Transaction Code list used by SAP ABAP SHI3 F9MN (F9MN)
SAP ABAP SHI3
F9MN (F9MN) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | F90ABKST | Archiving Bank Statements | ||
| 2 | F90ACFBAL | Archiving Balance Carry Forwards | ||
| 3 | F90AINCAL | Archiving Account Balancing Details | ||
| 4 | F90AITEM | Archiving Payment Items | ||
| 5 | F90AORDER | Archiving Payment Orders | ||
| 6 | F90APECAL | Archiving Account Balancing Data | ||
| 7 | F90ASTORD | Archiving Standing Orders | ||
| 8 | F90ATOTAL | Archiving Value Date Trans. Figures | ||
| 9 | F90_PAR_REALLOCATE | Program to Create Interval Table | ||
| 10 | F91LTC | Call Fixed-Term Deposits | ||
| 11 | F92LTC | Collection of Fixed-Term Deposits | ||
| 12 | F93LTC | Postprocessing Fixed-Term Deposits | ||
| 13 | F94LTC | Restart Fixed-Term Deposits | ||
| 14 | F95LTC | Pre-notification of Maturity | ||
| 15 | F960 | Application Log Cash Concentration | ||
| 16 | F961 | Application Log FI Transfer | ||
| 17 | F962 | Application Log Balance Sheet Prep. | ||
| 18 | F963 | Appl. log bal.sh. prep.(backdated) | ||
| 19 | F97J | Appl. log bal.sh. prep.(backdated) | ||
| 20 | F982 | Edit general conditions | ||
| 21 | F983 | Display General Conditions | ||
| 22 | F984 | Release General Conditions | ||
| 23 | F984_DR | Release Deleted Conditions | ||
| 24 | F985 | Edit Interest Conditions | ||
| 25 | F986 | Display Interest Conditions | ||
| 26 | F987 | Release Interest Conditions | ||
| 27 | F988 | Edit Charge Conditions | ||
| 28 | F989 | Display Charge Conditions | ||
| 29 | F98A | Release Charge Conditions | ||
| 30 | F98B | Edit Value Date Conditions | ||
| 31 | F98C | Display Value Date Donditions | ||
| 32 | F98D | Release Value Date Conditions | ||
| 33 | F98E | Edit Condition Assignment | ||
| 34 | F98F | Display Condition Assignment | ||
| 35 | F98G | Release Condition Assignment | ||
| 36 | F98R | Retroactive Condition Change | ||
| 37 | F98RK | Retroactive Condition Change | ||
| 38 | F98TM | Application Log for Term Control | ||
| 39 | F98TMAT | Application log: mature report | ||
| 40 | F98TMCOLL | Application log: collection report | ||
| 41 | F98TMPRE | Application Log for Pre-notification | ||
| 42 | F991 | Mass Acct. Balancing (Int./Charges) | ||
| 43 | F992 | Application Log Account Balancing | ||
| 44 | F992EX | Application Log Acct Balancing EDT | ||
| 45 | F993 | Accrual/Deferral for General Ledger | ||
| 46 | F994 | Application Log Accrual/Deferral | ||
| 47 | F995 | Restart Account Balancing | ||
| 48 | F996 | Single Acct. Balancing (Int./Charge) | ||
| 49 | F997 | Early Mass Account Balancing | ||
| 50 | F997S | Early Individual Account Balancing | ||
| 51 | F99D | Preparation Early Account Balancing | ||
| 52 | F99E | Closing: Settled Accounts | ||
| 53 | F99F | Single Acct. Closing: Restart | ||
| 54 | F99G | Check Account Balancing Ext. Data | ||
| 55 | F9A0 | BCA: Block Checks | ||
| 56 | F9A1 | Create Check | ||
| 57 | F9A10 | Edit Lock | ||
| 58 | F9A11 | Delete Check | ||
| 59 | F9A12 | Creat Check Stack | ||
| 60 | F9A13 | Request Check Stack (Customer) | ||
| 61 | F9A16 | BCA: Delete Stack Creation | ||
| 62 | F9A18 | BCA: Request Checks from Location | ||
| 63 | F9A19 | BCA: Release Check Stack | ||
| 64 | F9A20 | Display Check Stack | ||
| 65 | F9A21 | BCA: Block Check Stack | ||
| 66 | F9A23 | Lift Block | ||
| 67 | F9A25 | BCA: Location Maintenance Pos. Mgmt | ||
| 68 | F9A26 | BCA: Stack Location Settings | ||
| 69 | F9A4 | BCA: Request Check | ||
| 70 | F9A50 | Change Check Status | ||
| 71 | F9A9 | BCA: Display Checks | ||
| 72 | F9B1 | BCA: Posting cut-off paym. transact. | ||
| 73 | F9B2 | Posting Cut-Off Pay. Trans. Batch | ||
| 74 | F9B3 | User Log Currency Changeover | ||
| 75 | F9B4 | BCA: Report Currency Conversion | ||
| 76 | F9DDCC | Currency Conversion Dir. Debit Order | ||
| 77 | F9FOCC | Forward Order Currency Changeover | ||
| 78 | F9H1 | Create Account Hierarchy | ||
| 79 | F9H2 | Change Account Hierarchy | ||
| 80 | F9H3 | Display Account Hierarchy | ||
| 81 | F9H4 | Cash Concentration: Single Run | ||
| 82 | F9H5 | Cash Concentration: Restart | ||
| 83 | F9H6 | Cash Concentration: Mass Run | ||
| 84 | F9HEWB1 | Create Individual Value Adjustment | ||
| 85 | F9HEWB2 | Change Individual Value Adjustment | ||
| 86 | F9HEWB3 | Display Individual Value Adjustment | ||
| 87 | F9HEWB4 | Post Loss on Receivables | ||
| 88 | F9HI | Transfer BCA - GL | ||
| 89 | F9HL | Bal.Sheet Prep. BCA - GL | ||
| 90 | F9HLDREL | Release Holds requiring Dual Control | ||
| 91 | F9HO | GL Control for Legacy Data | ||
| 92 | F9HRVA | Post Individual Value Adjustment | ||
| 93 | F9HRVA_MT | Indiv. Val. Adjst. Proposal List | ||
| 94 | F9I1 | Create Payment Order - External | ||
| 95 | F9I1PLAN | Create Planned Order Externally | ||
| 96 | F9I2 | Create Payment Order - Internal | ||
| 97 | F9I2PLAN | Create Planned Order Internally | ||
| 98 | F9I3 | Display Payment Order | ||
| 99 | F9I3PLAN | Display Planned Order | ||
| 100 | F9I4 | Create Payment Item | ||
| 101 | F9I7 | Display Payment Item | ||
| 102 | F9I8 | Postprocess Payment Item | ||
| 103 | F9I9 | Edit Payment Order (General) | ||
| 104 | F9I9PLAN | General Processing of Planned Order | ||
| 105 | F9IA | Release Payment Order | ||
| 106 | F9IAPLAN | Release Planned Payment Order | ||
| 107 | F9IB | Release Payment Item | ||
| 108 | F9IC | Create Payment Order Former Account | ||
| 109 | F9ID | BCA: CpD Editing of Payment Item | ||
| 110 | F9IE | Create Payment Item Former Account | ||
| 111 | F9IF | BCA: CpD Display of Payment Item | ||
| 112 | F9IG | Reverse Payment Item | ||
| 113 | F9II | Return Payment Item | ||
| 114 | F9IJ | Edit Payment Item | ||
| 115 | F9IK | Create Return Payment Order | ||
| 116 | F9IL | Create Planned Item | ||
| 117 | F9IM | Delete Planned Item | ||
| 118 | F9IN | Display Planned Items | ||
| 119 | F9INDCOND | Release Individual Conditions | ||
| 120 | F9INDCONDDELREL | Release Individual Conditions | ||
| 121 | F9IO | Post Planned item | ||
| 122 | F9IP | Planned items | ||
| 123 | F9IQPLAN | Delete Planned Order | ||
| 124 | F9IUPLAN | Post Planned Orders | ||
| 125 | F9IVPLAN | Planned Orders - Application Log | ||
| 126 | F9J0 | Display Application Log | ||
| 127 | F9J1 | Reconcile with Legacy System | ||
| 128 | F9JENQSHOW | Display BKKITENQ | ||
| 129 | F9K1 | Create Account | ||
| 130 | F9K2 | Change account | ||
| 131 | F9K3 | Display Account | ||
| 132 | F9KAC | Release Account Closure | ||
| 133 | F9KD | Account Closure | ||
| 134 | F9KE | Application Log Account Closure | ||
| 135 | F9KG | Release Limits | ||
| 136 | F9KGDEL | Delete Limits | ||
| 137 | F9KH | Release Currency Changeovers | ||
| 138 | F9KHDEL | Delete Currency Changeovers | ||
| 139 | F9KMOC | Change business partner | ||
| 140 | F9KOVRN | Tolerated Overdraft: Notification | ||
| 141 | F9KOVRN_DUPL | Tol.Ovrdft: Duplicate Notification | ||
| 142 | F9KOVRR | Tolerated Overdraft: New Run | ||
| 143 | F9L4 | Posting Date for Closing in Dialog | ||
| 144 | F9LBDT | Development in BDT Environment | ||
| 145 | F9LTC | Fixing Fixed-Term Deposits | ||
| 146 | F9N1 | Create Bank Statements | ||
| 147 | F9N10 | Overview End of Day Processing | ||
| 148 | F9N11 | Start End-of-Day Processing | ||
| 149 | F9N12 | Overview of Current Mass Runs | ||
| 150 | F9N15 | Duplicate Creation Single Run | ||
| 151 | F9N16 | Balance Notification Mass Run | ||
| 152 | F9N17 | Balance Notification Single Run | ||
| 153 | F9N18 | Restart Balance Notification | ||
| 154 | F9N19 | Balance Notification Application Log | ||
| 155 | F9N3 | Application Log Bank Statement | ||
| 156 | F9N4 | Restart - Bank Statement | ||
| 157 | F9N6 | Posting Date for Balancing as Batch | ||
| 158 | F9N7 | Bank Statement - Single Account | ||
| 159 | F9N8 | List of Accounts in End of Day Proc. | ||
| 160 | F9N9 | Bank Statement - Duplicate Creation | ||
| 161 | F9NTC4 | Amount Notice: Mass Release | ||
| 162 | F9NTC_LOG_RELEASE | Application Log Notices | ||
| 163 | F9O01 | Create stand. order | ||
| 164 | F9O02 | Change stand. order | ||
| 165 | F9O03 | Display Standing Order | ||
| 166 | F9O43 | Release Standing Order | ||
| 167 | F9O6 | Delete stand. order | ||
| 168 | F9O61 | Confirm Standing Order Deletion | ||
| 169 | F9OA | Standing Order: Display Applic. Log | ||
| 170 | F9OF | Create Foreign Payment Order | ||
| 171 | F9OFPLAN | Create Plannned Order - Foreign | ||
| 172 | F9OGPAR | Post Standing Order Packages | ||
| 173 | F9OH | Postprocess Payment Order | ||
| 174 | F9OI | Reverse Payment Order | ||
| 175 | F9PICC | Planned Item Currency Changeover | ||
| 176 | F9SEPA_CR1 | Create Mandate for Ordering Party | ||
| 177 | F9SEPA_CR2 | Change Mandate for Ordering Party | ||
| 178 | F9SEPA_CR3 | Display Mandate for Ordering Party | ||
| 179 | F9SEPA_DB1 | Create Mandate for Recipient Party | ||
| 180 | F9SEPA_DB2 | Change Mandate for Recipient Party | ||
| 181 | F9SEPA_DB3 | Display Mandate for Recipient Party | ||
| 182 | F9SOCC | Standing Order Currency Changeover | ||
| 183 | F9VW | Preparation of Currency Changeover | ||
| 184 | FIPRD3 | Display Product | ||
| 185 | FSEPA_M4 | SEPA: List Mandates | ||
| 186 | KCLJ | EDT: Execute Transfer | ||
| 187 | KCLP | Logs | ||
| 188 | S_KK4_13000147 | IMG Activity: SIMG_BA-CA-V_T056P | ||
| 189 | S_KK4_13000167 | IMG Activity: SIMG_BA-CA-V_TBKKE2 |