SAP Transactions

Transaction Text
FPCF Transfer Data to Cash Management
FPCFDEL Delete Completed Clarification Cases
FPCG Maintenance of Master Data Groups
FPCGA Display Master Data Groups
FPCGB Update of Contact Persons
FPCH1 Online Check Printing
FPCHA Assign Payment Document to Check
FPCHESCHC Clarification of Check Escheatment
FPCHESCH_CHANGE Change Check Escheatment Data
FPCHESCH_DISP Display Check Escheatment Data
FPCHESCH_ESCH Execute Check Escheatment
FPCHESCH_START Start Check Escheatment Process
FPCHL List of Issued Checks
FPCHN Create Check in Register
FPCHO Maintain Owner of Check Forms
FPCHP Check Assignment for Payment Run
FPCHR Check Management
FPCHS Document Reversal after Check Lock
FPCHV Voiding of Checks from Payment Run
FPCHX Check Extract for Report Files
FPCI Information for Collection Agencies
FPCIBW BW Extraction of Cleared Items
FPCIBWFC Set Fields for CI Extraction
FPCJ Cash Journal
FPCJM Edit Cash Object
FPCJM_EX Process External Cash Desk Object
FPCJM_IN Define Cash Desk Structure
FPCJR Cash Desk Evaluation
FPCJ_MAINTAIN_RESP Maintain Cash Journal Responsibilits
FPCLBW Extraction of Collection Items
FPCL_CUSTOMIZING Payment Release List (France)
FPCM1 Transfer of Credit Data
FPCM2 Replication of Score
FPCM3 Compare Replicated Score
FPCMCAP Capacity Planning
FPCNR Clarif. Incorr. Bank Data Changes
FPCODU Correspondence Dunning
FPCODUH Correspondence Dunning History
FPCOHIST Display Correspondence History
FPCOLLAG Derivation Cllction Agncy - Custom.
FPCOLLAGP Derivation Cllction Agncy - Mainte.
FPCOLLHIST Display Collection History
FPCOPARA Correspondence Printing
FPCPL Clarification Processing: Pmnt Lot
FPCPL_ALERT Clarification Processing: Pmnt Lot
FPCPR Clarif. Processing: Payment Run
FPCR1 Display Creditworthiness
FPCR2 Change Creditworthiness
FPCRL Clarification Processing: Returns
FPCRPO Clarification Processing: Credit
FPCRPO_DET Create Credit List
FPCR_ACTIVATE Applic.: Activate Garnishment Reg.
FPCR_CUSTOMIZING Garnishment Register
FPCR_NUMBERRANGE Number Range Maintenance: FPCRCASEID
FPCS Payment Card Billing
FPCUM Write-Off fm Clarification Worklist
FPCVS Clarification Processing:
FPCVS_CLAR Confirm Payments
FPCVS_CONF Confirm Reported Payments
FPCVS_EXAM Monitoring of Third Party Payments
FPD1 Security Deposit Statistics Report
FPD2 Overview of Security Deposits
FPDC Document Consistency Check
FPDCM Consistency Check for FI-CA Docs
FPDDA2 Change Debit Memo Notification
FPDDA3 Display Debit Memo Notification
FPDDAX Debit Memo Notification
FPDE Document Extracts: Overview
FPDEC_DEL Customizing Extr. - Deletion of Ext.
FPDEC_EXP Customizing Extracts - Export
FPDEC_IMP Customizing Extracts - Import
FPDEP_DEL Partner Extracts - Del. of Extract
FPDEP_EXP Partner Extracts - Export
FPDEP_IMP Partner Extracts - Import
FPDE_AEXP Doc. Extracts - Export fm Archive
FPDE_DEL Doc. Extracts - Deletion of Extract
FPDE_EXP Document Extracts - Export
FPDE_EXTR Doc. Extracts - Export Extr. Docs
FPDE_IMP Document Extracts - Import
FPDKCPR Denmark : CPR / CVR No
FPDM00 Display Dispute Cases
FPDM01 Create Coll. Cases after Dunn. Run
FPDMS Manage Documents
FPDMS1 Add Documents
FPDMS2 Determine Image of Documents
FPDMS3 Assign Business Partner
FPDMS4 Delete Images of Documents
FPDOC Display missing FI-CA document
FPDP_ACTIVATE Application: Activate Down Payments
FPDP_CREATE Down Payments with Purchase Orders
FPDP_CUSTOMIZING Down Payments
FPDP_MESSAGE Customizing Messages
FPDR Trans.Postg Run for Deferred Revenue
FPDR_BY_EVENT Transfer Run (Event-Based Def.Rev.)
FPDR_BY_EVENT_CORR Evt-Based Def.Revenues Adjustmt Run
FPDR_DISPLAY Display of Deferred Revenues
FPDR_DISPLAY_EVENT Display of Event-Based Def. Revenues
FPDR_DISPLAY_TIME Display of Time-Based Def. Revenues
FPDUDC Create Docs from Standing Requests
FPDUN_REPAIR Delta Update
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