SAP ABAP Message Class Index F, page 2
Message Class - F
# | Message Class | Short Description | Package |
---|---|---|---|
1 | FSBP_MAIN_ERROR_MSG | Main Error Messages for FS-BP Services | FS_BP_FND_SOA_COMMON |
2 | FSBP_MIGCS | Migration of Rating Data BP1010 -> BP1012 | FS_BP_MIGRATION_CS |
3 | FSBP_MIGID | Messages for Migration of Additional Partner Numbers | FS_BP_MIGRATION_ID |
4 | FSBP_NEW_ROLES | temporary - do not use | FSBP |
5 | FSBP_NEW_ROLES_ALN | temporary - do not use | FTBP |
6 | FSBP_PCUI | FSBP_PCUI | |
7 | FSBP_PPO_ECH | Messages for PPO, ECH, and Others | FS_BP_FND_ECH_INTEGRATION |
8 | FSBP_PXE_AGENT_LOG | FS_BP_FND_PROXY_EVENTS | |
9 | FSBP_PXE_MESSAGES | Messages Related to Decoupling | FS_BP_FND_PROXY_EVENTS |
10 | FSBP_SUPPORT_PLUG_IN | Messages for Support Plug-In Activities | FS_BP_SUPPORT_PLUG_IN |
11 | FSBP_TAX_COMP | Messages for Tax Compliance | FS_BP_AL_TAX_COMPLIANCE |
12 | FSBP_TC | FSBP_TC | |
13 | FSBP_TC_BAPI | FSBP_TC | |
14 | FSBP_TC_PCUI | FSBP: Messages to PC UI for Total Commitment | FSBP_TC_PCUI |
15 | FSBP_TEXT_COLL | Messages for Text Collection | FS_BP_FND_AL_TEXT_COLLECTION |
16 | FSC1 | FI-CA Extended: Message Class | FSCR |
17 | FSCY | Generation of Cover Pools - Flexible Master Data Structure | FMTMP |
18 | FSL_APPL | Messages for FSL Agency Business Application | VPACK_FSL_AB_APPL |
19 | FSL_ERROR_CONFLICT | Central Messages for Error and Conflict Handling | FSL_ERROR_CONFLICT |
20 | FSL_UTILITIES | FSL_UTILITIES | |
21 | FSPP_LOG | FS: Logging Service | FS_FND_MSG_SERVICES |
22 | FSPP_PP | FS: Parallel Processing | FS_FND_PP_SERVICES |
23 | FSSC_RDS_FIN | Messages for FSSC rds from ERP FIN | FIN_FSSC_RDS |
24 | FS_APEL | Notification for Processing of APEL Path | FS_ECH_APEL_CORE |
25 | FS_BIW_MESSAGES | Messages from BW Extraction for FS | FS_BIW |
26 | FS_BP_ADDITIONS | Messages for Additional Data and Information | FS_BP_AL_ADDITIONS |
27 | FS_BP_BDT_UI | Message Class for UI | FS_BP_BDT_UI |
28 | FS_BP_CENTRAL_DATA | Messages for Central Data | FS_BP_AL_CENTRAL_DATA |
29 | FS_BP_PROXY | Business Partner Proxy | FS_BP_FND_PROXY |
30 | FS_BP_PROXY_CUST | Customizing for Business Partner Proxy | FS_BP_FND_PROXY |
31 | FS_BP_RATING | Ratings | FS_BP_AL_RATING |
32 | FS_CORR_HELP | Auxiliary Program for Correspondence | FS_CORR_HELP |
33 | FS_CORR_POST | Correspondence Postprocessing | FS_CORR_POST |
34 | FS_CORR_POST_WP | Correspondence Postprocessing: Workplace | FS_CORR_POST |
35 | FS_CORR_RECEIVER | Recipient Management | FS_CORR_RECEIVER |
36 | FS_ECH_FILE_UI | Messages for File Operations | FS_ECH_DOC_STORE_FILE_UI |
37 | FS_ECH_OBJKEY_BUILD | Messages for Object Key Builder | FS_ECH_BASIS |
38 | FS_PPF_TEST | Messages for Test Application | FS_PPF_TEST |
39 | FS_PSJ_SBL_VAL | Error messages # Mapping & Validation | FS_PSJ_SBL_GENERAL |
40 | FS_SEL | Message Class for FS_SELECTION | FS_SELECTION |
41 | FS_SIWEFG_SEL | Nachrichtenklasse für FS_SELECTION | S_SIW_UI |
42 | FT | FI Table Maintenance Error Messages | FBAS |
43 | FTBBYC_APPL | Yield curve framework extensions - SAP_APPL | JBST |
44 | FTBP | Business Partner: Message Class for Application FSBP | FTBP |
45 | FTBPOB | FTBPOB | |
46 | FTBP_BPAR | Replacement for BPAR Modules | FTBP |
47 | FTBU | Conversion: Treasury partner CBP messages | FBPAR |
48 | FTCM | Electronic Banking and Treasury for US Cash Management | FTCM |
49 | FTE_BSM | FTE_BSM: Bank Statement Monitor | FTE |
50 | FTE_BSM_POWL | for bankstatement monitor powl | FIN_BSM_POWL |
51 | FTI | Treasury Information System | FTI |
52 | FTI_CORE | Message class for FTI CORE | FTI_CORE |
53 | FTI_LDB_MESSAGE | Messages for TR OLTP Reporting Using Logical Databases | FTI_LDB |
54 | FTR0 | Treasury: Financial Transaction | FTTR |
55 | FTR1 | Messages for Mass Data Read Modules (APIs) | FTTR |
56 | FTRIA | Treasury Messages for Interest Rate Fixing | FTR_IRATE_ADJUST |
57 | FTR_ASSIGNMENT | FTR Assignment Management | FTTR |
58 | FTR_AVG | Messages for Managing Average Rates | FTR_AVG |
59 | FTR_BASIS_CORE_C | Generated Table Maintenance | FTR_BASIS_CORE |
60 | FTR_FAC_REP | Treasury: FAC Reports | FTTR |
61 | FTR_FC | Message Class for Facilities | FTTR |
62 | FTR_FORWARDS | Messages for Forwards and Futures | FTT |
63 | FTR_GUI | TR Transaction Management | FTTR |
64 | FTR_LOANS | Link Between the Loans Component and the Treasury Ledger | FTR_LOANS_EXTRACTOR_TRLE |
65 | FTR_MIR | Messages for Mirror Transactions | FTTR |
66 | FTR_SL | Messages: Securities Lending | FTR_LENDING |
67 | FTR_TRD | Connect CFM Transactions to Parallel Position Management | FTTR |
68 | FTVV_MESSAGES | Reporting Financial Assets Management | FTVV |
69 | FU | Utilities | FBI |
70 | FUNC_ADT | SFUNC_ADT | |
71 | FV | Electronic Banking Messages | FBAS |
72 | FVDU | Loans Dunning via Open FI | FVVD |
73 | FVD_ACCT_DETERMINATE | Report for account determination | FVVD |
74 | FVD_AL_STOPS | Messages for Collateral Outbount Layer | FVVD_AL_STOPS |
75 | FVD_ARCHIVE_LOANUNIT | Archiving Reference Records in Loan Reference Units | FVVD_ARCHIVE |
76 | FVD_BILL | Bill | FVVD_BILL |
77 | FVD_BO | General Messages for Business Operations | FVVD_BO |
78 | FVD_BOCLI | Message Class for Recalculation of Credit Life Insurance | FVVCL_KLV |
79 | FVD_BOINS_AL | Messages Business Operations Insurance | FVVD_AL_INSURANCE |
80 | FVD_BOINS_PER | Messages Business Operations Insurance | FVVD_PER_INSURANCE |
81 | FVD_BOINS_UI | FVVD_UI_INSURANCE | |
82 | FVD_BSTR | Messgaes for Capital Transfer | FVVD |
83 | FVD_BW | Messages for the BW Link to CML | FS_BIW |
84 | FVD_CANCRES | Messages for Rescission / Withdrawal | FVVD_AL_ACCOUNT_OPERATION |
85 | FVD_CAPTR | Messages for the Capital Transfer | FVVD_CAPTR |
86 | FVD_CBR | Data for Credit Bureau | FVVD_CREDIT_BUREAU |
87 | FVD_CFA | Simulation for Adjustment Posting | FVVD_CASHFLOW_ADJUSTMENT |
88 | FVD_CHARGE | FVVD_CHARGE | |
89 | FVD_CHGPTR | Message Class for Chane Pointers | FVVD_CHANGEPOINTER |
90 | FVD_CLI_CLOAN | Credit Life Insurance for Consumer Loan | FVVCL_KLV |
91 | FVD_CL_REPAY | Messages for the Payoff in Consumer Loans | FVVCL_REP |
92 | FVD_CNCL | Cancel Loan / Credit Life Insurance | FVVCL_CNCL |
93 | FVD_COLL_AL | Messages Collateral Application Integration | FVVD_AI_COLLATERAL |
94 | FVD_CONDAD | Conditions Adapter | FVVD |
95 | FVD_CONDITION | Messages for condition table and conditions in CML | FVVD_PRODUCT |
96 | FVD_COND_VERIFIER | Condition Verifier | FVVD_CONDITION_VERIFIER |
97 | FVD_COND_VERIFIER_D | Condition Verifier | FVVD_CONDITION_VERIFIER |
98 | FVD_CORR | CML: Correspondence Tool | FVVD_CORR_PRINT |
99 | FVD_CUSTOMIZING | FVVD_CUSTOMIZINGCHECK | |
100 | FVD_DEBTTR | Borrower Change Without Capital Transfer | FVVD_DEBTTR |
101 | FVD_DEFAULT_OL | Loans Management: Default Application Logic | FVVD_AL_DEFAULT |
102 | FVD_DEFCAP | Deferral/Capitalization | FVVCL_DEFCAP |
103 | FVD_DISB | Messages for Disbursement | FVVD_DISB |
104 | FVD_EP | Messages for Posting Interface / Reversal | FVVD |
105 | FVD_ESCROW | Message Class ESCROW | FVVD_ESCROW |
106 | FVD_ESR | CML Corr.: Correspondence | FVVD_CH |
107 | FVD_EXP | Messages for Loans - Export Interface | FVVD_EXPORT |
108 | FVD_EXTSKIP | Message for Extension and Skip | FVVD_EXTENSION |
109 | FVD_FCAT | Message Class for the Field Catalog | FVVD_FW_FCAT |
110 | FVD_FICO | Messages for Financial Conditions | FVVD_CONDITION_TABLE |
111 | FVD_FINDAT | Messages for Component Financial Data | FVVD_AL_FINANCIAL_DATA |
112 | FVD_INSURANCE | Messages for Insurance (Package FVVD_INSURANCE) | FVVD_DELETE_INSURANCE |
113 | FVD_INTER | Messages: Interface to Product Profile | FVVCL_MD |
114 | FVD_INV_ACC | Message Class for Investor Contract | FVVD_INVESTOR_ACCOUNT |
115 | FVD_IOA | (New) Interest on Arrears Calculation for Loans | FVVCL_IOA |
116 | FVD_LOAN | Messages for the Contract Object in the Business Operations | FVVD_LOAN |
117 | FVD_LOCAC | Messages for Loan Core Account | FVVD_LOC_AC |
118 | FVD_LOC_APPLICATION | Messages for Lines of Credit (Framework) | FVVD_LOC |
119 | FVD_LOS | Message Class for Loan Origination | FVVD_AL_LOAN_ORIGINATION |
120 | FVD_MODEL | Model Calculation for Consumer Loan | FVVCL_MODEL |
121 | FVD_OPTOOL | Message Class for Open Item Tool | FVVD |
122 | FVD_OUT_COLL | Messages for Collateral Outbount Layer | FVVD_OUT_COLLATERAL |
123 | FVD_OUT_INS | Messages Collateral Application Integration | FVVD_OUT_INSURANCE |
124 | FVD_PAYMENT_US | Message Class for Package FVVD_PAYMENT_US | FVVD_PAYMENT_US |
125 | FVD_PAY_SUSP_REASON | Reason for Overpayment | FVVD_PAYMENT_US |
126 | FVD_PLANNED_RECORDS | Update planned records | FVVD_CASHFLOW |
127 | FVD_PPM | CML: Management of Payment Plans for Other Components | FVVD_AL_PAYMENT_PLAN |
128 | FVD_PRODUCT | Messages CML Product Editing | FVVD_PRODUCT |
129 | FVD_PROD_ATTR | Messages: Attribute Definition | FVVD_PRODUCT |
130 | FVD_REPAY | Messages for Payoff | FVVD_REP |
131 | FVD_REPORTING | Messages for Loans - Reporting | FVVD_REPORTING |
132 | FVD_SEPA | Message Class for SEPA Developments in CML | FVVD |
133 | FVD_STOP_SERVICE | Messages for Stops Management | FVVD_AL_STOPS |
134 | FVD_UI_CLOAN | User Interface for Consumer Loans | FVVCL_MD |
135 | FVD_UI_CONTAB | Messages for Maintenance of Condition Table | FVVD_CONDITION_TABLE |
136 | FVD_WAIVE | Set of Rules for Waiver | FVVD_WAIVE |
137 | FVER | Message Class for Executable Security Rights | FVVW |
138 | FVKM | Message Class for Corporate Actions | FVVW |
139 | FVVD_CH | Country-Specific Requirements for Switzerland | FVVD_CH |
140 | FVVD_PARTNER | Loans specific messages from SAP Business Partner | FVVD_PARTNER |
141 | FVVI | Messages for Development Class FVVI | FVVI |
142 | FW | Bills of Exchange and Other International Developments | FBAS |
143 | FWTM | Messages: Withholding Tax Changeover | FWTM |
144 | FWTR | Securities Transaction Management | FVVW |
145 | FX | Distributed FI Application Messages | FBAS |
146 | FY | Payment Cards | FBCC |
147 | FZ | Payment Transactions | FBZ |
148 | F_ | Messages for Core BAPIs (FI) | FBSCORE |
149 | F§ | FI: Extraction für Business Information Warehouse | FBIW |