Transaction | Text |
---|---|
F9CSO5 | SO Control: Screens |
F9CSO6 | SO Control: Screen Sequence |
F9CSO7 | SO Control: Events |
F9CSO8 | SO Control: CUA Standard Functions |
F9CSO9 | SO Control: CUA Additional Functions |
F9CSOB | SO Ctrl: Assig. ScrnFld->DBfld |
F9CSOC | SO Control: Field Modificat.Criteria |
F9CSOD | SO Control: Products |
F9CSOE | SO Control: Product Group |
F9CSOF | SO Control: Applic. Transactions |
F9CSOH | SO Control: Tables |
F9CSOI | SO Control: Activities |
F9CSOJ | SO Control: FM per Activity |
F9CT | Change reference limits |
F9CTRNSTYP | Maintain Transaction Types |
F9CTXTKEY | BCA: Maintain Text Key |
F9CU | Display reference limits |
F9CV | Principle of Dual Control Limits |
F9CX | Field Control - Conditions |
F9CZ | BCA: Guarant. Amounts for Posit.Type |
F9C[ | Authorization Types for Condiitons |
F9C] | Position: Authorization Types |
F9C` | Display Transaction Type Category |
F9C{ | Authorization Types Payment Items |
F9C} | Authorization Types Payment Orders |
F9D1 | Messages |
F9DDCC | Currency Conversion Dir. Debit Order |
F9FOCC | Forward Order Currency Changeover |
F9FOLLOWUP | Account Resubmission |
F9G1 | Create acct holder |
F9G2 | Change acct holder |
F9G3 | Display Account Holder |
F9G4 | Create Authorized Drawer |
F9G5 | Change Authorized Drawer |
F9G6 | Display Authorized Drawer |
F9G7 | Create Account Holder |
F9G8 | Change Account Holder |
F9G9 | Display Account Holder |
F9GA | Create Bank Statement Recipient |
F9GB | Change Bank Statement Recipient |
F9GC | Dispaly Bank Statement Recipient |
F9GL | Display All BP Roles |
F9GML | Global Mandate Locks |
F9H0 | Account Hierarchy Change History |
F9H1 | Create Account Hierarchy |
F9H2 | Change Account Hierarchy |
F9H3 | Display Account Hierarchy |
F9H4 | Cash Concentration: Single Run |
F9H5 | Cash Concentration: Restart |
F9H6 | Cash Concentration: Mass Run |
F9H7 | Number Range Maintenance: BKK_HYRAR |
F9HB | General Ledger Transaction |
F9HC | General Ledger Group |
F9HC4 | GL Acct Assgmt, Indiv.Value Adjustmt |
F9HC5 | GL Acct Assgmt, Indiv.Value Adjustmt |
F9HD | GL Transfer Posting Group |
F9HE | GL Acct. Assignment, CA Posted |
F9HEWB1 | Create Individual Value Adjustment |
F9HEWB2 | Change Individual Value Adjustment |
F9HEWB3 | Display Individual Value Adjustment |
F9HEWB4 | Post Loss on Receivables |
F9HI | Transfer BCA - GL |
F9HIST_KOND_INDIV | History of Individual Conditions |
F9HIST_KOND_STAND | History of Standard Conditions |
F9HIST_KOND_ZUORD | History of Condition Assignment |
F9HL | Bal.Sheet Prep. BCA - GL |
F9HLDAUTH | BCA: Authorization Amts for Holds |
F9HLDREL | Release Holds requiring Dual Control |
F9HO | GL Control for Legacy Data |
F9HRVA | Post Individual Value Adjustment |
F9HRVA_MT | Indiv. Val. Adjst. Proposal List |
F9H_GLCUST | Check General Ledger Customizing |
F9H_GLDATA | Comparison of FI Data with BCA |
F9H_GL_OLD | GL Control for Legacy Data |
F9I1 | Create Payment Order - External |
F9I1PLAN | Create Planned Order Externally |
F9I2 | Create Payment Order - Internal |
F9I2PLAN | Create Planned Order Internally |
F9I3 | Display Payment Order |
F9I3PLAN | Display Planned Order |
F9I4 | Create Payment Item |
F9I7 | Display Payment Item |
F9I8 | Postprocess Payment Item |
F9I9 | Edit Payment Order (General) |
F9I9PLAN | General Processing of Planned Order |
F9IA | Release Payment Order |
F9IAPLAN | Release Planned Payment Order |
F9IB | Release Payment Item |
F9IC | Create Payment Order Former Account |
F9ID | BCA: CpD Editing of Payment Item |
F9IE | Create Payment Item Former Account |
F9IF | BCA: CpD Display of Payment Item |
F9IG | Reverse Payment Item |
F9II | Return Payment Item |
F9IJ | Edit Payment Item |
F9IK | Create Return Payment Order |
F9IL | Create Planned Item |
F9IM | Delete Planned Item |
F9IN | Display Planned Items |
F9INDCOND | Release Individual Conditions |