Program | Text |
---|---|
RFKKCRDV1 | Reverse Check Payment after Successful Lock (Stop Payment) |
RFKKCRESCH1 | Check Escheatment: Start of Escheatment Process |
RFKKCRESCH2 | Check Escheatment of Checks That Have Reached Escheatment Date |
RFKKCRESCH_CHANGE | Perform Check Escheatment Manually |
RFKKCRESCH_DISPLAY | Display of Check Escheatment Data |
RFKKCRFA | Transfer of Cashed Checks - Display/Change Incorrect Data |
RFKKCRMV1 | Mass Voiding of Checks from Payment Run |
RFKKCRN00 | Check Register |
RFKKCRZG | Data Transfer - Z Structure Generator |
RFKKCR_CHANGE_VOIDREASON | Check Administration: Convert Voiding Reason from 4.62 to 4.63 |
RFKKCR_OLD_DELETE | Reorganization of Check Management: Delete Data No Longer Required |
RFKKCVSCONFIRMDB | Creation of Test File for Transfer of CVS Payments |
RFKKDDAL | Debit Memo Notifications: List |
RFKKDEFREVCHECK1 | Provision of All Reconciliation Keys Posted To |
RFKKDEFREVCHECK2 | Provision of All Reconciliation Keys Posted To |
RFKKDEFREVREPAIR1 | Deletion of POSTED Indicator from FKKDEFREV |
RFKKDELE_DFKKDOUBTD | Deletion of Additional Logs for Correcting Receivables by Age |
RFKKDELE_FP03DM | Delete Tables for Submission of Receivables to Collections |
RFKKDELE_FPCI | Delete Tables for Information File of Collection Agency |
RFKKDELLOCKS | Delete Fields SPZAH, SPERZ, and MANSP in Budget Billing Plan |
RFKKDELLOCKS_MASS | Delete Fields SPZAH, SPERZ, and MANSP in Budget Billing Plan |
RFKKDI01 | Distribute into intervals |
RFKKDI02 | Display/Change Intervals |
RFKKDI03 | Display Editing Process |
RFKKDI04 | Display editing process |
RFKKDI05 | Variants for Parallel Processing |
RFKKDIJ1 | Monitoring job for parallel runs |
RFKKDIJ2 | Stop job: Deletes the monitoring job |
RFKKDM00 | Dispute Cases (for Account Balance) in FI-CA |
RFKKDM01 | Create Collection Cases after Dunning Run |
RFKKDM02 | Delete Content of Table DFKKCASEITEMS for Archived Documents |
RFKKDM03 | Update Collection Cases |
RFKKDMSAR01 | Archiving of Management Data for DMS |
RFKKDMSAR02 | Deletion of Management Data for DMS |
RFKKDMSAR03 | Reloading of Management Data for DMS |
RFKKDMSCC | Add New Documents |
RFKKDMSCC1 | Determination of References to Image for Documents in DMS |
RFKKDMSDELIMAGE | Delete Images of Documents |
RFKKDMSMON | Manage Documents |
RFKKDMSMON1 | Assign Business Partner |
RFKKDREAR01 | Archiving of Data for Event-Based Deferred Revenues |
RFKKDREAR02 | Deletion of Data for Event-Based Deferred Revenues |
RFKKDREAR03 | Reload of Data for Event-Based Deferred Revenues |
RFKKDUNBW_REPAIR | Report RFKKDUNBW_REPAIR |
RFKKEBS1 | Create Reconciliation Key for External Billing Systems |
RFKKEMMA | Log Analysis, Preparation, and Case Generation for Mass Runs |
RFKKESCSB00 | Bank statement Spain - conversion to MultiCash and Master data update |
RFKKESCSB19_1 | Output File for Bank Data Validation (CSB 19 Annex 1) |
RFKKES_SAL1 | Annual Tax Return (Spain) |
RFKKES_SAL2 | Annual Sales Report (Spain), According to Legal Change 2008 |
RFKKET00 | Extract for Accumulated Open Item Balance Audit Trail |
RFKKEWU1 | Euro: Reconcile Contract A/R + A/P with the FI General Ledger |
RFKKEWU2 | Euro: Check for Jobs That Are Scheduled or Not Yet Completed |
RFKKEWU5 | Euro: Evaluate Critical Documents After Conversion |
RFKKEWU6 | Euro: List for Adjusting Reconciliation and VAT Clearing Accts in FI |
RFKKEWU6_TEST | Euro: Reconcile Contract A/R + A/P with the FI General Ledger |
RFKKEWU7 | Euro: Check Adjustment Posting Carried Out in the FI G/L |
RFKKEWU8 | Euro: Display of Log Data for Programs RFKKEWU3 and RFKKEWU6 |
RFKKEWUGLT0 | Euro: Program to Determine Program Name of GLTO Conversion |
RFKKEWUSALDOCHECK | Saldoprüfung für FICA Belege vor der EURO-Umsetzung (vor RFKEWU3) |
RFKKEXCAR01 | Archiving of Data for External Payment Information |
RFKKEXCAR02 | Deletion of Data for External Payment Information |
RFKKEXCAR03 | Reload of Data for External Payment Information |
RFKKEXCJAR01 | Archiving of Inbound Data from External Cash Desks (Cash Journal) |
RFKKEXCJAR02 | Deletion of Inbound Data from External Cash Desks (Cash Journal) |
RFKKEXCJAR03 | Reload of Inbound Data from External Cash Desks (Cash Journal) |
RFKKEXCSAR01 | Archiving of Totals Records for External Payment Information |
RFKKEXCSAR02 | Deletion of Totals Records for External Payment Information |
RFKKEXCSAR03 | Reload of Totals Records for External Payment Information |
RFKKEXC_AGENT_DEBT_POST | External Cash Desks: Posting of Agent Receivable |
RFKKEXC_CASHJOURNAL_XI_TEST | Test Report for Outbound Interface for External Cash Journal Functions |
RFKKEXC_CLOSE_CANCEL_XI_TEST | Test Report for Reversal of Cash Desk Closing |
RFKKEXC_CLOSE_XI_TEST | Test Report for Sending Cash Desk Closing |
RFKKEXC_GL_PAYMENT_XI_TEST | Test Report for G/L Outbound Interface for External Payments |
RFKKEXC_OPENITEM_XI_TEST | Test Report for XI Interface CashDeskOpenItemGetSummary |
RFKKEXC_PAYMENT_XI_TEST | Test Report for Outbound Interface for External Payments |
RFKKEXC_RETRY_POST | Repeat Posting of External Payments or Reversals |
RFKKEXC_REVERSAL_XI_TEST | Test Report for Outbound Interface for External Payments |
RFKKFIKEYCLOSE | Automatic Reconciliation Key Closing |
RFKKFMCF | Transfer Open Items from FI-CA |
RFKKFPAWM | Foreign Trade Declarations: Process Report File |
RFKKFPAWM_ALV | Foreign Trade Reports: ALV List for Analysis of Report File |
RFKKFPAWM_CORR | Foreign Trade Declarations: Run Updates |
RFKKFPY1TREE | Tool for Analysis of Payment Run/Payment Media Run |
RFKKFQCE | Account Determination Error Analysis |
RFKKGAPFICANUM00 | Display Missing FI-CA Documents in Company Code |
RFKKGEN_UTL | Form Pool for View Cluster Maintenance Dialog |
RFKKGL00 | Transfer of FI-CA Totals Records to General Ledger |
RFKKGL20 | Check General Ledger Documents |
RFKKGL30 | |
RFKKGL_REV | Reverse General Ledger Transfer |
RFKKGPSH | OBSOLETE: In future use transaction GPSHAD_NEW |
RFKKGPSHUPDATE | Update Program of Business Partner Shadow Table FKK_GPSHAD |
RFKKGPSH_DELETE | Deletion of Entries in Shadow Table FKK_GPSHAD |
RFKKHIST | Display clearing/reversal history |
RFKKIL01 | Include RFKKIL01 |
RFKKINDPAYAR01 | FI-CA Archiving: Payment Specifications (Write) |
RFKKINDPAYAR02 | FI-CA Archiving: Payment Specifications (Deletion) |
RFKKINDPAYAR03 | FI-CA Archiving: Payment Specifications (Reload) |
RFKKINFAR01 | Archiving of Information Container Data |