SAP Transactions

Transaction Text
FPTX1 Select Country-Specific Tax Report
FPTXCOM Update Telecommunications Tax
FPU1 Maintenance of regrouping accounts
FPU2 Tfr Posting to Other Company Code
FPU5 Transfer Documents to Another Acct
FPU6 History of Transfer
FPUCT_RFC RFC Destination for Telco Tax
FPVA Dunning Proposal
FPVB Dunning Activity Run
FPVBUND Adjustment to Percentage of Ownersh.
FPVBUND1 Maintenance of VBUND History
FPVC Mass Reversal of Dunning Notices
FPVT Transfer Dunning Telephone List
FPVT1 Entries in Dunning Telephone List
FPVV Valuation of Dunnings
FPVZ Maintain Agreed Payment Amounts
FPW1 Foreign Currency Valuation
FPW2 Log Records for For. Crcy Valuations
FPW3 Event-Controlled Inverse Posting
FPWLM Manage Worklists
FPWLMN Manage Worklists
FPY1 Payment Run / Debit Memo Run
FPY1A Analysis Tool for Payment Runs etc.
FPYE1 Year-End Postings
FPYP Direct Debit Pre-Notification (SEPA)
FPYS Payment Run (Direct Payers)
FPZD Reorganize Payment Documents
FPZP Payment Form Items Overview
FPZW Receivables correction
FPZWH Evaluate Adjusted Receivables
FP_DEL_DFKKQSR Delete Withhold. Tax Reporting Data
FP_DEL_DFKKREP01 Deletion of Tax Rep. Data (Belgium)
FP_DEL_DFKKZP_ARCIND Delete Indexes for Arch. Payment Lot
FP_DEL_REPZM Delete EC Sales List Data
FP_MA_LAYOUT SAP Layout Maint. for FI-CA-MASS
FP_MA_LAYOUT_ALL Maint. of SAP Layout; VC_TAMLAY_00
FP_NOTE_CUST Not to Payee Analysis - Customizing
FP_NOTE_TEST Note to payee Analysis - Test
FP_PD01 Report RFKKPD01
FP_PD02 Report rfkkpd02
FP_PD03 Report rfkkpd03
FP_REG Subscriptions for Clearing
FP_REG_DEL Delete Obsolete Subscriptions
FP_VMIG_WOH Contract in Write-Off History
FP_VMIG_ZWF Set Contract in Receivable Adjust.
FP_VT1 Create Provider Contract
FP_VT2 Change Provider Contract
FP_VT3 Display Provider Contract
FQ00 FI-CA Technical Settings
FQ0015 Account Assignment of Other Taxes
FQ0017 Account Assignment for Telco Taxes
FQ0018 Maintain Tax Interface Version
FQ0021 Tax at Clearing Tax Code
FQ0025 Tax Specifications
FQ0061 FI-CA: Late Payment Surcharge
FQ0090 FI-CA: Specifications for Bundling
FQ01 C FI Maintain Table TFK022A/B
FQ0111 FI-CA: Returns Specifications
FQ02 C FI Maintain Table TFK022C
FQ0200 FI-CA: Withholding Tax Outgoing Payt
FQ0201 FI-CA: Addtl Withholding Tax OutPayt
FQ0210 FI-CA: Withholding Tax Incoming Payt
FQ0211 FI-CA: Addtl Withholding Tax IncPayt
FQ03 C FI Maintain Table TFK022D
FQ0300 FI-CA: Segment for G/L Item
FQ0301 FI-CA: Segment for Bus. Partner Item
FQ0310 Add. Acct Assignments for Down Pmts
FQ04 C FI Maintenance Table TFK000U
FQ05 FI-CA Maintenance Table TFK061A
FQ0500 Determine Contract Stnd. Acct Assgmt
FQ06 FI-CA Maintenance Table TFK062A
FQ07 FI-CA Maintenance Table TFK063A
FQ1031 FI-CA: Incoming Pmnt Specifications
FQ1032 FI-CA: Post Payment Order Specs
FQ1033 FI-CA: Credit Card Lot Specs
FQ1035 FI-CA: Specs for Man. Checks Lot
FQ1036 FI-CA: Specs for Check Encashment
FQ1037 FI-CA: Specs for Check Encashment
FQ1038 FI-CA: Specs for Check Encashment
FQ1039 Check Encashment Exp./Rev. Accounts
FQ1041 FI-CA: Returns Clarification Account
FQ1042 Enter Check Escheatment Specificat.
FQ1062 Specifications for Transerring Items
FQ1130 Setting of Debt Recvery Score
FQ1131 Clearing Accts for Collect.Agencies
FQ1132 Specific. for Coll.Agency Postings
FQ1270 FI-CA: Prepaid Balance (G/L Account)
FQ1271 Prepaid: Reversal of Top-Ups
FQ1272 FI-CA: Prepaid Balance (Contr.Acct)
FQ1273 FI-CA: Prepaid Balance (Contr.Acct)
FQ1274 FI-CA: Prepaid Adjustment Postings
FQ1275 FI-CA: Free Increase
FQ1276 FI-CA: External Prepaid Refill
FQ1297 Activate Valuation Area
FQ1310 FI-CA: Main/Sub for Official Charges
FQ1311 FI-CA: Doc. Type for Official Chrges
FQ1320 Settings for Credit Clarification
FQ1321 Settings for Credit Clarification
FQ1322 Assign Authorization in Credit Proc.
FQ1378 Requirement from Invoicing
Lines 17801 to 17900 of 91333 entries
1 177 178 179 180 181 914