SAP ABAP Package - Index C, page 7
Package - C
| # | Package | Short Description | Super package | Software Component | Application Component |
|---|---|---|---|---|---|
| 1 | ETCT for Business Functions CRM_SRV_1 | ||||
| 2 | ETCT for CRM_TEL_1 | ||||
| 3 | ETCT for Business Functions CRM_TM_1 | ||||
| 4 | ETCT for CRM_TPM_1 | ||||
| 5 | ETCT for CRM_UT_ER_1 | ||||
| 6 | ETCT for CRM_UT_ER_2 | ||||
| 7 | ETCT for CRM_UT_QD_2 | ||||
| 8 | ETCT for CRM_WASTE_1 | ||||
| 9 | ECTC for CRM_WEB_CHANNEL | ||||
| 10 | CRM Order: Event Handler | ||||
| 11 | Event History: Data Exchange Middleware (R/3 Adapter) | ||||
| 12 | CRM Social Services Event Control | ||||
| 13 | Interaction Layer Ext. Documents for Business Transaction | ||||
| 14 | GENIL Core for external documents for transactions | ||||
| 15 | GENIL Runtime external documents for transaction | ||||
| 16 | Tools for external documents | ||||
| 17 | handling of external parts | ||||
| 18 | handling of external parts in OneOrder | ||||
| 19 | External Reference Numbers in the Business Transaction | ||||
| 20 | Supporting Package for PCUI Fact Sheet Framework | ||||
| 21 | CRM FC Basic Functions | ||||
| 22 | CRM Sales Forecasting | ||||
| 23 | Root Package for CRM Rule Builder | ||||
| 24 | Package for CRM Rule Builder Customizations | ||||
| 25 | Package for CRM Rule Builder GENIL | ||||
| 26 | Web Services for Rules and IMG Attributes | ||||
| 27 | Package for CRM Rule Builder UI | ||||
| 28 | Infrastructure for CRM feeds (RSS, Atom) | ||||
| 29 | CRM FI-CA Integration | ||||
| 30 | CRM Adjustment Request Item: FI-CA Document Interface | ||||
| 31 | CRM FI-CA Switch BC-Set Customizing CRM7.0 EhP1 | ||||
| 32 | CRM FI-CA Integration Customizing Part I | ||||
| 33 | CRM FI-CA Integration Customizing Part II | ||||
| 34 | Obsolete - CRM FI-CA Dispute Integration with IC Web Client | ||||
| 35 | CRM FI-CA General Integration | ||||
| 36 | CRM FI-CA Integration into the CRM IC Logging | ||||
| 37 | CRM FI-CA Integration - Generic Interaction Layer Components | ||||
| 38 | IS Migration - Services | ||||
| 39 | Integration CRM One-Offs into FI-CA Convergent Invoicing | ||||
| 40 | Integration CRM One-Offs into FI-CA Convergent Invoicing | ||||
| 41 | Integration CRM Product into FI-CA Product | ||||
| 42 | CRM FI-CA Switched Objects for the EhP1 | ||||
| 43 | Authorizations at Field Level | ||||
| 44 | CRM Key Figures | ||||
| 45 | Financial Mathematics Algorithms | ||||
| 46 | Financial Mathematics: Exception Handling | ||||
| 47 | FIMA Cash Flow Object (Central Methods) | ||||
| 48 | View of Cash Flow Object | ||||
| 49 | Financial Mathematics in the CRM Business Transaction | ||||
| 50 | Cash Flow Object Test Environment | ||||
| 51 | FIMA Payment Schedule | ||||
| 52 | CRM Adapter for Financial Mathematics | ||||
| 53 | Generate and Manage Financing | ||||
| 54 | Individual Objects in Financing Transactions | ||||
| 55 | Display of Cash Flow for Compl.Contract | ||||
| 56 | Pricing Screen for Financing Documents | ||||
| 57 | Simulation Tool: Lease Quotation | ||||
| 58 | Simulation Tool: Customizing | ||||
| 59 | CRM Tax Calculation | ||||
| 60 | Interface for Payment Schedule | ||||
| 61 | Financing Profile Customizing | ||||
| 62 | CRM Leasing and Loan Product Data | ||||
| 63 | Pricing Interface | ||||
| 64 | CRM Funds Management | ||||
| 65 | Funds Management | ||||
| 66 | CRM Funds Managment: Application Component Hierarchies | ||||
| 67 | CRM Funds Management: Accruals | ||||
| 68 | Accrual calculation | ||||
| 69 | CRM Funds Management Accruals: Application | ||||
| 70 | CRM Funds Management Accruals: Archiving | ||||
| 71 | CRM Funds Management: Accruals Staging Area | ||||
| 72 | CRM Funds Management Accruals BAPIs | ||||
| 73 | CRM Funds Management Accruals: Authorization checks | ||||
| 74 | CRM Funds Management Accruals: BI integration | ||||
| 75 | CRM Funds Management Accruals: Customizing | ||||
| 76 | Accrual ERP integration | ||||
| 77 | CRM Funds Management Accruals: Batch job framework | ||||
| 78 | Accrual reference data | ||||
| 79 | CRM Funds Management Accruals: Unit Tests | ||||
| 80 | CRM Funds Management Accruals: Utility package | ||||
| 81 | CRM Funds Management: Aggregations | ||||
| 82 | CRM Funds Management: Availability Control | ||||
| 83 | CRM Funds Management: Availability Control Business Logic | ||||
| 84 | CRM Funds Management: Availability Control Customizing | ||||
| 85 | CRM Funds Management: Budget Expiration | ||||
| 86 | CRM Funds Management: Batch Framework | ||||
| 87 | Batch Processing Framework Application | ||||
| 88 | Batch processing framework Applog BOL | ||||
| 89 | Batch Processing Framework Customizing | ||||
| 90 | Batch Processing Framework UI | ||||
| 91 | CRM Funds Management: BI Integration | ||||
| 92 | CRM Funds Management: BOL and GenIL implementations | ||||
| 93 | CRM Funds Management Accruals: BOL & GENIL | ||||
| 94 | CRM Funds Management:Budget Posting Transfer Rules BOL/GENIL | ||||
| 95 | CRM Funds Management: Checkbook BOL and Genil | ||||
| 96 | CRM Funds Management: Fund Plans and Funds BOL and GenIL | ||||
| 97 | CRM Fund Managment BOL for Fund Posting | ||||
| 98 | BOL/GENIL Implementation of FU | ||||
| 99 | CRM Funds Management Live Rates | ||||
| 100 | CRM Funds Management: Budget Posting | ||||
| 101 | CRM Budget Posting application logic | ||||
| 102 | CRM Funds Management: Budget Posting Archiving | ||||
| 103 | BI integration for BPO | ||||
| 104 | CRM Budget Update customizing | ||||
| 105 | CRM Budget Posting application - Obsolete objects | ||||
| 106 | CRM Funds Management: Budget Posting Transfer Rules | ||||
| 107 | CRM Budget Posting UI | ||||
| 108 | CRM Budget Posting UI for Partner | ||||
| 109 | CRM Funds Management: Checkbook | ||||
| 110 | CRM Funds Management: Checkbook Application Logic | ||||
| 111 | CRM Funds Management: Checkbook Customizing | ||||
| 112 | CRM Funds Management: FM integration with 1Order | ||||
| 113 | CRM Funds Management: Common Objects | ||||
| 114 | CRM Funds Management: Knowledge Management Objects | ||||
| 115 | CRM Funds Management: Fund Plans and Funds | ||||
| 116 | CRM Funds Management: Fund Plans and Funds business logic | ||||
| 117 | CRM Funds Management: Fund Plans and Funds Archiving | ||||
| 118 | CRM Funds Management: Fund Plans and Funds BI | ||||
| 119 | CRM Funds Management: Fund Plans and Funds Customizing | ||||
| 120 | CRM Funds Management: Fund Posting | ||||
| 121 | CRM Funds Management: Fund Aggregation | ||||
| 122 | CRM Funds Management: Fund Posting Aggregate Business Logic | ||||
| 123 | CRM Funds Management: Fund Posting Aggregate Archiving | ||||
| 124 | CRM FM Fund Postings Aggregate Database package | ||||
| 125 | CRM Funds Management: Fund Posting Archiving | ||||
| 126 | CRM Funds Management: Funds Posting BI integration | ||||
| 127 | CRM Funds Management: Fund Posting Documents | ||||
| 128 | CRM Funds Management: Fund Posting Documents Business Logic | ||||
| 129 | CRM Funds Management: Fund Posting Cutomizing | ||||
| 130 | Fund Posting Document - Dadatabase | ||||
| 131 | CRM Funds Management: Fund Usages | ||||
| 132 | CRM Funds Management: Fund Usages application | ||||
| 133 | CRM Funds Management: Fund Usagess Archiving | ||||
| 134 | Package for Unit tests of FU Archiving | ||||
| 135 | CRM Funds Management: Fund Usages BI integration | ||||
| 136 | CRM Funds Management: External interaction layer | ||||
| 137 | CRM Funds Management APIs | ||||
| 138 | CRM Funds Management Interaction layer manager | ||||
| 139 | Live Rates | ||||
| 140 | Live Rates Application | ||||
| 141 | Live Rates Plan and Planning Element Archiving | ||||
| 142 | Live Rates Fund integrations | ||||
| 143 | Live Rages Key Figure Planning integration | ||||
| 144 | Live Rates Other Parties Involved | ||||
| 145 | Live Rates Post Process Framework (Action) | ||||
| 146 | Live Rates Status Management | ||||
| 147 | Live Rates BI integration | ||||
| 148 | Live Rates reusable features | ||||
| 149 | Live Rates Customizing | ||||
| 150 | Live Rates TPM functionalities | ||||
| 151 | TPM Live Rates for Funds Management - Switched Package | ||||
| 152 | Live Rates TPM Batch Jobs | ||||
| 153 | Live Rates TPM Key Figures Planning | ||||
| 154 | Live Rates TPM Ownership | ||||
| 155 | Live Rates TPM Pertinent Master Data Changes | ||||
| 156 | CRM Funds Management: CRM MW related development objects | ||||
| 157 | CRM Funds Management: Accruals: CRM MW development objects | ||||
| 158 | CRM Funds Management: Fund CRM Middleware | ||||
| 159 | CRM Funds Management: Fund Posting: MW development objects | ||||
| 160 | CRM Funds Management: Fund Usage: CRM MW development objects | ||||
| 161 | CRM Funds Management: Live Rates Middleware | ||||
| 162 | Proxy for CRM Funds Management | ||||
| 163 | FM: RFC access | ||||
| 164 | CRM Funds Management: UI | ||||
| 165 | CRM Funds Management Accruals UI | ||||
| 166 | Budget Expiration Process | ||||
| 167 | Budget Expiration Views for Partner | ||||
| 168 | CRM Funds Management: Checkbook UI | ||||
| 169 | CRM Funds Management: Checkbook UI for Partner | ||||
| 170 | CRM Funds Management: Fund Plans and Funds UI | ||||
| 171 | CRM Funds Management: Funds UI for the channel partner | ||||
| 172 | CRM Fund Management ICWC Fund Posting | ||||
| 173 | Package for UI of Fund Usages in Fund Management | ||||
| 174 | Funds Management: Funds Usage package for Patner UI | ||||
| 175 | CRM Funds Management Live Rates | ||||
| 176 | CRM Form Processing Framework | ||||
| 177 | Free Goods | ||||
| 178 | CRM: Total Commitment PC-UI | ||||
| 179 | ICWebClient Integration for Insurance | ||||
| 180 | FSCD Integration - DDIC Data | ||||
| 181 | FSCD BOL Components | ||||
| 182 | Connection: Financial Supply Chain Management to CRM | ||||
| 183 | Interaction Layer Financial Services Business Transaction | ||||
| 184 | FS Interaction Layer: Business Transaction for Core Objects | ||||
| 185 | FS Interaction Layer: Business Transaction for Customizing | ||||
| 186 | FS Interaction Layer: Business Transaction for Objects | ||||
| 187 | FS Extension for Need Analysis - Obsolete | ||||
| 188 | FS: Transfer Product Set Types to Conventional 1O Objects | ||||
| 189 | FS: BAdIs Transfer Product Set Types to Conventional 1O Obj. | ||||
| 190 | FS: Transfer Product Set Types to Conventional 1O Objects | ||||
| 191 | Financial Services: Main Item Processing | ||||
| 192 | Financial Services: BAdIs for Cross-App. Item Processing | ||||
| 193 | Financial Services: Main Item Processing | ||||
| 194 | Financial Services: Extension Age | ||||
| 195 | Financial Services: Bank Details Extension | ||||
| 196 | FS : extension for BPCA | ||||
| 197 | Financial Services: Extension for FIMA Calculation Schema | ||||
| 198 | Financial Services: Cash Flow Extension | ||||
| 199 | Financial Services: Extension Collateral Agreement Details | ||||
| 200 | Financial Services: Extension Collateral Agreement Category | ||||
| 201 | Financial Services: Classification Data | ||||
| 202 | FS AO 1O extension for clearing account | ||||
| 203 | FS : 1O extension for Collateral Constellation | ||||
| 204 | Financial Services: Payment Specification Extension Details | ||||
| 205 | Financial Services: Interest Scale Extension Detail | ||||
| 206 | Financial Services: Extension Dealer/Third-Party Bus. Rel. | ||||
| 207 | Financial Services: Events related to Date Set Functionality | ||||
| 208 | Financial Services: Extension for Events in Payt Structure | ||||
| 209 | Financial Services: Extension for Events | ||||
| 210 | Financial Services: Extension for Events in Product Master | ||||
| 211 | Financial Services: Extension Events Working Day Calendar | ||||
| 212 | FS : 1O extension for FICO integration | ||||
| 213 | Financial Services: Calculation Base Extension | ||||
| 214 | FS 1O Extension Individual Valuables | ||||
| 215 | Financial Services: Object Layer | ||||
| 216 | Financial Services: Extension Loan Payment Schedule | ||||
| 217 | Financial Services: Extension Loan Payments - Perf.Enh. | ||||
| 218 | Financial Services: Extension Load Conditions | ||||
| 219 | Financial Services: Extension Loan Discount | ||||
| 220 | FS : 1O extension for Loan input common parameters | ||||
| 221 | Financial Services: Extension Loan Locked In Interest Rate | ||||
| 222 | Financial Services: Loan Results Extension | ||||
| 223 | Financial Services: Generated One Order Extensions | ||||
| 224 | FS Extension for Need Analysis | ||||
| 225 | Financial Services: Extension Option | ||||
| 226 | Payment Advice | ||||
| 227 | FS:Payment Plan Details Extension | ||||
| 228 | PFS Ratio | ||||
| 229 | FS : 1O extension - Variants for quote Options | ||||
| 230 | FS 10 extension Loan Purpose | ||||
| 231 | FS : 1o Extension Payment Key Figures | ||||
| 232 | FS:AO 1O extension for references | ||||
| 233 | Financial Services: Extension Real Estate Details | ||||
| 234 | Financial Services: Extension Real Estate Location | ||||
| 235 | Financial Services: Extension Real Estate Type | ||||
| 236 | Financial Services: Extension Special Agreements | ||||
| 237 | Financial Services: Object Layer Switched DevObjects | ||||
| 238 | Financial Services: Extension for Taxes/Fees | ||||
| 239 | Financial Services: Customizing for Taxes/Fees | ||||
| 240 | Financial Services: Extension Usage Category | ||||
| 241 | Financial Services: Extension for Payment Structure Variant | ||||
| 242 | Financial Services: Workday Calendar Extension | ||||
| 243 | Financial Services: Business Transaction Fact Sheet | ||||
| 244 | FS : AO Action implementation | ||||
| 245 | FS : AO Main Package for Action profiles | ||||
| 246 | Financial Services: Actions - Switchable Objects | ||||
| 247 | FS Application Integration Layer: XI Inbound | ||||
| 248 | XI Inbound Proxies Namensraum CRM/FS | ||||
| 249 | FS: XI Implementations: Communication with Service Providers | ||||
| 250 | FS: Implementations: Business Partner | ||||
| 251 | FS: Implementation of Distribution for Leasing Document | ||||
| 252 | FS Application Integration Layer Outbound | ||||
| 253 | XI Outbound Proxies Namensraum /CRM/FS/ | ||||
| 254 | FS Inbound services API | ||||
| 255 | Financial Services: Appointment Processing Implementation | ||||
| 256 | Financial Services: Appointment Processing Main | ||||
| 257 | Financial Servcies: Appointments - Switchable Objects | ||||
| 258 | FS Inbound Service Implementation Banking Customer Quote | ||||
| 259 | FS Outbound Service Implementation Banking Customer Quote | ||||
| 260 | FS: Explode Product Bundle | ||||
| 261 | FS Inbound Service Implementation Banking Opportunity | ||||
| 262 | FS Outbound Service Implementation Banking Opportunity | ||||
| 263 | Financial Services: Business Partner Fact Sheet | ||||
| 264 | CRM BP Business Partner Pool | ||||
| 265 | Financial Services: Action Implementations BRF | ||||
| 266 | Financial Services: Application Classes | ||||
| 267 | Financial Services: Example Content Deliveries | ||||
| 268 | Financial Services: Business Rules Framework | ||||
| 269 | FS : BRF Plus Applications | ||||
| 270 | FS : BRF Plus Customizing | ||||
| 271 | FS : BRF Plus Helper | ||||
| 272 | FS : BRF Plus implementations | ||||
| 273 | Financial Services: Customizing for Generation of BRIs | ||||
| 274 | Financial Services: Generation of BRIs | ||||
| 275 | Financial Services: Generate Billing Request Items | ||||
| 276 | FS Inbound Service Implementation Banking Sales Contract | ||||
| 277 | FS Outbound Service Implementation Banking Sales Contract | ||||
| 278 | Interaction Layer for FS Business Partner (from Release 5.1) | ||||
| 279 | Financial Services: Action Implementations Case Management | ||||
| 280 | Financial Services: Customizing Case Management | ||||
| 281 | Financial Services: Case Managment Implementations | ||||
| 282 | Financial Services: Case Management | ||||
| 283 | Financial Services: Service Methods Case Management | ||||
| 284 | Financial Services: Change Processes for Accounting | ||||
| 285 | Financial Services: Implement Chg. Processes for Accounting | ||||
| 286 | Financial Services: BRF Change Processes | ||||
| 287 | Financial Services: Change Processes for BRF Actions | ||||
| 288 | Financial Services: Cancellation Change Processes | ||||
| 289 | Financial Services: Implement Chg. Procs for Cancellation | ||||
| 290 | Financial Services: COA Change Processes | ||||
| 291 | Financial Services: Impl. Change Processes for COA | ||||
| 292 | Financial Services: Core Change Processes | ||||
| 293 | Financial Services: Change Processes Core API | ||||
| 294 | Financial Services: Change Processes in BOL | ||||
| 295 | Financial Services: Implementing Change Processes | ||||
| 296 | Financial Services: Change Processes - Swichable Objects | ||||
| 297 | Financial Services: Change Processes User Interface | ||||
| 298 | Financial Services: Customizing Change Processes | ||||
| 299 | Financial Services: Floating Rate Adjustment - Framework | ||||
| 300 | Financial Services: Floating Rate Adjustment - Impl. | ||||
| 301 | Financial Services: Floating Rate Adjustment | ||||
| 302 | Financial Services: Contract Inception Change Processes | ||||
| 303 | Financial Services: Impl. Chg. Processes for Contract Incep. | ||||
| 304 | Financial Services: Change Processes | ||||
| 305 | Financial Services: Change Process Options | ||||
| 306 | Financial Services: Change Processes for Int. Tool Modules | ||||
| 307 | Financial Services: Communication with Credit Management | ||||
| 308 | Financial Services: Customizing for Collateral Management | ||||
| 309 | Financial Services: Collateral Management Implementations | ||||
| 310 | Financial Services: Collateral Management | ||||
| 311 | Financial Services: Composite APIs | ||||
| 312 | Financial Services: Composite Customizing | ||||
| 313 | Financial Services: Composite UIs | ||||
| 314 | CRM: Basic Functionality for Condition Processing | ||||
| 315 | CRM: Customizing for Condition Processing | ||||
| 316 | CRM: Filling Condition Field Catalog fields | ||||
| 317 | CRM: BAdI implementations for Filling of condition fields | ||||
| 318 | CRM: New Condition Processing | ||||
| 319 | CRM: Specific Pricing Functionality | ||||
| 320 | CRM: Condition Processing and Pricing | ||||
| 321 | Financial Services Interfaces for Content Management | ||||
| 322 | Financial Services: Attribute Enhancements Documents | ||||
| 323 | Financial Services: Document Management | ||||
| 324 | Customizing IMG for Financial Services | ||||
| 325 | FS AO Document Check list customizing | ||||
| 326 | FS AO Document Check list Implementation | ||||
| 327 | FS AO : Main Package for Document checklist | ||||
| 328 | FS: Dealer/Third Party Relationship BAdI Implementation | ||||
| 329 | FS: Customizing for Dealer/Third-Party Business Relationship | ||||
| 330 | FS: Determine Dealer/Third-Party Business Relationship | ||||
| 331 | Financial Services: Dealer/Third-Party Business Relationship | ||||
| 332 | FS: Tools for Dealer/Third-Party Business Relationship | ||||
| 333 | FS: Integrate Transactions for Dealer/Third-Party Bus. Rel. | ||||
| 334 | Interaction Layer for ECM | ||||
| 335 | FS: Enterprise Content Management Implementation | ||||
| 336 | Financial Services: Enterprise Content Management | ||||
| 337 | Financial Services: Development Fact Sheet | ||||
| 338 | FS : FICO APIs | ||||
| 339 | FS : Call backs and Badis for application BNKCSS | ||||
| 340 | FS : Implementation package for FICO integration | ||||
| 341 | FS : FICO Integration main package | ||||
| 342 | Financial Services: FIMA APIs | ||||
| 343 | Financial Services: General Functions for FIMA | ||||
| 344 | Financial Services: Implement General Functions for FIMA | ||||
| 345 | Financial Services: FIMA Calculation | ||||
| 346 | Financial Services: Implement FIMA Calculation | ||||
| 347 | Financial Services: FIMA Controller | ||||
| 348 | Financial Services: Customizing for Financial Mathematics | ||||
| 349 | Financial Services: FIMA Financing View | ||||
| 350 | Financial Services: Implement FIMA Financing View | ||||
| 351 | Financial Services: Financial Mathematics | ||||
| 352 | Financial Services: Financial Statement Processing | ||||
| 353 | FS Inbound Service Personal Financial Statement | ||||
| 354 | FS Outbound Service Personal Financial Statement | ||||
| 355 | XI Inbound Proxies Namensraum CRM/FS/GLOBAL/ | ||||
| 356 | XI Outbound Proxies Namensraum /CRM/FS/GLOBAL/ | ||||
| 357 | Financial Services: Implementations for Identification Obj. | ||||
| 358 | Financial Services: Identification Object Service | ||||
| 359 | FS : Integration APIs | ||||
| 360 | Financial Services: Customizing Integration Layer | ||||
| 361 | Financial Services: Implementations for Service Call | ||||
| 362 | Financial Services: Integration Layer: Business Objects | ||||
| 363 | FS : Integration to Process Objects | ||||
| 364 | Financial Services: Integration of Services | ||||
| 365 | Financial Services: Choreography of Service Calls | ||||
| 366 | Financial Services: Lean Contract Billing General Functions | ||||
| 367 | Financial Services: Lean Contract Billing Main Package | ||||
| 368 | FS Consumer Service Implementation for LoanQuoteVariant | ||||
| 369 | CRM FS: Multiple-Asset Contract Business Objects | ||||
| 370 | CRM FS: General functions without namespace | ||||
| 371 | Financial Services: MAC Order Index Access | ||||
| 372 | Financial Services: Multiple Asset Contract (FS Core Part) | ||||
| 373 | FS Inbound Services Mapping and Validations | ||||
| 374 | FS Outbound services Mapping | ||||
| 375 | FS Consumer Proxy implementation for New Loan Onboarding | ||||
| 376 | Financial Services: Action Implementations Transaction | ||||
| 377 | Financial Services: Action Processing Main | ||||
| 378 | Financial Services: Customizing for Transaction | ||||
| 379 | Financial Services: Transaction Extensibility | ||||
| 380 | Financial Services: Implementations for Full Service Leasing | ||||
| 381 | Financial Services: Full Service Leasing Main | ||||
| 382 | Financial Services: General Implementations for Transaction | ||||
| 383 | Financial Services: Transaction Management | ||||
| 384 | Financial Services: General Switchable Objects | ||||
| 385 | Financial Services: General Switchable Objects | ||||
| 386 | Switchable package for BCQ objects | ||||
| 387 | FS : General Switchable objects : New Business and Renewal | ||||
| 388 | Financial Services: Switch Framework Switches and Tools | ||||
| 389 | Financial Services: Switch Framework Main Package | ||||
| 390 | Financial Services: Test Cases for Business Functions | ||||
| 391 | Financial Services: Partial Processing Customizing | ||||
| 392 | Financial Services: Partial Processing Implementation | ||||
| 393 | Financial Services: Partial Processing | ||||
| 394 | Financial Services: Customizing for Partner Determination | ||||
| 395 | Financial Services: Partner Determination Main | ||||
| 396 | FS: Personal Financial Statement Customizing | ||||
| 397 | FS : Personal Financial Statement Implementation | ||||
| 398 | Financial Services: Pricing | ||||
| 399 | Financial Services: Pricing ABAP Recall | ||||
| 400 | Financial Services: Implement ABAP Recall | ||||
| 401 | Financial Services: PRICING_I from FiMa | ||||
| 402 | Financial Services: PRICING_I from FiMa - Implementation | ||||
| 403 | Financial Services: Pricing | ||||
| 404 | Financial Services: Pricing with reduced pricing procedure | ||||
| 405 | Financial Services: Pridoc Adapter | ||||
| 406 | FS : Reuse Objects Implementation | ||||
| 407 | FS : Reuse objects | ||||
| 408 | FS SBL Generic Objects for Service Implementation | ||||
| 409 | FS SBL Generated Objects for Services | ||||
| 410 | FS : Services Basic Layer | ||||
| 411 | FS SBL Sevice Implementaion Generic Mapping and Validations | ||||
| 412 | FS : Main package for Services | ||||
| 413 | FS : services Inbound | ||||
| 414 | FS : Services Outbound | ||||
| 415 | Financial Services: Status Management for Application Layer | ||||
| 416 | Financial Services: Status Management: Appl. Logic Layer | ||||
| 417 | Financial Services: Status Management Connection | ||||
| 418 | Financial Services: Status Management Persistence Layer | ||||
| 419 | Financial Services: BugFix Reports for Support | ||||
| 420 | test | ||||
| 421 | ee | ||||
| 422 | FS: Offer to Terminate APIs That Can Be Called Externally | ||||
| 423 | FS: Offer to Terminate Calling of External Components | ||||
| 424 | FS: General Functions for Termination Quotation | ||||
| 425 | Financial Services: Offer to Terminate FI Integration | ||||
| 426 | FS: Offer to Terminate Processing | ||||
| 427 | FS: Offer to Terminate Processing for Implementation | ||||
| 428 | Financial Services: Adapter XIF Billing Interface | ||||
| 429 | Financial Services: XIF Interfaces | ||||
| 430 | Financial Services: Interfaces to Collateral Systems | ||||
| 431 | Financial Services: Customzing for Calling the XIF Adapter | ||||
| 432 | Financial Services: Interfaces to Full Service Leasing | ||||
| 433 | Financial Services: Interfaces to Loans Systems | ||||
| 434 | Financial Services: Customizing Mapping for Loans | ||||
| 435 | Financial Services: XI Interfaces to One Order | ||||
| 436 | Financial Services: Interfaces to Purchasing Systems | ||||
| 437 | Financial Services: Tool Elements for XIF Adapter | ||||
| 438 | Financial Services: XI Content | ||||
| 439 | 1Order Fund Header Segment | ||||
| 440 | Generic Reuse Tools | ||||
| 441 | Generic Reuse Tools | ||||
| 442 | Generic Interaction Layer for Access to CRM Objects | ||||
| 443 | Application-Specific Customizing for Generic IL | ||||
| 444 | Customizing Objects for Generic Interaction Layer | ||||
| 445 | Exception Objects for the Generic Interaction Layer | ||||
| 446 | Support for application implementation | ||||
| 447 | Main Package for the Generic Interaction Layer | ||||
| 448 | RFC Interface for Generic Interaction Layer | ||||
| 449 | Examples | ||||
| 450 | Components of the Generic IL for Simple Objects | ||||
| 451 | General Program Tools in Generic Interaction Layer Environmt | ||||
| 452 | GenIL Component for Web Service Consumption | ||||
| 453 | Support of Web Service Tool | ||||
| 454 | Switched Package for Gift Cards | ||||
| 455 | Parent package for Gift Card | ||||
| 456 | Gift Certificate Processing | ||||
| 457 | Gift Certificate Processing: BOL/GenIL | ||||
| 458 | Gift Certificate Processing: UI | ||||
| 459 | Gift Certificate Customizations | ||||
| 460 | Gift Card Web Services | ||||
| 461 | Grants Program Management Post Processing Framework | ||||
| 462 | Grants Program Management application | ||||
| 463 | Grantor Program Archiving | ||||
| 464 | Grants Program Management attributes assignment | ||||
| 465 | Grantor Program Management: BW adapter, mapping services | ||||
| 466 | Grants Program Management Easy Enhancement Workbench integr. | ||||
| 467 | Grants Program Expense Types Assignment | ||||
| 468 | GENIL/BOL implementation for GPM | ||||
| 469 | CRM Grants Program Management | ||||
| 470 | Grantor program data exchange | ||||
| 471 | Grants Program Management Partner Function assignment | ||||
| 472 | Grants Program Management Process Control assignment | ||||
| 473 | Grants Program settings for processes | ||||
| 474 | Grantor Management: test tools | ||||
| 475 | Grantor mangement: Communication in OneOrder | ||||
| 476 | GRM Testcases | ||||
| 477 | GTS Connection to CRM | ||||
| 478 | General Tools for HANA Access | ||||
| 479 | CRM Mobile Applications for Handhelds | ||||
| 480 | Exchange of Hierarchies and Categories | ||||
| 481 | Interaction Layer for IBase | ||||
| 482 | Enterprise Search: Ibase | ||||
| 483 | eSOA Package for Service Implementation | ||||
| 484 | eSOA Package for generated Proxies | ||||
| 485 | IBase and Structure Codes for Products and Objects | ||||
| 486 | CRM Interaction Center | ||||
| 487 | Integration of CRM Billing with FI-CA | ||||
| 488 | CRM Integrated Communication Interface | ||||
| 489 | CRM ICI Inbound interface | ||||
| 490 | CRM ICI Messaging | ||||
| 491 | CRM ICI Tests und Demos | ||||
| 492 | CRM Investigative Case Management | ||||
| 493 | General package for ICM Activity | ||||
| 494 | CRM ICM: Activity - Application | ||||
| 495 | CRM ICM: Activity - Customizing | ||||
| 496 | CRM ICM: BOL objects | ||||
| 497 | CRM ICM: BOL Objects for Business partner | ||||
| 498 | CRM ICM: Bol objects for Business Partner | ||||
| 499 | CRM ICM: Case Management - BOL | ||||
| 500 | CRM ICM: Case Management - BOL |