Program | Text |
---|---|
RFKKBI_TRACING_DBG_MON | Load Tracing Data from XML and Display in Debugger |
RFKKBOL0 | FI-CA: Bollo Report, Pay Over Bollo Charges |
RFKKBOLD | Display Boleto |
RFKKBP_DUPL | Business Partner Creation with Duplicate Check |
RFKKBRD_REVERSE_MEMORY_PARAM | Mass Revers Called by Transaction (Due to COMMIT WORK) |
RFKKBRINC00 | Convert Bar Code Bank Statment to MultiCash (Brazil) |
RFKKBRINCBOL00 | Convert Boleto Bank Statement to MultiCash Format (Brazil) |
RFKKBRLEVY | Report RFKKBRLEVY |
RFKKBROUTBOL00 | Create Boleto DME File (Brazil) |
RFKKBU00 | Open Item Account Balance Audit Trail from the Document File |
RFKKBU00_NACC | Open Item Account Balance Audit Trail from the Document File |
RFKKBU10 | Accts Detailed Listing from Open Item Account Accumulated Audit Trail |
RFKKBU10_NACC | Accts Detailed Listing from Open Item Account Accumulated Audit Trail |
RFKKBW_SAMPLE_GEN_REPORT | Source Report for Generated Coding |
RFKKCASEAR01 | Archiving of Item List (Write Run) |
RFKKCASEAR02 | Archiving of Item List (Deletion Run) |
RFKKCASEAR03 | Archiving of Item List (Reload) |
RFKKCC01 | Debit Entry (Dispatcher) |
RFKKCC02 | Activity Processor - Job |
RFKKCFUPD | Data Transfer to Cash Management |
RFKKCF_DELETE | Deletion of Clarified Items - No Archiving |
RFKKCF_STATISTICS | Statistics for All Clarification Lists |
RFKKCHINC00 | Convert Bank Statement to MultiCash Format (Switzerland) |
RFKKCHK01 | Extract Creation for Checks |
RFKKCHK02 | Checks: Assign Payment Documents |
RFKKCHK03 | Set Assignment Date for Checks |
RFKKCHK04 | Assign Checks |
RFKKCHKINST1 | Program RFKKCHKINST1 |
RFKKCHKINST10 | Program REPINSTPLN10: Correction of Incorrectly Converted Inst. Plans |
RFKKCHKINST11 | Check: Installment Plans with no Connection to Source Items |
RFKKCHKINST12 | Program REPINSTPLN12: Correction of Incorrectly Converted Inst. Plans |
RFKKCHKINST3 | Program RFKKCHKINST3 |
RFKKCHKINST5 | Correction of Incompletely Deactivated Installment Plans (ABWBL Set) |
RFKKCHKINST6 | Program ZREPINSTPLN6 |
RFKKCHKINST7 | Program ZREPINSTPLN7 |
RFKKCHKINST9 | Program RFKKCHKINST9 |
RFKKCIBW_SAMPLE_REPORT | Source Report for Generated Coding |
RFKKCJAR01 | Cash Journal Archiving |
RFKKCJAR02 | Delete Cash Journal |
RFKKCJAR03 | Reload Cash Journal |
RFKKCK01 | Create Check Deposit List (FI-CA) |
RFKKCLERK_DUNN | Simulate Responsibility for Work Item |
RFKKCM00 | Data Transfer: Manually Issued Checks Lot |
RFKKCM01 | Transfer of Manually Issued Checks |
RFKKCM02 | Post Manually Issued Checks Lot as Job |
RFKKCMDA | Transfer of Man. Issued Checks - Display/Change Content of Seq. File |
RFKKCMDG | Generate Test File for Transfer of Manually Issued Checks |
RFKKCMF | Assign Lots for Manual Outgoing Checks to New Reconciliation Key |
RFKKCMFA | Transfer of Manually Issued Checks: Process Errors |
RFKKCMZG | Data Transfer - Z Structure Generator |
RFKKCM_BRFTRACE_DELETE | Collections Management: Delete BRF Trace |
RFKKCM_BRFTRACE_DISPLAY | Collections Management: Display BRF Trace |
RFKKCO00 | Correspondence - Main Correspondence Print Program |
RFKKCO01 | FI-CA Correspondence - Reorganize Correspondence |
RFKKCO02 | Correspondence - Display Correspondence History |
RFKKCO03 | FI-CA: Correspondence Archiving |
RFKKCO04 | FI-CA: Correspondence Archiving, Deletion of Correspondence |
RFKKCO05 | FI-CA: Correspondence Archiving, Correspondence Reloading |
RFKKCO06 | Correspondence Dunning History |
RFKKCO10 | Display Transfer to Profitability Analysis |
RFKKCO20 | Check CO-PA Documents |
RFKKCOHLIST | Correspondence - List of Correspondence Headers |
RFKKCOL2 | Submit Items to Collection Agency |
RFKKCOL3 | List of Collection Items |
RFKKCOL4 | History of Collection Items |
RFKKCOLDAR01 | Archiving of Collection Data |
RFKKCOLDAR02 | Deletion of Data for External Collection |
RFKKCOLDAR03 | Reload of Data for External Collection |
RFKKCOLL | Submission of Dunned Receivables to Collection Agencies |
RFKKCOLLAG | Derivation of Responsible Collection Agency |
RFKKCOLLAR01 | Archiving of Collection Agency Data |
RFKKCOLLAR02 | Delete Collection Agency Data |
RFKKCOLLAR03 | Reload Collection Agency Data |
RFKKCOLLFILE | Generate Submission File for Collection Agency |
RFKKCOLL_CONFIRMATION_XI_TEST | Test Service CommissionedOutstandingCollectionsERPBulkConfirmation_Out |
RFKKCOLL_READ_ATT_XML_XI_TEST | Read Binary Data from XML File |
RFKKCOLR | Call Back Receivables from Collection Agency |
RFKKCOLZ | Take Back Receivables from Collection Agencies |
RFKKCONVCURR | EURO: Form Routine Pool for Conversion Rules |
RFKKCOPA00 | Transfer of Account Assignment Data to Profitability Analysis |
RFKKCOPG | Generate Test File for Collection Agency Payments |
RFKKCOPM | Read Collection Agency File |
RFKKCOPN | Process Collection Agency Information |
RFKKCOPO | Post Collection Agency Receivables |
RFKKCOPROTCL | Deletion of Submission Logs |
RFKKCORR_DISPLAY_HISTORY | Correspondence - Display Correspondence History (ALV Grid) |
RFKKCORR_EXP_CREATE_REQUEST | Example Correspondence: Create Correspondence Request |
RFKKCORR_EXP_MODIFY_BP | Program ZVLV_MODIFY_BP_ADDRESS |
RFKKCORR_EXP_SAMPLE | Example Correspondence: Form Class Library |
RFKKCORR_EXP_SAMPLE_WD | |
RFKKCORR_EXP_UNIT_TEST | Program RFKKCORR_EXP_UNIT_TEST |
RFKKCR00 | Transfer of Cashed Checks |
RFKKCR01 | Check Deposit Transfer |
RFKKCRA1 | Check Deposit Archiving - Archiving Program |
RFKKCRA2 | Check Deposit Archiving - Deletion Program |
RFKKCRA3 | Check Deposit Archiving - Reload Program |
RFKKCRCASH_CHECK | Clarification of Cashed Checks: Transfer Encashment Data to Clar.Table |
RFKKCRCL | Clarification Processing of Cashed Checks |
RFKKCRDA | Check Deposit Transfer - Display/Change Content of Sequential File |
RFKKCRDG | Generate Test File for Check Deposit Transfer |