Where Used List (Program) for SAP ABAP Table/Structure Field BSIS-BELNR (BSIS)
SAP ABAP Table/Structure Field
BSIS - BELNR (BSIS) is used by
| # | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
|---|---|---|---|---|---|---|
| 1 | /SAPF15/ASVW_LISTE | F15 Schnittstelle - Suchhilfe Abschlag/Schluss/Vorschuss/verWahrung | ||||
| 2 | /SAPF15/DATENUEBERNAHME | F15 Schnittstelle - Datenübernahme AO, FL, VP, MD | ||||
| 3 | /SSA/CAF | SAP General ledger migration service : Detail analysis | ||||
| 4 | /SSA/EKF | BPMon: Data collectors for TBI's Financials | ||||
| 5 | AQZZ==/SAPQUERY/FISD | AQZZ==/SAPQUERY/FISD | ||||
| 6 | CNVA_PCREA_GRIR_SUB_FORM | Include for GRIR form routines | ||||
| 7 | CNV_TDMS_05_TI_CO_BKPF | Collect document numbers from table EKKO | ||||
| 8 | CNV_TDMS_05_TI_CO_BKPF_CLU | Collect document numbers from table EKKO | ||||
| 9 | CNV_TDMS_05_TI_CO_BKPF_CLU_BS | Collect document numbers from table EKKO | ||||
| 10 | CNV_TDMS_05_TI_CO_BKPF_CLU_PG | Collect document numbers from table EKKO | ||||
| 11 | CNV_TDMS_05_TI_CO_BKPF_CLU_PR | Collect document numbers from table EKKO | ||||
| 12 | CNV_TDMS_05_TI_CO_BKPF_DATA | Include CNV_TDMS_05_TI_CO_EKKO_DATA | ||||
| 13 | CNV_TDMS_05_TI_CO_BKPF_DATA_C | Include CNV_TDMS_05_TI_CO_EKKO_DATA | ||||
| 14 | CNV_TDMS_05_TI_CO_BKPF_DD | Fill header for BKPF | ||||
| 15 | CNV_TDMS_05_TI_I_BKPF_SUB | Include CNV_TDMS_05_TI_I_BKPF_SUB | ||||
| 16 | CON_FIN_FI_DOC_ON_INV_ACCTF01 | Include CON_FIN_COMPARE_DOCSF01 | ||||
| 17 | DIS45F01 | Include FDIS45FO | ||||
| 18 | DIS45F01_NACC | Include FDIS45FO | ||||
| 19 | DIS45TOP | DIS45TOP | ||||
| 20 | DIS45TOP_NACC | DIS45TOP_NACC | ||||
| 21 | F107_RUN | FI Valuation - Selection Section | ||||
| 22 | F124TOP | Include SAPF124 | ||||
| 23 | F124_LOGS | Include F124_LOGS | ||||
| 24 | F124_MERGE | Include SAPF124_MERGE | ||||
| 25 | FAGL_CL_REGROUP | Balance Sheet Supplement - OI - Analysis | ||||
| 26 | FAGL_FCV_F131 | Include FAGL_FCV_F131 | ||||
| 27 | FAGL_FC_TRANSLATION | Currency Translation | ||||
| 28 | FAGL_FC_VALUATION | Foreign Currency Valuation | ||||
| 29 | FAGL_FC_VALUATION_F14 | Include FAGL_FC_VALUATION_F14 | ||||
| 30 | FAGL_MIG_CHECK_WORKLIST_OP | Check Worklist for Migrating Open Items | ||||
| 31 | FAGL_MIG_SUBSEQ_POST_OPITEMS | Update Open Items to New General Ledger Accounting | ||||
| 32 | FAGL_SWITCH_CLASS_IMP1 | Include FAGL_SWITCH_CLASS_IMP1 | ||||
| 33 | FAGL_SWITCH_CLASS_IMP3 | Implementations for FI Postings (class lcl_account) | ||||
| 34 | FAGL_SWITCH_CLASS_IMP4 | Include FAGL_SWITCH_CLASS_IMP4 | ||||
| 35 | FAGL_SWITCH_CLASS_IMP5 | Include FAGL_SWITCH_CLASS_IMP5 | ||||
| 36 | FERCR050 | Prepare Drill Down | ||||
| 37 | FIUT_BA_I2 | Auxillary Program: Business Area Include 2 | ||||
| 38 | FI_DOCUMNT_DEL | Archiving of Financial Accounting Documents: Deletion Program | ||||
| 39 | FI_DOCUMNT_PST | Archiving of Financial Accounting Documents: Postprocessing Program | ||||
| 40 | FLEX_EUR_DOC01F03 | RGFLEX_EUR_DOC: Selektion und Update | ||||
| 41 | GRPCRTA_MGFIMDDIS1006C2 | Analysis of General Ledger postings at Line Item level | ||||
| 42 | GRPCRTA_MGLOIMMTYP09C1 | Evaluation of Inventory Document posted other than system date | ||||
| 43 | IFIFMRC01_F03 | Forms for reconciliation FI-FM with GR+IR scenario | ||||
| 44 | IHC_TOOL_TRAPO | Display details of Posted Items | ||||
| 45 | INUMSV01 | Include for RFUMSV25 | ||||
| 46 | INUMSV01_NACC | Include zu RFUMSV25 | ||||
| 47 | INUMSV02 | Include for RFUMSV25 | ||||
| 48 | INUMSV03 | Include for RFUMSV25 | ||||
| 49 | INWOBLF2 | Include for RFWOBL00 | ||||
| 50 | INWOBLF2_NACC | Include zu RFWOBL00 | ||||
| 51 | INWOBLF3 | Include for RFWOBL00 | ||||
| 52 | INWOBLF3_NACC | Include zu RFWOBL00 | ||||
| 53 | INWOBLF4 | Include for RFWOBL00: Bank statement posting | ||||
| 54 | INWOBLF4_NACC | Include zu RFWOBL00: Buchung des Bankauszuges | ||||
| 55 | I_RFUMSV50_FORMS | Include I_RFUMSV50_FORMS | ||||
| 56 | J_1AFIGL | Top include for FI inflation adjustment program | ||||
| 57 | J_1AINFG | Inflation Adjustment of G/L Accounts | ||||
| 58 | J_1BEFD_F03 | EFD: common routines | ||||
| 59 | J_1BLB08 | Registro de Apuração do IPI (Modelo 8) | ||||
| 60 | J_1BLB09 | Registro de Apuração do ICMS (Modelo 9) | ||||
| 61 | J_1BPIS_MAIN_SEL_FI | Selection of FI documents | ||||
| 62 | J_1HDTAX | Transfer deferred tax for Thailand | ||||
| 63 | J_1IEWT_PROVISIONS | Provisions for Taxes on Services Received | ||||
| 64 | J_1IEWT_PROV_DATA | Include J_1IEWT_PROV_DATA - Data Include for Provisions Posting | ||||
| 65 | J_1IEWT_UPDATE_FI_FOR_BUPLA | Update Business Place information in FI document | ||||
| 66 | J_1IEWT_UTIL_FORM | J_1IEWT_UTIL_FORM - Forms Include | ||||
| 67 | J_1IUF01N | Include J_1IUF01N | ||||
| 68 | J_3RFCASH15_KO4 | Include J_3RFCASH15_KO4 | ||||
| 69 | J_3RFEXPVAT_F02 | Include J_3RFEXPVAT_F02 | ||||
| 70 | J_3RFEXPVAT_TOP | Include J_3RFEXPVAT_TOP | ||||
| 71 | J_3RFTAX_FINREZ_LISTFORMS | List forms. Result from leaving of the fixed assets | ||||
| 72 | J_3RFUM26I | Include J_3RFUM26I | ||||
| 73 | J_3RFUM26_ON_SHIPMENTF01 | Include for J_3rfum26. New law 119FZ | ||||
| 74 | J_3RF_DEFTAX_MIGRATION_F01 | Include J_3RF_DEFTAX_MIGRATION_F01 | ||||
| 75 | J_3RF_VAT_FORMS | Include J_3RF_VAT_FORMS | ||||
| 76 | J_3R_AO1_AT_SELECTION | Include J_3R_AO1_AT_SELECTION | ||||
| 77 | J_3R_AO1_F01 | Include J_3R_AO1_F01 | ||||
| 78 | J_3R_AO1_SEL_SCR | Include J_3R_AO1_SEL_SCR | ||||
| 79 | J_3R_INV11_F01 | Include J_3R_INV11_F01 | ||||
| 80 | J_3R_INV11_TOP | Include J_3R_INV11_TOP | ||||
| 81 | KQST5002 | Include RFKQST50 and RFKQST60 Routines for Data Selection | ||||
| 82 | LF005F01 | Include LFBIWF01 | ||||
| 83 | LF005F03 | Include for SAPLF001 routines for update on comit | ||||
| 84 | LF007F01 | F4 possible entries for MWSKZ - in WiA with dialog box for country | ||||
| 85 | LF0KCF02 | Include LF0KCF02 | ||||
| 86 | LF107RUNF01 | Include LF107RUNF01 | ||||
| 87 | LFACGF01 | Include LFACGF01 | ||||
| 88 | LFACGF02 | Include LFACGF02 | ||||
| 89 | LFAGL_MIG_CRESPLITTOP | LFAGL_MIG_CRESPLITTOP | ||||
| 90 | LFAGL_RFCF01 | Include LTFC_RFCF01 | ||||
| 91 | LFDBAF01 | Include LFDBAF01 | ||||
| 92 | LFDIS3F01 | Include LFDIS3F01 | ||||
| 93 | LFDMCTOP | Automatische Archivierung für RFFDIS45/RFFDIS46 | ||||
| 94 | LFMPAF07 | Include LFMPAF07 | ||||
| 95 | LFVD_DOCUMENTS_ARCHIVEF7B | Include zum FB: "FVD_ARC_DOCUMENTS_REORGANIZE" - Prüfungen | ||||
| 96 | LGLE_MCA_GENL_SUM_LINESF01 | Include LGLE_MCA_GENL_SUM_LINESF01 | ||||
| 97 | LIPM_CR_TOOLSF22 | Include LIPM_CR_TOOLSF22 | ||||
| 98 | LKW_CF03 | Include LKW_CF03 | ||||
| 99 | LTB7AF01 | Include LTB7AF01 | ||||
| 100 | LTFC_RFCF01 | Include LTFC_RFCF01 | ||||
| 101 | LTRDZF01 | Include LTRDZF01 | ||||
| 102 | LTXW0E1F15 | Include LTXW0E1F15 | ||||
| 103 | LWOSCR_CBLF02 | Anwendungsbezogene Formroutienen | ||||
| 104 | MF05BFS0 | Include MF05AI00_READ_VERIFDOC | ||||
| 105 | MFBWDDAT | Include for SAPMFBWD | ||||
| 106 | MFBWDF02 | Include for SAPMFBWD | ||||
| 107 | MFBWDF04 | Include for SAPMFBWD | ||||
| 108 | MFBWDF05 | Include for SAPMFBWD | ||||
| 109 | MFBWDF06 | Include for SAPMFBWD | ||||
| 110 | MFBWDF07 | Include for SAPMFBWD - SAPScript processing | ||||
| 111 | MFBWDF09 | Include for SAPMFBWE | ||||
| 112 | MFBWDF10 | Include zu SAPMFBWD | ||||
| 113 | MFBWDI20 | Include for SAPMFBWD | ||||
| 114 | MFBWDI90 | Include for SAPMFBWE | ||||
| 115 | MFBWEALV | Include MFBWEALV | ||||
| 116 | MFBWEDAT | Include for SAPMFBWE | ||||
| 117 | MFBWEF01 | Include for SAPMFBWE | ||||
| 118 | MFBWEF02 | Include for SAPMFBWE | ||||
| 119 | MFBWEF03 | Include for SAPMFBWE | ||||
| 120 | MFBWEF04 | Include for SAPMFBWE | ||||
| 121 | MFBWEF05 | Include for SAPMFBWE | ||||
| 122 | MFBWEF08 | Include for SAPMFBWE | ||||
| 123 | MFBWEF09 | Include for SAPMFBWE | ||||
| 124 | MFBWEF12 | Include for SAPMFBWE | ||||
| 125 | MFBWEF13 | Include for SAPMFBWE - SAPScript preparation | ||||
| 126 | MFBWEF14 | Include for SAPMFBWE | ||||
| 127 | MFBWEF15 | Include for FBWE - graphic format | ||||
| 128 | MJ1INJVF01 | Include MJ1INJVF01 | ||||
| 129 | MJ1INJVTOP | Include MJ1INJVTOP | ||||
| 130 | ML_VALUE_FLOW_MONITOR | Value Flow Monitor | ||||
| 131 | MMBW1F10 | Special Stocks via Web Forms | ||||
| 132 | ORBIANDISC_ROUTINES_100 | Include ORBIANDISC_ROUTINES_100 | ||||
| 133 | RAABST01 | Consistency Check of General Ledger and Asset Accounting | ||||
| 134 | RCKM_ORDER_HISTORY_MLF01 | Include LAFWKFPA_EVALF01 | ||||
| 135 | RCKM_ORDER_HISTORY_MLTOP | RCKM_ORDER_HISTORY_MLTOP | ||||
| 136 | RCRESPLINPUT | Include RCRESPLINPUT | ||||
| 137 | RFAWVZ40N_PROC | Formroutinen Datenselektion, Prozessierung | ||||
| 138 | RFBBEW00 | Foreign Currency Valuation (Banks) on Key Date DD.MM.YY | ||||
| 139 | RFBBEW10 | Foreign Currency Due Date Analysis (Banks) on Key Date DD.MM.YY | ||||
| 140 | RFBITF01 | Form Routines for RFBITB01 | ||||
| 141 | RFBITF01_NACC | Form-Routinen zu RFBITB01 | ||||
| 142 | RFBITF04 | Include for RFBITB01 | ||||
| 143 | RFBITF04_NACC | Include zu RFBITB01 | ||||
| 144 | RFCASH00 | Cash Journal | ||||
| 145 | RFCCSSTT | Payment Cards: Execute Settlement | ||||
| 146 | RFCCSSTT_NACC | Payment Cards: Execute Settlement | ||||
| 147 | RFCORR90 | Correct GLT0 Table for Cash Discount Clearing Accounts | ||||
| 148 | RFCORRFA | Correcting Functional Areas in FI Document | ||||
| 149 | RFESR000 | Processing of Incoming Data from OSR or Post and Bank ISR | ||||
| 150 | RFFBWE00 | Repeatedly Generate DME File for Bill of Exchange Presentation | ||||
| 151 | RFFDEP00 | Register of Cash Management Summary Records from Postings | ||||
| 152 | RFFDKU00 | Transfer Open Item Accounts to Cash Management | ||||
| 153 | RFFMFG_INTERFACE_CLEARING | Automatic Posting | ||||
| 154 | RFFMFG_INTERFACE_CLEARING_TOP | Include RFFINTERFACE_CLEARING_TOP | ||||
| 155 | RFFMFG_PMT_STATUS | Program FMFG_PMT_STATUS | ||||
| 156 | RFFMKTKGB | Kontogegenbuch ( Tagesabschluß ) | ||||
| 157 | RFFMRP11_GLSEL | Lean Cash Budget Management: New Generation from FI Documents | ||||
| 158 | RFFMRP58 | Part Reconstruction of Actual Data for Cash Budget Mgt from FI Docs | ||||
| 159 | RFFMRPFI | RFFMRPFI | ||||
| 160 | RFFMS160 | Check on balances in Funds Management | ||||
| 161 | RFFMS162 | Compare Value Date/Posting Date | ||||
| 162 | RFFMS182 | Document lines receive commt item from G/L account (for LI/OI accts)= | ||||
| 163 | RFFMS186 | Convert commitment item/30 in G/L account, documents, funds invoices | ||||
| 164 | RFFMS186_90 | Commitment Item/90 in G/L Account, Convert Documents and Budget Man. | ||||
| 165 | RFFMS220 | Transfer Recovery Order | ||||
| 166 | RFFMUPFI | Update Funds Center, Commitment Item and Fund Fields in the BSEG | ||||
| 167 | RFFM_MR11_POST_FM | Adjustment of FM Commt for Purchase Orders in Connection with MR11 | ||||
| 168 | RFFM_REP_POSTMR11 | Adjust Funds Commitments for Orders After MR11 | ||||
| 169 | RFFM_VBUND_FIX_FI | Fill VBUND in Budgetary Ledger FI lines - BSEG,BSIS | ||||
| 170 | RFFM_VBUND_FIX_L95 | Fill missing trading partner in FMUSFGA | ||||
| 171 | RFFM_VBUND_FIX_L96_97 | Fill missing trading partner in Facts 1 and 2 SL | ||||
| 172 | RFFR0C02 | Summarization of Financial Transactions | ||||
| 173 | RFFR2C01 | Document C80, Reports not Including Customer/Vendor Accounts | ||||
| 174 | RFFUEB00 | Copy G/L Bank Account Balances to the Cash Position | ||||
| 175 | RFFVAL00 | Compare Value Dates with Bank Postings | ||||
| 176 | RFIDESM340_FORMS | Include RFIDESM340_FORMS | ||||
| 177 | RFIDESM347 | Report RFIDESM347 | ||||
| 178 | RFIDEUVP | Create Acquisition Tax Accruals | ||||
| 179 | RFIDEUVP_TOP | Include RFIDEUVP_TOP | ||||
| 180 | RFIDKRTCIB | Tax Invoice Between Business Places: Open Item Clearing | ||||
| 181 | RFIDPL15 | G/L Account Balances and Line Items (Poland) | ||||
| 182 | RFIDPL15_ALVLIST | Include RFIDPL15_ALVLIST | ||||
| 183 | RFIDPL19 | Foreign Currency Valuation of Cash Account Balances (Poland) | ||||
| 184 | RFIDSL10 | Include RFIDSL10 | ||||
| 185 | RFIDSL15 | Include RFIDSL15 | ||||
| 186 | RFIDSL20 | Include RFIDSL20 | ||||
| 187 | RFIDSL25 | Include RFIDSL25 | ||||
| 188 | RFIDSL55 | Include RFIDSL55 | ||||
| 189 | RFIDSL60 | Include RFIDSL60 | ||||
| 190 | RFIDSL65 | Include RFIDSL65 | ||||
| 191 | RFIDSL99 | Include RFIDSL99 | ||||
| 192 | RFIDTRBOE1 | Bill of Exchange Transactions | ||||
| 193 | RFIDTRBOE1_GENERAL_SUBROUTINES | Include RFIDTRBOE1_GENERAL_SUBROUTINES | ||||
| 194 | RFIDTRBOE1_GLOBAL_DATA | Globale Daten für Report RFIDTRBOE1 | ||||
| 195 | RFIDTRBOE2 | Reversal of Bill of Exchange Transactions | ||||
| 196 | RFIDTRBOE2_GENERAL_SUBROUTINES | Include RFIDTRBOE1_GENERAL_SUBROUTINES | ||||
| 197 | RFIDTRBOE2_GLOBAL_DATA | Globale Daten für Report RFIDTRBOE1 | ||||
| 198 | RFIDTRINFL | Inflation Adjustment of Monetary Items (Turkey) | ||||
| 199 | RFIDUS99C | Cancellation of Debt (1099-C) | ||||
| 200 | RFID_BR_TRBAL | Balance Sheet Transfer (Brazil) (obsolete) | ||||
| 201 | RFID_BR_TRBAL_CUST | Balance Sheet Transfer (Brazil) | ||||
| 202 | RFINDEX | FI Consistency Check | ||||
| 203 | RFINDEX_NACC | FI Consistency Check | ||||
| 204 | RFLQ_CASH_FORECAST_CCR | Liquidity Calculation: Forecast from Accounting (Open Items) | ||||
| 205 | RFLQ_CASH_FORECAST_FIN | Liquidity Calculation: Forecast from Accounting (Open Items) | ||||
| 206 | RFLQ_CASH_FORECAST_FIPARK | Liquidity Calculation: Forecast from Accounting (Parked Items) | ||||
| 207 | RFLQ_CASH_FORECAST_MMPARK | Liquidity Calculation: Forecast from Accounting (MM Parked Items) | ||||
| 208 | RFLQ_DELEACC | Liquidity Calculation: Delete Line Items for FI Actuals Accounts | ||||
| 209 | RFLQ_DELEP_FIFC | Delete Liquidity Forecast Line Items for Cleared FI Items | ||||
| 210 | RFLQ_FICHAIN | Liquidity Calculation: Analysis of First Assignment Step (FI) | ||||
| 211 | RFLQ_REBUILD | Liquidity Calculation: Reconstruct from FI | ||||
| 212 | RFLQ_REBUILD_NONACT | Liquidity Calculation: Subsequent Post from FI for Non-Actual Account | ||||
| 213 | RFLQ_REBUILD_TP | Liquidity Calculation: Subsequent Posting from FI (Top Level) | ||||
| 214 | RFLQ_S001 | Liquidity Calculation: Compare Line Items with FI | ||||
| 215 | RFLQ_S001_TP | Liquidity Calculation: Reconcile Line Items with FI for Top Level | ||||
| 216 | RFLQ_S005 | Liquidity Calculation: Statistics on First Clearing in FI | ||||
| 217 | RFLQ_S010 | Line Items Are Supplied with Amount in Third Currency | ||||
| 218 | RFLQ_S011 | Liquidity Calculation: Control: FI Documents for Line Items | ||||
| 219 | RFLQ_TEST_QUERY_C | Test of FI Document Queries of Type C Against Original Documents | ||||
| 220 | RFLQ_TEST_QUERY_D | Test of FI Document Queries of Type D Against Original Documents | ||||
| 221 | RFORBIANPR00 | Payment Requests for Payment of Primary Orbian Credits | ||||
| 222 | RFORBIANPR01 | Include ZFORBIANPR01 | ||||
| 223 | RFPOSFB0 | FI Einzelpostenanzeige: FORM-Routinen B* | ||||
| 224 | RFPOSFT1 | Form Routines for RFEPOS00 | ||||
| 225 | RFPRCALB | Include RFAPARCB | ||||
| 226 | RFPRDISP | Include RFAPARDS | ||||
| 227 | RFPRNAVI | Include RFAPARNV | ||||
| 228 | RFSBLIW0 | Direct Reporting of Bank Transactions for Belgium (BNB) | ||||
| 229 | RFSEPA01 | Switch On Line Item Display by Changing Master Record | ||||
| 230 | RFSEPA02 | Switch On Open Item Management by Changing Master Record | ||||
| 231 | RFSEPA03 | Switch Off Open Item Management by Changing Master Record | ||||
| 232 | RFSEPA04 | Reduced Line Item Display after Master Data Change | ||||
| 233 | RFSOPO00 | General Ledger Line Items | ||||
| 234 | RFSOPO00_NACC | General Ledger Line Items | ||||
| 235 | RFSRUE00 | Cashed Checks per Bank Account | ||||
| 236 | RFSRUE10 | Outstanding Checks Analysis per G/L Account and Vendor | ||||
| 237 | RFSZIS00 | G/L Account Interest Scale | ||||
| 238 | RFSZIS00_NACC | G/L Account Interest Scale | ||||
| 239 | RFTBSI30 | List of Open Items for Forex Hedging | ||||
| 240 | RFUMD001 | Conversion of Cash Discount Clearing Accounts to OI Management | ||||
| 241 | RFUMSV25 | Deferred Tax Transfer | ||||
| 242 | RFUMSV25_NACC | Deferred Tax Transfer | ||||
| 243 | RFUMSV26 | Assignment of Open Items from OI Managed Tax Accts to Personnel Accts | ||||
| 244 | RFUMSV35 | Tax Adjustment | ||||
| 245 | RFUMSV53_F01 | Include RFUMSV53_F01 | ||||
| 246 | RFVD_CHECK_LOANREF | RFVD_CHECK_LOANREF | ||||
| 247 | RFVD_CHK_CHANGE_CLEARING | RFVD_CHK_CHANGE_CLEARING | ||||
| 248 | RFVIESR1 | Clearing Postings For Cross Company Code inc. POR, RE, Switzerland | ||||
| 249 | RFVIZEN0 | Postprocessing of Automatic Incoming Payments | ||||
| 250 | RFWEKO02 | Extended Bill of Exchange List with ABAP List Viewer | ||||
| 251 | RFWOBL00 | Maintain Bill of Exchange Liability | ||||
| 252 | RFWOBL00_NACC | Maintain Bill of Exchange Liability | ||||
| 253 | RF_FILL_FKBER_LONG | Fill BSEG-FKBER_LONG Field | ||||
| 254 | RGBSIS01 | Actual Line Items for Table GLT0 (BSIS/BSEG) | ||||
| 255 | RGJVEUR3 | Euro reconciliation program JV ledgers to FI documents | ||||
| 256 | RGJVEUR9 | Euro reconciliation program JV ledgers to FI documents | ||||
| 257 | RGJ_CO_OBJ_OP_GENERALFS | Include RGJ_CO_OBJ_OP_GENERALFS | ||||
| 258 | RGLE_ECS_BAL_DETAILS | Reconcile ECS/GL Balances: Display Difference Items | ||||
| 259 | RGLE_ECS_BAL_UPDATE | Reconcile ECS/GL Balances: Read ECS + GL Balances + Update ECS Tables | ||||
| 260 | RKCORR14 | Convert BSEG-ZUONR for Settlement of Sales Documents | ||||
| 261 | RKE_RECONCILIATION_FI | Value Flow FI -> SD / CO -> CO-PA | ||||
| 262 | RNEBKS00 | IS-H: Update Copayments/Down Payments From Electronic Bank Statement | ||||
| 263 | ROIH_J_1BNFPR | Nota Fiscal Printing | ||||
| 264 | SAPDBDDF | Logical Database SAPDBDDF | ||||
| 265 | SAPDBKDF | Logical Database SAPDBKDF | ||||
| 266 | SAPDBSDF | SAPDBSDF Logical Database | ||||
| 267 | SAPF100 | Foreign Currency Valuation | ||||
| 268 | SAPF100A | Open Item - Foreign Currency - Valuation per ........ (Old) | ||||
| 269 | SAPF101 | Balance Sheet Supplement - OI - Analysis per & | ||||
| 270 | SAPF101A | Balance Sheet Supplement - OI - Analysis by ........ (Old) | ||||
| 271 | SAPF106 | Open Item Balance Sheet Supplement (Russia) | ||||
| 272 | SAPF109 | OI Foreign Currency Valuation per DD.MM.YY | ||||
| 273 | SAPF109A | Balance Sheet Supplement - OI - Analysis per DD.MM.YY | ||||
| 274 | SDRRAV53 | Compare Report for Revenue Recognition | ||||
| 275 | WUC0PF01 | Include WUCOPF01 | ||||
| 276 | WUSIPF01 | Include WUSIPF01: Specific Subroutines for RFEWUSIP |