SAP Programs

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
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