Transaction Code list used by SAP ABAP SHI3 TXMN (TXMN)
SAP ABAP SHI3
TXMN (TXMN) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | F110 | Parameters for Automatic Payment | ||
| 2 | F111 | Parameters for Payment of PRequest | ||
| 3 | F8BT | Display Payment Requests | ||
| 4 | F8BW | Reset Cleared Items: Payt Requests | ||
| 5 | FBRA | Reset Cleared Items | ||
| 6 | FDTT | Treasury Data Medium Administration | ||
| 7 | FTR_00 | Collective Processing | ||
| 8 | FTR_00 | Collective Processing | ||
| 9 | FTR_CREATE | Create a Transaction (TR-TM) | ||
| 10 | FTR_DEALPOS | Dealer Position | ||
| 11 | FTR_EDIT | Process a Treasury Transaction | ||
| 12 | FTR_EDIT | Process a Treasury Transaction | ||
| 13 | S_ALR_87008531 | IMG activity: BARWERT_OTC | ||
| 14 | S_ALR_87008539 | IMG Activity: SWAP_RATE_INPUT | ||
| 15 | S_BCE_68000174 | IMG activity: SIMG_CFMENUORFBOB08 | ||
| 16 | TAV1 | Fix Average Rate | ||
| 17 | TAV2 | Reset Average Rate Fixing | ||
| 18 | TBB1 | Execute postings | ||
| 19 | TBB4 | Accrual/deferral | ||
| 20 | TBB5 | Reverse accrual/deferral | ||
| 21 | TBCS | Automatic fixing processing | ||
| 22 | TBD3 | Datafeed: Market data administration | ||
| 23 | TBD4 | Datafeed: Updated market data | ||
| 24 | TBDM | Market Data File Interface INPUT | ||
| 25 | TBDN | Market Data File Interface - OUTPUT | ||
| 26 | TBEX | Spreadsheet for Market Data | ||
| 27 | TBR1 | Treasury: Create netting | ||
| 28 | TBR2 | Treasury: Change netting | ||
| 29 | TBR3 | Treasury: Display netting | ||
| 30 | TBR4 | Treasury: Reverse netting | ||
| 31 | TBR5 | Treasury: Netting proposal list | ||
| 32 | TBR6 | Treasury: Create reference | ||
| 33 | TBR7 | Treasury: Change reference | ||
| 34 | TBR8 | Treasury: Display reference | ||
| 35 | TBR9 | Treasury: Reverse Reference | ||
| 36 | TBRL | Treasury: Coll. proc. references | ||
| 37 | TBZ1 | Output Correspondence | ||
| 38 | TBZ11 | Correspondence Monitor | ||
| 39 | TBZ13 | Printer Override Function | ||
| 40 | TBZ14 | Exception Processing IDoc (Inbound) | ||
| 41 | TBZ15 | Status Monitor - IDoc Confirmations | ||
| 42 | TBZ2 | Incoming Confirmations Forex | ||
| 43 | TI4A | Forex Fast Entry | ||
| 44 | TI4B | Currency Option Entry - Spread | ||
| 45 | TI90 | Posting Release | ||
| 46 | TI91 | Collective Processing OTC Options | ||
| 47 | TI91 | Collective Processing OTC Options | ||
| 48 | TI93 | Manual Posting Block | ||
| 49 | TI94 | Collective Monitoring of Options | ||
| 50 | TM22 | Check Dates against Calendar | ||
| 51 | TPM1 | Execute Valuation | ||
| 52 | TPM10 | Fix. post or reverse transactions | ||
| 53 | TPM18 | Fix/Post Derived Business Transact. | ||
| 54 | TPM2 | Reverse Valuation | ||
| 55 | TPM27 | Generate Derived Flows | ||
| 56 | TPM28 | Transfer Acct Assignment Reference | ||
| 57 | TPM29 | Reverse Acct Assignm. Ref. Transfer | ||
| 58 | TPM3 | Account Asst Reference Allocations | ||
| 59 | TPM50 | Change Position Mgmt Procedure | ||
| 60 | TPM56C | Change PositionID (OTC Transactions) | ||
| 61 | TPM57C | Display Pos. ID (OTC Transactions) | ||
| 62 | TPM60 | Save NPVs | ||
| 63 | TPM74 | Enter Values for Manual Valuation | ||
| 64 | TRTV | Access Report Tree | ||
| 65 | TSW1 | SWIFT Generation MT300 | ||
| 66 | TX.1 | Forex fast entry - spot | ||
| 67 | TX06 | Forex: Collective processing | ||
| 68 | TX06 | Forex: Collective processing | ||
| 69 | TX10 | Create Forex Swap | ||
| 70 | TX13 | Create Foreign Exchange Offer | ||
| 71 | TX14 | Execute foreign exchange offer | ||
| 72 | TX22 | Display foreign exchange offer | ||
| 73 | TX23 | Create foreign exchange simulation | ||
| 74 | TX24 | Change foreign exchange simulation | ||
| 75 | TX25 | Display foreign exchange simulation | ||
| 76 | TX26 | Delete foreign exchange simulation | ||
| 77 | TX30 | Int. FX Transactions: Rate Overview | ||
| 78 | TX31 | Create Internal Forex Transaction | ||
| 79 | TXA5 | Forex Order Processing | ||
| 80 | TXAK | Calculation of option premiums | ||
| 81 | TXV5 | Execute Fixing Transaction |