Transaction | Text |
---|---|
F9INDCONDDELREL | Release Individual Conditions |
F9INDCONDDISP | Display Individual Conditions |
F9INDIV | Display Individual conditions |
F9IO | Post Planned item |
F9IP | Planned items |
F9IQPLAN | Delete Planned Order |
F9ITAUTH | BCA: Amount Authorization for Item |
F9IUPLAN | Post Planned Orders |
F9IVPLAN | Planned Orders - Application Log |
F9J0 | Display Application Log |
F9J1 | Reconcile with Legacy System |
F9JENQSHOW | Display BKKITENQ |
F9K1 | Create Account |
F9K2 | Change account |
F9K3 | Display Account |
F9KAC | Release Account Closure |
F9KD | Account Closure |
F9KE | Application Log Account Closure |
F9KG | Release Limits |
F9KGDEL | Delete Limits |
F9KGDISP | Limit Overview |
F9KH | Release Currency Changeovers |
F9KHDEL | Delete Currency Changeovers |
F9KMOC | Change business partner |
F9KOVRDISP | Tolerated Overdraft: Display |
F9KOVRN | Tolerated Overdraft: Notification |
F9KOVRN_DUPL | Tol.Ovrdft: Duplicate Notification |
F9KOVRR | Tolerated Overdraft: New Run |
F9L+ | Display Condition Area Settings |
F9L, | Master Data Settings |
F9L0 | Settings for Additional Development |
F9L4 | Posting Date for Closing in Dialog |
F9L5 | Create Transaction Type Categories |
F9L6 | Change Transaction Type Categories |
F9L7 | Display Transaction Type Categories |
F9L8 | Create Medium Categories |
F9L9 | Change Medium Categories |
F9L= | Create Condition Area Settings |
F9L? | Change Condition Area Settings |
F9LA | Display Medium Categories |
F9LB | Create Item Counters |
F9LBDT | Development in BDT Environment |
F9LC | Change Item Counters |
F9LD | Display Item Counters |
F9LE | Create Transaction-Category Assignm. |
F9LF | Change Transaction-Category Assignm. |
F9LG | Dsiplay Transaction-Category Assign. |
F9LH | Create Medium-Category Assignment |
F9LI | Change Medium-Category Assignment |
F9LJ | Display Medium-Category Assignment |
F9LK | Create Item Counter Determination |
F9LL | Change Item Counter Determination |
F9LM | Display Item Counter Determination |
F9LN | Transact.-Interest Trans. Assignment |
F9LO | Transact.-Interest Trans. Assignment |
F9LP | Transact.-Interest Trans. Assignment |
F9LQ | Create Dispatch Expense Counter |
F9LR | Change Dispatch Expense Counter |
F9LS | Display Dispatch Expense Counter |
F9LT | Country Setting for IBAN |
F9LTC | Fixing Fixed-Term Deposits |
F9LU | Payment Notes for Returns |
F9LV | Bank Area-Independent Settings, Text |
F9LW | Create Trivial Amount |
F9LX | Change Trivial Amount |
F9LY | Display Trivial Amount |
F9LZ | Create Bk.Area-Cond.Area Assignment |
F9M01 | S Table: Field Status Maintenance |
F9M02 | Table: Function Variant Maintenance |
F9M03 | Assign Function Variants |
F9M04 | Field Groups per Object |
F9M05 | Field Status per Activity |
F9M06 | Field Status per Document Type |
F9M1 | Bank Customer Accounts: Settings |
F9M2 | Business Partner: Settings |
F9M3 | Relationships: Settings |
F9M4 | Settings Payment Transactions |
F9M5 | Condition Settings |
F9MA | Check Digit Procedure |
F9MAA | Default Value Transaction Type |
F9MAB | Default Media |
F9MAC | Default Payment Methods |
F9MAD | Alternative Currency Key |
F9MARCH | Archiving: Period Maintenance |
F9MB | Bank Area |
F9MBC | Currency changeover |
F9MBD | Currency changeover |
F9MBENCH | Performance BCA |
F9MBP | Permitted Products per Bank Area |
F9MC | Assignment of Check Digit Procedure |
F9MD | Parameters for Modulo Procedure |
F9ME | Assignm. Check Dig.Proced.->Bank Key |
F9MEMPOBJM | Table Mainten. Obj.Meth. Empl.Accts. |
F9MF | Bank Area: Accounts Payment Trans. |
F9MH | Settings for Hierarchies (General) |
F9MHCC | Settings for Cash Concentration |
F9MI | Formats for Application of Funds |
F9MJ | Assignment Inverse Trans. Type |
F9MJUMP | Table Maintenance Jump |
F9MK | Notification of Returns |