Where Used List (Class) for SAP ABAP Class CL_FIN_ACC_SYSTEM (Accounting System)
SAP ABAP Class
CL_FIN_ACC_SYSTEM (Accounting System) is used by
| # | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
|---|---|---|---|---|---|---|
| 1 |
/EACA/CL_GL_BREP_CONFIG Method: CONSTRUCTOR
|
Configuration for Totals Reporting in G/L | ||||
| 2 |
/EACA/CL_GL_CUST_BAS_BALANCE Method: /EACC/IF_BALANCE~SUBSTITUTE_ITEM
|
Zero Balance Configuration | ||||
| 3 |
/EACA/CL_GL_POSTING_TA_RUNTIME Method: /EACC/IF_POSTING_TA_RUNTIME~GET_ITEM_FIELDS_DEFAULTS
|
Configuration of an Entry Transaction | ||||
| 4 |
/EACC/CL_ACC_ENGINE_HOME Method: /EACC/IF_ACC_ENGINE_HOME~FIND_ACCOUNTING_ENGINE
|
Implementation of the Home Interface for Accounting Engine | ||||
| 5 |
/EACC/CL_BTA_DOCUMENT_PROCESS Method: GET_ACC_SYSTEMS
|
Abstract Business Transaction in the e-Accounting Engine | ||||
| 6 |
/EACC/CL_BTA_EDGE_PROCESS Method: BTA_REVERSAL_REVALUE
|
Superclass for Business Transactions | ||||
| 7 |
/EACC/CL_BTA_EDGE_PROCESS Method: MOVE_TO_LINE
|
Superclass for Business Transactions | ||||
| 8 |
/EACC/CL_BTA_GENERIC_CONFIG Method: ENRICH_DATABASIS_TABLE
|
Configuration Class of Generic BTA | ||||
| 9 |
/EACC/CL_BTA_GENERIC_CONFIG Method: CONFIGURE_JOURNALS
|
Configuration Class of Generic BTA | ||||
| 10 |
/EACC/CL_BTA_GENERIC_PROCESS Method: GET_POSTING_PERIOD
|
Generic BTA Process (can be instantiated) | ||||
| 11 |
/EACC/CL_BTA_GENERIC_PROCESS Method: GET_OBJECT_CURR
|
Generic BTA Process (can be instantiated) | ||||
| 12 |
/EACC/CL_BTA_HD_ITEM_PROC Method: MOVE_TO_LINE
|
Superclass of All Business Transactions | ||||
| 13 |
/EACC/CL_BTA_SEC_EDGE_PROCESS Method: BTA_PREPARE_POSTING
|
General Secondary Process (Edges) | ||||
| 14 |
/EACC/CL_BUFFER_GR Method: READ_FROM_JOURNAL
|
Valuation Result | ||||
| 15 |
/EACC/CL_BUFFER_TOOLS Method: GET_INITIAL_AMOUNT_TABLE
|
Accounting System | ||||
| 16 | /EACC/CL_BUFFER_TOOLS | Accounting System | ||||
| 17 |
/EACC/CL_BUFFER_TOOLS Method: GET_CURRTYPE
|
Accounting System | ||||
| 18 |
/EACC/CL_BUFFER_TOOLS Method: DETERMINE_CURRENCY_KEY
|
Accounting System | ||||
| 19 |
/EACC/CL_BUFFER_VAL_STOCK Method: /EACC/IF_BUFFER_VAL_STOCK~UPDATE_PRICES
|
Valuation Result | ||||
| 20 |
/EACC/CL_BUFFER_VAL_STOCK Method: READ_FROM_JOURNAL
|
Valuation Result | ||||
| 21 |
/EACC/CL_CURRENCY_CONVERSION Method: /EACC/IF_PROCESS_STEP~PROCESS_IT
|
Takes Document Numbers for Accounting Documents | ||||
| 22 |
/EACC/CL_DM_CONVERSION Method: SET_CURTYPE_QUANT
|
Data Retention: Data Conversion | ||||
| 23 |
/EACC/CL_INVENTORY_SCHEME Method: FIRST_AND_LAST_PERIOD_GET
|
Inventory Posting Scheme | ||||
| 24 |
/EACC/CL_LOG_EDGE Method: GET_OBJECT_CURRENCY
|
Logistical Edge | ||||
| 25 |
/EACC/CL_LOG_EVENT Method: /EACC/IF_LOG_EVENT~VALUE
|
Logistical Event | ||||
| 26 |
/EACC/CL_LOG_NODE Method: GET_ACC_SYSTEMS
|
Logistical Object | ||||
| 27 |
/EACC/CL_OBJECT_SCHEME Method: DELETE_NON_REQ_LINES
|
Posting Scheme | ||||
| 28 |
/EACC/CL_PERIOD_PROCESS_STEP Method: /EACC/IF_DERIVATION_STEP~DERIVE
|
Period Determination from the Posting Date | ||||
| 29 |
/EACC/CL_PERIOD_PROC_STEP_BA Method: /EACC/IF_DERIVATION_STEP~DERIVE
|
Period Determination from Posting Date (Bank Analyzer) | ||||
| 30 |
/EACC/CL_SRV_AUNIT_TEST Method: IF_FOBJ_EVENT_HANDLER~HANDLE_BEFORE_SAVE
|
Test Service Class for AUNIT Test | ||||
| 31 |
/EACC/CL_STRUCTURE_CONFIGURER Method: /EACC/IF_VIEW_CONFIGS_STRUCTUR~SET_CURRENCY_TYPES
|
Configurator | ||||
| 32 |
/EACC/CL_VAL_METHOD_INVENTORY Method: /EACC/IF_VAL_METHOD_INVENTORY~VALUE
|
/EACC/CL_VAL_METHOD_INVENTORY | ||||
| 33 |
CL_ACC_CLOSESTEP Method: GET_CLOSING_STEP_RUL
|
Service Function: Closing Activity | ||||
| 34 |
CL_ACC_PERIOD Method: IF_ACC_PERIOD~GET_FIRST_DAY_OF_YEAR
|
Service Functions for Periods | ||||
| 35 |
CL_ACC_PERIOD Method: IF_ACC_PERIOD~GET_LAST_DAY_OF_PERIOD
|
Service Functions for Periods | ||||
| 36 |
CL_ACC_PERIOD Method: IF_ACC_PERIOD~DET_PERIOD_FROM_DATE
|
Service Functions for Periods | ||||
| 37 |
CL_ACC_PERIOD Method: IF_ACC_PERIOD~GET_FIRST_DAY_OF_PERIOD
|
Service Functions for Periods | ||||
| 38 |
CL_ACC_PERIOD Method: IF_ACC_PERIOD~GET_LAST_DAY_OF_YEAR
|
Service Functions for Periods | ||||
| 39 |
CL_CON_ACC_BALANCE_STEP Method: /EACC/IF_PROCESS_STEP~PROCESS_IT
|
Zero Balance for Company Code | ||||
| 40 |
CL_CON_FIN_BTA_FROMR3_PROCESS Method: BTA_PREPARE_POSTING
|
Primary Processes from Core | ||||
| 41 |
CL_CON_FIN_SURCHARGE_CALL Method: FILL_BTA_FIELDS
|
CL_CON_FIN_SURCHARGE_CALL | ||||
| 42 |
CL_CON_FIN_SURCHARGE_CALL Method: FILL_EXPORT_LINE
|
CL_CON_FIN_SURCHARGE_CALL | ||||
| 43 |
CL_CON_FIN_SURCHARGE_CALL Method: BUILD_DISPLAY_TABLE
|
CL_CON_FIN_SURCHARGE_CALL | ||||
| 44 |
CL_CON_FIN_VALUATION_METHODS Method: CONVERT_PRICE
|
Valuation Methods for Formula Editor | ||||
| 45 |
CL_FINB_CURRENCY_CONVERTER Method: DETERMINE_CURRENCY_KEY
|
Currency Translation | ||||
| 46 |
CL_FINB_CURRENCY_CONVERTER Method: CONVERT
|
Currency Translation | ||||
| 47 | CL_FINB_CURRENCY_CONVERTER | Currency Translation | ||||
| 48 |
CL_FINB_CURRENCY_CONV_ON_GUI Method: SET_FIN_CURRTRA
|
iCurrency Translation on Interface | ||||
| 49 |
CL_FINB_CURRENCY_CONV_ON_GUI Method: GET_EXCHANGE_RATES_FROM_00
|
iCurrency Translation on Interface | ||||
| 50 |
CL_FINB_CURRENCY_CONV_ON_GUI Method: CONVERT_FROM_00
|
iCurrency Translation on Interface | ||||
| 51 |
CL_FINB_CURRENCY_CONV_ON_GUI Method: GET_CUSTOMIZING
|
iCurrency Translation on Interface | ||||
| 52 | CL_FINB_CURRENCY_CONV_ON_GUI | iCurrency Translation on Interface | ||||
| 53 |
CL_FIN_ACC_SYSTEM Method: GET_CURRTYPES_FOR_ACC_SYSTEM
|
Accounting System | ||||
| 54 |
CL_FIN_ACC_SYSTEM Method: GET_CHOFACCT
|
Accounting System | ||||
| 55 |
CL_FIN_ACC_SYSTEM Method: GET_LAST_DAY_OF_YEAR
|
Accounting System | ||||
| 56 |
CL_FIN_ACC_SYSTEM Method: GET_LAST_DAY_OF_PERIOD
|
Accounting System | ||||
| 57 |
CL_FIN_ACC_SYSTEM Method: GET_DATABASIS
|
Accounting System | ||||
| 58 |
CL_FIN_ACC_SYSTEM Method: GET_FIRST_DAY_OF_YEAR
|
Accounting System | ||||
| 59 |
CL_FIN_ACC_SYSTEM Method: GET_ACCSYS_FOR_COMPANY
|
Accounting System | ||||
| 60 |
CL_FIN_ACC_SYSTEM Method: GET_CURRACCSYS
|
Accounting System | ||||
| 61 |
CL_FIN_ACC_SYSTEM Method: COMPUTE_FISCPER
|
Accounting System | ||||
| 62 |
CL_FIN_ACC_SYSTEM Method: GET_TEXT
|
Accounting System | ||||
| 63 |
CL_FIN_ACC_SYSTEM Method: GET_DAYS_IN_PERIOD
|
Accounting System | ||||
| 64 |
CL_FIN_ACC_SYSTEM Method: GET_CURRTYPES
|
Accounting System | ||||
| 65 |
CL_FIN_ACC_SYSTEM Method: GET_CURRENCY_FOR_CURRTYPE
|
Accounting System | ||||
| 66 |
CL_FIN_ACC_SYSTEM Method: GET_FISCYEARVAR_FOR_ACC_SYSTEM
|
Accounting System | ||||
| 67 |
CL_FIN_ACC_SYSTEM Method: GET_PREVIOUS_PERIOD
|
Accounting System | ||||
| 68 |
CL_FIN_ACC_SYSTEM Method: GET_COMPANIES
|
Accounting System | ||||
| 69 |
CL_FIN_ACC_SYSTEM Method: GET_CURRTYPES_PER_COMPANY
|
Accounting System | ||||
| 70 |
CL_FIN_ACC_SYSTEM Method: GET_FIRST_DAY_OF_PERIOD
|
Accounting System | ||||
| 71 |
CL_FIN_ACC_SYSTEM Method: GET_FISCYEARVAR
|
Accounting System | ||||
| 72 |
CL_FIN_ACC_SYSTEM Method: GET_ACCSYS
|
Accounting System | ||||
| 73 |
CL_FIN_ACC_SYSTEM Method: GET_SCENARIO
|
Accounting System | ||||
| 74 |
CL_FIN_PRODUCT_VIEW Method: DERIVE_PRICE
|
Material | ||||
| 75 |
CL_UAV_CURRENCY_SERVICE Method: CONVERT
|
Service for Exchange Rates | ||||
| 76 |
CL_UAV_CURRENCY_SERVICE Method: IF_FINB_READER~SELECT
|
Service for Exchange Rates | ||||
| 77 | CL_UAV_CURRENCY_SERVICE | Service for Exchange Rates | ||||
| 78 |
CL_UAV_CURRENCY_SERVICE Method: GET_ADDITIONAL_CURRTYPES
|
Service for Exchange Rates | ||||
| 79 |
CL_UAV_PRICE_MAINTENANCE Method: NEW_PRICE
|
Price Maintenance | ||||
| 80 |
CL_UAV_PRICE_MAINTENANCE Method: CHECK_FOR_PREVIOUS
|
Price Maintenance | ||||
| 81 |
CL_UAV_PRICE_MAINTENANCE Method: CURRENCY_RATE_EVENT
|
Price Maintenance | ||||
| 82 |
CL_UAV_PRICE_MAINT_SERVICES Method: GET_PERIOD
|
Errors occurred (messages in message handler) | ||||
| 83 |
CL_UAV_PRICE_MAINT_SERVICES Method: PREVIOUS_PERIOD
|
Errors occurred (messages in message handler) | ||||
| 84 |
CL_UAV_PRICE_MAINT_SERVICES Method: GET_LAST_DAY
|
Errors occurred (messages in message handler) | ||||
| 85 |
CL_UAV_PRICE_MAINT_SERVICES Method: ADD_CONVERTED_PRICES
|
Errors occurred (messages in message handler) | ||||
| 86 |
CL_UAV_PRICE_MAINT_SERVICES Method: FIX_TOYEARPER
|
Errors occurred (messages in message handler) | ||||
| 87 |
CL_UAV_PRICE_MAINT_SERVICES Method: DELETE_PRICE
|
Errors occurred (messages in message handler) | ||||
| 88 |
CL_UAV_PRICE_MAINT_SERVICES Method: GET_FIRST_DAY
|
Errors occurred (messages in message handler) | ||||
| 89 |
CL_UAV_PRICE_MAINT_SERVICES Method: PREVIOUS_FIRST_DAY
|
Errors occurred (messages in message handler) | ||||
| 90 |
CL_UAV_PRICE_MAINT_SERVICES Method: GET_FIRST_DAY_OF_YEAR
|
Errors occurred (messages in message handler) | ||||
| 91 |
CL_UAV_REPORTING Method: GET_CURRINFO
|
PriceManager: Abstract Reporting Class | ||||
| 92 | CL_UAV_REPORTING | PriceManager: Abstract Reporting Class | ||||
| 93 |
CL_UAV_REPORTING Method: HISTORY_EVENT
|
PriceManager: Abstract Reporting Class | ||||
| 94 |
CL_UAV_REPORTING Method: IF_FINB_REPORTING_READER~SELECT_EXTENDED
|
PriceManager: Abstract Reporting Class | ||||
| 95 |
CL_UAV_REPORT_HISTORY Method: IF_FINB_REPORTING_READER~SELECT_EXTENDED
|
PriceManager: Reporting Class for History | ||||
| 96 |
CL_UAV_REPORT_HISTORY Method: SWITCH_HISTORY
|
PriceManager: Reporting Class for History | ||||
| 97 |
CL_UAV_REPORT_HISTORY Method: GET_PRICES
|
PriceManager: Reporting Class for History | ||||
| 98 |
CL_UAV_REPORT_PRICE_AT Method: GET_PRICES
|
PriceManager: Reporting Class for Prices "Valid On" | ||||
| 99 |
CL_UAV_REPORT_PRICE_FROM Method: GET_PRICES
|
PriceManager: Reporting Class for Prices "Valid From" | ||||
| 100 |
CL_UA_INV_BSV_ACCOUNT_VAL_APPL Method: READ_NOMINAL_ACCOUNT
|
Balance Sheet Values by Account - Application Class | ||||
| 101 |
CL_UA_INV_BSV_FIFO Method: CALCULATE_NEW_PRICE_DEEP
|
FIFO Procedure | ||||
| 102 |
CL_UA_INV_BSV_FIFO Method: CALCULATE_LASTR
|
FIFO Procedure | ||||
| 103 |
CL_UA_INV_BSV_FIFO Method: SET_NEW_PRICE
|
FIFO Procedure | ||||
| 104 |
CL_UA_INV_BSV_LAYER1_REPORTING Method: IF_FINB_READER~SELECT
|
Controls Detail Lists | ||||
| 105 |
CL_UA_INV_BSV_LCM Method: SET_NEW_PRICE
|
Lowest of Cost or Market Procedure | ||||
| 106 |
CL_UA_INV_BSV_MARKET_PRICE_FIN Method: GET_D_DAY
|
Read Market Prices from Inventory Accounting | ||||
| 107 |
CL_UA_INV_BSV_MARKET_PRICE_FIN Method: GET_DAYS
|
Read Market Prices from Inventory Accounting | ||||
| 108 |
CL_UA_INV_BSV_PRICE_MANAGER Method: READ_PRICES
|
Communication with Price Manager | ||||
| 109 |
CL_UA_INV_BSV_ROC Method: SET_TIME_RANGE
|
Range of Coverage Method | ||||
| 110 |
CL_UA_INV_BSV_ROC Method: GET_STOCK
|
Range of Coverage Method | ||||
| 111 |
CL_UA_INV_BSV_ROC Method: SET_NEW_PRICE
|
Range of Coverage Method | ||||
| 112 |
CL_UA_INV_BSV_ROC Method: GET_NEXT_PERIOD
|
Range of Coverage Method | ||||
| 113 |
CL_UA_INV_BW_CONVERT_MAT_01 Method: CONSTRUCTOR
|
BW Mapping: Journal <-> Extract Structure for DataS. MAT_01 | ||||
| 114 | CL_UA_INV_BW_CONVERT_MAT_01 | BW Mapping: Journal <-> Extract Structure for DataS. MAT_01 | ||||
| 115 |
CL_UA_INV_CONVERT_AMNT_FORMAT Method: CONSTRUCTOR
|
CL_UA_INV_CONVERT_AMNT_FORMAT | ||||
| 116 | CL_UA_INV_CONVERT_AMNT_FORMAT | CL_UA_INV_CONVERT_AMNT_FORMAT | ||||
| 117 |
CL_UA_INV_CW_BW_CALLBACK Method: IF_UA_INV_READER_CONTENT~GET_CHECK_ACCSYS_FROM_SELTAB
|
Impl. Extraction Interface to the BW | ||||
| 118 |
CL_UA_INV_DEBITCREDIT_MAT Method: POST_PREPARE_DEBCRE
|
Debit/Credit Reporting Material | ||||
| 119 |
CL_UA_INV_DEBITCREDIT_MAT Method: GET_ACTUAL_INV_DATA
|
Debit/Credit Reporting Material | ||||
| 120 |
CL_UA_INV_DEBITCREDIT_MAT Method: POST_FOLLOWING_PERIODS
|
Debit/Credit Reporting Material | ||||
| 121 |
CL_UA_INV_DEBITCREDIT_MAT Method: SET_COMPANY_DATA
|
Debit/Credit Reporting Material | ||||
| 122 |
CL_UA_INV_DEBITCREDIT_MAT Method: CURRENCY_RATES_EVENT
|
Debit/Credit Reporting Material | ||||
| 123 |
CL_UA_INV_GRIR_READ Method: JOURNAL_READERS_DEEP_GET
|
Read GR/IR Data | ||||
| 124 |
CL_UA_INV_JOIN_READER Method: CONSTRUCTOR
|
Join Reader for Journals | ||||
| 125 |
CL_UA_INV_JOURNAL_READER Method: CONSTRUCTOR
|
Reader für Journals | ||||
| 126 |
CL_UA_INV_PRICE_MAINTENANCE Method: GET_FIRST_AND_LAST_DAY
|
Price Maintenance - Inventory Accounting | ||||
| 127 |
CL_UA_INV_PRICE_SERVICES Method: GET_LIST_INV_VAL
|
Price API | ||||
| 128 |
CL_UA_INV_PRICE_SERVICES Method: CHECK_PRICES_FOR_CURRTYP
|
Price API | ||||
| 129 |
CL_UA_INV_PRICE_SERVICES Method: DELETE_PRICES
|
Price API | ||||
| 130 |
CL_UA_INV_PRICE_SERVICES Method: RELEASE_PRICES
|
Price API | ||||
| 131 |
CL_UA_INV_PRICE_SERVICES Method: CHECK_CURRENCY
|
Price API | ||||
| 132 | CL_UA_INV_PRICE_SERVICES | Price API | ||||
| 133 |
CL_UA_INV_PRICE_SERVICES Method: GET_PERIODS
|
Price API | ||||
| 134 |
CL_UA_INV_READER Method: IF_UA_INV_READER~GET_INSTANCE
|
Default Class for Read/Write Access Period-End Closing | ||||
| 135 |
CL_UA_INV_REVALUATION_EXE Method: DETERMINE_PERIOD
|
Execute Inventory Price Change | ||||
| 136 |
CL_UA_INV_REVALUATION_EXE Method: PREPARE_PERIOD
|
Execute Inventory Price Change | ||||
| 137 |
CL_UA_INV_REVALUATION_EXE Method: GET_CURRTYPES
|
Execute Inventory Price Change | ||||
| 138 |
CL_UA_INV_REVALUATION_EXE Method: CONVERT_PRICE
|
Execute Inventory Price Change | ||||
| 139 |
CL_UA_INV_REVALUATION_EXE Method: PROCESS_DATA_JSC
|
Execute Inventory Price Change | ||||
| 140 |
CL_UA_INV_REVALUATION_EXE Method: PROCESS_DATA
|
Execute Inventory Price Change | ||||
| 141 |
CL_UA_INV_REVALUATION_EXE Method: PERIOD_ALLOWED
|
Execute Inventory Price Change | ||||
| 142 |
CL_UA_INV_REVALUATION_EXE Method: PROCESS_DATA_NEW
|
Execute Inventory Price Change | ||||
| 143 |
CL_UA_INV_WIP_CLEARING Method: GET_KEY_DATE
|
WIP Clearing | ||||
| 144 |
CL_UA_INV_WIP_READ Method: JOURNAL_READERS_DEEP_GET
|
Read WIP Data | ||||
| 145 |
CL_UA_INV_WIP_READ Method: JOURNAL_READERS_FLAT_GET
|
Read WIP Data | ||||
| 146 |
CL_UA_PRCSTRAT_MATERIAL_BATCH Method: IF_UA_PRICING_STRATEGY~EVALUATE
|
Price Determination Strategy for Batch Material | ||||
| 147 |
CL_UA_PRICE_MANAGER Method: MODIFY_PRICE_NON_OVERLAPPING
|
PriceManager | ||||
| 148 |
CL_UA_PRICE_MANAGER Method: IF_UA_PRICE_READER~GET_PRICES
|
PriceManager | ||||
| 149 |
CL_UA_PRICE_MANAGER Method: IF_UA_PRICE_READER~GET_PRICE
|
PriceManager | ||||
| 150 |
CL_UA_PRICE_MANAGER Method: ADD_CURR_TYPES
|
PriceManager | ||||
| 151 |
CL_UA_PRICE_MANAGER Method: IF_UA_PRICE_READER~GET_LATEST_HISTORIC_PRICES
|
PriceManager | ||||
| 152 |
CL_UA_VALSTRAT_INV_ORDER_PROD Method: IF_UA_VALUATION_STRATEGY~EVALUATE
|
Valuation Strategy "Inventory of Moved Material" | ||||
| 153 |
CL_UA_VALSTRAT_INV_RECEIVER Method: IF_UA_VALUATION_STRATEGY~EVALUATE
|
Valuation Strategy "Receiver Inventory" | ||||
| 154 |
CL_UA_VALSTRAT_INV_SENDER Method: IF_UA_VALUATION_STRATEGY~EVALUATE
|
Valuation Strategy "Sender Inventory" | ||||
| 155 |
CL_UA_VALSTRAT_PURCHASE_ORDER Method: IF_UA_VALUATION_STRATEGY~EVALUATE
|
Valuation Strategy "Purchase Order" |