SAP ABAP Application Component - Index F
Application Component - Index F (473 records shown)
# | Application Component ID | Short Description | First Release Date | First Release | Application Component |
---|---|---|---|---|---|
1 | FI | Financial Accounting | 19950221 | 30A | HLA0009200 |
2 | FI-AA | Asset Accounting | 19950221 | 30A | HLA0009300 |
3 | FI-AA-AA | Basic Functions | 19950221 | 30A | HLA0006110 |
4 | FI-AA-AA-BV | Basic Valuation Functions | 19960119 | 30C | HLA0001286 |
5 | FI-AA-AA-BV-CI | Calculation of interest | 19960119 | 30C | HLA0001289 |
6 | FI-AA-AA-BV-DA | Depreciation Areas | 19960119 | 30C | HLA0001287 |
7 | FI-AA-AA-BV-DD | Derived Depreciation Areas | 19960119 | 30C | HLA0001288 |
8 | FI-AA-AA-BV-GA | Group Assets | 19960119 | 30C | HLA0001291 |
9 | FI-AA-AA-BV-PC | Period Control | 19960119 | 30C | HLA0001290 |
10 | FI-AA-AA-BV-VM | Valuation Methods | 19960119 | 30C | HLA0001292 |
11 | FI-AA-AA-CL | Closing Operations | 19960119 | 30C | HLA0001314 |
12 | FI-AA-AA-DE | Depreciation | 19960119 | 30C | HLA0001298 |
13 | FI-AA-AA-DE-DU | Unit-of-Production Depreciation | 19960119 | 30C | HLA0001304 |
14 | FI-AA-AA-DE-MD | Manual Depreciation | 19960119 | 30C | HLA0001303 |
15 | FI-AA-AA-DE-OD | Ordinary Depreciation | 19960119 | 30C | HLA0001299 |
16 | FI-AA-AA-DE-SD | Special Depreciation | 19960119 | 30C | HLA0001300 |
17 | FI-AA-AA-DE-TR | Transferred Reserves | 19960119 | 30C | HLA0001302 |
18 | FI-AA-AA-DE-UD | Unplanned Depreciation | 19960119 | 30C | HLA0001301 |
19 | FI-AA-AA-FY | Fiscal Year Specifications | 19960119 | 30C | HLA0001293 |
20 | FI-AA-AA-FY-AV | Alternative Fiscal Year Variants | 19960119 | 30C | HLA0001294 |
21 | FI-AA-AA-FY-HM | Half Months | 19960119 | 30C | HLA0001296 |
22 | FI-AA-AA-FY-PW | Period Weighting (4-4-5 Rule) | 19960119 | 30C | HLA0001297 |
23 | FI-AA-AA-FY-SF | Shortened Fiscal Years | 19960119 | 30C | HLA0001295 |
24 | FI-AA-AA-MA | Asset Maintenance | 19960119 | 30C | HLA0001285 |
25 | FI-AA-AA-TR | Transactions | 19960119 | 30C | HLA0001305 |
26 | FI-AA-AA-TR-AC | Acquisitions | 19960119 | 30C | HLA0001306 |
27 | FI-AA-AA-TR-DP | Down Payments | 19960119 | 30C | HLA0001307 |
28 | FI-AA-AA-TR-MA | Manual Value Adjustment | 19960119 | 30C | HLA0001311 |
29 | FI-AA-AA-TR-PG | Posting Depreciation to the General Ledger | 19960119 | 30C | HLA0001312 |
30 | FI-AA-AA-TR-RE | Retirements | 19960119 | 30C | HLA0001308 |
31 | FI-AA-AA-TR-SL | Line Item Settlement of AUC | 19960119 | 30C | HLA0001310 |
32 | FI-AA-AA-TR-ST | Budget Monitoring by Statistical Order / WBS Element | 19970806 | 40A | HLA0100751 |
33 | FI-AA-AA-TR-TP | Transfer Postings | 19960119 | 30C | HLA0001309 |
34 | FI-AA-AA-TR-VA | Validations | 19960119 | 30C | HLA0001313 |
35 | FI-AA-CP | Group Requirements | 19950221 | 30A | HLA0006112 |
36 | FI-AA-CP-GC | Foreign Currency Valuation Areas | 19960119 | 30C | HLA0001322 |
37 | FI-AA-CP-GV | Group Valuation Areas | 19960119 | 30C | HLA0001323 |
38 | FI-AA-CP-IP | Asset Transfer | 19960119 | 30C | HLA0001324 |
39 | FI-AA-IS | Information System | 19950221 | 30A | HLA0006140 |
40 | FI-AA-IS-CM | Translation Methods for the Info System | 19960119 | 30C | HLA0001329 |
41 | FI-AA-IS-IA | Individual Asset History Sheet Versions | 19960119 | 30C | HLA0001328 |
42 | FI-AA-IS-IR | Individual Report Selection | 19960119 | 30C | HLA0001326 |
43 | FI-AA-IS-RL | Report Links | 19960119 | 30C | HLA0001327 |
44 | FI-AA-IS-ST | Standard Reports | 19960119 | 30C | HLA0001325 |
45 | FI-AA-LM | Leasing Processing | 19950221 | 30A | HLA0006111 |
46 | FI-AA-SVA | Special Valuation | 19960119 | 30C | HLA0001599 |
47 | FI-AA-SVA-HI | Handling of Inflation | 19960119 | 30C | HLA0001318 |
48 | FI-AA-SVA-IN | Insurance | 19960119 | 30C | HLA0001321 |
49 | FI-AA-SVA-IR | Indexed Replacement Values | 19960119 | 30C | HLA0001317 |
50 | FI-AA-SVA-IS | Investment Support | 19960119 | 30C | HLA0001319 |
51 | FI-AA-SVA-NT | Net Worth Tax | 19960119 | 30C | HLA0001320 |
52 | FI-AA-SVA-RS | Reserves for special depr. | 19960119 | 30C | HLA0001316 |
53 | FI-AF | Additional Functions | 20030312 | 620 | ALN0000401 |
54 | FI-AF-DPC | Down Payment Chains | 20030312 | 620 | ALN0000402 |
55 | FI-AP | Accounts Payable | 19950221 | 30A | HLA0009204 |
56 | FI-AP-AP | Basic Functions | 19950221 | 30A | HLA0006511 |
57 | FI-AP-AP-BE | Bills of Exchange | 19960119 | 30C | HLA0001268 |
58 | FI-AP-AP-CL | Closing Operations | 19960119 | 30C | HLA0001273 |
59 | FI-AP-AP-CR | Correspondence | 19960119 | 30C | HLA0001271 |
60 | FI-AP-AP-DP | Down Payments | 19960119 | 30C | HLA0001267 |
61 | FI-AP-AP-DU | Dunning | 19960119 | 30C | HLA0001270 |
62 | FI-AP-AP-EDI | EDI | 19960404 | 30D | HLA0008973 |
63 | FI-AP-AP-FC | Financial Calendar | 19960404 | 30D | HLA0008963 |
64 | FI-AP-AP-IC | Invoices and Credit Memos | 19960119 | 30C | HLA0001265 |
65 | FI-AP-AP-IN | Interest Calculation | 19960119 | 30C | HLA0001272 |
66 | FI-AP-AP-MD | Master Data | 19960119 | 30C | HLA0001263 |
67 | FI-AP-AP-MP | Manual Payments | 19960119 | 30C | HLA0001266 |
68 | FI-AP-AP-OI | Open Item Management | 19960404 | 30D | HLA0008967 |
69 | FI-AP-AP-PRK | Invoice Parking | 19960119 | 30C | HLA0001264 |
70 | FI-AP-AP-PT | Payment Transactions | 19960119 | 30C | HLA0001269 |
71 | FI-AP-AP-RP | Release for Payment | 19960422 | 30D | HLA0008652 |
72 | FI-AP-AP-SF | Special Functions | 19960404 | 30D | HLA0008971 |
73 | FI-AP-AP-SF-ED | External Documents | 19960404 | 30D | HLA0008972 |
74 | FI-AP-IS | Information System | 19950221 | 30A | HLA0006514 |
75 | FI-AR | Accounts Receivable | 19950221 | 30A | HLA0009203 |
76 | FI-AR-AR | Basic Functions | 19950221 | 30A | HLA0006500 |
77 | FI-AR-AR-BE | Bills of Exchange | 19960119 | 30C | HLA0001278 |
78 | FI-AR-AR-CL | Closing Operations | 19960119 | 30C | HLA0001284 |
79 | FI-AR-AR-CR | Correspondence | 19960119 | 30C | HLA0001281 |
80 | FI-AR-AR-DP | Down Payments | 19960119 | 30C | HLA0001277 |
81 | FI-AR-AR-DU | Dunning | 19960119 | 30C | HLA0001280 |
82 | FI-AR-AR-FC | Financial Calendar | 19960404 | 30D | HLA0008964 |
83 | FI-AR-AR-IC | Invoices and Credit Memos | 19960119 | 30C | HLA0001275 |
84 | FI-AR-AR-IN | Interest Calculation | 19960119 | 30C | HLA0001283 |
85 | FI-AR-AR-MD | Master Data | 19960119 | 30C | HLA0001274 |
86 | FI-AR-AR-MP | Manual Payments | 19960119 | 30C | HLA0001276 |
87 | FI-AR-AR-MP-BF | Basic Functions | 19960404 | 30D | HLA0008965 |
88 | FI-AR-AR-MP-PA | Payment Advice Notes (Incoming) | 19960404 | 30D | HLA0008966 |
89 | FI-AR-AR-OI | Open Item Management | 19960404 | 30D | HLA0008969 |
90 | FI-AR-AR-PRK | Preliminary Posting | 19960404 | 30D | HLA0008976 |
91 | FI-AR-AR-PT | Payment Transactions | 19960119 | 30C | HLA0001279 |
92 | FI-AR-AR-SF | Special Functions | 19960404 | 30D | HLA0008974 |
93 | FI-AR-AR-SF-ED | External Documents | 19960404 | 30D | HLA0008975 |
94 | FI-AR-CR | Credit Management | 19950221 | 30A | HLA0006501 |
95 | FI-AR-IS | Information System | 19950221 | 30A | HLA0006504 |
96 | FI-BL | Bank Accounting | 19970727 | 40A | HLA0100013 |
97 | FI-BL-BF | Basic Functions | 19970727 | 40A | HLA0100014 |
98 | FI-BL-BF-IC | Interest Calculation | 19970727 | 40A | HLA0100015 |
99 | FI-BL-BM | Cash Balance Management | 19970727 | 40A | HLA0100018 |
100 | FI-BL-BM-BE | Bill of Exchange Management | 19970727 | 40A | HLA0100022 |
101 | FI-BL-BM-BE-BU | Bill of Exchange Usage | 19970727 | 40A | HLA0100024 |
102 | FI-BL-BM-BE-RB | Returned Bills of Exchange | 19970727 | 40A | HLA0100023 |
103 | FI-BL-BM-CM | Check Management | 19970727 | 40A | HLA0100019 |
104 | FI-BL-BM-CM-CC | Cashed Checks | 19970727 | 40A | HLA0100020 |
105 | FI-BL-BM-CM-CD | Check Deposit | 19970727 | 40A | HLA0100021 |
106 | FI-BL-IS | Information System | 19970727 | 40A | HLA0100034 |
107 | FI-BL-MD | Master Data | 19970727 | 40A | HLA0100016 |
108 | FI-BL-MD-BK | Bank Master Data | 19970727 | 40A | HLA0100017 |
109 | FI-BL-PT | Payment Transactions | 19970727 | 40A | HLA0100025 |
110 | FI-BL-PT-AP | Automatic Payments | 19970727 | 40A | HLA0100033 |
111 | FI-BL-PT-BS | Bank Statement | 19970727 | 40A | HLA0100026 |
112 | FI-BL-PT-BS-EL | Electronic Bank Statement | 19970727 | 40A | HLA0100028 |
113 | FI-BL-PT-BS-MA | Manual Bank Statement | 19970727 | 40A | HLA0100027 |
114 | FI-BL-PT-ES | ISR Procedure | 19970727 | 40A | HLA0100031 |
115 | FI-BL-PT-LB | Lockbox | 19970727 | 40A | HLA0100030 |
116 | FI-BL-PT-PO | Polling | 19970727 | 40A | HLA0100029 |
117 | FI-CA | Contract Accounts Receivable and Payable | 19970123 | 30E | I210007300 |
118 | FI-CA-BF | Basic Functions | 19970123 | 30E | I210007301 |
119 | FI-CA-BF-AD | Account Balance Display | 19970123 | 30E | I210007330 |
120 | FI-CA-BF-BP | Business Partner | 19970123 | 30E | I210007302 |
121 | FI-CA-BF-CA | Contract Accounts | 19970123 | 30E | I210007303 |
122 | FI-CA-BF-CR | Correspondence | 19970123 | 30E | I210007306 |
123 | FI-CA-BF-DP | Postings and documents | 19970123 | 30E | I210007304 |
124 | FI-CA-BF-OI | Open Item Management | 19970123 | 30E | I210007305 |
125 | FI-CA-BF-PW | Print workbench | 19961111 | 30E | I110004804 |
126 | FI-CA-BT | Business transactions | 19970123 | 30E | I210007307 |
127 | FI-CA-BT-CC | Customer Contact | 19961111 | 30E | I110004872 |
128 | FI-CA-BT-CF | Control functions | 19970123 | 30E | I210007320 |
129 | FI-CA-BT-DC | Debit Entries and Credit Memos | 19970123 | 30E | I210007308 |
130 | FI-CA-BT-DI | Deferral and Installment Plans | 19970123 | 30E | I210007317 |
131 | FI-CA-BT-DU | Dunning Notices | 19970123 | 30E | I210007313 |
132 | FI-CA-BT-IC | Interest Calculation | 19970123 | 30E | I210007314 |
133 | FI-CA-BT-IC | Item interest calculation | 19970123 | 30E | I210007315 |
134 | FI-CA-BT-IC | Account Balance Interest Calculation | 19970123 | 30E | I210007316 |
135 | FI-CA-BT-PY | Payments | 19970123 | 30E | I210007309 |
136 | FI-CA-BT-PY-CP | Incoming/Outgoing Payment Creation | 19970123 | 30E | I210007311 |
137 | FI-CA-BT-PY-PP | Processing Incoming and Outgoing Payments | 19970123 | 30E | I210007310 |
138 | FI-CA-BT-RE | Returns | 19970123 | 30E | I210007312 |
139 | FI-CA-BT-SE | Security Deposits | 19980112 | 40A | I500000021 |
140 | FI-CA-BT-TP | Transfer | 19970123 | 30E | I210007319 |
141 | FI-CA-BT-WO | Write-Offs | 19970123 | 30E | I210007318 |
142 | FI-CA-CL | Closing Operations | 19970123 | 30E | I210007325 |
143 | FI-CA-CL-DE | Deferred Revenue Postings | 19990621 | 45B | I500000171 |
144 | FI-CA-CL-DR | Doubtful receivables | 19970123 | 30E | I210007327 |
145 | FI-CA-CL-FC | Foreign Currency Valuation | 19970123 | 30E | I210007326 |
146 | FI-CA-CL-RE | Reclassifications | 19970123 | 30E | I210007328 |
147 | FI-CA-IN | Integration | 19970123 | 30E | I210007321 |
148 | FI-CA-IN-CM | Cash Management | 19970123 | 30E | I210007323 |
149 | FI-CA-IN-CO | Controlling | 19970123 | 30E | I210007324 |
150 | FI-CA-IN-CR | SAP Credit Management | 20030731 | 620 | KK49000011 |
151 | FI-CA-IN-FM | Funds Management | 20010322 | 46C | I500000270 |
152 | FI-CA-IN-GL | General Ledger Accounting | 19970123 | 30E | I210007322 |
153 | FI-CA-IN-RE | Real Estate Management | 20031029 | 620 | KK49000021 |
154 | FI-CA-IN-SD | Sales and Distribution | 19981119 | 40B | I500000121 |
155 | FI-CA-INV | Invoicing to Contract Accounts Receivable and Payable | 20050121 | 700 | ANI1000001 |
156 | FI-CA-IS | Information System | 19970123 | 30E | I210007329 |
157 | FI-CAX | Generic Contract Accounts Receivable and Payable | 20011022 | 46C | KK47000001 |
158 | FI-FM | Funds Management | 19950221 | 30A | HLA0006845 |
159 | FI-FM-AF | More functions | 19980304 | 45A | ALR0000035 |
160 | FI-FM-AF-CB | Collective expenditure | 19980304 | 45A | ALR0000037 |
161 | FI-FM-AF-CL | Closing Operations | 19970727 | 40A | HLA0100011 |
162 | FI-FM-AF-RB | Revenues Increasing Budget | 19980304 | 45A | ALR0000036 |
163 | FI-FM-BD | Basic Data | 19950221 | 30A | HLA0006531 |
164 | FI-FM-BU | Budgeting | 19950221 | 30A | HLA0006533 |
165 | FI-FM-IN | Actual Update and Commitment Update | 19950221 | 30A | HLA0006534 |
166 | FI-FM-IS | Information System | 19950221 | 30A | HLA0006535 |
167 | FI-FM-PO | Postings | 19970727 | 40A | HLA0100008 |
168 | FI-GL | General Ledger Accounting | 19950221 | 30A | HLA0009201 |
169 | FI-GL-B | Company Code Consolidation | 19950221 | 30A | HLA0006900 |
170 | FI-GL-BA | Business Area Accounting | 19950221 | 30A | HLA0006521 |
171 | FI-GL-BNK | Bank accounting | 19960410 | 30D | HLA0008651 |
172 | FI-GL-CP | Preparation for Consolidation | 19950221 | 30A | HLA0006524 |
173 | FI-GL-CP-AD | Assignments and Data Transfer | 19960119 | 30C | HLA0001210 |
174 | FI-GL-CP-AD-AS | Assignments | 19960119 | 30C | HLA0001211 |
175 | FI-GL-CP-AD-PE | Periodic Extract | 19960119 | 30C | HLA0001214 |
176 | FI-GL-CP-AD-RO | Rollup | 19960119 | 30C | HLA0001213 |
177 | FI-GL-CP-AD-RU | Real-Time Update | 19960119 | 30C | HLA0001212 |
178 | FI-GL-CP-AD-TR | Legacy Data Transfer | 19960119 | 30C | HLA0001215 |
179 | FI-GL-CP-BA | Business Area Consolidation | 19960119 | 30C | HLA0001222 |
180 | FI-GL-CP-BA-AA | Preparations in Asset Accounting | 19960119 | 30C | HLA0001225 |
181 | FI-GL-CP-BA-AS | Assignments | 19960119 | 30C | HLA0001223 |
182 | FI-GL-CP-BA-CO | Preparations in Controlling | 19960119 | 30C | HLA0001226 |
183 | FI-GL-CP-BA-FI | Preparations in Financial Accounting | 19960119 | 30C | HLA0001224 |
184 | FI-GL-CP-BA-MM | Preparations in Materials Management | 19960119 | 30C | HLA0001227 |
185 | FI-GL-CP-BA-SD | Preparations in Sales | 19960119 | 30C | HLA0001228 |
186 | FI-GL-CP-COM | Company Consolidation | 19960119 | 30C | HLA0001216 |
187 | FI-GL-CP-COM-AS | Assignments | 19960119 | 30C | HLA0001217 |
188 | FI-GL-CP-COM-BR | Balance Reconciliation | 19960119 | 30C | HLA0001218 |
189 | FI-GL-CP-COM-PC | Parallel Currencies | 19960119 | 30C | HLA0001219 |
190 | FI-GL-CP-COM-PL | Planning | 19960119 | 30C | HLA0001221 |
191 | FI-GL-CP-COM-PV | Parallel Valuation | 19960119 | 30C | HLA0001220 |
192 | FI-GL-CU | Foreign Currency Accounting | 19950221 | 30A | HLA0006522 |
193 | FI-GL-CU-MCA | Multi Currency Accounting | 20070709 | 710 | XCG0000001 |
194 | FI-GL-FL | Flexible Structures | 19980304 | 45A | ALR0000034 |
195 | FI-GL-GL | Basic Functions | 19950221 | 30A | HLA0006520 |
196 | FI-GL-GL-AAC | Manual Accruals | 20011126 | 620 | ALN0000111 |
197 | FI-GL-GL-ACE | Accrual Engine | 20011012 | 620 | ALN0000061 |
198 | FI-GL-GL-ADB | Average Daily Balance | 20070709 | 710 | XCG0000002 |
199 | FI-GL-GL-AP | G/L Account Posting | 19960119 | 30C | HLA0001203 |
200 | FI-GL-GL-CAE | CRM Accruals | 20020801 | 620 | ALN0000261 |
201 | FI-GL-GL-CL | Closing Operations | 19960119 | 30C | HLA0001205 |
202 | FI-GL-GL-CUR | Erweiterte Währungskonvertierung | 20101103 | 703 | EBS0000051 |
203 | FI-GL-GL-FC | Financial Calendar | 19960404 | 30D | HLA0008958 |
204 | FI-GL-GL-IC | Interest Calculation | 19960119 | 30C | HLA0001206 |
205 | FI-GL-GL-MD | Master Data | 19960119 | 30C | HLA0001200 |
206 | FI-GL-GL-MD-CC | Cross-Company G/L Account Maintenance | 19960119 | 30C | HLA0001202 |
207 | FI-GL-GL-MD-SG | Standard G/L Account Maintenance | 19960119 | 30C | HLA0001201 |
208 | FI-GL-GL-OI | Open Item Management | 19960404 | 30D | HLA0008959 |
209 | FI-GL-GL-PL | Planning | 19960119 | 30C | HLA0001204 |
210 | FI-GL-GL-PRK | Document Parking | 19960404 | 30D | HLA0008962 |
211 | FI-GL-GL-SF | Special Functions | 19960404 | 30D | HLA0008960 |
212 | FI-GL-GL-SF-ED | External Documents | 19960404 | 30D | HLA0008961 |
213 | FI-GL-GL-SOA | Provisions for Awards | 20011012 | 620 | ALN0000062 |
214 | FI-GL-IS | Information System | 19950221 | 30A | HLA0006523 |
215 | FI-GL-REO | General Ledger Reorganization | 20090313 | 702 | EB50000061 |
216 | FI-GL-REO-AA | Reorganization of Assets with Integrated Transfer Posting | 20090313 | 702 | EB50000066 |
217 | FI-GL-REO-BF | General Ledger Reorganization Basic Functions | 20090313 | 702 | EB50000062 |
218 | FI-GL-REO-CO | General Ledger Reorganization of Objects in Controlling | 20090313 | 702 | EB50000064 |
219 | FI-GL-REO-GL | General Ledger Reorganization AP/AR | 20090313 | 702 | EB50000065 |
220 | FI-GL-REO-MM | General Ledger Reorganization of Objects in Logistics | 20090313 | 702 | EB50000063 |
221 | FI-LA | Lease Accounting | 20030416 | 620 | ALN0000461 |
222 | FI-LC | Consolidation | 19950221 | 30A | HLA0009205 |
223 | FI-LC-DD | Remote Data Entry | 19950221 | 30A | HLA0006840 |
224 | FI-LC-DD-ACC | Data Entry with MS Access | 19960119 | 30C | HLA0001250 |
225 | FI-LC-DD-DB | Data Entry with dBase | 19960119 | 30C | HLA0001251 |
226 | FI-LC-DD-FUP | Data Entry in Non-SAP Systems | 19960119 | 30C | HLA0001252 |
227 | FI-LC-IS | Information System | 19950221 | 30A | HLA0006843 |
228 | FI-LC-IS-DF | Data Forwarding | 19960119 | 30C | HLA0001260 |
229 | FI-LC-IS-DF-EIS | Data Forwarding to EIS | 19960119 | 30C | HLA0001262 |
230 | FI-LC-IS-DF-SC | Data Forwarding for Step Consolidation | 19960119 | 30C | HLA0001261 |
231 | FI-LC-IS-EV | Evaluations | 19960119 | 30C | HLA0001255 |
232 | FI-LC-IS-EV-IE | Interactive Excel | 19960119 | 30C | HLA0001259 |
233 | FI-LC-IS-EV-IR | Interactive Reports | 19960119 | 30C | HLA0001258 |
234 | FI-LC-IS-EV-RW | Report Writer / Report Painter | 19960119 | 30C | HLA0001257 |
235 | FI-LC-IS-EV-TR | Totals Reports | 19960119 | 30C | HLA0001256 |
236 | FI-LC-IS-JER | Line Items | 19960119 | 30C | HLA0001254 |
237 | FI-LC-IS-MD | Master Data, Financial Data, Control Parameters | 19960119 | 30C | HLA0001253 |
238 | FI-LC-LC | Basic Functions | 19950221 | 30A | HLA0006901 |
239 | FI-LC-LC-COI | Consolidation of Investments | 19960119 | 30C | HLA0001243 |
240 | FI-LC-LC-CP | Consolidation Procedures | 19960119 | 30C | HLA0001229 |
241 | FI-LC-LC-CSM | Consolidation Management | 19960119 | 30C | HLA0001234 |
242 | FI-LC-LC-CSM-CSM | Consolidation Step Monitor | 19960119 | 30C | HLA0001236 |
243 | FI-LC-LC-CSM-DTM | Data Transfer Monitor | 19960119 | 30C | HLA0001235 |
244 | FI-LC-LC-CSM-VAL | Validation Check | 19960119 | 30C | HLA0001237 |
245 | FI-LC-LC-CUR | Currency Translation | 19960119 | 30C | HLA0001238 |
246 | FI-LC-LC-DE | Centralized Data Entry | 19960119 | 30C | HLA0001231 |
247 | FI-LC-LC-DE-ADT | Automatic Data Transfer | 19960119 | 30C | HLA0001233 |
248 | FI-LC-LC-DE-ONL | Online Data Entry | 19960119 | 30C | HLA0001232 |
249 | FI-LC-LC-IPA | Elimination of IC Profit/Loss in Transferred Assets | 19960119 | 30C | HLA0001242 |
250 | FI-LC-LC-IPI | Elimination of IC Profit/Loss in Inventory | 19960119 | 30C | HLA0001241 |
251 | FI-LC-LC-IUE | Intercompany Elimination | 19960119 | 30C | HLA0001240 |
252 | FI-LC-LC-MD | Master Data | 19960119 | 30C | HLA0001230 |
253 | FI-LC-LC-OTH | Other Consolidation Functions | 19960119 | 30C | HLA0001244 |
254 | FI-LC-LC-OTH-BA | Bundling Consolidation Activities | 19960119 | 30C | HLA0001246 |
255 | FI-LC-LC-OTH-RCL | Reclassification | 19960119 | 30C | HLA0001245 |
256 | FI-LC-LC-PO | Posting | 19960119 | 30C | HLA0001239 |
257 | FI-LC-LC-SRV | Services | 19960119 | 30C | HLA0001247 |
258 | FI-LC-LC-SRV-BCF | Balance Carryforward | 19960119 | 30C | HLA0001248 |
259 | FI-LC-LC-SRV-CF | Copy Function | 19960119 | 30C | HLA0001249 |
260 | FI-LOC | Localization | 20040628 | 640 | P6D0000001 |
261 | FI-RL | Retail Ledger | 20020315 | 620 | PLN0000001 |
262 | FI-RRU | Regulatory Reporting for the Utilities Industry | 19970204 | 30E | I110004894 |
263 | FI-SL | Special Purpose Ledger | 19950221 | 30A | HLA0009208 |
264 | FI-SL-IS | Information System | 19950221 | 30A | HLA0009743 |
265 | FI-SL-SL | Basic Functions | 19950221 | 30A | HLA0009741 |
266 | FI-SL-SL-AS | Assessment | 19960119 | 30C | HLA0001339 |
267 | FI-SL-SL-BC | Balance Carryforward | 19960119 | 30C | HLA0001343 |
268 | FI-SL-SL-CT | Currency Translation | 19960119 | 30C | HLA0001342 |
269 | FI-SL-SL-DD | Direct Data Entry | 19960119 | 30C | HLA0001337 |
270 | FI-SL-SL-DI | Distribution | 19960119 | 30C | HLA0001340 |
271 | FI-SL-SL-DT | Data Transfer | 19960119 | 30C | HLA0001344 |
272 | FI-SL-SL-II | Integration Interface | 19960119 | 30C | HLA0001345 |
273 | FI-SL-SL-MD | Master Data | 19960119 | 30C | HLA0001330 |
274 | FI-SL-SL-MD-CC | Account Assignment Combinations | 19960119 | 30C | HLA0001333 |
275 | FI-SL-SL-MD-IN | Integrated Master Data | 19960119 | 30C | HLA0001335 |
276 | FI-SL-SL-MD-LE | Ledger | 19960119 | 30C | HLA0001332 |
277 | FI-SL-SL-MD-SE | Sets | 19960119 | 30C | HLA0001334 |
278 | FI-SL-SL-MD-TA | Tables | 19960119 | 30C | HLA0001331 |
279 | FI-SL-SL-PL | Planning | 19960119 | 30C | HLA0001338 |
280 | FI-SL-SL-RO | Rollup | 19960119 | 30C | HLA0001341 |
281 | FI-SL-SL-TD | Table Definition and Installation | 19960119 | 30C | HLA0001336 |
282 | FI-SL-VSR | Validation, Substitution and Rules | 19950221 | 30A | HLA0009742 |
283 | FI-SL-VSR-RU | Rules | 19960119 | 30C | HLA0001348 |
284 | FI-SL-VSR-SU | Substitution | 19960119 | 30C | HLA0001347 |
285 | FI-SL-VSR-VA | Validation | 19960119 | 30C | HLA0001346 |
286 | FI-TV | Travel Management | 19950221 | 30A | HLA0009705 |
287 | FI-TV-COS | Travel Expenses | 19950221 | 30A | HLA0006755 |
288 | FI-TV-IPY | Integration With Payroll | 19980406 | 45A | AHR0000302 |
289 | FI-TV-PL | Travel Planning | 19980406 | 45A | AHR0000301 |
290 | FIN | Financials | 20020516 | 630 | ABA0000152 |
291 | FIN-BA | Business Analytics | 20030617 | 620 | SE30000041 |
292 | FIN-BAC | Business Accounting | 20010723 | 610 | SE30000002 |
293 | FIN-BAC-AE | Accounting Engine | 20010723 | 610 | SE30000011 |
294 | FIN-BAC-CM | Cost Accounting | 20010723 | 610 | SE30000013 |
295 | FIN-BAC-GL | General Ledger | 20010723 | 610 | SE30000012 |
296 | FIN-BAC-INV | Inventory Accounting | 20030213 | 620 | SE31000021 |
297 | FIN-BAC-PM | Profitability Analysis | 20010723 | 610 | SE30000014 |
298 | FIN-CGV | Corporate Governance | 20030919 | 620 | XS40000001 |
299 | FIN-CGV-AIS | Audit Information System | 20040122 | 640 | PL00000016 |
300 | FIN-CGV-MIC | Management of Internal Controls | 20030919 | 620 | XS40000002 |
301 | FIN-CGV-MIC-ATS | Assessment, Test, Sign-Off | 20040927 | 700 | SE31000093 |
302 | FIN-CGV-MIC-REP | Reports, Extractors | 20040927 | 700 | SE31000094 |
303 | FIN-CGV-MIC-SS | Structure Setup | 20040927 | 700 | SE31000092 |
304 | FIN-CGV-MIC-UI | User Interface, Web Application, Start Page | 20040927 | 700 | SE31000091 |
305 | FIN-CGV-MIC-WF | Workflow, Scheduling, Tasks | 20040927 | 700 | SE31000095 |
306 | FIN-CGV-ORM | Operational Risk Management (ORM) | 20040113 | 620 | /ORM/XAZ0000002 |
307 | FIN-FB | Financials Basis | 20010723 | 610 | SE30000015 |
308 | FIN-FB-AET | Accounting Entities | 20030305 | 620 | SE31000032 |
309 | FIN-FB-BW | Business Warehouse Proxies | 20030312 | 620 | SE31000041 |
310 | FIN-FB-MDF | Master Data Framework | 20030305 | 620 | SE31000031 |
311 | FIN-FB-SRV | Services | 20030305 | 620 | SE31000033 |
312 | FIN-FB-TR | Transport Tool | 20030416 | 620 | SE31000061 |
313 | FIN-FB-WB | Workbench | 20030313 | 620 | SE31000042 |
314 | FIN-FSCM | Financial Supply Chain Management | 20020807 | 630 | ABA0000161 |
315 | FIN-FSCM-BC | Biller Consolidator | 20021009 | 630 | ABA0000181 |
316 | FIN-FSCM-BC-SB | Biller Consolidator Service Billing | 20021001 | 620 | A4C0000211 |
317 | FIN-FSCM-BD | Biller Direct | 20021218 | 640 | ABA0000221 |
318 | FIN-FSCM-BD-AR | Accounts Receivable Accounting Process Integration | 20030522 | 620 | AXA0000061 |
319 | FIN-FSCM-BD-CA | Enhancements for FI-CA | 20030226 | 620 | KK49000001 |
320 | FIN-FSCM-BNK | Direct Bank Communication | 20060210 | 700 | ACR0000041 |
321 | FIN-FSCM-CLM | Cash and Liquidity Management | 20031127 | 640 | ALN0000481 |
322 | FIN-FSCM-CLM-CM | Cash Management | 19950221 | 30A | HLA0009206 |
323 | FIN-FSCM-CLM-CM-CM | Basic Functions | 19950221 | 30A | HLA0006530 |
324 | FIN-FSCM-CLM-CM-CM-CH | Check | 19960119 | 30C | HLA0001359 |
325 | FIN-FSCM-CLM-CM-CM-CH-BT | Comparing Bank Terms | 19960119 | 30C | HLA0001363 |
326 | FIN-FSCM-CLM-CM-CM-CH-CA | Cashed Checks Analysis | 19960409 | 30D | HLA0008979 |
327 | FIN-FSCM-CLM-CM-CM-CH-PA | Comparing Payment Advices | 19960119 | 30C | HLA0001362 |
328 | FIN-FSCM-CLM-CM-CM-CH-VD | Comparing Value Dates | 19960119 | 30C | HLA0001361 |
329 | FIN-FSCM-CLM-CM-CM-CM | Status | 19960119 | 30C | HLA0001364 |
330 | FIN-FSCM-CLM-CM-CM-CM-CP | Cash Position | 19960119 | 30C | HLA0001365 |
331 | FIN-FSCM-CLM-CM-CM-CM-LF | Liquidity Forecast | 19960119 | 30C | HLA0001366 |
332 | FIN-FSCM-CLM-CM-CM-DP | Planning | 19960119 | 30C | HLA0001368 |
333 | FIN-FSCM-CLM-CM-CM-DP-CC | Cash Concentration | 19960119 | 30C | HLA0001369 |
334 | FIN-FSCM-CLM-CM-CM-DP-PI | Process Planned Items | 19960119 | 30C | HLA0001372 |
335 | FIN-FSCM-CLM-CM-CM-DP-TP | Telephone Transfers | 19970727 | 40A | HLA0100036 |
336 | FIN-FSCM-CLM-CM-CM-DP-TR | Cash Transfer | 19970727 | 40A | HLA0100035 |
337 | FIN-FSCM-CLM-CM-CM-EN | Environment | 19960119 | 30C | HLA0001374 |
338 | FIN-FSCM-CLM-CM-CM-IN | Input | 19960119 | 30C | HLA0001349 |
339 | FIN-FSCM-CLM-CM-CM-IS | Information System | 19951102 | 30B | HLA0006543 |
340 | FIN-FSCM-CLM-CM-CM-TO | Tools | 19960119 | 30C | HLA0001373 |
341 | FIN-FSCM-CLM-CM-CM-TO-CO | Comparing CM | 19970727 | 40A | HLA0100037 |
342 | FIN-FSCM-CLM-CM-CM-TO-DI | Distribution | 19970727 | 40A | HLA0100038 |
343 | FIN-FSCM-CLM-CM-CM-TO-PO | Payment Order | 19970727 | 40A | HLA0100039 |
344 | FIN-FSCM-CLM-LP | Liquidity Planner | 20000714 | 46C | KFM0000006 |
345 | FIN-FSCM-COL | Collections Management | 20031126 | 620 | BYA3000021 |
346 | FIN-FSCM-COL-AR | Accounts Receivable Accounting Process Integration | 20031126 | 620 | AXA0000106 |
347 | FIN-FSCM-COL-COL | Basic Functions | 20031126 | 640 | SE31000071 |
348 | FIN-FSCM-CR | Credit Management | 20021120 | 630 | ABA0000201 |
349 | FIN-FSCM-CR-AD | Adaptor | 20030924 | 620 | AXA0000091 |
350 | FIN-FSCM-CR-CR | Basic Functions | 20021121 | 620 | SE31000011 |
351 | FIN-FSCM-DM | Dispute Management | 20020918 | 630 | ABA0000171 |
352 | FIN-FSCM-DM-AR | Accounts Receivable Accounting Process Integration | 20020911 | 620 | XBI0000001 |
353 | FIN-FSCM-DM-DM | Basic Functions | 20020918 | 620 | SE31000001 |
354 | FIN-FSCM-DR | Internal Collection Procedure | 20031215 | 640 | SE31000081 |
355 | FIN-FSCM-IHC | FSCM In-House Cash | 20000714 | 46C | KFM0000005 |
356 | FIN-FSCM-TRM | Treasury and Risk Management | 20000713 | 46C | KFM0000001 |
357 | FIN-FSCM-TRM-AN | Analyzer | 20000714 | 46C | KFM0000012 |
358 | FIN-FSCM-TRM-AN-IS | Information System | 20000714 | 46C | KFM0000013 |
359 | FIN-FSCM-TRM-BF | Basic Functions | 20000713 | 46C | KFM0000002 |
360 | FIN-FSCM-TRM-BF-BP | Business Partner | 20000713 | 46C | KFM0000003 |
361 | FIN-FSCM-TRM-BF-CD | Class Data | 20000713 | 46C | KFM0000004 |
362 | FIN-FSCM-TRM-CR | Credit Risk Analyzer | 20000714 | 46C | KFM0000020 |
363 | FIN-FSCM-TRM-CR-EXP | Exposure | 20000714 | 46C | KFM0000022 |
364 | FIN-FSCM-TRM-CR-LM | Limit Management | 20000714 | 46C | KFM0000021 |
365 | FIN-FSCM-TRM-MR | Market Risk Analyzer | 20000714 | 46C | KFM0000015 |
366 | FIN-FSCM-TRM-MR-GAP | Gap Analysis | 20000714 | 46C | KFM0000018 |
367 | FIN-FSCM-TRM-MR-NPV | NPV Analysis | 20000714 | 46C | KFM0000016 |
368 | FIN-FSCM-TRM-MR-SIM | Simulation | 20000714 | 46C | KFM0000019 |
369 | FIN-FSCM-TRM-MR-VAR | Value at Risk | 20000714 | 46C | KFM0000017 |
370 | FIN-FSCM-TRM-PA | Portfolio Analyzer | 20000714 | 46C | KFM0000014 |
371 | FIN-FSCM-TRM-TM | Transaction Manager | 20000714 | 46C | KFM0000007 |
372 | FIN-FSCM-TRM-TM-AC | Transfer to Financial Accounting | 20000714 | 46C | KFM0000011 |
373 | FIN-FSCM-TRM-TM-BO | Back Office | 20000714 | 46C | KFM0000010 |
374 | FIN-FSCM-TRM-TM-IS | Information System | 20000714 | 46C | KFM0000008 |
375 | FIN-FSCM-TRM-TM-TR | Transaction Management | 20000714 | 46C | KFM0000009 |
376 | FIN-SEM | Strategic Enterprise Management | 19981207 | 46A | SEM0000001 |
377 | FIN-SEM-BC | Business Content | 19991012 | 46A | SEM0000015 |
378 | FIN-SEM-BCS | Business Consolidation | 19981207 | 46A | SEM0000002 |
379 | FIN-SEM-BCS-CSF | Consolidation Functions | 19991012 | 46A | SEM0000008 |
380 | FIN-SEM-BCS-ICS | Additional Functions of Integrated Consolidation | 19991012 | 46A | SEM0000009 |
381 | FIN-SEM-BCS-INF | Infrastructure | 20030326 | 620 | SE31000052 |
382 | FIN-SEM-BCS-INT | Data Collection | 19991012 | 46A | SEM0000007 |
383 | FIN-SEM-BCS-IS | Information System | 19991012 | 46A | SEM0000010 |
384 | FIN-SEM-BCS-MD | Master Data | 20030326 | 620 | SE31000051 |
385 | FIN-SEM-BCS-MO | Monitor | 20030326 | 620 | SE31000053 |
386 | FIN-SEM-BIC | Business Information Collection | 19981207 | 46A | SEM0000003 |
387 | FIN-SEM-BPS | Business Planning and Simulation | 19981207 | 46A | SEM0000004 |
388 | FIN-SEM-BPS-ABM | Activity-Based Management | 20000916 | 46D | SEM0000751 |
389 | FIN-SEM-BPS-BP | Business Planning | 19991012 | 46A | SEM0000011 |
390 | FIN-SEM-BPS-PLA | Planning Applications | 20000916 | 46D | SEM0000753 |
391 | FIN-SEM-BPS-SYD | System Dynamics | 19991012 | 46A | SEM0000012 |
392 | FIN-SEM-CPM | Corporate Performance Monitor | 19981207 | 46A | SEM0000005 |
393 | FIN-SEM-CPM-BSC | Balanced Scorecard | 19991012 | 46A | SEM0000014 |
394 | FIN-SEM-CPM-MB | Measures & Benchmarks | 20000916 | 46D | SEM0000752 |
395 | FIN-SEM-CPM-MC | Management Cockpit | 19991012 | 46A | SEM0000013 |
396 | FIN-SEM-CPM-RMS | Risk Management System | 20010808 | 610 | SE30000021 |
397 | FIN-SEM-CPM-VDT | Value Driver Tree | 20000916 | 46D | SEM0000754 |
398 | FIN-SEM-SRM | Stakeholder Relationship Management | 19981207 | 46A | SEM0000006 |
399 | FS | Financial Services | 20010119 | 46C | KK40000021 |
400 | FS-BP | Business Partner | 20010316 | 46C | KFM0000891 |
401 | FS-CD | Collections/Disbursements | 19970716 | 31G | I250008802 |
402 | FS-CM | Claims Management | 19981028 | 45A | ITB0000001 |
403 | FS-CML | Loans Management | 19970728 | 40A | HLA0100074 |
404 | FS-CML-AC | Accounting | 19970728 | 40A | HLA0100081 |
405 | FS-CML-AC-AD | Accruals/Deferrals | 19970728 | 40A | HLA0100100 |
406 | FS-CML-AC-PE | Posting Evaluations | 19970728 | 40A | HLA0100102 |
407 | FS-CML-AC-PO | Posting | 19970728 | 40A | HLA0100082 |
408 | FS-CML-AC-PO-IP | Posting: Individual Processing | 19970728 | 40A | HLA0100091 |
409 | FS-CML-AC-PO-MP | Posting: Mass Processing | 19970728 | 40A | HLA0100090 |
410 | FS-CML-AC-PO-TR | Balance Sheet Transfer | 19970728 | 40A | HLA0100084 |
411 | FS-CML-AC-PP | Prepare Posting | 19970728 | 40A | HLA0100085 |
412 | FS-CML-AC-PP-PR | Update planned records | 19970728 | 40A | HLA0100086 |
413 | FS-CML-AC-PP-PS | Posting simulation | 19970728 | 40A | HLA0100087 |
414 | FS-CML-AC-RPM | Receivables/Payment Management | 19970728 | 40A | HLA0100092 |
415 | FS-CML-AC-RPM-DU | Dunning | 19970728 | 40A | HLA0100088 |
416 | FS-CML-AC-RPM-IAS | Incoming Bank Statement | 19970728 | 40A | HLA0100096 |
417 | FS-CML-AC-RPM-IAS-AU | Automatic | 19970728 | 40A | HLA0100097 |
418 | FS-CML-AC-RPM-IAS-MA | Manual | 19970728 | 40A | HLA0100098 |
419 | FS-CML-AC-RPM-PAY | Payment Generation | 19970728 | 40A | HLA0100095 |
420 | FS-CML-AC-RPM-PP | Payment Postprocessing | 19970728 | 40A | HLA0100099 |
421 | FS-CML-AC-VA | Valuation | 19970728 | 40A | HLA0100101 |
422 | FS-CML-BD | Basic Data | 19970728 | 40A | HLA0100103 |
423 | FS-CML-BD-FD | Filed Documents | 19970728 | 40A | HLA0100108 |
424 | FS-CML-BD-MD | Master Data | 19970728 | 40A | HLA0100104 |
425 | FS-CML-BD-MD-BP | Business Partners | 19970728 | 40A | HLA0100105 |
426 | FS-CML-BD-MD-CO | Collateral | 19970728 | 40A | HLA0100111 |
427 | FS-CML-BD-MD-LT | Loan Types | 19970728 | 40A | HLA0100107 |
428 | FS-CML-BD-MD-OB | Objects | 19970728 | 40A | HLA0100106 |
429 | FS-CML-BD-RI | Risk Settings | 19970728 | 40A | HLA0100109 |
430 | FS-CML-BD-RI-CS | Credit Standing Calculation | 19970728 | 40A | HLA0100112 |
431 | FS-CML-BD-RI-CV | Collateral Value | 19970728 | 40A | HLA0100110 |
432 | FS-CML-BD-RI-LI | Limit Management | 19970728 | 40A | HLA0100113 |
433 | FS-CML-BD-RI-RH | Risk Hierarchies | 19970728 | 40A | HLA0100114 |
434 | FS-CML-CN-CO | Correspondence | 19970728 | 40A | HLA0100077 |
435 | FS-CML-CS | Current Settings | 20031205 | 640 | ALN0000494 |
436 | FS-CML-IS | Information System | 19970728 | 40A | HLA0100115 |
437 | FS-CML-NB | New business | 19970728 | 40A | HLA0100075 |
438 | FS-CML-PO | Portfolio | 19970728 | 40A | HLA0100078 |
439 | FS-CML-PO-CT | Capital Transfer | 19970728 | 40A | HLA0100079 |
440 | FS-CML-PO-DI | Outgoing Payments | 19970728 | 40A | HLA0100076 |
441 | FS-CML-PO-PR | Premium Reserve Fund | 19970728 | 40A | HLA0100080 |
442 | FS-CML-PO-WA | Waiver | 19970728 | 40A | HLA0100093 |
443 | FS-CML-PO-WBO | Workplace: Business Operations | 20000808 | 46C | KFM0000032 |
444 | FS-CML-PO-WO | Depreciation | 19970728 | 40A | HLA0100094 |
445 | FS-CMS | Collateral Management System | 20011012 | 620 | ALN0000071 |
446 | FS-CMS-AO | Add On | 20011012 | 620 | ALN0000076 |
447 | FS-CMS-BW | CMS-BW Interface | 20040318 | 640 | PLN0000005 |
448 | FS-CMS-CAL | Calculations | 20050427 | 700 | PEN0000012 |
449 | FS-CMS-IS | Information System | 20030114 | 620 | ALN0000364 |
450 | FS-CMS-LIQ | Liquidation | 20050427 | 700 | PEN0000011 |
451 | FS-CMS-MD | Master Data | 20011012 | 620 | ALN0000072 |
452 | FS-CMS-MD-AST | Asset | 20011012 | 620 | ALN0000073 |
453 | FS-CMS-MD-CAG | Collateral Agreement | 20011012 | 620 | ALN0000074 |
454 | FS-CMS-MD-INV | Inventory | 20040318 | 640 | PLN0000004 |
455 | FS-CMS-MD-LR | Land Register | 20030114 | 620 | ALN0000363 |
456 | FS-CMS-MD-MOV | Movables | 20040318 | 640 | PLN0000002 |
457 | FS-CMS-MD-RBL | Receivable | 20011012 | 620 | ALN0000075 |
458 | FS-CMS-MD-RE | Real Estate | 20011012 | 620 | ALN0000077 |
459 | FS-CMS-MD-RIG | Rights | 20040318 | 640 | PLN0000003 |
460 | FS-CMS-MD-SEC | Securities | 20030114 | 620 | ALN0000362 |
461 | FS-CMS-MD-SHP | Ship | 20030114 | 620 | ALN0000361 |
462 | FS-CS | Commission | 19981117 | 40B | I500000111 |
463 | FS-FND-AF | Agent Framework | 20080221 | 711 | FSD0000001 |
464 | FS-FND-MKD | Market Data | 20011011 | 610 | /BA1/FNO0000038 |
465 | FS-FND-PSJ | Process Step Journal | 20080311 | 711 | FSD0000011 |
466 | FS-RBD | Value Adjustment | 20021016 | 620 | ALN0000281 |
467 | FS-SR | Regulatory reporting for insurance companies | 19981119 | 40B | I500000122 |
468 | FS-SR-AT | Austria | 20011205 | 620 | ALN0000121 |
469 | FS-SR-CH | Switzerland | 20011205 | 620 | ALN0000122 |
470 | FS-SR-DE | Germany | 20011205 | 620 | ALN0000123 |
471 | FS-XA | Cross Applications | 20140401 | 740 | SI30000114 |
472 | FS-XA-DPS | Deposits | 20140401 | 740 | SI30000115 |
473 | FS-XA-LNS | Loans | 20140401 | 740 | SI30000116 |