SAP ABAP Package FREP (RF reporting)
Basic Data
Package | ![]() |
FREP | |
Short Description | RF reporting | ||
Super package | ![]() |
CRM_APPLICATION | All CRM Components Without Special Structure Packages |
Main package indicator | Development Package | ||
Created on/by | ![]() |
00000000 | SAP |
Package Content
Table Name | Short Description | Table Category | Delivery Class |
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Accounts Blocked by Valuation Selection | TRANSP | A |
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Valuations for Open Items | TRANSP | A |
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Balance Audit Trail | TRANSP | A |
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Balance Audit Trail | TRANSP | A |
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Open Item Account Balance Audit Trail | TRANSP | A |
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Open Item Account Balance Audit Trail Master Record | TRANSP | A |
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Balance Audit Trail | TRANSP | A |
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Balance Audit Trail | TRANSP | A |
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FI/HR Withholding Tax Report for Spain | TRANSP | L |
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EC Sales List (Spain) | TRANSP | A |
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Cash Book table | TRANSP | A |
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Data on Z5A Foreign Trade Regulations Report, Germany | TRANSP | C |
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Table no Longer Used -> T007K/L | POOL | C |
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Table no Longer Used -> T007K/L | POOL | C |
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Tax Advance Payment per Taxes on Sls/Pur.Grp and Cal.Yr | TRANSP | C |
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Table for Grouping Tax Basis Balances | TRANSP | C |
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Table for Grouping Tax Balances | TRANSP | C |
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External Group Number for Tax Amounts | TRANSP | C |
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Text for Grouping Tax Amounts | TRANSP | C |
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Time-Dependent Version Assignment - For ELSTER | TRANSP | C |
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Acct Determ.for Open Item Exch.Rate Differences | POOL | C |
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Company Codes Blocked by the Payment Program | TRANSP | L |
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Work Files for the Extract of the Accum.Balance Audit Trail | TRANSP | C |
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Foreign Currency Valuation: Items with Special Cover | POOL | A |
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Valuation Adjustment Key | TRANSP | C |
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FI Valuation: Determine Base Value | TRANSP | C |
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Preference Key for Reading Valuation Results | TRANSP | C |
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Further Specifications for Sorted List | TRANSP | C |
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Sorted List of Open Items | TRANSP | C |
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Sort Methods | TRANSP | C |
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Sorted List of Open Items | TRANSP | C |
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Posting Data For Autocash With Lockbox | TRANSP | C |
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Control Parameters for Autocash | TRANSP | C |
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Evaluation of the Autocash Tapes | POOL | L |
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Control Data for Swiss ISR Procedure | POOL | C |
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Cashed Checks Control Table | POOL | C |
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Automatic Accounts for End-Year Closing/Opening Postings ITA | TRANSP | C |
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Valuation Difference Temporary Storage | POOL | L |
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Transfer Posting of Tax in a Cross-Company Code Transaction | TRANSP | C |
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Reports Supporting Alternative Local Currencies | TRANSP | S |
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Altern. Local Currency and Exch.Rate Type for a Company Code | TRANSP | C |
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BDF: Currency Key | POOL | C |
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BDF: Countries | POOL | C |
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BDF: State CB Indic. | POOL | C |
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BDF: Identif. of Offsett. Accounts | POOL | C |
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BDF: Accts Subj. to Report. | POOL | C |
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Line Items: Line Layout Variants, Assignment Old-New | TRANSP | S |
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Control Statements | TRANSP | L |
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Tax Balances per Comp.Code, Tax Code and Process.Key | TRANSP | L |
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Advance Return for Tax on Sls/Pur.Period | TRANSP | L |
Transaction Code | Short Description | Program |
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Periodic Account Statements | ![]() |
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Reconciliation Btwn Affiliated Comps | ![]() |
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Management Acct Group Reconciliation | |
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Create Account Group Reconcil. G/L | |
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Document Assignment User Settings | |
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Manage Templates for Notifications | |
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Correspondence: Print Requests | ![]() |
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Correspondence: Print Int.Documents | ![]() |
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Correspondence: Delete Requests | ![]() |
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General Ledger: Report Selection | ![]() |
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Vendors: Report Selection | ![]() |
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Customers: Report Selection | ![]() |
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Vendor Foreign Currency Valuation | ![]() |
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Customer Foreign Currency Valuation | ![]() |
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Foreign Currency Val. (G/L Accounts) | ![]() |
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Document Archiving | |
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Archiving of G/L Accounts | |
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Management of G/L Account Archives | |
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Customer Archiving | |
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Archiving of Vendors | |
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Transaction Figure Archiving | |
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Archiving of Bank Data Storage | |
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Menu Banque de France | ![]() |
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C80 Reporting Minus Sp.G/L Ind. | ![]() |
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Financial Transactions | ![]() |
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Control Report | ![]() |
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Download Documents | ![]() |
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Reports Minus Vendor Accounts | ![]() |
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Document Changes | ![]() |
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C80 Reports Minus Sp.G/L Ind. | ![]() |
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C84 Reports | ![]() |
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Customizing BDF | ![]() |
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Vendor Line Items | ![]() |
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Vendor Line Items | ![]() |
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G/L Account Line Items | ![]() |
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G/L Account Line Items | ![]() |
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Customer Line Items | ![]() |
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Customer Line Items | ![]() |
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FI Internet: Vendor Line Items | ![]() |
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FI Internet: Vendor Line Items | |
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FI Internet: Customer Line Items | ![]() |
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FI Internet: Customer Line Items | |
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Document C80 | ![]() |
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Document C82 | ![]() |
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External Group Number for Taxation | |
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Maintain Convertible Reports | |
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Main.Table for Old Local Curr.(EURO) | |
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TxApportnmnt for Cross-Co.Cde Trans. | |
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C FI Maintain Table T030H | |
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C FI Maintain Table T044J: Display | |
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Actual/Actual Comparison for Year | |
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Half-Year Actual/Actual Comparison | |
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Quarterly Actual/Actual Comparison | |
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Periodic Actual/Actual Comparison | |
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Annual plan/actual comparison | |
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Half-Year Plan/Actual Comparison | |
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Quarterly Plan/Actual Comparison | |
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Periodic Plan/Actual Comparison | |
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10-Year Actual/Actual Comparison | |
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Balance using C/S (German Trade Law) | |
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Profit and Loss Statement(Per.Acctg) | |
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Cash Flow (Direct Method) | |
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Cash Flow (Indirect Method) Variant | |
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Cash Flow (Indirect Method) Variant | |
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G/L Account Balances | |
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G/L Account Balances | |
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Structured Account Balances | |
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Structured Account Balances | |
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General Ledger Line Items | |
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General Ledger Line Items | |
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Financial Statements | |
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G/L Account Balances | |
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G/L Account Balances | |
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General Ledger Line Items | |
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Display Changes to G/L Accounts | |
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Display Changes to G/L Accounts | |
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Chart of Accounts | |
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Chart of Accounts | |
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G/L Account List | |
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G/L Account List | |
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Account Assignment Manual | |
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Account Assignment Manual | |
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Customer / Vendor / G/L Account | |
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Customer / Vendor / G/L Account | |
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G/L accounts list | |
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Average Balances Period Version LC | |
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Average Balances Period Version TC | |
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Avg.Balances Daily Vers.Posting Date | |
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Avg.Balances Daily Vers.Fxd Val.Date | |
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Avg.Balances Period Version LC YTD | |
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Avg.Balances Period Version TC YTD | |
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Gaps in Document Number Assignment | |
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Line Items Extract | |
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Offsetting Account Program | |
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(empty) | ![]() |
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(empty) | ![]() |
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Anal.GR/IR Clrg Accts and Dis.Acq.Tx | |
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Financial Statements | |
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Annual Sales Ret. to Tax Office (PT) | |
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Withholding Tax Report for Vendor | |
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TRANSACTION CODE FOR RFIDESM347 | ![]() |
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Number range maintenance: IDWTVC | ![]() |
Hierarchy
Software Component | ![]() |
BBPCRM | BBPCRM |
SAP Release Created in | |||
Application Component | ![]() |
CRM (AEC0000003) | Customer Relationship Management |
Package | ![]() |
FREP | RF reporting |