Program | Text |
---|---|
RFBK_AUTHORITYGROUP_MAINTAIN | BCA Auth. Groups from Accounts, Products ... in Customizing Tables |
RFBK_BDT_CUST_CHECK_CLIENT | Comparison of Most Important BDT Tables of Clients |
RFBK_BUPA_SHOW_ALL | Business Partner: Display All Roles |
RFBK_CHECK_ACNUM_INT | Program RFBK_CHECK_ACNUM_INT |
RFBK_CHECK_INT_METHOD | Program RFBK_CHECK_INT_METHOD |
RFBK_CORRECT_BALANCE_PERIOD | Report RFBK_CORRECT_BALANCE_PERIOD |
RFBK_NOTICE_RELEASE | Notice: Release |
RFBK_PAR_NUMRG_GENERATE | Generate number range intervals for parallel processing of payt items |
RFBK_PAR_REALLOCATE_INTERV | Newly create interval table for parallel processing of item postings |
RFBK_PROCESS_END | Process Flow at End of a Process |
RFBK_PROCESS_START | Process Flow (Background) |
RFBK_PRODUCT_CHANGE | Changes the product of all accounts of a bank area |
RFBK_SET_BKK42_CONDGRCH | Set Field BKK42-CONDGRCH |
RFBK_SO_RELEASE | Standing Order Processing |
RFBK_STAND_ORDER_HISTORY | Creates execution history of all standing orders before 4.03 See docu. |
RFBK_TERM_FASTENTRY_BUSSTART | Program RBCA_US_TD_BUSSTART |
RFBK_TEST_BDT_PRODUCT | Comparison BDT Field Groups / Product Configurator Attributes |
RFBLBC00 | Bank Chains for House Banks |
RFBLBC01 | Bank chains for bank account carry forwards |
RFBLBC02 | Bank chains for creditors/debtors |
RFBNUM00 | Gaps in Document Number Assignment |
RFBNUM00N | Gaps in Document Number Assignment |
RFBNUM10 | Invoice Numbers Allocated Twice |
RFBPDKCD | Display Change Documents for Budget Entry Documents |
RFBPET00 | Line Items Extract |
RFBPET00_NACC | Line Items Extract |
RFBREAKDOWNGTS | Subsequent Check Made in SAP GTS for FI |
RFBRFSIK | FI <<> EIS Key Figure Transaction Interface |
RFBSPL00 | List of Split Documents |
RFBS_SE_SFW_START_NEW_TC | Start Testkatalog Financial MDM EhP 4 |
RFBUAVC_APPLIC_XPRA | XPRA report for defining the APPLIC field in AVC tables |
RFBUEB00 | Document List |
RFBUEB01 | Document List |
RFBUST00_P | Cross-Company Code Tax (Japan and Denmark) |
RFBUST10 | Cross-Company Code Transfer Posting |
RFBUST10_P | Cross-Company Code Tax |
RFBUSU00 | Posting Totals |
RFBVALL_0 | Country-specific transfer of bank data |
RFBVAT_0 | Austrian Bank Data Transfer |
RFBVBIC2 | Report RFBVBIC2 |
RFBVBIC_0 | Transfer Bank Directory from BIC File |
RFBVCA_0 | Bank Data Transfer (Canada) |
RFBVCH_0 | Transfer of Swiss Bank Data (Telekurs Disk) |
RFBVD__2 | Transfer of Bank Data (Germany - New) |
RFBVES_0 | Transfer of Bank Data (Spain) |
RFBVEXIT | Bank Directory Transfer - User Exits |
RFBVGB_0 | Bank Data Transfer (Great Britain) |
RFBVIT_0 | Transfer of Bank Data (Italy) |
RFBVOR00 | List of Cross-Company Code Transactions |
RFBVZA_0 | Copy Bank Data for South Africa |
RFBYPASS_ON_OFF | Activation and Deactivation of Tax Bypass in Accounting Interface |
RFCASH00 | Cash Journal |
RFCASH10 | Cash Journal: Deleted Documents |
RFCASH20 | Cash Journal |
RFCASH30 | Cash Journal |
RFCASH_HU_AVP | Exchange Rate Calculation for Cash Journal (Hungary) |
RFCATX00 | Post PST to Prior Period (Canada) |
RFCCDLOG | Payment Cards: Delete Old Log Information |
RFCCRSTT | Payment Cards: Repeat Settlement |
RFCCSIMU | Response Simulation to a Settlement Run for Payment Cards |
RFCCSSTT | Payment Cards: Execute Settlement |
RFCCSSTT_NACC | Payment Cards: Execute Settlement |
RFCDAT00 | Only for Test Data: Year Change Test Data |
RFCHAINRVS | Reversal of IHC Payment Orders |
RFCHIL00 | Check lots |
RFCHIL10 | Configurable List of Check Lots |
RFCHKA00 | Archiving Check Data |
RFCHKA10 | Deleting Check Data in the Archive |
RFCHKA20 | Retrieval of Check Data from the Archive |
RFCHKD00 | Delete Check Information on Payment Run |
RFCHKD10 | Delete Check Information on Voided Checks |
RFCHKD20 | Delete Information on Checks Created Manually |
RFCHKD30 | Reset Check Information Data |
RFCHKE00 | Check Extract Creation |
RFCHKL00 | List of Checks for Company Code &0.. |
RFCHKN00 | Check Register |
RFCHKN10 | Check Register |
RFCHKR00 | Lengthen Check Numbers for Account &0.. &1... &2... |
RFCHKR10 | Cancel the transaction 'reprint' |
RFCHKR10_NACC | Cancel the transaction 'reprint' |
RFCHKU00 | Create Reference for Check from Payment Document |
RFCJ1 | |
RFCJ10 | |
RFCLLIB00 | Cash Journal (Chile, Peru) |
RFCLLIB00_PE | Cash Ledger, Peru |
RFCLLIB01 | Journal (Chile, Peru) |
RFCLLIB01_PE | Journal Ledger, Peru |
RFCLLIB02 | General Ledger (Chile, Peru) |
RFCLLIB02_PE | General Ledger, Peru |
RFCLLIB03 | Sales Ledger (Chile) |
RFCLLIB03_PE | Sales Ledger, Peru |
RFCLLIB04 | Purchase Ledger (Chile) |
RFCLLIB04_PE | Purchase Ledger, Peru |
RFCMCRCV | Credit Management: Create A/R Summary |
RFCMDECV | Delete A/R Summary Data |
RFCNGAIS | Frame Report for Golden Audit |
RFCOACTIVATION | Program RFCOACTIVATION |
RFCODOCUMENT | Display Failure Cost Documents |
RFCOMENU | Failure Cost Processing |
RFCONVTP | Earmarked funds: Convert field control and Customizing reference types |