SAP Programs

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
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