Program | Text |
---|---|
RFSBSA00 | Display Balance Sheet/Profit and Loss Structure |
RFSBWA00 | Structured Account Balances |
RFSCAR01 | Archiving Balance Int. Calc. History - Archiving Program |
RFSCAR02 | Archiving Balance Interest Calc. History - Deletion Program |
RFSCAR03 | Balance Interest Calculation Archiving - Reload |
RFSCBAH | Display Balance Int. Calc. History |
RFSCD_COV | Geschäftspartnerübersicht |
RFSCM_ACT_EN | SAP Biller Direct: Program for Active Enrollment |
RFSCM_BUPA_ACT_EN | Active Enrolment: Offer Customer Use of SAP Biller Direct |
RFSCM_COUNT_BILLS | EBPP: Number of Bills |
RFSCM_SHOW_JAVAFILES | Upload of configuration files from the EBPP Java Server |
RFSEPA01 | Switch On Line Item Display by Changing Master Record |
RFSEPA02 | Switch On Open Item Management by Changing Master Record |
RFSEPA03 | Switch Off Open Item Management by Changing Master Record |
RFSEPA04 | Reduced Line Item Display after Master Data Change |
RFSHRU00 | Cashed Checks |
RFSHRUT0 | Generate Test Data for Cashed Checks |
RFSKPL00 | Chart of Accounts |
RFSKTH00 | Account Assignment Manual |
RFSKVZ00 | |
RFSKVZ00_NACC | G/L Accounts List (Not Accessible) |
RFSLCFF0 | Securities Lending: Cash Flow Update |
RFSLFIMA | Securities Lending: Update Cash Flow |
RFSLVALUATIONNR | Parallel Reporting: Number Range Maintenance for SL Valuation |
RFSOPO00 | General Ledger Line Items |
RFSOPO00_NACC | General Ledger Line Items |
RFSPLN00 | Generate Set Hierarchy for Balance Sheet/P+L Version |
RFSPLN01 | Create FI Planning Fiscal Year-Dependent Version Parameters |
RFSPL_GTS_SET | Maintenance View TIBAN_WO_ACCNO (modified) |
RFSQL001 | RFSQL001 no longer used |
RFSRRCUA | FI - Drill-Down Report for User Interface |
RFSRUE00 | Cashed Checks per Bank Account |
RFSRUE10 | Outstanding Checks Analysis per G/L Account and Vendor |
RFSSLD00 | G/L Account Balances |
RFSSLD00_NACC | G/L Account Balances |
RFSSPELL | Submit RF_SPELL (for function module document SPELL_AMOUNT) |
RFSTATBANKACC_MINIALV | Display Status of Account Statement Processing as MiniApp |
RFSTAX00 | Creation of Tax Codes Using Batch Input No Longer Used |
RFSTEST_CONVERSION | Submit from RF_TEST_CONVERSION (Docu CONVERT_BANK_ACCOUNT_NUMBER) |
RFSTEST_CONVERSION2 | Submit RF_TEST_CONVERSION2 (Docu CONVERT_HOUSEBANK_ACCOUNT_NUM) |
RFSUMB00 | Year-End Postings |
RFSUMB00_CO | Closing/Opening Entries Colombia |
RFSUMB00_IT | Closing/Opening Entries Italy |
RFSUMB00_NACC | Year-End Postings (Copy NACC) |
RFSUMB00_PT | Closing/Opening Entries Portugal |
RFSUMB00_RO | Closing/Opening Entries Romania |
RFSUMB00_SK | Closing/Opening Entries Slovakia |
RFSUMB00_TR | Closing/Opening Entries Turkey |
RFSUSA00 | G/L Account Balances |
RFSUSA00_NACC | G/L Account Balances |
RFSZI000 | Interest Scale |
RFSZIS00 | G/L Account Interest Scale |
RFSZIS00_NACC | G/L Account Interest Scale |
RFT007ACV | Call Up Maintenance View for Tax Code Selection |
RFT042D_CALL | Customer Payment Program: Start of Maint. View for Available Amounts |
RFT15W00 | Convert instruction key |
RFTAX100 | List of the Valid Tax Codes |
RFTAXIMP | Import Tax Codes After Transport |
RFTAX_TXJCD_DUMMY | This is a dummy report that only enables an external perform |
RFTBAB00 | Treasury: Accrual/Deferral of Expenses and Revenues |
RFTBAB01 | Treasury: Reverse Accrual/Deferral |
RFTBARC1 | Limit Archiving: Archiving Program (Limits, Util., Customizing) |
RFTBARC2 | Limit Archiving: Deletion Program |
RFTBARC3 | Limit Archiving: Reload Program |
RFTBAT15INV | |
RFTBBB00 | Treasury: Post Flows |
RFTBBB00_LEGACY_CONVERSION | Treasury: Mark Flows as Posted (after legacy data transfer) |
RFTBBB00_OP_ONLY | Treasury: Posting Flows (Before Migration) |
RFTBBB00_OP_ONLY_LEGACY_CONV | Flag flows as posted (after legacy data transfer before migration) |
RFTBBB01 | Posting Journal |
RFTBBC00 | Treasury: Posting Customizing |
RFTBBE00 | Treasury: Realized Gains/Losses |
RFTBBE01 | Treasury: Run Key Date Valuation |
RFTBBE01MGT | Treasury: Key Date Valuation |
RFTBBE02 | Treasury: Reverse Key Date Valuation |
RFTBBEX0 | Treasury: Posting Interface - User Exits |
RFTBBF00 | Treasury : Posting Release |
RFTBBF01 | Treasury : Manual Posting Block |
RFTBBF01_VERSION2 | Manual Posting Block and Posting Release |
RFTBBP00 | Checking Posting Interface - Posting Details |
RFTBBPA0 | BP: Conversion Report Customer Partner to Business Partner |
RFTBBPG0 | Conversion - Treasury Transactions - Customer to Business Partner |
RFTBBPS0 | |
RFTBBS00 | Treasury: Reverse Posting Documents |
RFTBBS01 | Treasury: Manual Reversal of Posted Flows |
RFTBBS01_OP_ONLY | Flag flows as reversed (manual reversal before migration) |
RFTBBVC | Calculate Correlations between Exchange Rates |
RFTBBW_BPARTNER_DISP | Branch-To Report: Display of Master Data for Business Partner |
RFTBBW_COLL_DISP | Branch-To Report: Collateral for an Object |
RFTBBW_CUST_LIMTYPE_DISP | Branch-To Report: Display of Customizing for a Limit Type |
RFTBBW_EGP_DISP | Branch-To Report: Log of Single-Transaction Check |
RFTBBW_EXPOS_CALC_DISP | Branch-To Report: Details of Calculation of Attributable Amount |
RFTBBW_GEN_DATASOURCE | Manual Generation of DataSources |
RFTBBW_INFOOBJ_ODS_GEN | Create/Change/Prepare ODS Object |
RFTBBW_LIM_MASTERDATA_DISP | Branch-To Report: Display of Master Data in Limit Management |
RFTBBW_SNGL_DEAL_DISP | Branch-To Report: Transaction Details |
RFTBB_HWCALIBRATION2 | Calibration of Hull-White Yield Curve Model |
RFTBB_MDG | Market Data Generator |
RFTBCD00 | Treasury: Change Documents for Transaction |
RFTBCF00 | Journal: Transactions with Cash Flows |