SAP ABAP IMG Activity SIMG_TPM63 (Execute Data Transfer)
Hierarchy
EA-FINSERV (Software Component) SAP Enterprise Extension Financial Services
   FIN-FSCM-TRM-TM-AC (Application Component) Transfer to Financial Accounting
     FTR_ACCOUNTING_ADAPTOR (Package) CFM TM: Accounting Adaptor
IMG Activity
ID SIMG_TPM63 Execute Data Transfer  
Transaction Code S_PLN_62000785   (empty) 
Created on 20040621    
Customizing Attributes SIMG_TPM63   Execute Data Transfer 
Customizing Activity SIMG_TPM63   Execute Data Transfer 
Document
Document Class SIMG   Hypertext: Object Class - Class to which a document belongs.
Document Name DATENUEBERNAHME    

Use

This report uses your selection criteria to read legacy data and transfer it to the system. You defined legacy data in the legacy data tables by using the following IMG activities: Enter Valuation Area-Independent Data for Securities, Enter Valuation Area-Dependent Data for Securities, Enter Valuation Area-Dependent Data for Money Market, Forex, and OTC Derivatives Transactions and Enter Valuation Area-Dependent Data for Futures .

Business transactions are generated for each line in the legacy data tables:

  • Business Transaction: Legacy data transfer not dependent on valuation area

    This business transaction is generated for each line in the legacy data table Valuation Area-Independent Data for Securities.

  • Business Transaction: Legacy data transfer based on valuation area

    This business transaction is generated for each line in the legacy data tables that are based on valuation areas.

  • Business Transaction: Reset legacy data transfer based on valuation area

    This business transaction is generated for each line in the legacy data tables that depend on the valuation area. Reset flows are generated by setting the corresponding indicators.

For each business transaction, the system generates corresponding flows using the defined values to post the position components.

The business transactions obtain fixed status.

In addition, the system generates corresponding planned records for interest and repayments as well as for any resulting derived business transactions (such as premium/discount flows or price/rate gain or loss records for repayment planned records.) This depends on the settings you made in Customizing for generating derived business transactions.

If you set the FI Update indicator on the selection screen, the flows relevant for posting are then posted.

If you do not set this indicator, the system does not post the posting-relevant flows to FI. However, the account determination procedure is run for all the flows relevant for posting and the data is transferred to the posting journal. Data needs to be transferred to the posting journal for reconciliation between the Transaction Manager (TM) and Financial Accounting (FI). The account assignment reference transfer is also based on this information.

Note:

To improve performance during the legacy data transfer, you can activate parallel processing. Refer to the IMG activity for activating parallel processing in Customizing for the Transaction Manager by choosing General Settings -> Parallel Processing Control.

Requirements

  • You need to have made your Customizing settings for the Transaction Manager and for the legacy data transfer. For more information, see the documentation in the SAP Library by choosing SAP ERP Central Component -> Accounting -> Financial Supply Chain Management -> Treasury and Risk Management -> Transaction Manager -> General Information about the Transaction Manager -> Legacy Data Transfer.
  • You need to have defined legacy data in the legacy data tables. You use the following IMG activities to do this: Enter Valuation Area-Independent Data for Securities, Enter Valuation Area-Dependent Data for Securities, Enter Valuation Area-Dependent Data for Money Market, Forex, and OTC Derivatives Transactions, and Enter Valuation Area-Dependent Data for Futures.

Activities

Selection

Product Groups

Select the product groups for which you want to carry out the legacy data transfer.

General Selections

  • Company code
  • Valuation area

Securities

  • ID number
  • Securities account
  • Portfolio (Position)

    If you select this field, positions are selected that are defined using the following differentiation terms: valuation area, special valuation class, accounting code, ID number, and portfolio.

Listed Derivatives

  • ID Number
  • Futures Account

OTC Transaction

  • Transaction
  • Transaction Type
  • Portfolio
  • Company Code of the Facility
  • Facilities
  • Master Agreement
  • Assignment
  • Internal Reference
  • Characteristics
  • Finance Project
  • Activity Category
  • Business Partner
  • Active Status

Special Selections

  • General Valuation Class
  • Key Date
  • Indicator Only Valuation Area-Independent Data

    If you set this indicator, the report only transfers the selected data from the IMG activity Enter Valuation Area-Independent Data for Securities.

Posting Control

If you do not make any entries here, the system posts the data used in the subledger to FI.

  • Indicator Update Financial Accounting
  • Test Run indicator

    First carry out a test run.

    Check the data.

    If the test run is successful, execute the update run.

Output Control

The output is displayed using the SAP List Viewer.

You can, however, choose a layout variant.

Business Attributes
ASAP Roadmap ID 103   Set up development systems 
Mandatory / Optional 2   Optional activity 
Critical / Non-Critical 2   Non-critical 
Country-Dependency A   Valid for all countries 
Maintenance Objects
Maintenance object type C   Customizing Object 
Assigned objects
Customizing Object Object Type Transaction Code Sub-object Do not Summarize Skip Subset Dialog Box Description for multiple selections
SNUM T - Individual transaction object TPM63  
History
Last changed by/on SAP  20040621 
SAP Release Created in 500