Transaction Code list used by SAP ABAP SHI3 FSCCAX (FSCCAX)
SAP ABAP SHI3
FSCCAX (FSCCAX) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | BCT0 | Create Contact | ||
| 2 | BCT1 | Change Contact | ||
| 3 | BCT2 | Display Contact | ||
| 4 | BCTM | Business Partner Contacts | ||
| 5 | BCT_SARA | Archiving of Customer Contacts | ||
| 6 | CAA1 | Create Contract Account | ||
| 7 | CAA2 | Change Contract Account | ||
| 8 | CAA3 | Display Contract Account | ||
| 9 | CORRHIST | Display Correspondence History | ||
| 10 | EBPP_CREATE_USER | Create a new user | ||
| 11 | EMMA | Log Analysis and Case Creation | ||
| 12 | EMMAC1 | Create Case | ||
| 13 | EMMAC2 | Change Case | ||
| 14 | EMMAC3 | Display Case | ||
| 15 | EMMACAP | Run Automatic Processes for Cases | ||
| 16 | EMMACL | Clarification List | ||
| 17 | EMMACLS | Case List with Shortcut Keys | ||
| 18 | FILEEDIT | File Editor | ||
| 19 | FISPLOGDISP | Display of Log Entries | ||
| 20 | FISPLOGORGA | Reorganize Log Entries | ||
| 21 | FKEXMA | Monitor Tax Exemptions | ||
| 22 | FKJOXTR | Job Container | ||
| 23 | FKKINVBILL_DISP | Display Billing Document | ||
| 24 | FKKINVDOC_DISP | Display Invoicing Document | ||
| 25 | FKKINV_BW_MA | BW Extraction of Invoicing Documents | ||
| 26 | FKKINV_BW_MON | Analysis of BW Extraction Orders | ||
| 27 | FKKINV_BW_SIM | Simulation of BW Extraction | ||
| 28 | FKKINV_COL_M | Create Mass Collective Invoicing | ||
| 29 | FKKINV_M | Mass Invoicing | ||
| 30 | FKKINV_MA | Invoicing | ||
| 31 | FKKINV_MON | Analysis of Invoicing Orders | ||
| 32 | FKKINV_REV_M | Mass Reversal | ||
| 33 | FKKINV_REV_MA | Invoicing Reversal | ||
| 34 | FKKINV_REV_S | Ind. Reversal | ||
| 35 | FKKINV_S | Individual Invoicing | ||
| 36 | FKKORD1 | Edit Requests | ||
| 37 | FKKORD2 | Edit Standing Requests | ||
| 38 | FKKORD4 | Edit Request Templates | ||
| 39 | FKKORDA | Approve Request | ||
| 40 | FKKORDM | Create Documents from Requests | ||
| 41 | FKK_EBS_ARC | Link Documents with External Bills | ||
| 42 | FKK_EBS_ARC_E | Postprocessing Run: Link Bills | ||
| 43 | FKK_EBS_MRD | Reversal of Bills from Billing Sys. | ||
| 44 | FKK_EBS_MRD_E | Postprocessing Run: External Reversa | ||
| 45 | FKK_EBS_TOI_COPA | Transfer Doc./CO-PA Characteristics | ||
| 46 | FKK_EBS_TOI_COPA_E | Postprocessing Run: Transfer Docs | ||
| 47 | FKLOCK01 | Check Conditional Locks | ||
| 48 | FKLOCK2 | Set Processing Locks | ||
| 49 | FP02RC | Reset Check Reason in Repymt Request | ||
| 50 | FP03 | Submission to External Coll. Agency | ||
| 51 | FP03D | Submit Receivables to Coll. Agency | ||
| 52 | FP03DM | Mass Act.: Submission to Coll.Agency | ||
| 53 | FP03DML | Logs of Submissions for Collection | ||
| 54 | FP03E | Release of Items for Collection | ||
| 55 | FP03F | Read Collection Agency File | ||
| 56 | FP03H | History of Collection Items | ||
| 57 | FP03L | List of Collection Items | ||
| 58 | FP03M | Mass Run: Release for Collection | ||
| 59 | FP03U | Call Back Receivables fm Coll.Agency | ||
| 60 | FP04 | Write Off | ||
| 61 | FP04H | Display Write-Off History | ||
| 62 | FP04M | Mass Run: Write-Off | ||
| 63 | FP05 | Process Payment Lot | ||
| 64 | FP05ARC | Create Archive Index for Payment Lot | ||
| 65 | FP05BNKD | Clarification Case Transfer | ||
| 66 | FP05FIK | Change Reconcil. Key for Payment Lot | ||
| 67 | FP05_PROP | Exception Accts for Clarif. Proposal | ||
| 68 | FP06 | Account Maintenance | ||
| 69 | FP07 | Reset Clearing | ||
| 70 | FP08 | Reverse Document | ||
| 71 | FP08M | Mass Reversal | ||
| 72 | FP09 | Returns | ||
| 73 | FP09FIK | Change Recon. Key for Returns Lot | ||
| 74 | FP18 | Reverse Repayment Request | ||
| 75 | FP20 | FI-CA Check Deposit List | ||
| 76 | FP25 | Process Check Lot | ||
| 77 | FP30 | Find Payment | ||
| 78 | FP30C | Find Clarification Cases | ||
| 79 | FP31 | Find Payment (fromm Payment Run) | ||
| 80 | FP35 | Process Credit Card Lot | ||
| 81 | FP40 | Transfer | ||
| 82 | FP45 | Process Payment Order Lot | ||
| 83 | FP50 | Manual Outgoing Checks Lot: | ||
| 84 | FP51 | Data Transfer: Man. Outgoing Checks | ||
| 85 | FP52 | Postproc.Tfr of Man. Issued Checks | ||
| 86 | FP60M | Mass Activity: Revenue Distribution | ||
| 87 | FP60P | Post Revenue Distribution | ||
| 88 | FP60R | List of Distributed Revenues | ||
| 89 | FP60R2 | Evaluation of Revenue Distribution | ||
| 90 | FP70 | Returns Lot: Incorrect Bank Data | ||
| 91 | FPACTEN | Create Customer Notifications | ||
| 92 | FPAR | FI-CA Document Archiving | ||
| 93 | FPAR01 | FI-CA Official Number Archiving | ||
| 94 | FPAR02 | FI-CA: Request Archiving | ||
| 95 | FPAR03 | FI-CA: Revenue Distribution Archivg | ||
| 96 | FPAR04 | FI-CA: Gen. Tax Reporting Archiving | ||
| 97 | FPAR05 | FI-CA: Gen. Revenue Reporting Arch. | ||
| 98 | FPAR06 | FI-CA: Gen. Tax Reporting Arch. | ||
| 99 | FPAR07 | Delete Tax Reporting Data | ||
| 100 | FPAR08 | Delete Reporting Data for Revenues | ||
| 101 | FPAR09 | FI-CA: Foreign Currency Valuation | ||
| 102 | FPAR10 | FI-CA: Clearing History Archive | ||
| 103 | FPAR11 | FI-CA: Doubtful Receivables | ||
| 104 | FPAR12 | FI-CA: Invoicing by Third Party | ||
| 105 | FPAR2 | FI-CA Correspondence Archiving | ||
| 106 | FPARBGA1 | Archiving of Tax for Commercial Ops | ||
| 107 | FPARBP | FI-CA: Business Partner Archiving | ||
| 108 | FPARCASE1 | Archiving of Item List in Cases | ||
| 109 | FPARCJ1 | Cash Journal Archiving | ||
| 110 | FPARCOLL1 | Collection Agency Archiving | ||
| 111 | FPARCR1 | FI-CA: Check Deposit Archiving | ||
| 112 | FPARINDPAY1 | Payment Specification Archiving | ||
| 113 | FPARM1 | FI-CA: Dunning History Archiving | ||
| 114 | FPARMDOC1 | Archiving of Sample Documents | ||
| 115 | FPARPNBK1 | Prenotification Archiving | ||
| 116 | FPARPRNH1 | Archiving of Pre-Notification | ||
| 117 | FPARR1 | FI-CA: Returns Archiving | ||
| 118 | FPARR3 | FI-CA Returns History Archiving | ||
| 119 | FPARS1 | Delete Totals Records | ||
| 120 | FPARSTPY1 | Archiving of Pymts Subj. to Stamp Tx | ||
| 121 | FPARTHP1 | Archiving of Convergent Billing | ||
| 122 | FPARV1 | FI-CA: Contract account archiving | ||
| 123 | FPARZ0 | FI-CA: Payment Lot Archiving | ||
| 124 | FPAV | FI-CA: Payment Advice Note | ||
| 125 | FPAVI | FI-CA: Pymt Advice Note fm CollAgeny | ||
| 126 | FPAWM | Processing of Report File | ||
| 127 | FPAWM_ALV | Foreign Trade Report - ALV List | ||
| 128 | FPAY1A | Create Payment Specification | ||
| 129 | FPAY1B | Create Payment Specification | ||
| 130 | FPAY2 | Change Payment Specification | ||
| 131 | FPAY3 | Display Payment Specification | ||
| 132 | FPAY8 | Reverse Payment Specification | ||
| 133 | FPAY9 | Reverse Item Preselection | ||
| 134 | FPAYR01 | Payment Specifications: List | ||
| 135 | FPAYR02 | Payment Specifications:Preselections | ||
| 136 | FPAYR03 | Payment Specifications: Items | ||
| 137 | FPB1 | Document Transfer | ||
| 138 | FPB12 | Check Register Transfer | ||
| 139 | FPB13 | Check Reg. Transfer - Error Proces. | ||
| 140 | FPB17 | Transfer MultiCash File (FI-CA) | ||
| 141 | FPB2 | Process Document Transfer Errors | ||
| 142 | FPB20 | Payment Advice Note Transfer | ||
| 143 | FPB21 | Pymt Advice Tfr - Error Processing | ||
| 144 | FPB3 | Payment lot transfer | ||
| 145 | FPB4 | Payment Lot Transfer Error Process. | ||
| 146 | FPB5 | Returns Lot Transfer | ||
| 147 | FPB6 | RL Transfer: Error Processing | ||
| 148 | FPB7 | Transfer from Elect. Acct Statement | ||
| 149 | FPB8 | Acct Stmt Transfer: Error Processing | ||
| 150 | FPBL_GET | Get Locked Partners and Countries | ||
| 151 | FPBMC | Select MultiCash Conversion Program | ||
| 152 | FPBN | Process Balance Notifications | ||
| 153 | FPBPCR | Prep. Master Data Change fm Ext. Sys | ||
| 154 | FPBPCU | Proc. Master Data Change fm Ext. Sys | ||
| 155 | FPBW | BW Extraction of Open Items | ||
| 156 | FPBWD | Delete Held Jobs | ||
| 157 | FPBWS | OI Selection for Extraction - Admin. | ||
| 158 | FPCC0002 | Create Account Statements | ||
| 159 | FPCC0026 | Balance Notification Account Creatn | ||
| 160 | FPCC0029 | Create Business Partner Statement | ||
| 161 | FPCC0034 | Generate Write-Off Notification | ||
| 162 | FPCCR | Clarification of Cashed Checks | ||
| 163 | FPCD | Post Payment | ||
| 164 | FPCF | Transfer Data to Cash Management | ||
| 165 | FPCFDEL | Delete Completed Clarification Cases | ||
| 166 | FPCH1 | Online Check Printing | ||
| 167 | FPCHP | Check Assignment for Payment Run | ||
| 168 | FPCHR | Check Management | ||
| 169 | FPCHS | Document Reversal after Check Lock | ||
| 170 | FPCI | Information for Collection Agencies | ||
| 171 | FPCIBW | BW Extraction of Cleared Items | ||
| 172 | FPCJ | Cash Journal | ||
| 173 | FPCJM | Edit Cash Object | ||
| 174 | FPCJR | Cash Desk Evaluation | ||
| 175 | FPCLBW | Extraction of Collection Items | ||
| 176 | FPCM1 | Transfer of Credit Data | ||
| 177 | FPCM2 | Replication of Score | ||
| 178 | FPCNR | Clarif. Incorr. Bank Data Changes | ||
| 179 | FPCODU | Correspondence Dunning | ||
| 180 | FPCODUH | Correspondence Dunning History | ||
| 181 | FPCOPARA | Correspondence Printing | ||
| 182 | FPCPL | Clarification Processing: Pmnt Lot | ||
| 183 | FPCPR | Clarif. Processing: Payment Run | ||
| 184 | FPCR1 | Display Creditworthiness | ||
| 185 | FPCR1 | Display Creditworthiness | ||
| 186 | FPCR2 | Change Creditworthiness | ||
| 187 | FPCRL | Clarification Processing: Returns | ||
| 188 | FPCRPO | Clarification Processing: Credit | ||
| 189 | FPCRPO_DET | Create Credit List | ||
| 190 | FPCUM | Write-Off fm Clarification Worklist | ||
| 191 | FPCVS | Clarification Processing: | ||
| 192 | FPCVS_CONF | Confirm Reported Payments | ||
| 193 | FPCVS_EXAM | Monitoring of Third Party Payments | ||
| 194 | FPD1 | Security Deposit Statistics Report | ||
| 195 | FPD2 | Overview of Security Deposits | ||
| 196 | FPDDA2 | Change Debit Memo Notification | ||
| 197 | FPDDA3 | Display Debit Memo Notification | ||
| 198 | FPDDAX | Debit Memo Notification | ||
| 199 | FPDE | Document Extracts: Overview | ||
| 200 | FPDE_AEXP | Doc. Extracts - Export fm Archive | ||
| 201 | FPDE_DEL | Doc. Extracts - Deletion of Extract | ||
| 202 | FPDE_EXP | Document Extracts - Export | ||
| 203 | FPDE_EXTR | Doc. Extracts - Export Extr. Docs | ||
| 204 | FPDE_IMP | Document Extracts - Import | ||
| 205 | FPDM00 | Display Dispute Cases | ||
| 206 | FPDOC | Display missing FI-CA document | ||
| 207 | FPDR | Trans.Postg Run for Deferred Revenue | ||
| 208 | FPDUDC | Create Docs from Standing Requests | ||
| 209 | FPDUTL | Dunning Telephone List | ||
| 210 | FPE1 | Post Document | ||
| 211 | FPE2 | Change Document | ||
| 212 | FPE2C | Reset Check Reason in Document | ||
| 213 | FPE2M | Mass Document Change | ||
| 214 | FPE3 | Display Document | ||
| 215 | FPE4 | Display Document Changes | ||
| 216 | FPEMMACGEN | Mass Act.: Clarification Case Gen. | ||
| 217 | FPF1 | Create Reconciliation Key | ||
| 218 | FPF2 | Change Reconciliation Key | ||
| 219 | FPF3 | Display Reconciliation Key | ||
| 220 | FPG0 | Maintain Alternative Posting Data | ||
| 221 | FPG0 | Maintain Alternative Posting Data | ||
| 222 | FPG1 | Transfer Posting Totals to G/L | ||
| 223 | FPG1M | General Ledger Transfer - Mass Run | ||
| 224 | FPG2 | Reconcile with General Ledger | ||
| 225 | FPG2M | Check G/L Documents - Mass Run | ||
| 226 | FPG3 | Transfer to CO-PA | ||
| 227 | FPG3M | COPA Transfer - Mass Run | ||
| 228 | FPG4 | Close Reconcil. Keys Automatically | ||
| 229 | FPG5 | FI-CA Docs to FI-GL Docs | ||
| 230 | FPG7 | Check CO-PA Documents | ||
| 231 | FPG7M | Check CO-PA Documents - Mass Run | ||
| 232 | FPG8 | Reverse General Ledger Transfer | ||
| 233 | FPI1 | FI-CA: Calc. Interest Individually | ||
| 234 | FPI2 | FI-CA: Interest on Cash Sec. Deposit | ||
| 235 | FPI4 | FI-CA: Display Interest Calculation | ||
| 236 | FPINTHDEL | Delete Interest History | ||
| 237 | FPINTM1 | Interest Run | ||
| 238 | FPINTM2 | Cash Security Dep. Interest Run | ||
| 239 | FPIPBW | Installment Plan Extraction | ||
| 240 | FPL9 | Display Account Balance | ||
| 241 | FPLKA | Evaluate Processing Locks | ||
| 242 | FPLKDEL | Delete Mass Locks Set | ||
| 243 | FPM3 | Display Dunning History | ||
| 244 | FPM4 | Display Returns History | ||
| 245 | FPMA | Automatic Clearing | ||
| 246 | FPO1P | OI List for Key Date (Parallel) | ||
| 247 | FPO2 | Reconciliation of OI's in G/L | ||
| 248 | FPO4 | Item Evaluation | ||
| 249 | FPO4P | OI List for Key Date (Parallel) | ||
| 250 | FPO6 | Evaluation of Report Totals | ||
| 251 | FPO7 | Analysis of Extracted Open Items | ||
| 252 | FPO7F | Display Non-Resident Customers | ||
| 253 | FPOITR | Outbound Interface: BP Postings | ||
| 254 | FPOR2 | Change Payment Order | ||
| 255 | FPOR3 | Display Payment Order | ||
| 256 | FPOR8 | Reverse Payment Order | ||
| 257 | FPOR8M | Mass Reversal of Payment Orders | ||
| 258 | FPP1 | Create Contract Partner | ||
| 259 | FPP2 | Change Contract Partner | ||
| 260 | FPP2A | Activate Planned Changes | ||
| 261 | FPP3 | Display Contract Partner | ||
| 262 | FPP4 | Maintain Payment Data | ||
| 263 | FPPARDEL | Delete Parameter Records | ||
| 264 | FPPARHID | Hide Parameter Records | ||
| 265 | FPPARMV | Move Parameter Records | ||
| 266 | FPPARUNHID | Reactivate Parameter Records | ||
| 267 | FPPCAS | PCARD: Invoiced items | ||
| 268 | FPPCBP | PCARD: Business partner with cards | ||
| 269 | FPPCDL | PCARD: Delete logs | ||
| 270 | FPPCDS | PCARD: Perform invoicing | ||
| 271 | FPPCLP | PCARD: Log (payments) | ||
| 272 | FPPCSF | PCARD: Display invoicing file | ||
| 273 | FPPNH | Display Prenotification History | ||
| 274 | FPPNO | Prenotification file outgoing | ||
| 275 | FPPNR | Process Prenotification Return | ||
| 276 | FPPNU | Change Prenotif. Processing Status | ||
| 277 | FPPRN2 | Change SEPA Pre-Notifications | ||
| 278 | FPPRN3 | Display SEPA Direct Debit Pre-Notif. | ||
| 279 | FPPRN8 | Reverse SEPA Direct Debit Pre-Notif. | ||
| 280 | FPPRN8M | Mass Reversal of Pre-Notifications | ||
| 281 | FPPRNL | List of Direct Debit Pre-Notif. | ||
| 282 | FPR1 | Create Installment Plan | ||
| 283 | FPR2 | Change installment plan | ||
| 284 | FPR3 | Display installment plan | ||
| 285 | FPRA | Display Adjusted Receivables | ||
| 286 | FPRD | Installment Plan Printing | ||
| 287 | FPRECL | Post Reclassifications | ||
| 288 | FPREPT | Receipt Management | ||
| 289 | FPREPTM | Mass Receipt Printing | ||
| 290 | FPREPZM1 | Initialization of EC Sales List | ||
| 291 | FPREPZM2 | Act. of EU Tax No. for EC Sales List | ||
| 292 | FPRH | Display Installment Plan Histories | ||
| 293 | FPRL | Release Cash Security Deposit | ||
| 294 | FPRS | Open Repayment Requests | ||
| 295 | FPRU | Overview of Repayment Requests | ||
| 296 | FPRV | Transfer Post Adjusted Receivables | ||
| 297 | FPRW | Adjust Receivables According to Age | ||
| 298 | FPR_PLCL | Clarification Account - Itemization | ||
| 299 | FPSA | CA Selection | ||
| 300 | FPSC | Display Day-End Closing | ||
| 301 | FPSCHEDULER | Execute Mass Activity | ||
| 302 | FPSEC1 | Create Security Deposit | ||
| 303 | FPSEC2 | Change Security Deposit | ||
| 304 | FPSEC3 | Display Security Deposit | ||
| 305 | FPSELP | Selections for Evaluations | ||
| 306 | FPSELP1 | Layout for Evaluations | ||
| 307 | FPSELPLOCK | Locks according to Preselection | ||
| 308 | FPSEPA | Create SEPA Mandates | ||
| 309 | FPSEPA1 | Change SEPA Mandates | ||
| 310 | FPSEPA_AR1 | SEPA Archiving | ||
| 311 | FPSNAP | Account Bal.: Creation of Snapshots | ||
| 312 | FPSNAP_CUST | Account Bal.: Partner for Snapshot | ||
| 313 | FPSNAP_DEL | Account Bal.: Deletion of Snapshots | ||
| 314 | FPSP | BP Selection | ||
| 315 | FPS_RFKKBELJ00 | Document Journal | ||
| 316 | FPS_RFKKPYOD | Delete Payment Orders | ||
| 317 | FPS_RFKKPYOL | List of Payment Orders | ||
| 318 | FPS_RFKPYD00 | Delete Payment Data | ||
| 319 | FPT1 | Check Totals Tables | ||
| 320 | FPT1M | Check Totals Records - Mass Run | ||
| 321 | FPT3 | Alternative Period Transfer | ||
| 322 | FPT4 | Analyze Status of Transfer | ||
| 323 | FPT5 | Display documents for reconcil. key | ||
| 324 | FPT6 | Recreate Totals Records | ||
| 325 | FPT7 | Statement Posting Totals | ||
| 326 | FPTCRPO | Credit Processing | ||
| 327 | FPTL1 | Country specific fiscal reports | ||
| 328 | FPTX1 | Select Country-Specific Tax Report | ||
| 329 | FPU6 | History of Transfer | ||
| 330 | FPVA | Dunning Proposal | ||
| 331 | FPVB | Dunning Activity Run | ||
| 332 | FPVBUND | Adjustment to Percentage of Ownersh. | ||
| 333 | FPVBUND1 | Maintenance of VBUND History | ||
| 334 | FPVC | Mass Reversal of Dunning Notices | ||
| 335 | FPVT | Transfer Dunning Telephone List | ||
| 336 | FPVT1 | Entries in Dunning Telephone List | ||
| 337 | FPVZ | Maintain Agreed Payment Amounts | ||
| 338 | FPW1 | Foreign Currency Valuation | ||
| 339 | FPW2 | Log Records for For. Crcy Valuations | ||
| 340 | FPW3 | Event-Controlled Inverse Posting | ||
| 341 | FPY1 | Payment Run / Debit Memo Run | ||
| 342 | FPYE1 | Year-End Postings | ||
| 343 | FPYP | Direct Debit Pre-Notification (SEPA) | ||
| 344 | FPZD | Reorganize Payment Documents | ||
| 345 | FPZP | Payment Form Items Overview | ||
| 346 | FPZW | Receivables correction | ||
| 347 | FPZWH | Evaluate Adjusted Receivables | ||
| 348 | FP_DEL_DFKKQSR | Delete Withhold. Tax Reporting Data | ||
| 349 | FP_DEL_DFKKZP_ARCIND | Delete Indexes for Arch. Payment Lot | ||
| 350 | FP_DEL_REPZM | Delete EC Sales List Data | ||
| 351 | FQP6A | Assign Internal Check Numbers | ||
| 352 | FQP6A | Assign Internal Check Numbers | ||
| 353 | FQZ26 | Collection Agencies | ||
| 354 | FQ_FPCJ_NC | Normal Clerk | ||
| 355 | FQ_FPCJ_SC | Clerk with Special Tasks | ||
| 356 | FQ_FPCJ_SU | Branch Office Manager | ||
| 357 | FSCPAR01 | FI-CA: Bal. Int. Calc. Archiving | ||
| 358 | FSCPBAC | Acct Balance Interest Notification | ||
| 359 | FSCPBAH | Balance Interest Calculation History | ||
| 360 | FSCPI1 | Balance Interest Calculation Run | ||
| 361 | FSEPA_M1 | SEPA: Create Mandate | ||
| 362 | FSEPA_M2 | SEPA: Change Mandate | ||
| 363 | FSEPA_M3 | SEPA: Display Mandate | ||
| 364 | FSEPA_M4 | SEPA: List Mandates | ||
| 365 | IQS8 | Worklist: Notifications (General) | ||
| 366 | RFKKO1 | Display Documents from Requests | ||
| 367 | RFKKO2 | Display Documents from Standing Req. | ||
| 368 | RFKKO2H | Reconcile Docs from Standing Request | ||
| 369 | S_BCE_68000174 | IMG activity: SIMG_CFMENUORFBOB08 | ||
| 370 | S_KK4_74002323 | IMG Activity: _FICABFDP_TFK001U | ||
| 371 | S_KK4_74002356 | IMG Activity: _FICABFDP_V_TFK000U |