Transaction Code list used by SAP ABAP SHI3 BCA_US_F9MN (BCA_US_F9MN)
SAP ABAP SHI3 BCA_US_F9MN (BCA_US_F9MN) is using
# Object Type Object Name Object Description Note
     
1 Transaction Code  BCA_US_DEA1 Dormancy and Escheat Accounts Report
2 Transaction Code  BCA_US_DS_BC Display Bank Checks
3 Transaction Code  BCA_US_ISS_BC Issue Bank Checks
4 Transaction Code  BCA_US_ISS_CC Issue Certified Checks
5 Transaction Code  BCA_US_OD_PLAN Maintain Overdraft Plan
6 Transaction Code  BCA_US_OD_PROC Overdraft protection (US)
7 Transaction Code  BCA_US_OD_PR_LOG Overdraft protection (US) - view log
8 Transaction Code  BCA_US_OD_REL Maintain Account Relationship
9 Transaction Code  BCA_US_RE_BC Reprint Bank Check
10 Transaction Code  BCA_US_RV_BC Reverse Bank Check
11 Transaction Code  BCA_US_TDA1 Time Deposit - Create
12 Transaction Code  BCA_US_TDA3 Time Deposit - Display
13 Transaction Code  BCA_US_TDRO1 Time deposit rollover - Mass run
14 Transaction Code  BCA_US_TDRO2 Time deposit rollover - Single run
15 Transaction Code  BCA_US_TDROLG App log time deposit rollover
16 Transaction Code  F90ABKST Archiving Bank Statements
17 Transaction Code  F90ACFBAL Archiving Balance Carry Forwards
18 Transaction Code  F90AINCAL Archiving Account Balancing Details
19 Transaction Code  F90AITEM Archiving Payment Items
20 Transaction Code  F90AORDER Archiving Payment Orders
21 Transaction Code  F90APECAL Archiving Account Balancing Data
22 Transaction Code  F90ASTORD Archiving Standing Orders
23 Transaction Code  F90ATOTAL Archiving Value Date Trans. Figures
24 Transaction Code  F90_PAR_REALLOCATE Program to Create Interval Table
25 Transaction Code  F960 Application Log Cash Concentration
26 Transaction Code  F961 Application Log FI Transfer
27 Transaction Code  F962 Application Log Balance Sheet Prep.
28 Transaction Code  F963 Appl. log bal.sh. prep.(backdated)
29 Transaction Code  F982 Edit general conditions
30 Transaction Code  F983 Display General Conditions
31 Transaction Code  F984 Release General Conditions
32 Transaction Code  F985 Edit Interest Conditions
33 Transaction Code  F986 Display Interest Conditions
34 Transaction Code  F987 Release Interest Conditions
35 Transaction Code  F988 Edit Charge Conditions
36 Transaction Code  F989 Display Charge Conditions
37 Transaction Code  F98A Release Charge Conditions
38 Transaction Code  F98B Edit Value Date Conditions
39 Transaction Code  F98C Display Value Date Donditions
40 Transaction Code  F98D Release Value Date Conditions
41 Transaction Code  F98E Edit Condition Assignment
42 Transaction Code  F98F Display Condition Assignment
43 Transaction Code  F98G Release Condition Assignment
44 Transaction Code  F991 Mass Acct. Balancing (Int./Charges)
45 Transaction Code  F992 Application Log Account Balancing
46 Transaction Code  F992EX Application Log Acct Balancing EDT
47 Transaction Code  F993 Accrual/Deferral for General Ledger
48 Transaction Code  F994 Application Log Accrual/Deferral
49 Transaction Code  F995 Restart Account Balancing
50 Transaction Code  F996 Single Acct. Balancing (Int./Charge)
51 Transaction Code  F997 Early Mass Account Balancing
52 Transaction Code  F997S Early Individual Account Balancing
53 Transaction Code  F99D Preparation Early Account Balancing
54 Transaction Code  F99E Closing: Settled Accounts
55 Transaction Code  F99F Single Acct. Closing: Restart
56 Transaction Code  F99G Check Account Balancing Ext. Data
57 Transaction Code  F9A0 BCA: Block Checks
58 Transaction Code  F9A1 Create Check
59 Transaction Code  F9A10 Edit Lock
60 Transaction Code  F9A11 Delete Check
61 Transaction Code  F9A12 Creat Check Stack
62 Transaction Code  F9A13 Request Check Stack (Customer)
63 Transaction Code  F9A16 BCA: Delete Stack Creation
64 Transaction Code  F9A18 BCA: Request Checks from Location
65 Transaction Code  F9A19 BCA: Release Check Stack
66 Transaction Code  F9A20 Display Check Stack
67 Transaction Code  F9A21 BCA: Block Check Stack
68 Transaction Code  F9A23 Lift Block
69 Transaction Code  F9A25 BCA: Location Maintenance Pos. Mgmt
70 Transaction Code  F9A26 BCA: Stack Location Settings
71 Transaction Code  F9A4 BCA: Request Check
72 Transaction Code  F9A50 Change Check Status
73 Transaction Code  F9A9 BCA: Display Checks
74 Transaction Code  F9B1 BCA: Posting cut-off paym. transact.
75 Transaction Code  F9B2 Posting Cut-Off Pay. Trans. Batch
76 Transaction Code  F9B3 User Log Currency Changeover
77 Transaction Code  F9B4 BCA: Report Currency Conversion
78 Transaction Code  F9DDCC Currency Conversion Dir. Debit Order
79 Transaction Code  F9H1 Create Account Hierarchy
80 Transaction Code  F9H2 Change Account Hierarchy
81 Transaction Code  F9H3 Display Account Hierarchy
82 Transaction Code  F9H4 Cash Concentration: Single Run
83 Transaction Code  F9H5 Cash Concentration: Restart
84 Transaction Code  F9H6 Cash Concentration: Mass Run
85 Transaction Code  F9HEWB1 Create Individual Value Adjustment
86 Transaction Code  F9HEWB2 Change Individual Value Adjustment
87 Transaction Code  F9HEWB3 Display Individual Value Adjustment
88 Transaction Code  F9HEWB4 Post Loss on Receivables
89 Transaction Code  F9HI Transfer BCA - GL
90 Transaction Code  F9HL Bal.Sheet Prep. BCA - GL
91 Transaction Code  F9HO GL Control for Legacy Data
92 Transaction Code  F9HRVA Post Individual Value Adjustment
93 Transaction Code  F9HRVA_MT Indiv. Val. Adjst. Proposal List
94 Transaction Code  F9I1 Create Payment Order - External
95 Transaction Code  F9I2 Create Payment Order - Internal
96 Transaction Code  F9I3 Display Payment Order
97 Transaction Code  F9I4 Create Payment Item
98 Transaction Code  F9I7 Display Payment Item
99 Transaction Code  F9I8 Postprocess Payment Item
100 Transaction Code  F9I9 Edit Payment Order (General)
101 Transaction Code  F9IA Release Payment Order
102 Transaction Code  F9IB Release Payment Item
103 Transaction Code  F9IC Create Payment Order Former Account
104 Transaction Code  F9ID BCA: CpD Editing of Payment Item
105 Transaction Code  F9IE Create Payment Item Former Account
106 Transaction Code  F9IF BCA: CpD Display of Payment Item
107 Transaction Code  F9IG Reverse Payment Item
108 Transaction Code  F9II Return Payment Item
109 Transaction Code  F9IJ Edit Payment Item
110 Transaction Code  F9IK Create Return Payment Order
111 Transaction Code  F9IL Create Planned Item
112 Transaction Code  F9IM Delete Planned Item
113 Transaction Code  F9IN Display Planned Items
114 Transaction Code  F9INDCOND Release Individual Conditions
115 Transaction Code  F9IO Post Planned item
116 Transaction Code  F9IP Planned items
117 Transaction Code  F9J0 Display Application Log
118 Transaction Code  F9J1 Reconcile with Legacy System
119 Transaction Code  F9JENQSHOW Display BKKITENQ
120 Transaction Code  F9K1 Create Account
121 Transaction Code  F9K2 Change account
122 Transaction Code  F9K3 Display Account
123 Transaction Code  F9KAC Release Account Closure
124 Transaction Code  F9KD Account Closure
125 Transaction Code  F9KE Application Log Account Closure
126 Transaction Code  F9KG Release Limits
127 Transaction Code  F9KGDEL Delete Limits
128 Transaction Code  F9KH Release Currency Changeovers
129 Transaction Code  F9KHDEL Delete Currency Changeovers
130 Transaction Code  F9KMOC Change business partner
131 Transaction Code  F9KOVRN Tolerated Overdraft: Notification
132 Transaction Code  F9KOVRR Tolerated Overdraft: New Run
133 Transaction Code  F9L4 Posting Date for Closing in Dialog
134 Transaction Code  F9LBDT Development in BDT Environment
135 Transaction Code  F9N1 Create Bank Statements
136 Transaction Code  F9N10 Overview End of Day Processing
137 Transaction Code  F9N11 Start End-of-Day Processing
138 Transaction Code  F9N12 Overview of Current Mass Runs
139 Transaction Code  F9N15 Duplicate Creation Single Run
140 Transaction Code  F9N16 Balance Notification Mass Run
141 Transaction Code  F9N17 Balance Notification Single Run
142 Transaction Code  F9N18 Restart Balance Notification
143 Transaction Code  F9N19 Balance Notification Application Log
144 Transaction Code  F9N3 Application Log Bank Statement
145 Transaction Code  F9N4 Restart - Bank Statement
146 Transaction Code  F9N6 Posting Date for Balancing as Batch
147 Transaction Code  F9N7 Bank Statement - Single Account
148 Transaction Code  F9N8 List of Accounts in End of Day Proc.
149 Transaction Code  F9N9 Bank Statement - Duplicate Creation
150 Transaction Code  F9O01 Create stand. order
151 Transaction Code  F9O02 Change stand. order
152 Transaction Code  F9O03 Display Standing Order
153 Transaction Code  F9O43 Release Standing Order
154 Transaction Code  F9O6 Delete stand. order
155 Transaction Code  F9O61 Confirm Standing Order Deletion
156 Transaction Code  F9OA Standing Order: Display Applic. Log
157 Transaction Code  F9OF Create Foreign Payment Order
158 Transaction Code  F9OG Post Standing Order
159 Transaction Code  F9OH Postprocess Payment Order
160 Transaction Code  F9OI Reverse Payment Order
161 Transaction Code  F9SOCC Standing Order Currency Changeover
162 Transaction Code  F9VW Preparation of Currency Changeover
163 Transaction Code  FIPRD3 Display Product
164 Transaction Code  KCLJ EDT: Execute Transfer
165 Transaction Code  KCLP Logs
166 Transaction Code  RTP_US_C1 Create a retirement plan
167 Transaction Code  RTP_US_D1 Display a retirement plan
168 Transaction Code  RTP_US_M1 Change a retirement plan
169 Transaction Code  RTP_US_R5 Calculate fair market value
170 Transaction Code  RTP_US_R7 Application log for FMV updates
171 Transaction Code  S_KFM_86000306 Delete memo items (payment orders an
172 Transaction Code  S_KFM_86000307 Delete memo items (payment orders an
173 Transaction Code  S_KFM_86000308 Report: Output of application log me
174 Transaction Code  S_KK4_13000147 IMG Activity: SIMG_BA-CA-V_T056P
175 Transaction Code  S_KK4_13000167 IMG Activity: SIMG_BA-CA-V_TBKKE2