RFBKUPTSYNC | UPT Synchronization Report |
RFBKVZ00 | Bank Directory |
RFBKXP01 | XPRA for Insertion of Currency in Limits |
RFBKXP02 | XPRA for Insertion of Currency in Direct Debit Orders |
RFBKXP03 | XPRA for Insertion of Currency in Direct Debit Orders |
RFBKXP04 | XPRA for Insertion of Indicator if Limit Check is to Take Place |
RFBKXPR10 | XPRA for BCA96: Fill Field BASE_CURR |
RFBKXPR4 | XPRA for BCA Conversion 1.x to 1.2. Area Acct.Hierarchy/Cash Concentr. |
RFBKXPR402_1 | XPRS for BCA Changeover 4.01x to 4.02 Area Acct. Hierarch./Cash Concen |
RFBKXPR402_10 | XPRA for BDT Customizing of the Account (Field Modification) |
RFBKXPR402_11 | XPRA for BDT Customizing of the Account (Screen Layout) |
RFBKXPR402_12 | XPRA for BDT Customizing of the Account |
RFBKXPR402_13 | Entering the Dispatcher Tables for Parallel Processing |
RFBKXPR402_2 | XPRA for BKK9B: Transfer of Data from BKK91 |
RFBKXPR402_3 | XPRA for BKK92: Conversion X-Field XNOPOST to a Value Field |
RFBKXPR402_4 | XPRA for Product |
RFBKXPR402_5 | XPRA for BKK48: Vostro/Nostro-Account |
RFBKXPR402_6 | XPRA for Key Enhancement TBKKE2: SVALIDFROM |
RFBKXPR402_8 | XPRA Standing Order: Sets Status and Default for Execution Day |
RFBKXPR402_9 | XPRA for BKK96: Field Added BALOBJCATG. Enter Data in This |
RFBKXPR403_1 | XPRA for Dual Control Limits; Enters Table tbkke_four_eyes |
RFBKXPR403_2 | XPRA for Principle of Dual Control Standing Order |
RFBKXPR403_3 | XPRA for BCA Conversion 4.02x to 4.03 Area Check Management/Cash. Date |
RFBKXPR403_4 | XPRA for Conversion from External to Internal Reference Accounts |
RFBKXPR403_5 | Conversion of Bank Area-Dep. Settings Re: Public Hols. Stand. Orders |
RFBKXPR461_1 | Copy of Table of Historical and Current End of Day Processing Steps |
RFBKXPR462_1 | XPRA für BUT0BANK: Übernahme der Bankdaten aus BCA Append an BUT000 |
RFBKXPR5 | XPRA for Key Enhancement BKK93: CLOS_TYP |
RFBKXPR6 | XPRA for Key Enhancement BKK94: CLOS_TYP |
RFBKXPR7 | XPRA for Key Enhancement BKK96: CLOS_TYP |
RFBKXPR8 | XPRA for Key Enhancement BKK98: CLOS_TYP |
RFBKXPRA402_7 | Conversion of Settings on Interval Size in Parallel Processing |
RFBKXPR_BDC | Implement XPRA BKK92 - Update Charge Amounts if NRADD>0 |
RFBK_ACCNT_CLOSE_RELEASE | Account Closure: Release |