Transaction | Text |
---|---|
FARA | S FI-ARI Maint. table T061P/Q |
FARB | C FI-ARI Maint. table T061R |
FAREA_MODE | Setting: Determination of Funct.Area |
FARI | AR Interface: Third-party applicatns |
FARY | Table T061S |
FARZ | Table T061V |
FB00 | Accounting Editing Options |
FB01 | Post Document |
FB01L | General Posting for Ledger Group |
FB02 | Change Document |
FB03 | Display Document |
FB03L | Document Display : G/L View |
FB03S | Display Split Documents |
FB03Z | Display Document/Payment Usage |
FB04 | Document Changes |
FB05 | Post with Clearing |
FB05L | Post with Clearing for Ledger Group |
FB05_OLD | Post with clearing |
FB07 | Control Totals |
FB08 | Reverse Document |
FB08S | Reverse Split Document |
FB09 | Change Line Items |
FB09D | Display Line Items |
FB10 | Invoice/Credit Fast Entry |
FB11 | Post Held Document |
FB12 | Correspondence Request |
FB13 | Release for Payments |
FB15 | Assign Items |
FB16 | Assign Items |
FB16EA | Assign Items |
FB17 | Open Item Assignmnt: Check from List |
FB18 | Maintain Standard Mail Texts |
FB1D | Clear Customer |
FB1K | Clear Vendor |
FB1S | Clear G/L Account |
FB1SL | Clear G/L Account for Ledger Group |
FB21 | Enter Statistical Posting |
FB22 | Reverse Statistical Posting |
FB2E | Reconciliation btwn affiliated comps |
FB31 | Enter Noted Item |
FB41 | Post Tax Payable |
FB50 | G/L Acct Pstg: Single Screen Trans. |
FB50L | Enter G/L Account Doc for Ledger Grp |
FB60 | Enter Incoming Invoices |
FB65 | Enter Incoming Credit Memos |
FB70 | Enter Outgoing Invoices |
FB75 | Enter Outgoing Credit Memos |
FB99 | Check if Documents can be Archived |
FBA1 | Customer Down Payment Request |
FBA2 | Post Customer Down Payment |
FBA3 | Clear Customer Down Payment |
FBA6 | Vendor Down Payment Request |
FBA7 | Post Vendor Down Payment |
FBA7_OLD | Post Vendor Down Payment |
FBA8 | Clear Vendor Down Payment |
FBA8_OLD | Clear Vendor Down Payment |
FBB1 | Post Foreign Currency Valn |
FBBA | Display Acct Determination Config. |
FBBCX | Post Document with Currency Exchange |
FBBP | Maintain Acct Determination Config. |
FBBRVO | Vendor Operation |
FBCB | Balance Carryfwd for Ledger Group |
FBCJ | Cash Journal |
FBCJ3 | Display Cash Journal |
FBCJC0 | C FI Maintain Tables TCJ_C_JOURNALS |
FBCJC1 | Cash Journal Document Number Range |
FBCJC2 | C FI Maint. Tables TCJ_TRANSACTIONS |
FBCJC3 | C FI Maintain Tables TCJ_PRINT |
FBCJC5 | Maintain Numb. Groups for Cash Docs |
FBCJC6 | Number range maintenance: CAJO_DOC3 |
FBC_BEFN | BE Framework Navigator: FBCB |
FBC_BM | Business Model |
FBC_BM_V | Contracts |
FBC_BTY_ARCH | Residence Time for Billing Documents |
FBC_ES | Event Sender |
FBC_FBCB01 | Edit Billing Due List |
FBC_FBCB02 | Release Billing Due List for Billing |
FBC_FBCB04 | Analyze Incomplete Billing Due List |
FBC_FBCB11 | Maintain Billing Documents |
FBC_FBCB12 | Transfer Billing Docs to Accounting |
FBC_FBCB15 | Display Collective Run Log |
FBC_IMG | Biller Consolidator Customizing |
FBC_ME | Manual data entry |
FBC_SOBO | Assgmnt Sls Org.to Billing Unit |
FBD1 | Enter Recurring Entry |
FBD2 | Change Recurring Entry |
FBD3 | Display Recurring Entry |
FBD4 | Display Recurring Entry Changes |
FBD5 | Realize Recurring Entry |
FBD9 | Enter Recurring Entry |
FBDF | Menu Banque de France |
FBE1 | Create Payment Advice |
FBE2 | Change Payment Advice |
FBE3 | Display Payment Advice |
FBE6 | Delete Payment Advice |
FBE7 | Add to Payment Advice Account |
FBF1 | C80 Reporting Minus Sp.G/L Ind. |
FBF2 | Financial Transactions |
FBF3 | Control Report |
FBF4 | Download Documents |