Transaction | Text |
---|---|
EWFM | Find Open Dunning Runs |
EWFS | Check for Balances in Local Currency |
EWFZ | Find Open Payment Runs |
EWG5 | Consolidation Staging Ledger |
EWHV | Generic IAC for Cluster Objects |
EWIC | LCC: Provider |
EWK0 | Customer Development: Find Fields |
EWK1 | Cust.Development: Curr.in Report Txt |
EWK2 | Cust.Development: Curr.on Screen |
EWK3 | Customer Development: Assign Rule |
EWK4 | Customer Development: Save Selection |
EWM1 | MM Fill Fields in EBAN |
EWM3 | Match MM Sales Values |
EWM4 | MM Purchase Order History Adjustment |
EWM6 | Reconcile GR/IR Clearing Account |
EWMA | IS-U Work Management |
EWS1 | EMU Conv.: Check Analysis Program |
EWS2 | Evaluate Archived Data |
EWS3 | List of Critical Archives |
EWSH | EMU Procedure Monitor |
EWT0 | Change Plan Year for Chngover Pckge |
EWT1 | Set Ability to be Restarted |
EWT2 | Activate a Changeover Package |
EWT3 | Start Forecast |
EWTF | Table Selection for RESTART/NO VIEW |
EWUD | EMU mass conversion in cust. master |
EWUL | Currency conversion vendors |
EWUM | Conversion Sequence/Server Assignmnt |
EWUO | Transaction data for EMU conversion |
EWUS | Maintain Largest Tables |
EWUT | EMU: TA currency changeover FX/MM/DE |
EWWA | Currency Select.f.Changeover Package |
EWWB | Determining Ratios & Exchange Rates |
EWX1 | FI Analyze: Open Items |
EWX2 | FI Analyze: Open Items |
EWX3 | FI Analyze: Doc. Splitting Adjustmt |
EWX5 | FI Analysis: Cost Element Check |
EWX7 | FI Post: Post Documents Subsequently |
EWZ5 | Lock Users |
EWZ6 | Unlock System |
EWZA | Confirm System Settings |
EXAMPLE_FLOW_M | EXAMPLE_FLOW_M |
EXCEPTION_MANAGEMENT | Exception Management |
EXCL_TABLE | Transaction to exclude table |
EXEORGCHEARM | Parameter transaction for TG01000008 |
EXPD | Expediting |
EXPD_STNUM | Number Range Status Information |
EXPG | Agent Determination |
EXPL_MSS | Call the explain in a new window |
EXPO_ANA | Analysis of a FOX Folder |
EXPO_READ | Read & Visualize FOX Storage |
EXPO_TEST | Text explosion FOX with PLM objects |
EXP_CAU_MAPPING | Expense Type and Causal Type Mapping |
EXP_CUST | Express Planning Customizing |
EXP_CUST_KFPRICE | Prices of Statistical Key Figs |
EXP_INSTANCE_CREATE | Create Instance |
EXP_INSTANCE_DISPLAY | Create Instance |
EXP_INSTANCE_EDIT | Create Instance |
EXTID_DN | External Identification Type DN |
EXTID_ID | External Identification Type ID |
EXTSDL | Administer the External Scheduler |
E_00003090 | Maintain BTE 00003090 |
E_00003091 | Maintain BTE 00003091 |
E_DEREG_SYST | Deregulation: System Settings |
E_JBP_CUST | Customizing JBP |
E_JBP_SYST | SAP System Settings for JBP |
F-01 | Enter Sample Document |
F-02 | Enter G/L Account Posting |
F-03 | Clear G/L Account |
F-04 | Post with Clearing |
F-05 | Post Foreign Currency Valuation |
F-06 | Post Incoming Payments |
F-07 | Post Outgoing Payments |
F-18 | Payment with Printout |
F-19 | Reverse Statistical Posting |
F-20 | Reverse Bill Liability |
F-21 | Enter Transfer Posting |
F-22 | Enter Customer Invoice |
F-23 | Return Bill of Exchange Pmt Request |
F-25 | Reverse Check/Bill of Exch. |
F-26 | Incoming Payments Fast Entry |
F-27 | Enter Customer Credit Memo |
F-28 | Post Incoming Payments |
F-29 | Post Customer Down Payment |
F-30 | Post with Clearing |
F-31 | Post Outgoing Payments |
F-32 | Clear Customer |
F-33 | Post Bill of Exchange Usage |
F-34 | Post Collection |
F-35 | Post Forfaiting |
F-36 | Bill of Exchange Payment |
F-37 | Customer Down Payment Request |
F-38 | Enter Statistical Posting |
F-39 | Clear Customer Down Payment |
F-40 | Bill of Exchange Payment |
F-41 | Enter Vendor Credit Memo |
F-42 | Enter Transfer Posting |
F-43 | Enter Vendor Invoice |
F-44 | Clear Vendor |
F-46 | Reverse Refinancing Acceptance |