SAP ABAP Transaction Code - Index T
                        Transaction Code - T
| # | Transaction code | Short Description | Corresponding Report (if exist) | 
|---|---|---|---|
| 1 | Change tactical standard planning | ||
| 2 | Change tactical spring/summer plng | ||
| 3 | Change tactical fall/winter planning | ||
| 4 | Change operational standard planning | ||
| 5 | Change oper. spring/summer planning | ||
| 6 | Change operational fall/winter plng | ||
| 7 | Change OTB | ||
| 8 | Promotion planning | ||
| 9 | Number Range Maintenance: TT123 | ||
| 10 | Table Analysis | ||
| 11 | Table Analysis: Analysis Variants | ||
| 12 | Table Analysis: Virtual Fields | ||
| 13 | Search Several Tables | ||
| 14 | Settle | ||
| 15 | Number range maintenance: FTA_GSART | ||
| 16 | Number range maintenance: FTA_KLAMMR | ||
| 17 | Number range maintenance: FTR_REFNR | ||
| 18 | Number Range Maintenance: FTA_MAID | ||
| 19 | Number Range Maintenance: FTA_AWKEY | ||
| 20 | Trader: Change Documents | ||
| 21 | Company Code Customizing | ||
| 22 | Product Type Customizing | ||
| 23 | Transaction Types Customizing | ||
| 24 | Acct Assignment Reference Customizg | ||
| 25 | Update Type Customizing | ||
| 26 | Valuation Class Customizing | ||
| 27 | Valuation Class Customizing | ||
| 28 | Valuation Class Customizing | ||
| 29 | Translation Analysis Monitor | ||
| 30 | Fix Average Rate | ||
| 31 | Reset Average Rate Fixing | ||
| 32 | Transaction Called to Save View Data | ||
| 33 | FC valuation of hedged documents | ||
| 34 | Create forex hedge | ||
| 35 | Change forex hedge | ||
| 36 | Display forex hedge | ||
| 37 | Delete forex hedge | ||
| 38 | TR: Maintenance view swap rates | ||
| 39 | Process hedge requests | ||
| 40 | Create Object Hedge | ||
| 41 | Change object hedge | ||
| 42 | Display object hedge | ||
| 43 | Reverse object hedge | ||
| 44 | Hedged underlyings | ||
| 45 | Forex Hedges - Collective Processing | ||
| 46 | Unallocated forex transactions | ||
| 47 | Allocated forex transactions | ||
| 48 | List of open items FI | ||
| 49 | Reconciliation of cleared items | ||
| 50 | List of processed hedge requests | ||
| 51 | TR:Maint. Change trans. category | ||
| 52 | TR:Maint. Change processing cat. | ||
| 53 | TR: Maint. Change TCODES Menu TIMN | ||
| 54 | TR:Maint. Change processing cat. | ||
| 55 | TR:Maint.Chnge Alloc.Proc.cat/act.ct | ||
| 56 | TR: Maint. Change flow/cond. cat. | ||
| 57 | TR:Maint.ChngeAlloc.App./Flw.CondCat | ||
| 58 | TR: Maint. Change act.proc/def. | ||
| 59 | Execute postings | ||
| 60 | Flag Flows as Posted | ||
| 61 | Flag flows as posted (before migr.) | ||
| 62 | Perform postings (before migration) | ||
| 63 | Reverse postings | ||
| 64 | Reverse postings | ||
| 65 | Flag Flows as Reversed | ||
| 66 | Flag flows as reversed (before migr) | ||
| 67 | Accrual/deferral | ||
| 68 | Reverse accrual/deferral | ||
| 69 | Realized Gains/Losses | ||
| 70 | Run Key Date Valuation | ||
| 71 | Reverse Key Date Valuation | ||
| 72 | TR: Maintain manual reversal type | ||
| 73 | Datafeed: Define variants | ||
| 74 | Datafeed: adjust workflow | ||
| 75 | Define standard role | ||
| 76 | Responsibilities for Agent Assgnment | ||
| 77 | Transaction Release: Adjust Workflow | ||
| 78 | Index Definition | ||
| 79 | Maintain Index Rate Type | ||
| 80 | Exchanges | ||
| 81 | Treasury: Change Docs Transactions | ||
| 82 | Exchange rate volatilities | ||
| 83 | View Master data G/L account | ||
| 84 | Maint.Planning Types for Trans.Types | ||
| 85 | Check account determination | ||
| 86 | Maintenance View Hedge-Relev. Curr. | ||
| 87 | Maintenance View Unit Types | ||
| 88 | Maintenance: Note for Transaction | ||
| 89 | Security price type | ||
| 90 | Retransfer of activity transition | ||
| 91 | Alloc. ValuationFlowTypes-Transactn | ||
| 92 | TR: Maintain fixing attributes FX | ||
| 93 | Automatic fixing processing | ||
| 94 | Check Account Determination: Forex | ||
| 95 | Check Acct Determination: Money Mkt | ||
| 96 | Check Acct Determination:Derivatives | ||
| 97 | Maintain Acct Determination: Forex | ||
| 98 | Maintain Acct Determination: MM | ||
| 99 | Maintain Acct Determination: DE | ||
| 100 | Datafeed: Adminster Archives | ||
| 101 | Datafeed: Table structure VTB_DFCU | ||
| 102 | Datafeed: Datafeed Customizing | ||
| 103 | Datafeed: Market data administration | ||
| 104 | Datafeed: Updated market data | ||
| 105 | Datafeed: Import market data file | ||
| 106 | Datafeed: Log file administration | ||
| 107 | Datafeed: Check Customizing | ||
| 108 | Datafeed: Archive | ||
| 109 | Datafeed: Reload archives | ||
| 110 | Datafeed: Real-Time Initialization | ||
| 111 | Datafeed: Read archives | ||
| 112 | Datafeed: Real-Time monitor | ||
| 113 | Datafeed: Feed/Mode/Destination | ||
| 114 | Datafeed:Text tables operating modes | ||
| 115 | Datafeed: View permitted feeds | ||
| 116 | Datafeed: Text table feeds | ||
| 117 | Datafeed: Text table instr.classes | ||
| 118 | Datafeed: View Classes Allowed | ||
| 119 | Datafeed: Historical Market Data | ||
| 120 | Datafeed: Code Conversion Program | ||
| 121 | Market Data File Interface INPUT | ||
| 122 | Market Data File Interface - OUTPUT | ||
| 123 | Market Data File: Code Conversion | ||
| 124 | Spreadsheet for Market Data | ||
| 125 | Spreadsheet Upload of Market Data | ||
| 126 | Standg instrns Maintain pmnt details | ||
| 127 | Display SI Payment Details | ||
| 128 | Standing instns Alloc. pmnt details | ||
| 129 | Maintain Correspondence SI | ||
| 130 | Display SI Correspondence | ||
| 131 | Copy Standing Instruct. for Corresp. | ||
| 132 | Delete Standing Instr. for Corresp. | ||
| 133 | Authorization - maintain SI | ||
| 134 | Authorization - display SI | ||
| 135 | Copy SI for Transaction Authorizat. | ||
| 136 | Delete SI for Trans. Authorization | ||
| 137 | SI Maintain Derived Flows | ||
| 138 | Display SI Derived Flows | ||
| 139 | Copy SI for Derived Flows | ||
| 140 | Delete SI for Derived Flows | ||
| 141 | Standing Instructions: Evaluations | ||
| 142 | Mass Release of Interim Limits | ||
| 143 | TR: Cust. loan acct assignment ref. | ||
| 144 | TR: Cust. Acc.Ass.Ref. Securities | ||
| 145 | TR: Cust. Acc.Ass.Ref. Forex | ||
| 146 | TR: Cust. Acc.Ass.Ref. Money Market | ||
| 147 | TR: Cust. Acc.Ass.Ref. Derivatives | ||
| 148 | Limits: Change/Display | ||
| 149 | Treasury: Delete Limits | ||
| 150 | Limits: Change Documents | ||
| 151 | Limits: Overview | ||
| 152 | Limit Utilization: Overview | ||
| 153 | Limit Utilization: Delete | ||
| 154 | Limit Type: Delete Data | ||
| 155 | Reorganize STC Logs | ||
| 156 | Display STC Logs | ||
| 157 | TR: Limit Maintenance for VC_ATLA | ||
| 158 | Archiving: Limits and Utilizations | ||
| 159 | TR: Limit Maint. VC_ATLA_BANKING | ||
| 160 | TR: Limit Maint. VC_ATLA_CFM | ||
| 161 | Limit Utilization: Overview | ||
| 162 | Lock/Unlock Limits | ||
| 163 | Check of Determination Procedure | ||
| 164 | Lock/Unlock Countries | ||
| 165 | Limit Management: Lock Entries | ||
| 166 | Flow List | ||
| 167 | Change Posting Deadline | ||
| 168 | Cancel Transfer/Loan | ||
| 169 | Cost Transfer/Loan | ||
| 170 | Customizing Transfer/Borrow/Loan | ||
| 171 | Transfer/Loan/Payback Info-Report | ||
| 172 | Create Mat. to Mat. Group Transfer | ||
| 173 | Pay Back Loan | ||
| 174 | Create Transfer/Loan | ||
| 175 | Release Limits | ||
| 176 | Limit: Generate Table for Lim. Types | ||
| 177 | Limit: Move Data to Generated Table | ||
| 178 | Limit: Delete Generated Table | ||
| 179 | Limit: Reorganiz. of Analysis Char. | ||
| 180 | Limit: Check Analysis Characterist. | ||
| 181 | Check/Correct Consist. of Gen.Tables | ||
| 182 | Review: Send | ||
| 183 | Review: Change Review Recipient | ||
| 184 | Treasury: Create Mast.Agreement | ||
| 185 | Treasury: Chg. Mast. Agreement | ||
| 186 | Treasury: Displ. Mast. Agreement | ||
| 187 | Treasury: Master Agreement Changes | ||
| 188 | Treasury: Assign Mast. Agreement | ||
| 189 | Treasury: Vol. Check for Master Agr. | ||
| 190 | Master Agreement: Maintain Memo IDs | ||
| 191 | Currency Hedges | ||
| 192 | Posting journal | ||
| 193 | Treasury: Create netting | ||
| 194 | Treasury: Change netting | ||
| 195 | Treasury: Display netting | ||
| 196 | Treasury: Reverse netting | ||
| 197 | Treasury: Netting proposal list | ||
| 198 | Treasury: Create reference | ||
| 199 | Treasury: Change reference | ||
| 200 | Treasury: Display reference | ||
| 201 | Treasury: Reverse Reference | ||
| 202 | Treasury: Coll. proc. references | ||
| 203 | FTR Rule Management: Change Documnts | ||
| 204 | Tools for Standing Instructions | ||
| 205 | Transaction Authorizat. for Traders | ||
| 206 | Display Trans. Auth. for Traders | ||
| 207 | Conversion of SEC Corresp. Customiz. | ||
| 208 | Output Correspondence | ||
| 209 | Correspondence Monitor | ||
| 210 | Overview of Reset Counterconfirmatn | ||
| 211 | Printer Override Function | ||
| 212 | Exception Processing IDoc (Inbound) | ||
| 213 | Status Monitor - IDoc Confirmations | ||
| 214 | Maintain IDoc FTRCON Postprocessor | ||
| 215 | SWIFT Code -> Partner - Assignment | ||
| 216 | Incoming Confirmations Forex | ||
| 217 | Money Market: Incoming Confirmations | ||
| 218 | Money Market: Incoming Confirmations | ||
| 219 | Incoming Confirmations Forex Options | ||
| 220 | List of Days Overdue Counterconf. | ||
| 221 | Match Incoming SWIFT Confirmation | ||
| 222 | Delete corr. planned records | ||
| 223 | Correspondence - Overview | ||
| 224 | Number range maint.: FTI_UGSART | ||
| 225 | Define Lines of Credit | ||
| 226 | Display Lines of Credit | ||
| 227 | Default Values Logistic Switch | ||
| 228 | Funds Management | ||
| 229 | Funds Management | ||
| 230 | Start a TR in Parameter TCX | ||
| 231 | Evaluate offers | ||
| 232 | Maintain Exchange Rates | ||
| 233 | Historical Data for Incash Payment | ||
| 234 | Maintain Rented Buisness Offices | ||
| 235 | TRANSACTION CODE FOR RFIDESM347 | ||
| 236 | Cash management | ||
| 237 | Distribution of TR Cash Mgt Data | ||
| 238 | SAP TDMS Control Center | ||
| 239 | SAP TDMS Work Center SICF Activation | ||
| 240 | SAP TDMS Work Center Config Check | ||
| 241 | TDMS_PACKAGE_TIMERS | ||
| 242 | T.code for switching HCM packages | ||
| 243 | SAP TDMS Parameter | ||
| 244 | SAP Test Data Migration Server | ||
| 245 | Master Data Exposure Plng Profile | ||
| 246 | Display and Maint. of Raw Exposures | ||
| 247 | Display Raw Exposures | ||
| 248 | Generate Version | ||
| 249 | Versions Display | ||
| 250 | Exposure Analysis | ||
| 251 | Delete Last Version | ||
| 252 | Number Range Maintenance: TEMN_EXPOS | ||
| 253 | SAPterm: Changing Status of Terms | ||
| 254 | Terminology Monitor | ||
| 255 | Territory Subscription Maintenace | ||
| 256 | Test 0002 | ||
| 257 | Number range maintenance: TEST38 | ||
| 258 | Test 9999 | ||
| 259 | test for profile gen | ||
| 260 | Number Range Maintenance: Test | ||
| 261 | Test API Data Cleansing | ||
| 262 | Create Test Message | ||
| 263 | Testing of frontend services | ||
| 264 | Test "Soft" Modifications | ||
| 265 | Test for TextEdit Wrapper | ||
| 266 | Test time field class | ||
| 267 | Test time field | ||
| 268 | Collective Processing for Repos | ||
| 269 | Create Forward Contract | ||
| 270 | Change Forward Contract | ||
| 271 | Display Forward Contract | ||
| 272 | Settle Forward Contract | ||
| 273 | Forward Contract Due Date | ||
| 274 | Reverse Forward Contract | ||
| 275 | History | ||
| 276 | Display Forward Contract | ||
| 277 | Customizing Table TFBWD | ||
| 278 | Customizing Table TFBWE | ||
| 279 | Cash Flow | ||
| 280 | Classification Key and Direct Input | ||
| 281 | Maintain Mini-Templates | ||
| 282 | Cleanup the database | ||
| 283 | Maintain features for rating | ||
| 284 | Generate Table for Key Values | ||
| 285 | Maintain tag predicates | ||
| 286 | Create Forward | ||
| 287 | Change Forward | ||
| 288 | Display Forward | ||
| 289 | Reverse Forward | ||
| 290 | Settle Forward | ||
| 291 | Fixing Forward | ||
| 292 | Fixing Settle Forward | ||
| 293 | Terminate Forward | ||
| 294 | Settle Termination Forward | ||
| 295 | History Forward | ||
| 296 | History Forward | ||
| 297 | Settle Contract Forward | ||
| 298 | Forward - History | ||
| 299 | Query About a Flight Booking | ||
| 300 | AbsenceRequestCreate | ||
| 301 | Leave request | ||
| 302 | Create Separation Allowance | ||
| 303 | Display Separation Allowance Event | ||
| 304 | Change Separation Allowance | ||
| 305 | Edit Separation Allowance | ||
| 306 | For checking past certificates | ||
| 307 | Exposure Expiration | ||
| 308 | Reverse Exposure Expiration | ||
| 309 | Hedge Plan Expiration | ||
| 310 | Hedging Relationship Dedesignation | ||
| 311 | Reverse HR dedesignations | ||
| 312 | Define NPVs on Inception Date | ||
| 313 | Adjustment of the interest rates | ||
| 314 | Transfer Prospect. Effect.Assessment | ||
| 315 | Reverse Trans. Prospect.Eff.Assess. | ||
| 316 | Retrospective Assessment | ||
| 317 | Reverse Retrospective Eff. Ass. | ||
| 318 | Manual OCI Reclassification | ||
| 319 | Reverse Manual OCI Reclassification | ||
| 320 | Fair value changes to be posted | ||
| 321 | Reverse FV Changes to be Posted | ||
| 322 | Automatic EC Reclassification | ||
| 323 | Reversal of Automatic EC Reclass. | ||
| 324 | Effectiveness test | ||
| 325 | OCI per hedging relationship | ||
| 326 | Hedge plan overview | ||
| 327 | Hedging Relationships per Derivative | ||
| 328 | Prematurely Reclassified OCI | ||
| 329 | Change documents for Hedge Managemnt | ||
| 330 | Hedge Management: Application | ||
| 331 | FX_Flowtypes Hedge Management | ||
| 332 | DER_Flowtypes Hedge Management | ||
| 333 | Exposure Upload from Money Market | ||
| 334 | Reverse single HR dedesignation | ||
| 335 | Reverse single HR dissolve | ||
| 336 | Exposure Upload From External Source | ||
| 337 | Hedging Relationship Status Overview | ||
| 338 | Number range for hedges | ||
| 339 | Number range for hedging rel.ships | ||
| 340 | Comp.-code settings for hedge mgmt | ||
| 341 | Define number ranges for hedges | ||
| 342 | Define number ranges for HR | ||
| 343 | Number range maintenance: THM_PLAN | ||
| 344 | Number range maintenance: THM_TRANS | ||
| 345 | Display Currency Option | ||
| 346 | Collective Processing for Futures | ||
| 347 | Create Interest Rate Adjustment | ||
| 348 | Change Interest Rate Adjustment | ||
| 349 | Display Interest Rate Adjustment | ||
| 350 | Collect.Processing: Listed Options | ||
| 351 | Reverse Interest Rate Adjustment | ||
| 352 | Currency Option Fast Entry | ||
| 353 | Change Currency Option | ||
| 354 | Forex Fast Entry | ||
| 355 | Currency Option Entry - Spread | ||
| 356 | Create Future Master Record | ||
| 357 | Chg.Futures Master | ||
| 358 | Displ.Futures Master | ||
| 359 | Options/Futures: Create Transaction | ||
| 360 | Options/Futures: Change Transaction | ||
| 361 | Options/Futures: Display Transaction | ||
| 362 | Options/Futures: Execute Order | ||
| 363 | Options/Futures: Order Expiration | ||
| 364 | Options/Futures: Settle Contract | ||
| 365 | Options/Futures: Reverse | ||
| 366 | Options/Futures: Display History | ||
| 367 | Display Option Master | ||
| 368 | Create Option Master | ||
| 369 | Change Option Master | ||
| 370 | Create Order | ||
| 371 | Create OTC Option | ||
| 372 | Change Transaction | ||
| 373 | Display Transaction | ||
| 374 | Reverse Contract | ||
| 375 | Settle Contract | ||
| 376 | OTC Transaction: History | ||
| 377 | Terminate Transaction | ||
| 378 | Execute Own Offer | ||
| 379 | Settle Termination | ||
| 380 | Order Expiration | ||
| 381 | Display Interest Settlements | ||
| 382 | Create OTC Option | ||
| 383 | Change OTC Option | ||
| 384 | OTC option: Display | ||
| 385 | OTC Option: Create Contract | ||
| 386 | OTC Option: Execute Offer | ||
| 387 | OTC Option: Settle Contract | ||
| 388 | Exercise OTC Option | ||
| 389 | OTC Option: Settle Exercise | ||
| 390 | OTC Option: Expired | ||
| 391 | OTC Option: Settle Expiration | ||
| 392 | OTC Option: Reverse Activity | ||
| 393 | OTC Option: Order Expiry | ||
| 394 | OTC Option: Display Activity | ||
| 395 | Terminate OTC Option | ||
| 396 | OTC Option: Settle Termination | ||
| 397 | OTC Option Knock-In | ||
| 398 | OTC Option Knock-Out | ||
| 399 | Settle OTC Knock-Out Option | ||
| 400 | Settle OTC Knock-In Option | ||
| 401 | Posting Release | ||
| 402 | Collective Processing OTC Options | ||
| 403 | OTC Options | ||
| 404 | Collect.Processing-Int.Rate Instrum. | ||
| 405 | Manual Posting Block | ||
| 406 | Collective Monitoring of Options | ||
| 407 | Number Range Maintenance: FTI_OPTFUT | ||
| 408 | Simulate Price Index | ||
| 409 | Profile for Time Functions | ||
| 410 | Symbolic Names for Dates | ||
| 411 | Profile for Time Functions | ||
| 412 | (empty) | ||
| 413 | Overview - Positions | ||
| 414 | Issue Position | ||
| 415 | Journal of transactions | ||
| 416 | Collective editing of options | ||
| 417 | Payment Plan | ||
| 418 | Automatic Interest Rate Adjustment | ||
| 419 | Reverse Automatic Int. Rate Adjust. | ||
| 420 | Option Expiration | ||
| 421 | Interest Rate Adjustment Schedule | ||
| 422 | Transaction Release: Work Item List | ||
| 423 | Update Planned Records | ||
| 424 | Summary Journal Fin. Transctions | ||
| 425 | Display Single Transaction | ||
| 426 | Journal: Transactions w. Cash Flows | ||
| 427 | Update Interest Rate Adjustmt Date | ||
| 428 | Create condition (shipment costs) | ||
| 429 | Change condition (shipment costs) | ||
| 430 | Display condition (shipment costs) | ||
| 431 | Create condition with ref. | ||
| 432 | Start transaction sender programs | ||
| 433 | Facilities: Master Data Reporting | ||
| 434 | Detail Reporting for Facilities | ||
| 435 | List of curr. supported field names | ||
| 436 | Maintain Variant Group | ||
| 437 | Maintain Variants | ||
| 438 | Schedule Variant Groups | ||
| 439 | Define Variant Groups | ||
| 440 | Limit: Create Limit Transfer | ||
| 441 | Limit: Change Limit Transfer | ||
| 442 | Limit: Display Limit Transfer | ||
| 443 | Limit Transfer: Change Documents | ||
| 444 | Limit Transfer: Collective Process. | ||
| 445 | Execute Report | ||
| 446 | Create Report | ||
| 447 | Change Report | ||
| 448 | Display Report | ||
| 449 | Create Form | ||
| 450 | Change Form | ||
| 451 | Display Form | ||
| 452 | Maintain authorization obj. present. | ||
| 453 | Display authorization obj.presentatn | ||
| 454 | Access Report Tree | ||
| 455 | Maintain Batch Variants | ||
| 456 | Limit Management: Manage Comments | ||
| 457 | Split Report | ||
| 458 | Limit Management: Character. Groups | ||
| 459 | Maintain hierarchy | ||
| 460 | Maintain Hierarchy Nodes | ||
| 461 | Maintain Key Figures | ||
| 462 | Limit Mgmt: Drilldown Test Monitor | ||
| 463 | Transport Reports | ||
| 464 | Transport Forms | ||
| 465 | Import Reports from Client 000 | ||
| 466 | Import Forms from Client 000 | ||
| 467 | Display Structure | ||
| 468 | Translation Tool - Drilldown Report. | ||
| 469 | Convert drilldown reports | ||
| 470 | Maintain Global Variable | ||
| 471 | Maintain Crcy Translation Type TLM | ||
| 472 | Reorganize Drilldown Reports | ||
| 473 | Reorganize Report Data | ||
| 474 | Reorganize Forms | ||
| 475 | Nummernkreispflege: FTLM_RES | ||
| 476 | Limit: Create Reservation | ||
| 477 | Limit: Change Reservation | ||
| 478 | Limit: Display Reservation | ||
| 479 | Reservations: Mass Processing | ||
| 480 | Reservations: Change Documents | ||
| 481 | Reservations: Reorganization | ||
| 482 | Limit: Copy Reservation | ||
| 483 | Access Report Tree | ||
| 484 | Money Market: Collective processing | ||
| 485 | Create Fixed-Term Deposit | ||
| 486 | Change Fixed-Term Deposit | ||
| 487 | Display Fixed-Term Deposit | ||
| 488 | Roll Over Fixed-Term Deposit | ||
| 489 | Settle Fixed-Term Deposit | ||
| 490 | Reverse Fixed-Term Deposit | ||
| 491 | Fixed-Term Deposit History | ||
| 492 | Fxd Term Dep. Fast Entry | ||
| 493 | Create Deposit at Notice | ||
| 494 | Change Deposit at Notice | ||
| 495 | Display Deposit at Notice | ||
| 496 | Roll Over Deposit at Notice | ||
| 497 | Give Notice on Deposit at Notice | ||
| 498 | Settle Deposit at Notice | ||
| 499 | Reverse Deposit at Notice | ||
| 500 | Deposit at Notice History |