Program | Text |
---|---|
SAPDBW1F | |
SAPDBWAF | |
SAPDBWBF | |
SAPDBWCOCOLDB | Log. Database WCOCOLDB: Database Program |
SAPDBWOI | |
SAPDBWPI | |
SAPDBWTF | |
SAPDBWTY | Logical Database WTY: Database Program |
SAPDBWUF | |
SAPDBXXF | |
SAPDB__S | Logical Database __S: Processing without Database |
SAPDELMP | Delete superfluous physical matchcode pools |
SAPDEMO_OO_LDB01 | Demo program: Usage of OO-wrapped logical databases |
SAPDEXIM | Export Data from Test Tables |
SAPDJ01P | Dialog Module RV_BELEG_PARTNER |
SAPDJ02P | IS-M/SD: Dialog Module Billing Document Partner |
SAPF006 | Create Table TMODU from Screen Source Codes |
SAPF010 | Carry Forward Receivables/Payables |
SAPF010_NACC | Carry Forward Receivables/Payables |
SAPF011 | Carry Forward G/L Balances |
SAPF019 | Deleting Master Data |
SAPF020 | Reset Transaction Data |
SAPF023 | Reset Bank Data |
SAPF023FI | Set Deletion Flag/Reset Bank Data - Check Routines |
SAPF040R | Delete Reference Documents |
SAPF044 | Initialize Management Information |
SAPF047 | FI: Determine How Customers and Vendors are Linked |
SAPF048S | Archiving of Financial Accounting Docs: Creation of Secondary Indexes |
SAPF048X | Archiving of Financial Accounting Documents: Repair to Existing Mgt |
SAPF053R | Delete Sample Account |
SAPF056 | FI: Archiving Program for Customer Master Data |
SAPF056ALEDEL | FI Customer Master Record Data Deletion Program (ALE) |
SAPF056D | FI: Customer Master Data Archiving: Deletion Program |
SAPF056V | FI Customer Master Data Archiving: Proposal List |
SAPF057 | FI: Customer Master Record Archiving: Retrieval Program |
SAPF058 | FI: Archiving Program for Vendor Master Data |
SAPF058ALEDEL | FI Customer Master Record Data Deletion Program (ALE) |
SAPF058D | FI: Archiving Vendors: Deletion Program |
SAPF058V | FI, Vendor Master Data Archiving: Proposal List |
SAPF059 | FI: Vendor Master Record Archiving: Retrieval Program |
SAPF068 | Accounting Interface, Document Archiving |
SAPF068D | Accounting Interface, Document Archiving: Deletion Program |
SAPF069 | Accounting Interface, Document Archiving: Reloading Program |
SAPF070 | Reconcile Documents and Account Transaction Figures |
SAPF070_NACC | Reconcile Documents and Account Transaction Figures |
SAPF071 | Adjust Balances after Comparing Documents/Transaction Figures |
SAPF071_NACC | Adjust Balances after Comparing Documents/Transaction Figures |
SAPF080 | Mass Reversal of Documents |
SAPF080R | Reverse Accrual/Deferral Documents |
SAPF080R_OLD | Reverse Accrual/Deferral Documents |
SAPF100 | Foreign Currency Valuation |
SAPF100A | Open Item - Foreign Currency - Valuation per ........ (Old) |
SAPF101 | Balance Sheet Supplement - OI - Analysis per & |
SAPF101A | Balance Sheet Supplement - OI - Analysis by ........ (Old) |
SAPF103 | Transfer Posting for Doubtful Receivables |
SAPF104 | Provisions for Doubtful Receivables |
SAPF106 | Open Item Balance Sheet Supplement (Russia) |
SAPF107B | Deletion of Fixed Amounts and Evaluations (F107) |
SAPF107D | Customer Evaluation at Key Date & |
SAPF107R | Reorganize Valuation Runs |
SAPF107S | FI Valuation - Selection Section |
SAPF107_START | Start SAPF107 as a Report |
SAPF109 | OI Foreign Currency Valuation per DD.MM.YY |
SAPF110I | Cash Discount Losses Layout Index for Payment Proposal |
SAPF110R | Reorganization Program for Payment Data |
SAPF110S | Payment Program |
SAPF110V | Module Pool for Entering Payment Runs |
SAPF111S | Payment Program for Payment Requests |
SAPF120 | Create Posting Documents from Recurring Documents |
SAPF120G | Generating Report for SAPF120 |
SAPF120R | Main Program for SAPF120 |
SAPF121 | Create Recurring Documents from Recurring Documents |
SAPF121G | Generation Report for SAPF121 |
SAPF121R | Report for SAPF121 |
SAPF122 | References from Original Documents to Following Recurring Documents |
SAPF123S | Delete Blocked Entries from the Automatic Clearing Program |
SAPF124 | Automatic Clearing |
SAPF130A | Display Selection Criteria for Balance Confirmations |
SAPF130D | Customer Balance Confirmation |
SAPF130D_PDF | Customer Balance Confirmation |
SAPF130E | Balance Confirmations: Display Address List |
SAPF130F | Display Address List from Central Address Administration |
SAPF130G | Change Selection Criteria for Balance Confirmations |
SAPF130K | Vendor Balance Confirmation |
SAPF130K_PDF | Program SAPF130K_PDF |
SAPF130P | Grouping Customer/Vendor Master Records |
SAPF130Z | Head Office and Branch Index for Balance Confirmations |
SAPF140 | Trigger for Correspondence |
SAPF140D | Delete Correspondence Requests |
SAPF140P | Maintain Correspondence Requests |
SAPF150D | Dunning Notice Print (With Update of Line Items and Master Records) |
SAPF150D2 | FI Dunning - Print Program |
SAPF150R | Include LCOOCMBFR1 |
SAPF150S | Dunning Run (Selection Section) |
SAPF150S2 | FI Dunning - Selection Section |
SAPF163 | Bank Number from Bank Key Supplement |
SAPF163A | Formal Validation of Bank Data |
SAPF170 | Automatic Work List Layout |
SAPF180 | Post Balance Sheet Adjustment |
SAPF180A | Calculate Balance Sheet Adjustment |