Program | Text |
---|---|
RFZALI20 | Payment List |
RFZALKHU | Rounding Payment Amounts to the Forint |
RFZAVP01 | Conversion report: Convert object addresses to CAM |
RFZEVT01 | TEST: IPD, Create Dump and Conversion File |
RFZEVT02 | Reads MultiCash Files for Display Purposes |
RFZEVT03 | TEST: IPD, Create Dump and Conversion File |
RFZFA2002 | Umsetzung der Zuführungsart zum BAV-Meldewesen für 2002 |
RFZFA2002_KOR | Umsetzung der Zuführungsart zum BAV-Meldewesen für 2002 |
RF_CONVERT_FBLX_LINE_LAYOUTS | Line Item Display: Layout Conversion for Upgrade to 4.6 |
RF_CONVERT_XEZER_TO_MANDATE | Creates Mandates from Bank Details with Direct Debit Authorization |
RF_F111_PARAMETERS_MODIFY_ONCE | Single Modification of All Parameter Records for F111 |
RF_FILL_FKBER_LONG | Fill BSEG-FKBER_LONG Field |
RF_INSTREP | Conversion of Instr.Key Appl.Area "001" to "100" (Single Repair) |
RF_SPELL | Check of Conversion of Amounts/Figures into Words |
RF_STEUERINFO | Tax Information (Country) |
RF_TEST_CONVERSION | Test Determined Bank Account Numbers with More Than 18 Digits |
RF_TEST_CONVERSION2 | Test for Determining House Bank Acct Nos with More Than 18 Characters |
RF_TIBAN_WO_ACCNO | Maintenance View TIBAN_WO_ACCNO (Modified) |
RG0UMR00 | Subprograms for Currency Translation in FI-LC and FI-GLX |
RGALLOC1 | FI-SL Generate Allocation Select Statement |
RGALLOC1_NACC | FI-SL Generate Allocation Select Statement |
RGALLOC2 | FI-SL: Generating transformation modules in SAPLGUTF |
RGALLOC2_NACC | FI-SL: Generating transformation modules in SAPLGUTF |
RGALLOC3 | Allocation: Delete Line Items No Longer Needed |
RGALLOC4 | Check Customizing Settings for the Allocation |
RGALLOC5 | Allocation cycle mass deletion |
RGAOV | Cylce Overview (Special Purpose Ledger) |
RGBALANCE | Output account balances |
RGBCFL00 | Update FI-SL Programs |
RGBCFL01 | Generate All Coding Block-Dependent FI-SL Programs |
RGBCUT00 | Generate FI-SL Update Function Modules for Summary Tables |
RGBRBC00 | Validation: Regenerate Code for all Clients |
RGBSIS01 | Actual Line Items for Table GLT0 (BSIS/BSEG) |
RGC863LT | Group Reporting |
RGC875CP | Changes in Asset Transfer Depreciation |
RGC880B0 | Where-Used List for Currency Translation Methods |
RGC882C0 | Edit Entries in T882/T882C for Standard Ledgers |
RGC884PR | Print Currency Translation Method |
RGCABG00 | Eliminate Asset Transfers |
RGCAGSB0 | Analyze Deviating Business Areas |
RGCANT00 | Group Shares |
RGCATT00 | Generate Include RGCATT01 for G_CATT_DELETE_TABLE_ENTRY |
RGCAUS00 | Group Reports |
RGCAUS10 | Bundle Corporate Standard Reports |
RGCAUSHY | Totals Report - Hierarchy |
RGCAUSLT | Reports |
RGCBILA0 | Consolidation Data Extract |
RGCBLG00 | Document Report - Consolidation |
RGCCDB00 | Reconcile G/L Accounts with Extended G/L Accounts |
RGCCEDB0 | Compare Periodic Extract <-> Consolidation Items |
RGCCGS01 | Call transaction GS01 |
RGCCHP00 | Contra Item/Retained Earnings |
RGCCHPEU | DO NOT USE!!! Program has been retired! |
RGCCTT00 | Check Individual Financial Data for Missing Breakdown |
RGCCUSKP | Print C/I Methods and Selected Items (Database) |
RGCCUSMU | Where-Used List for Consolidation of Investments Methods |
RGCCUSUP | Print Currency Translation Method |
RGCDDC00 | Check Missing Assignments G/L Account<->Corporate Account |
RGCDDP00 | Print Direct-Posting Account Assignments |
RGCDELTK | Delete Subgroup |
RGCDOW10 | Download for Consolidation |
RGCDOW30 | FI-LC: FI Data Extract Download |
RGCDOW40 | Download for Decentralized Data Entry with MS Access |
RGCDOWVJ | FI-LC Download: Carry-fwd Values for Carry-Forward Transaction Types |
RGCEDR20 | Download Extract to R/2 RF-KONS |
RGCEIS00 | FI-LC: Transfer of Data to EIS |
RGCEISP0 | Display Item Assignments for EIS Reporting |
RGCEISS1 | FI-LC Data Selection for EIS Reporting |
RGCEQL00 | Transfer Changes in Investments/Equity from Database to Tables |
RGCEQT00 | Data Transfer for Affiliated Companies |
RGCERH00 | Data Entry Form and Audit Trail |
RGCERH10 | Bundle Data Entry Forms |
RGCEUR00 | DO NOT USE!!! Program has been retired! |
RGCEUR02 | DO NOT USE!!! Program has been retired! |
RGCEUR10 | DO NOT USE!!! Program has been retired! |
RGCEUR20 | Upload Extract from R/2 |
RGCEUR30 | DO NOT USE!!! Program has been retired! |
RGCEUR40 | Cons.Ledger: Curr.Type 30 --> 80 |
RGCEUR41 | Consolidation Processing Ledger: Currency Type 80 -> 30 |
RGCEUR50 | Reconciliation and anaysis of consolidation staging ledger |
RGCEUR51 | Adapt GLT3 for Identical Local and Group Currency |
RGCEUR60 | FI-LC: Delete Financial and Transaction Data in Year of Changeover |
RGCEUR61 | DO NOT USE!!! Program has been retired! |
RGCEUR90 | User Confirmation: All Reconciliations Carried Out |
RGCFK300 | Assets Held in Foreign Economic Areas |
RGCFK301 | Assets Held in Foreign Economic Areas |
RGCFSCAT | FSCAT Master Data Transfer for EIS |
RGCGEN00 | Generate an Update Call in FI-LC |
RGCGLI10 | List of Ownership |
RGCGLI20 | Changes in Investee Equity |
RGCGLI30 | Changes in Investments |
RGCGLI50 | Changes in Hidden Reserves |
RGCGLI60 | Equity Structure of Investee Companies |
RGCGLI70 | List of Ownership |
RGCHKINT | Update FI-SL Programs |
RGCHRY00 | Print Subgroup Hierarchy |
RGCHRY10 | Subgroup Hierarchy |
RGCIA100 | Company Shares |
RGCIA200 | Consolidation Documents |
RGCIA300 | Account Balances per Financial Statement Item |