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Enter Sample Document


Enter G/L Account Posting
Clear G/L Account
Post with Clearing
Post Foreign Currency Valuation
Post Incoming Payments
Post Outgoing Payments
Payment with Printout
Reverse Statistical Posting
Reverse Bill Liability
Enter Transfer Posting
Enter Customer Invoice
Return Bill of Exchange Pmt Request
Reverse Check/Bill of Exch.
Incoming Payments Fast Entry
Enter Customer Credit Memo
Post Incoming Payments
Post Customer Down Payment
Post with Clearing
Post Outgoing Payments
Clear Customer
Post Bill of Exchange Usage
Post Collection
Post Forfaiting
Bill of Exchange Payment
Customer Down Payment Request
Enter Statistical Posting
Clear Customer Down Payment
Bill of Exchange Payment
Enter Vendor Credit Memo
Enter Transfer Posting
Enter Vendor Invoice
Clear Vendor
Reverse Refinancing Acceptance
Down Payment Request
Post Vendor Down Payment
Customer Noted Item
Post with Clearing
Post Incoming Payments
Post Outgoing Payments
Clear Vendor Down Payment
Enter Statistical Posting
Reverse Statistical Posting
Vendor Noted Item
Payment with Printout
Payment Request
Maintain Table: Posting Periods
Maintain Table: Exchange Rates
Park Vendor Invoice
Park Customer Invoice
Preliminary Posting
Park Vendor Credit Memo
Park Customer Credit Memo
Acquisition from purchase w. vendor
Asset acquis. to clearing account
Asset Retire. frm Sale w/ Customer
ABAP/4 Report: Balance Sheet
Compact Journal
Reconciliation
G/L: Create Foreign Trade Report
Foreign Currency Val.: Open Items
Foreign Currency Valuation:G/L Assts
G/L: Balance Carried Forward
G/L: Account Balances
G/L: Account List
G/L: FTR Report on Disk
G/L: Create Z2 to Z4

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G/L: Chart of Accounts


G/L: General Ledger from Doc.File
Advance Tax Return
ABAP/4 Report: Automatic Clearing
ABAP/4 Report: Recurring Entries
ABAP/4 Report: List Recurr.Entries
ABAP/4 Report: G/L Bal.Carried Fwd
ABAP/4 Report: Cust.Bal.Confirmation
ABAP/4 Report: Vend.Bal.Confirmation
G/L: Goods/Invoice Received Clearing
Customer/Vendor Statistics
Head Office and Branch Index
A/R: Account List
A/R: Open Items
A/R: Open Item Sorted List
A/R: Account Balances
A/R: Interest for Days Overdue
Bill of Exchange List
A/R: Balance Interest Calculation
A/R: Periodic Account Statements
Customers: Reset Credit Limit
A/R: Set Up Info System 1
Calc.cust.int.on arr.: Post (w/o OI)
Calc.cust.int.on arr.: Post(with OI)
Calc.cust.int.on arr.: w/o postings
Customrs: FI-SD mast.data comparison
Reconciliation Btwn Affiliated Comps
Management Acct Group Reconciliation
Create Account Group Reconcil. G/L
A/R: Evaluate Info System
Credit Management - Overview
Credit Management - Missing Data
Credit Management - Brief Overview
Credit Management - Mass Change
Credit Master Sheet
Adv.Ret.on Sls/Pur.Form Printout(DE)
Adv.rept.tx sls/purch.form print (BE
Transfer Posting of Deferred Tax
C FI Maint. table T042Z (BillExcTyp)
A/P: Account List
A/P: Open Items
A/P: Account Balances
A/P: Balance Interest Calculation
A/P: Set Up Info System 1
A/P: Evaluate Info System
Vendors: calc.of interest on arrears
Vendors: FI-MM mast.data comparison
Calc.vend.int.on arr.: Post (w/o OI)
Calc.vend.int.on arr.: Post(with OI)
Calc.vend.int.on arr.: w/o postings
G/L: Profitability Segment Adjustmnt
G/L: Open Items
G/L: Acct Bal.Interest Calculation
G/L: Account Assignment Manual
G/L: Structured Account Balances
Delete Recurring Document
G/L: Delete Sample Documents
OI Bal.Audit Trail: fr.Document File
Accum.Clas.Aud.Trail: Create Extract
Accum.Clas.Aud.Trail: Eval.Extract
Accum.OI Aud.Trail: Create Extract
Accum.OI Audit Trail: Display Extr.
G/L: Update Bal. Sheet Adjustment
G/L: Post Balance Sheet Adjustment
G/L: Balance Sheet Adjustment Log
G/L: Subseq.Adjustment(BA/PC) Sp.ErA
G/L: Adv.Rep.f.Tx on Sls/Purch.w.Jur

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F/LA
F/LB
F/LC
F/LD
F00
F000
F010
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F01O
F01P
F01Q
F01R
F01S
F01T
F040
F041
F042
F043
F044
F045
F046
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F103
F104
F107
F110
F111
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F150
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F53A
F53V
F56A
F58A
F61A
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F66A
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F8+1
F8+2
F8+3
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F8BG

Correspondence: Print Requests


Correspondence: Print Int.Documents
Correspondence: Delete Requests
Correspondence: Maintain Requests
Correspondence: Print Letters (Cust)
Correspondence: Print Letters (Vend)
Bill/Exchange Pmnt Request Dunning
DME with Disk: B/Excha. Presentation
Extended Bill/Exchange Information
C FI Maintain Table T045D
C FI Maintain Table T045B
C FI Maintain Table T045G
Mass Reversal of Documents
Reverse Posting for Accr./Defer.Docs
C FI Maintain Table T045F
C FI Maintain Table T045L
C FI Maintain T012K (Bill/Exch.)
Maintain Bill Liability and Rem.Risk
General Ledger: Report Selection
Vendors: Report Selection
Customers: Report Selection
Create Pricing Report
Change pricing reports
Display pricing reports
Execute pricing reports
SAPoffice: Short Message
Accounting
ABAP/4 Reporting: Fiscal Year Change
Debit position RA single reversal
Vacancy RU single reversal
Accruals/deferrals single reversal
Debit position MC single reversal
MC settlement single reversal
Reverse Periodic Posting
Reverse Acc./Def. General Contract
Reorganization
Bank Master Data Archiving
G/L Accounts Archiving
Customer Archiving
Vendor Archiving
Document Archiving
Transaction Figures Archiving
ABAP/4 Reporting: Balance Sheet Adj.
ABAP/4 Reporting: Transfer Receivbls
ABAP/4 Reporting: Receivbls Provisn
FI Valuation Run
Parameters for Automatic Payment
Parameters for Payment of PRequest
ABAP/4 Report: Automatic Clearing
Dunning Run
Document Archiving
Archiving of G/L Accounts
Management of G/L Account Archives
Customer Archiving
Archiving of Vendors
Bank archiving
Transaction Figure Archiving
Archiving of Bank Data Storage
Display FI Main Role Definition
Maintain FI Main Role Definition
Display FI Amount Groups
Maintain FI Amount Groups
C FI Maintain Table TBKDC
C FI Maintain Table TBKPV
C FI Maintain Table TBKFK
C FI Maintain Table T042Y
Maintain Global Data for F111

F8BH
Inconsistencies T042I and T042Y
F8BJ
Maintain Clearing Accts (Rec.Bank)
F8BK
Maintain ALE-Compatible Pmnt Methods
F8BM
Maintain numb.range: Payment request
F8BN
Corr.Acctg Documents Payment Block
F8BO
Payment request archiving
F8BR
Levels for Payment Requests
F8BS
Detail display of payment requests
F8BT
Display Payment Requests
F8BU
Create payment runs automatically
F8BV
Reversal of Bank-to-Bank Transfers
F8BW
Reset Cleared Items: Payt Requests
F8BZ
F111 Customizing
F8XX
Payment Request No. Ranges KI3-F8BM
FA39
Call up report with report variant
FAKA
Config.: Show Display Format
FAKP
Config.: Maintain Display Format
FAR1
S FI-ARI Maint. table T061A
FARA
S FI-ARI Maint. table T061P/Q
FARB
C FI-ARI Maint. table T061R
FARI
AR Interface: Third-party applicatns
FARY
Table T061S
FARZ
Table T061V
FAX1
BC sample SAP DE 2.1
FAX2
BC sample 2 SAP DE 2.1
FB00
Accounting Editing Options
FB01
Post Document
FB02
Change Document
FB03
Display Document
FB03Z
Display Document/Payment Usage
FB04
Document Changes
FB05
Post with Clearing
FB05_OLD Post with clearing
FB07
Control Totals
FB08
Reverse Document
FB09
Change Line Items
FB10
Invoice/Credit Fast Entry
FB11
Post Held Document
FB12
Request from Correspondence
FB13
Release for Payments
FB1D
Clear Customer
FB1K
Clear Vendor
FB1S
Clear G/L Account
FB21
Enter Statistical Posting
FB22
Reverse Statistical Posting
FB31
Enter Noted Item
FB41
Post Tax Payable
FB50
G/L Acct Pstg: Single Screen Trans.
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.
FBBP
Maintain Acct Determination Config.
FBCJ
Cash Journal
FBCJC0 C FI Maintain Tables TCJ_C_JOURNALS
FBCJC1 Cash Journal Document Number Range

FBCJC2
FBCJC3
FBCOPY
FBD1
FBD2
FBD3
FBD4
FBD5
FBD9
FBDF
FBE1
FBE2
FBE3
FBE6
FBE7
FBF1
FBF2
FBF3
FBF4
FBF5
FBF6
FBF7
FBF8
FBFT
FBIPU
FBKA
FBKF
FBKP
FBL1
FBL1N
FBL2
FBL2N
FBL3
FBL3N
FBL4
FBL4N
FBL5
FBL5N
FBL6
FBL6N
FBM1
FBM2
FBM3
FBM4
FBMA
FBME
FBMP
FBN1
FBN2
FBP1
FBR1
FBR2
FBRA
FBRC
FBS1
FBTA
FBTP
FBU2
FBU3
FBU8
FBV0
FBV1
FBV2
FBV3
FBV4
FBV5
FBV6

C FI Maint. Tables TCJ_TRANSACTIONS


C FI Maintain Tables TCJ_PRINT
Copy Function Module
Enter Recurring Entry
Change Recurring Entry
Display Recurring Entry
Display Recurring Entry Changes
Realize Recurring Entry
Enter Recurring Entry
Menu Banque de France
Create Payment Advice
Change Payment Advice
Display Payment Advice
Delete Payment Advice
Add to Payment Advice Account
C80 Reporting Minus Sp.G/L Ind.
Financial Transactions
Control Report
Download Documents
Reports Minus Vendor Accounts
Document Changes
C80 Reports Minus Sp.G/L Ind.
C84 Reports
Customizing BDF
Maintain bank chains for partner
Display Accounting Configuration
FBKP/Carry Out Function (Internal)
Maintain Accounting Configuration
Display Vendor Line Items
Vendor Line Items
Change Vendor Line Items
Vendor Line Items
Display G/L Account Line Items
G/L Account Line Items
Change G/L Account Line Items
G/L Account Line Items
Display Customer Line Items
Customer Line Items
Change Customer Line Items
Customer Line Items
Enter Sample Document
Change Sample Document
Display Sample Document
Display Sample Document Changes
Display Dunning Procedure
Banks
Maintain Dunning Procedure
Accounting Document Number Ranges
Number Range Maintenance: FI_PYORD
Enter Payment Request
Post with Reference Document
Post Document
Reset Cleared Items
Reset Cleared Items (Payment Cards)
Enter Accrual/Deferral Doc.
Display Text Determin.Configuration
Maintain Text Determin.Configuration
Change Intercompany Document
Display Intercompany Document
Reverse Cross-Company Code Document
Post Parked Document
Park Document
Change Parked Document
Display Parked Document
Change Parked Document (Header)
Document Changes of Parked Documents
Parked Document $

FBVB
FBW1
FBW2
FBW3
FBW4
FBW5
FBW6
FBW7
FBW8
FBW9
FBWA
FBWD
FBWD2
FBWE
FBWQ
FBWR
FBWS
FBZ0
FBZ1
FBZ2
FBZ3
FBZ4
FBZ5
FBZ8
FBZA
FBZG
FBZP
FC10
FC11
FC80
FC82
FCAA
FCC1
FCC2
FCC3
FCC4
FCCR
FCH1
FCH2
FCH3
FCH4
FCH5
FCH6
FCH7
FCH8
FCH9
FCHA
FCHB
FCHD
FCHE
FCHF
FCHG
FCHI
FCHK
FCHN
FCHR
FCHT
FCHU
FCHV
FCHX
FCIWCU
FCIWD00
FCIWD10
FCKR
FCMM
FCMN
FCV1

Post Parked Document


Enter Bill of Exchange Pmnt Request
Post Bill of Exch.acc.to Pmt Request
Post Bill of Exchange Usage
Reverse Bill Liability
Customer Check/Bill of Exchange
Vendor Check/Bill of Exchange
Bank file to file system (for FBWD)
File to Bank (for Transaction FBWD)
C FI Maintain Table T045DTA
C FI Maintain Table T046a
Returned Bills of Exchange Payable
Parameter Transaction for FBWD
Bill/Exch.Presentatn - International
C FI Maintain Table T045T
C FI Maintain Table T045W
C FI Maintain Table T046s
Display/Edit Payment Proposal
Post Incoming Payments
Post Outgoing Payments
Incoming Payments Fast Entry
Payment with Printout
Print Check For Payment Document
Display Payment Run
Display Pmnt Program Configuration
Failed Customer Payments
Maintain Pmnt Program Configuration
Financial Statements Comparison
Data Extract for FI Transfer
Document C80
Document C82
Check Archiving
Payment Cards: Settlement
Payment Cards: Repeat Settlement
Payment Cards: Delete Logs
Payment Cards: Display Logs
Payment Card Evaluations
Display Check Information
Display Payment Document Checks
Void Checks
Renumber Checks
Create Check Information
Change Check Information/Cash Check
Reprint Check
Reverse Check Payment
Void Issued Check
Check archiving
Check retrieval
Delete Payment Run Check Information
Delete Voided Checks
Delete Manual Checks
Delete cashing/extract data
Check Lots
Check Tracing Initial Menu
Check Register
Online Cashed Checks
Change check/payment allocation
Create Reference for Check
C FI Maintain Table TVOID
Check Extract - Creation
BW Customizing for CS
Download InfoObject text
Download InfoObject hierarchies
International cashed checks
C FI Preparations for consolidation
FI Initial Consolidation Menu
Create A/R Summary

FCV2
Delete A/R Summary
FCV3
Early Warning List
FC_BW_BEX
Business Explorer Analyser
FC_BW_RSA1
BW Administrator Workbench
FC_BW_RSZDELETE Delete BW Query Objects
FC_BW_RSZV
Maintain BW Variables
FD-1
Number range maintenance: FVVD_RANL
FD01
Create Customer (Accounting)
FD02
Change Customer (Accounting)
FD02CORE Maintain customer
FD03
Display Customer (Accounting)
FD04
Customer Changes (Accounting)
FD05
Block Customer (Accounting)
FD06
Mark Customer for Deletion (Acctng)
FD08
Confirm Customer Individually(Actng)
FD09
Confirm Customer List (Accounting)
FD10
Customer Account Balance
FD10N
Customer Balance Display
FD10NA Customer Bal. Display with Worklist
FD11
Customer Account Analysis
FD15
Transfer customer changes: send
FD16
Transfer customer changes: receive
FD24
Credit Limit Changes
FD32
Change Customer Credit Management
FD33
Display Customer Credit Management
FD37
Credit Management Mass Change
FDCU
Loans customizing menu
FDFD
Cash Management Implementation Tool
FDI0
Execute Report
FDI1
Create Report
FDI2
Change Report
FDI3
Display Report
FDI4
Create Form
FDI5
Change Form
FDI6
Display Form
FDIB
Background Processing
FDIC
Maintain Currency Translation Type
FDIK
Maintain Key Figures
FDIM
Report Monitor
FDIO
Transport Reports
FDIP
Transport Forms
FDIQ
Import Reports from Client 000
FDIR
Import Forms from Client 000
FDIT
Translation Tool - Drilldown Report
FDIV
Maintain Global Variable
FDIX
Reorganize Drilldown Reports
FDIY
Reorganize Report Data
FDIZ
Reorganize Forms
FDK43
Credit Management - Master Data List
FDMN
FDOO
Borrower's notes order overview
FDTA
TemSe/REGUT Data Administration
FDTT
Treasury Data Medium Administration
FEBA
Postprocess Electronic Bank Statmt
FEBC
Generate Multicash format
FEBMSG Display Internet Messages
FEBOAS Request Account Statement via OFX
FEBOFX OFX Functions
FEBP
Post Electronic Bank Statement
FEBSTS Search String Search Simulation
FESR
Importing of POR File (Switzerland)
FEUB
Adjust VIBEPP after EURO conversion
FEUI
Real Estate Implementation Guide
FF$3
Send planning data to central system
FF$4
Retrieve planning data
FF$5
Retrieve transmission results
FF$6
Check settings

FF$7
Check all external systems
FF$A
Maintain TR-CM subsystems
FF$B
Convert Planning Group
FF$C
Convert planning level
FF$D
Convert business areas
FF$L
Display transmission information
FF$S
Display transmission information
FF$X
Configure the central TR-CM system
FF-1
Outstanding Checks
FF-2
Outstanding Bills of Exchange
FF-3
Cash Management Summary Records
FF-4
CMF Data In Accounting Documents
FF-5
CMF Records fr.Materials Management
FF-6
CMF Records from Sales
FF-7
Forecast Item Journal
FF-8
Payment Advice Journal
FF-9
Journal
FF.1
Standard G/L Account Interest Scale
FF.3
G/L Account Cashed Checks
FF.4
Vendor Cashed Checks
FF.5
Import Electronic Bank Statement
FF.6
Display Electronic Bank Statement
FF.7
Payment Advice Comparison
FF.8
Print Payment Orders
FF.9
Post Payment Orders
FF.D
Generate payt req. from advices
FF/1
Compare Bank Terms
FF/2
Compare value date
FF/3
Archive advices from bank statements
FF/4
Import electronic check deposit list
FF/5
Post electronic check deposit list
FF/6
Deposit/loan mgmt analysis/posting
FF/7
Deposit/loan management int accruals
FF/8
Import Bank Statement into Cash Mgmt
FF/9
Compare Advices with Bank Statement
FF63
Create Planning Memo Record
FF65
List of Cash Management Memo Records
FF67
Manual Bank Statement
FF68
Manual Check Deposit Transaction
FF6A
Edit Cash Mgmt Pos Payment Advices
FF6B
Edit liquidity forecast planned item
FF70
Cash Mgmt Posit./Liquidity Forecast
FF71
Cash Position
FF72
Liquidity forecast
FF73
Cash Concentration
FF74
Use Program to Access Cash Concntn
FF7A
Cash Position
FF7B
Liquidity forecast
FF:1
Maintain exchange rates
FFB4
Import electronic check deposit list
FFB5
Post electronic check deposit list
FFL_OLD Display Transmission Information
FFS_OLD Display Transmission Information
FFTL
Telephone list
FFW1
Wire Authorization
FFWR
Post Payment Requests from Advice
FFWR_REQUESTS
Create Payment Requests from
Advice
FF_1
Standard G/L Account Interest Scale
FF_3
G/L Account Cashed Checks
FF_4
Vendor Cashed Checks
FF_5
Import Electronic Bank Statement
FF_6
Display Electronic Bank Statement

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