Transaction Code list used by SAP ABAP SHI3 EVKK (EVKK)
SAP ABAP SHI3 EVKK (EVKK) is using
# Object Type Object Name Object Description Note
     
1 Transaction Code  CORRHIST Display Correspondence History
2 Transaction Code  EK25 Create Loan
3 Transaction Code  EK26 Change Loan
4 Transaction Code  EK27 Display Loan
5 Transaction Code  FBO1 Mass act: Create Boleto from OI
6 Transaction Code  FBO1C Boleto: Mass cancellation
7 Transaction Code  FBO1S Boleto: Single Boleto from OI
8 Transaction Code  FBOL3 Display boleto
9 Transaction Code  FILEEDIT File Editor
10 Transaction Code  FKEXMA Monitor Tax Exemptions
11 Transaction Code  FKKORD2 Edit Standing Requests
12 Transaction Code  FKKORDA Approve Request
13 Transaction Code  FKK_EBS_ARC Link Documents with External Bills
14 Transaction Code  FKK_EBS_ARC_E Postprocessing Run: Link Bills
15 Transaction Code  FKK_EBS_MRD Reversal of Bills from Billing Sys.
16 Transaction Code  FKK_EBS_MRD_E Postprocessing Run: External Reversa
17 Transaction Code  FKK_EBS_TOI_COPA Transfer Doc./CO-PA Characteristics
18 Transaction Code  FKK_EBS_TOI_COPA_E Postprocessing Run: Transfer Docs
19 Transaction Code  FKLOCK01 Check Conditional Locks
20 Transaction Code  FKLOCK2 Set Processing Locks
21 Transaction Code  FP02RC Reset Check Reason in Repymt Request
22 Transaction Code  FP03 Submission to External Coll. Agency
23 Transaction Code  FP03D Submit Receivables to Coll. Agency
24 Transaction Code  FP03DM Mass Act.: Submission to Coll.Agency
25 Transaction Code  FP03E Release of Items for Collection
26 Transaction Code  FP03F Read Collection Agency File
27 Transaction Code  FP03H History of Collection Items
28 Transaction Code  FP03L List of Collection Items
29 Transaction Code  FP03M Mass Run: Release for Collection
30 Transaction Code  FP03U Call Back Receivables fm Coll.Agency
31 Transaction Code  FP04 Write Off
32 Transaction Code  FP04H Display Write-Off History
33 Transaction Code  FP04M Mass Run: Write-Off
34 Transaction Code  FP05 Process Payment Lot
35 Transaction Code  FP05ARC Create Archive Index for Payment Lot
36 Transaction Code  FP05FIK Change Reconcil. Key for Payment Lot
37 Transaction Code  FP05_PROP Exception Accts for Clarif. Proposal
38 Transaction Code  FP06 Account Maintenance
39 Transaction Code  FP07 Reset Clearing
40 Transaction Code  FP08 Reverse Document
41 Transaction Code  FP08M Mass Reversal
42 Transaction Code  FP09 Returns
43 Transaction Code  FP09FIK Change Recon. Key for Returns Lot
44 Transaction Code  FP18 Reverse Repayment Request
45 Transaction Code  FP20 FI-CA Check Deposit List
46 Transaction Code  FP25 Process Check Lot
47 Transaction Code  FP30 Find Payment
48 Transaction Code  FP30C Find Clarification Cases
49 Transaction Code  FP31 Find Payment (fromm Payment Run)
50 Transaction Code  FP35 Process Credit Card Lot
51 Transaction Code  FP40 Transfer
52 Transaction Code  FP45 Process Payment Order Lot
53 Transaction Code  FP50 Manual Outgoing Checks Lot:
54 Transaction Code  FP51 Data Transfer: Man. Outgoing Checks
55 Transaction Code  FP52 Postproc.Tfr of Man. Issued Checks
56 Transaction Code  FP70 Returns Lot: Incorrect Bank Data
57 Transaction Code  FPAV FI-CA: Payment Advice Note
58 Transaction Code  FPAVI FI-CA: Pymt Advice Note fm CollAgeny
59 Transaction Code  FPAWM Processing of Report File
60 Transaction Code  FPAWM_ALV Foreign Trade Report - ALV List
61 Transaction Code  FPAY1A Create Payment Specification
62 Transaction Code  FPAY1B Create Payment Specification
63 Transaction Code  FPAY2 Change Payment Specification
64 Transaction Code  FPAY3 Display Payment Specification
65 Transaction Code  FPAY8 Reverse Payment Specification
66 Transaction Code  FPAY9 Reverse Item Preselection
67 Transaction Code  FPAYR01 Payment Specifications: List
68 Transaction Code  FPAYR02 Payment Specifications:Preselections
69 Transaction Code  FPAYR03 Payment Specifications: Items
70 Transaction Code  FPB1 Document Transfer
71 Transaction Code  FPB12 Check Register Transfer
72 Transaction Code  FPB13 Check Reg. Transfer - Error Proces.
73 Transaction Code  FPB17 Transfer MultiCash File (FI-CA)
74 Transaction Code  FPB2 Process Document Transfer Errors
75 Transaction Code  FPB20 Payment Advice Note Transfer
76 Transaction Code  FPB21 Pymt Advice Tfr - Error Processing
77 Transaction Code  FPB3 Payment lot transfer
78 Transaction Code  FPB4 Payment Lot Transfer Error Process.
79 Transaction Code  FPB5 Returns Lot Transfer
80 Transaction Code  FPB6 RL Transfer: Error Processing
81 Transaction Code  FPB7 Transfer from Elect. Acct Statement
82 Transaction Code  FPB8 Acct Stmt Transfer: Error Processing
83 Transaction Code  FPBL_GET Get Locked Partners and Countries
84 Transaction Code  FPBMC Select MultiCash Conversion Program
85 Transaction Code  FPBN Process Balance Notifications
86 Transaction Code  FPBPCR Prep. Master Data Change fm Ext. Sys
87 Transaction Code  FPBPCU Proc. Master Data Change fm Ext. Sys
88 Transaction Code  FPBRBOLO Boleto: payment medium creation
89 Transaction Code  FPBW BW Extraction of Open Items
90 Transaction Code  FPBWD Delete Held Jobs
91 Transaction Code  FPBWS OI Selection for Extraction - Admin.
92 Transaction Code  FPCB Collective Bill
93 Transaction Code  FPCC0002 Create Account Statements
94 Transaction Code  FPCC0026 Balance Notification Account Creatn
95 Transaction Code  FPCC0029 Create Business Partner Statement
96 Transaction Code  FPCC0034 Generate Write-Off Notification
97 Transaction Code  FPCCR Clarification of Cashed Checks
98 Transaction Code  FPCD Post Payment
99 Transaction Code  FPCF Transfer Data to Cash Management
100 Transaction Code  FPCH1 Online Check Printing
101 Transaction Code  FPCHP Check Assignment for Payment Run
102 Transaction Code  FPCHR Check Management
103 Transaction Code  FPCHS Document Reversal after Check Lock
104 Transaction Code  FPCI Information for Collection Agencies
105 Transaction Code  FPCIBW BW Extraction of Cleared Items
106 Transaction Code  FPCJ Cash Journal
107 Transaction Code  FPCJM Edit Cash Object
108 Transaction Code  FPCJR Cash Desk Evaluation
109 Transaction Code  FPCLBW Extraction of Collection Items
110 Transaction Code  FPCM1 Transfer of Credit Data
111 Transaction Code  FPCM2 Replication of Score
112 Transaction Code  FPCNR Clarif. Incorr. Bank Data Changes
113 Transaction Code  FPCOPARA Correspondence Printing
114 Transaction Code  FPCPL Clarification Processing: Pmnt Lot
115 Transaction Code  FPCPR Clarif. Processing: Payment Run
116 Transaction Code  FPCR1 Display Creditworthiness
117 Transaction Code  FPCRL Clarification Processing: Returns
118 Transaction Code  FPCRPO Clarification Processing: Credit
119 Transaction Code  FPCRPO_DET Create Credit List
120 Transaction Code  FPCUM Write-Off fm Clarification Worklist
121 Transaction Code  FPCVS Clarification Processing:
122 Transaction Code  FPCVS_CONF Confirm Reported Payments
123 Transaction Code  FPCVS_EXAM Monitoring of Third Party Payments
124 Transaction Code  FPD1 Security Deposit Statistics Report
125 Transaction Code  FPD2 Overview of Security Deposits
126 Transaction Code  FPDDA2 Change Debit Memo Notification
127 Transaction Code  FPDDA3 Display Debit Memo Notification
128 Transaction Code  FPDDAX Debit Memo Notification
129 Transaction Code  FPDE Document Extracts: Overview
130 Transaction Code  FPDE_AEXP Doc. Extracts - Export fm Archive
131 Transaction Code  FPDE_DEL Doc. Extracts - Deletion of Extract
132 Transaction Code  FPDE_EXP Document Extracts - Export
133 Transaction Code  FPDE_EXTR Doc. Extracts - Export Extr. Docs
134 Transaction Code  FPDE_IMP Document Extracts - Import
135 Transaction Code  FPDM00 Display Dispute Cases
136 Transaction Code  FPDOC Display missing FI-CA document
137 Transaction Code  FPDR Trans.Postg Run for Deferred Revenue
138 Transaction Code  FPDUDC Create Docs from Standing Requests
139 Transaction Code  FPDUTL Dunning Telephone List
140 Transaction Code  FPE1 Post Document
141 Transaction Code  FPE2 Change Document
142 Transaction Code  FPE2C Reset Check Reason in Document
143 Transaction Code  FPE2M Mass Document Change
144 Transaction Code  FPE3 Display Document
145 Transaction Code  FPE4 Display Document Changes
146 Transaction Code  FPF1 Create Reconciliation Key
147 Transaction Code  FPF2 Change Reconciliation Key
148 Transaction Code  FPF3 Display Reconciliation Key
149 Transaction Code  FPG0 Maintain Alternative Posting Data
150 Transaction Code  FPG0 Maintain Alternative Posting Data
151 Transaction Code  FPG1 Transfer Posting Totals to G/L
152 Transaction Code  FPG1M General Ledger Transfer - Mass Run
153 Transaction Code  FPG2 Reconcile with General Ledger
154 Transaction Code  FPG2M Check G/L Documents - Mass Run
155 Transaction Code  FPG3 Transfer to CO-PA
156 Transaction Code  FPG3M COPA Transfer - Mass Run
157 Transaction Code  FPG4 Close Reconcil. Keys Automatically
158 Transaction Code  FPG5 FI-CA Docs to FI-GL Docs
159 Transaction Code  FPG7 Check CO-PA Documents
160 Transaction Code  FPG7M Check CO-PA Documents - Mass Run
161 Transaction Code  FPG8 Reverse General Ledger Transfer
162 Transaction Code  FPI1 FI-CA: Calc. Interest Individually
163 Transaction Code  FPI2 FI-CA: Interest on Cash Sec. Deposit
164 Transaction Code  FPI4 FI-CA: Display Interest Calculation
165 Transaction Code  FPINTM1 Interest Run
166 Transaction Code  FPINTM2 Cash Security Dep. Interest Run
167 Transaction Code  FPIPBW Installment Plan Extraction
168 Transaction Code  FPL9 Display Account Balance
169 Transaction Code  FPLKA Evaluate Processing Locks
170 Transaction Code  FPLKDEL Delete Mass Locks Set
171 Transaction Code  FPM3 Display Dunning History
172 Transaction Code  FPM4 Display Returns History
173 Transaction Code  FPMA Automatic Clearing
174 Transaction Code  FPO1P OI List for Key Date (Parallel)
175 Transaction Code  FPO2 Reconciliation of OI's in G/L
176 Transaction Code  FPO4 Item Evaluation
177 Transaction Code  FPO4P OI List for Key Date (Parallel)
178 Transaction Code  FPO6 Evaluation of Report Totals
179 Transaction Code  FPO7 Analysis of Extracted Open Items
180 Transaction Code  FPO7F Display Non-Resident Customers
181 Transaction Code  FPOITR Outbound Interface: BP Postings
182 Transaction Code  FPOR2 Change Payment Order
183 Transaction Code  FPOR3 Display Payment Order
184 Transaction Code  FPOR8 Reverse Payment Order
185 Transaction Code  FPOR8M Mass Reversal of Payment Orders
186 Transaction Code  FPPCAS PCARD: Invoiced items
187 Transaction Code  FPPCBP PCARD: Business partner with cards
188 Transaction Code  FPPCDS PCARD: Perform invoicing
189 Transaction Code  FPPCLP PCARD: Log (payments)
190 Transaction Code  FPPCSF PCARD: Display invoicing file
191 Transaction Code  FPPNH Display Prenotification History
192 Transaction Code  FPPNO Prenotification file outgoing
193 Transaction Code  FPPNR Process Prenotification Return
194 Transaction Code  FPPNU Change Prenotif. Processing Status
195 Transaction Code  FPPRN2 Change SEPA Pre-Notifications
196 Transaction Code  FPPRN3 Display SEPA Direct Debit Pre-Notif.
197 Transaction Code  FPPRN8 Reverse SEPA Direct Debit Pre-Notif.
198 Transaction Code  FPPRN8M Mass Reversal of Pre-Notifications
199 Transaction Code  FPPRNL List of Direct Debit Pre-Notif.
200 Transaction Code  FPPST Denmark: Stop payment
201 Transaction Code  FPR1 Create Installment Plan
202 Transaction Code  FPR2 Change installment plan
203 Transaction Code  FPR3 Display installment plan
204 Transaction Code  FPRA Display Adjusted Receivables
205 Transaction Code  FPRD Installment Plan Printing
206 Transaction Code  FPRECL Post Reclassifications
207 Transaction Code  FPREPT Receipt Management
208 Transaction Code  FPREPTM Mass Receipt Printing
209 Transaction Code  FPREPZM1 Initialization of EC Sales List
210 Transaction Code  FPREPZM2 Act. of EU Tax No. for EC Sales List
211 Transaction Code  FPRH Display Installment Plan Histories
212 Transaction Code  FPRL Release Cash Security Deposit
213 Transaction Code  FPRS Open Repayment Requests
214 Transaction Code  FPRU Overview of Repayment Requests
215 Transaction Code  FPRV Transfer Post Adjusted Receivables
216 Transaction Code  FPRW Adjust Receivables According to Age
217 Transaction Code  FPR_PLCL Clarification Account - Itemization
218 Transaction Code  FPSA CA Selection
219 Transaction Code  FPSC Display Day-End Closing
220 Transaction Code  FPSEC1 Create Security Deposit
221 Transaction Code  FPSEC2 Change Security Deposit
222 Transaction Code  FPSEC3 Display Security Deposit
223 Transaction Code  FPSELP Selections for Evaluations
224 Transaction Code  FPSELP1 Layout for Evaluations
225 Transaction Code  FPSELPLOCK Locks according to Preselection
226 Transaction Code  FPSEPA Create SEPA Mandates
227 Transaction Code  FPSEPA1 Change SEPA Mandates
228 Transaction Code  FPSNAP Account Bal.: Creation of Snapshots
229 Transaction Code  FPSNAP_CUST Account Bal.: Partner for Snapshot
230 Transaction Code  FPSP BP Selection
231 Transaction Code  FPS_RFKKBELJ00 Document Journal
232 Transaction Code  FPS_RFKKPYOL List of Payment Orders
233 Transaction Code  FPT1 Check Totals Tables
234 Transaction Code  FPT1M Check Totals Records - Mass Run
235 Transaction Code  FPT3 Alternative Period Transfer
236 Transaction Code  FPT4 Analyze Status of Transfer
237 Transaction Code  FPT5 Display documents for reconcil. key
238 Transaction Code  FPT5 Display documents for reconcil. key
239 Transaction Code  FPT6 Recreate Totals Records
240 Transaction Code  FPT7 Statement Posting Totals
241 Transaction Code  FPT7 Statement Posting Totals
242 Transaction Code  FPTCRPO Credit Processing
243 Transaction Code  FPTL1 Country specific fiscal reports
244 Transaction Code  FPTX1 Select Country-Specific Tax Report
245 Transaction Code  FPVA Dunning Proposal
246 Transaction Code  FPVB Dunning Activity Run
247 Transaction Code  FPVBUND Adjustment to Percentage of Ownersh.
248 Transaction Code  FPVC Mass Reversal of Dunning Notices
249 Transaction Code  FPVT Transfer Dunning Telephone List
250 Transaction Code  FPVZ Maintain Agreed Payment Amounts
251 Transaction Code  FPW1 Foreign Currency Valuation
252 Transaction Code  FPW2 Log Records for For. Crcy Valuations
253 Transaction Code  FPW3 Event-Controlled Inverse Posting
254 Transaction Code  FPY1 Payment Run / Debit Memo Run
255 Transaction Code  FPYE1 Year-End Postings
256 Transaction Code  FPYP Direct Debit Pre-Notification (SEPA)
257 Transaction Code  FPZP Payment Form Items Overview
258 Transaction Code  FPZW Receivables correction
259 Transaction Code  FPZWH Evaluate Adjusted Receivables
260 Transaction Code  FQP6A Assign Internal Check Numbers
261 Transaction Code  FQP6A Assign Internal Check Numbers
262 Transaction Code  FQZ26 Collection Agencies
263 Transaction Code  FQ_FPCJ_NC Normal Clerk
264 Transaction Code  FQ_FPCJ_SC Clerk with Special Tasks
265 Transaction Code  FQ_FPCJ_SU Branch Office Manager
266 Transaction Code  FSEPA_M1 SEPA: Create Mandate
267 Transaction Code  FSEPA_M2 SEPA: Change Mandate
268 Transaction Code  FSEPA_M3 SEPA: Display Mandate
269 Transaction Code  FSEPA_M4 SEPA: List Mandates
270 Transaction Code  RFKKO2 Display Documents from Standing Req.
271 Transaction Code  RFKKO2H Reconcile Docs from Standing Request
272 Transaction Code  S_BCE_68000174 IMG activity: SIMG_CFMENUORFBOB08
273 Transaction Code  S_KK4_74002323 IMG Activity: _FICABFDP_TFK001U
274 Transaction Code  S_KK4_74002356 IMG Activity: _FICABFDP_V_TFK000U