Where Used List (Program) for SAP ABAP Table/Structure Field SCHEDMAN_SELKRIT-FIELD (SCHEDMAN_SELKRIT)
SAP ABAP Table/Structure Field
SCHEDMAN_SELKRIT - FIELD (SCHEDMAN_SELKRIT) is used by
| # | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
|---|---|---|---|---|---|---|
| 1 | /ASU/ASUBOX | SchedMan: Generic Cover for Starting Any Report within ASU environment | ||||
| 2 | /SAPPCE/ECP_ACTUAL | Equity Change Management (Actual Data) | ||||
| 3 | ACE_EUR_CONSISTENCY_F2 | Include ACE_EUR_CONSISTENCY_F2 | ||||
| 4 | ACE_SOP_FILL_SCHEDMAN_PARAMS | Include ACE_SOP_FILL_SCHEDMAN_PARAMS | ||||
| 5 | CON_FIN_COMPARE_BALANCES_MOF01 | Include CON_FIN_COMPARE_BALANCES_MOF01 | ||||
| 6 | DAST0F01 | Form Routines for RFVDAST0 | ||||
| 7 | DBADAF20 | Check routine for LDB ADA | ||||
| 8 | EPIC_EBS_RFEBKA00 | Report EPIC_EBS_RFEBKA00 | ||||
| 9 | F107_RUN | FI Valuation - Selection Section | ||||
| 10 | F110SSCADMAN | Include F110SSCADMAN | ||||
| 11 | F111SSCM | Include F111SSCM | ||||
| 12 | F124_LOGS | Include F124_LOGS | ||||
| 13 | F2050F00 | Include F2050F00 | ||||
| 14 | F2050F01 | Include F2050F01 | ||||
| 15 | F2051F01 | Include F2051F01 | ||||
| 16 | F2052F01 | Include F2052F01 | ||||
| 17 | F2055F00 | Include F2055F00 | ||||
| 18 | F2055F01 | Include F2055F01 | ||||
| 19 | F2059F01 | Include F2052F01 | ||||
| 20 | F2060F01 | Include F2052F01 | ||||
| 21 | F2063F00 | Include F2063F00 | ||||
| 22 | F2064F01 | Include F2064F01 | ||||
| 23 | FAGL_ASSET_MASTERDATA_UPD | Fill Master Data for Segment Reporting | ||||
| 24 | FAGL_CL_REGROUP | Balance Sheet Supplement - OI - Analysis | ||||
| 25 | FAGL_DR_PROVISION_CLASS_IMP | Include FAGL_DR_PROVISION_CLASS_IMP | ||||
| 26 | FAGL_FCV_F23 | Include FAGL_FC_VAL_F23 | ||||
| 27 | FAGL_FCV_F37 | Include FAGL_FC_VAL_F37 | ||||
| 28 | FAGL_FC_TRANSLATION | Currency Translation | ||||
| 29 | FAGL_FC_VALUATION | Foreign Currency Valuation | ||||
| 30 | FCC_CREATE_TASKLIST | Create Task List | ||||
| 31 | FCC_CREATE_TASKLISTS | Create Multiple Task Lists | ||||
| 32 | FCC_SAMPLE_CUSTOMER_REPORT | Report FCC_SAMPLE_CUSTOMER_REPORT | ||||
| 33 | FCC_TEST_REPORT | FCc Test Report | ||||
| 34 | FEB_FILE_HANDLING | Bank Statement Processing: Import and Forward (Automatically) | ||||
| 35 | FGJCGF40 | NPI & CI NETTING SAPscript | ||||
| 36 | FGVTRF40 | Include LFVD_STATEMENTF02 | ||||
| 37 | FGVTRF40_NACC | FGVTRF40_NACC | ||||
| 38 | FIUT_180_TAX | Aux. Program "Balance Sheet Adjustment": Taxes without Business Area | ||||
| 39 | FSLF01 | Include F2052F01 | ||||
| 40 | GLE_MCA_BILA_SUBR02 | Include GLE_MCA_BILA_SUBR01 | ||||
| 41 | GM_BILLING_MASS | Mass Processing of Grants Management Billing | ||||
| 42 | GM_BILLING_MASS_WL | Process objects in WL for Grants | ||||
| 43 | KALFIF10 | Gemeinsame Prüfroutinen für Abstimmbuchung: Online und Batch | ||||
| 44 | LCOINT_TPF05 | Include LCOINT_TPF05 | ||||
| 45 | LFB_SCMA_SERVICESF01 | Include LFB_SCMA_SERVICESF01 | ||||
| 46 | LKALDF0M | MONITOR_RECORD_OPEN | ||||
| 47 | LKAZBF07 | Formroutinen zur Protokollierung | ||||
| 48 | LKCTVF77 | Formroutinen Anschluß Schedman | ||||
| 49 | LKEPLU4F03 | Include LKEPLU4F03 | ||||
| 50 | LKKAEF05 | Include LKKAEF05 | ||||
| 51 | LKO71F06 | Include LKO71F06 | ||||
| 52 | LMOF2F01 | Formroutinen Füllen Monitortabellen | ||||
| 53 | LUA_INV_PARALLEL_PROCESSF03 | Include LUA_INV_PARALLEL_PROCESSF03 | ||||
| 54 | MEV_COMPLETENESS_CHECK_I01 | Include MEV_COMPLETENESS_CHECK_I01 | ||||
| 55 | MGLRVF00 | F03_GET_ABRECHNUNGSDATEN | ||||
| 56 | MKKS0F01 | Form Routines for Variances | ||||
| 57 | MKPT4F08 | Anschluß Schedule Manager | ||||
| 58 | MKPT4F09 | Haushaltsmanagement | ||||
| 59 | MKPU2F10 | Include LKIPLF30 | ||||
| 60 | MRYF_TAB_SELKRIT_SORT | Form Mryf_Tab_Selkrit_Sort | ||||
| 61 | MRYSEL01 | Selection Table: Layer Version and Method | ||||
| 62 | MRYSEL03 | Selection Table: Company Code and Key Date | ||||
| 63 | MRYSEL04 | Selektionstabelle: DB-Abgrenzung Niederstwert | ||||
| 64 | MRYSEL05 | Selection Table: Update Material Master | ||||
| 65 | MRYSEL10 | Selection Table: Fiscal Year and Posting Period | ||||
| 66 | MRYSEL11 | Selection Table: Valuation Principle for New Layer | ||||
| 67 | MRYSEL12 | Selection Table: DB Limitation - LIFO/FIFO | ||||
| 68 | MRYSEL14 | Selektionstabelle: Optionen für Listausgabe | ||||
| 69 | MRYSEL15 | Selection Table: Gross/Net Value Display | ||||
| 70 | MRY_ARP_CALCULATE_SELKRIT_FILL | Form Selkrit_Fill (MRY_ARP_CALCULATE) | ||||
| 71 | PPIO_ENTRY_F_START_OF_SEL | Include PPIO_ENTRY_F_START_OF_SEL | ||||
| 72 | QRP_WIPQTY_FORMS | Form Routines | ||||
| 73 | RAABST02 | Reconcil. program FI-AA <-> G/L: List of accounts showing differences | ||||
| 74 | RAAFAR00 | Recalculate Depreciation | ||||
| 75 | RACORR_SCHEDMAN | Anschluss Korrekturreports der Anlagenbuchhaltung FI-AA an SchedMan | ||||
| 76 | RAJABS00 | Year-end closing Asset Accounting | ||||
| 77 | RAJABS00_NACC | Year-End Closing Asset Accounting | ||||
| 78 | RAJAWE00 | Asset fiscal year change | ||||
| 79 | RAPERB2000F4 | Schedule Manager | ||||
| 80 | RAPOST_SCHEDMAN | Schedule Manager & Message Handler | ||||
| 81 | RCATSTCO_INIT_SCHEDMAN | Include RCATSTCO_INIT_SCHEDMAN | ||||
| 82 | RCOPCA49 | Call up transfer of payables and receivables | ||||
| 83 | RFBILA00 | Financial Statements | ||||
| 84 | RFBILA00N_F26 | Include RFBILA00N_F26 | ||||
| 85 | RFBILA10_SUBR02 | Other Subroutines | ||||
| 86 | RFC_R_SCMABOX_RFC | Report RFC_R_SCMABOX_RFC | ||||
| 87 | RFC_R_SCMA_WF_BACK_RFC | Report RFC_R_SCMA_WF_BACK_RFC | ||||
| 88 | RFC_R_SCMA_WF_BACK_RFC_1 | Report RFC_R_SCMA_WF_BACK_RFC_1 | ||||
| 89 | RFEBKA00 | Bank Statement: Various Formats (SWIFT, MultiCash, BAI...) | ||||
| 90 | RFINDEX_SCHED | Include RFINDEX_SCHED | ||||
| 91 | RFSSLD00 | G/L Account Balances | ||||
| 92 | RFVDABG0 | Loans: Accruals/Deferrals | ||||
| 93 | RFVDABG1 | Loans: Reset Accruals/Deferrals | ||||
| 94 | RFVD_DUNNING_SEL | Dunning - Selection Section Loans (Temporary Version) | ||||
| 95 | RFWERE00 | Analyze GR/IR Clearing Accounts and Display Acquisition Tax | ||||
| 96 | RF_PRD_CL_SCHED | RF_PRD_CL_SCHED | ||||
| 97 | RF_PRD_OP_SCHED | RRF_PR_OP_SCHED | ||||
| 98 | RGJBUR00 | Joint Venture Payroll Burden Clearing | ||||
| 99 | RGJBUR00_PM | Report RGJBUR00_PM | ||||
| 100 | RGJESC00 | Overhead Rate Escalation/Reduction Calculation | ||||
| 101 | RGJNOUXD | Valuation of foreign curr. balances of GL accounts at a posting period | ||||
| 102 | RGJOHD00 | Joint Venture Overhead Detail | ||||
| 103 | RGJPCO00 | Joint Venture Cost Calculations - International | ||||
| 104 | RGJVBASW | JV Bank Account Switches | ||||
| 105 | RGJVBE01 | Billing data selection: Invoice / Statement | ||||
| 106 | RGJVBE02 | Billing data selection: Expenditure detail / supplemental detail | ||||
| 107 | RGJVBR10 | Billing output: Hard copy billing | ||||
| 108 | RGJVBR22 | JV Billing Extract Reconciliation Report | ||||
| 109 | RGJVBRTH | Billing threshold check | ||||
| 110 | RGJVCB10 | Cutback | ||||
| 111 | RGJVCNET | Convenience Netting | ||||
| 112 | RGJVEA10 | Prior period equity adjustment | ||||
| 113 | RGJVEC00 | Pre-Cutback Equity Change Management | ||||
| 114 | RGJVFARM10 | Farm in/out & Re-Determination | ||||
| 115 | RGJVFARM20 | Farm IN/Out: Cutback Correction for Inter-Company Partner | ||||
| 116 | RGJVFARMCC | Farm IN/Out: Change for billing ledger | ||||
| 117 | RGJVFARMCC1 | Prior period equity adjustment | ||||
| 118 | RGJVFARMCC2 | Farm IN/Out: Cash Call correction | ||||
| 119 | RGJVPNET | Partner Netting | ||||
| 120 | RGJVRXDT | Transfer automatic postings to CO | ||||
| 121 | RGJVUXDT | Unrealized exchange differences | ||||
| 122 | RGMBUDGET_TRANSFER_TO_FM | Transfer Grants Management Budget to Funds Management | ||||
| 123 | RGMGAAPPOST001 | Include RGMGAAPPOST001 | ||||
| 124 | RGMIDCPOST | RGMIDCPOST | ||||
| 125 | RGRWSUBMIT | Report Writer: Call Report with Variant | ||||
| 126 | RGUSLSEP | Compare Totals Records with Total from Line Items | ||||
| 127 | RGUUMR00 | FI-SL: Currency Translation | ||||
| 128 | RHIQMPSCHEDMAN_F | Include RHIQMPSCHEDMAN_F | ||||
| 129 | RKALITER | Allocations: Iteration Analysis | ||||
| 130 | RKALITER_PCA | Allocations: Iteration Analysis Profit Center | ||||
| 131 | RKCOOKP1 | Set Period Locks in Batch | ||||
| 132 | RKCOOKP1_MORE | Set Period Lock for Several Years | ||||
| 133 | RKCOOKP1_MULTI | Set Period Lock for Several Years | ||||
| 134 | RKCORR97_UPD | RKCORR97_UPD | ||||
| 135 | RKEAE005 | Prepare Subsequent Posting of Incoming Sales Orders to CO-PA | ||||
| 136 | RKEAE010 | Transfer Sales Orders to Profitability Analysis | ||||
| 137 | RKEMC_KE88 | Program RKEMC_KE88 | ||||
| 138 | RKERV002 | Transfer SD Billing Documents to CO-PA | ||||
| 139 | RKETD_KE28A | Top-Down Distribution: Profitability Analysis | ||||
| 140 | RKETRERU | Build Summarization Levels for Profitability Analysis | ||||
| 141 | RKE_HDB_WRITE_DATA_F02 | Include RKE_HDB_WRITE_DATA_F02 | ||||
| 142 | RKE_KENC_SCHEDMAN_INTERFACE | Routinen für Interface Realignments - Schedule Manager | ||||
| 143 | RKE_RECONCILIATION_SD_CO | Value Flow CO -> FI / CO-PA | ||||
| 144 | RKE_RECONCILIATION_SD_FI | Value Flow SD -> FI / CO-PA | ||||
| 145 | RKGALFORM | Formroutinen für Batchreports Allocations | ||||
| 146 | RKKBABS0 | Set Status "Closed" | ||||
| 147 | RKNMA_OO_F00 | Wertdeckung: Main, Initialisierung und Ereignisse | ||||
| 148 | RKOLIS00 | Mass processing for internal orders | ||||
| 149 | RKSPI_OO_F00 | Tarifermittlung: Main, Initialisierung und Ereignisse | ||||
| 150 | RK_PEP_WL_SEL001 | Include RK_PEP_SEL001 | ||||
| 151 | RK_PEP_WL_SEL_COSTOBJ | Selection: Cost Object Hierarchy, General Cost Object | ||||
| 152 | RK_PEP_WL_SEL_PRODORD | Selection: Manufacturing Orders and Product Cost Collectors | ||||
| 153 | RK_PEP_WL_SEL_PROJECT | Project Selection Variants for Worklist | ||||
| 154 | RK_PEP_WL_SEL_SALESORD | Selektion: Kundenaufträge | ||||
| 155 | RMFIFO00_TAB_SELKRIT_FILL | Form Tab_Selkrit_Fill (RMFIFO00) | ||||
| 156 | RMLIFO00_TAB_SELKRIT_FILL | Form Tab_Selkrit_Fill (RMLIFO00) | ||||
| 157 | RMLIFO02_TAB_SELKRIT_FILL | Form Tab_Selkrit_Fill (RMLIFO02) | ||||
| 158 | RMLIFO06_TAB_SELKRIT_FILL | Form Tab_Selkrit_Fill (RMLIFO06) | ||||
| 159 | RMLIFO10_TAB_SELKRIT_FILL | Form Tab_Selkrit_Fill (RMLIFO10) | ||||
| 160 | RMLIFO12_TAB_SELKRIT_FILL | Form Tab_Selkrit_Fill (RMLIFO12) | ||||
| 161 | RMLIFO32_TAB_SELKRIT_FILL | Form Tab_Selkrit_Fill (RMLIFO32) | ||||
| 162 | RMMMPERI | Close Period for Material Master Records | ||||
| 163 | RMNIWE00_TAB_SELKRIT_FILL | Form Tab_Selkrit_Fill (RMNIWE00) | ||||
| 164 | RMNIWE10_TAB_SELKRIT_FILL | Form Tab_Selkrit_Fill (RMNIWE10) | ||||
| 165 | RMNIWE20_TAB_SELKRIT_FILL | Form Tab_Selkrit_Fill (RMNIWE20) | ||||
| 166 | RMNIWE30_TAB_SELKRIT_FILL | Form Tab_Selkrit_Fill (RMNIWE30) | ||||
| 167 | RMNIWE90_TAB_SELKRIT_FILL | Form Tab_Selkrit_Fill (RMNIWE90) | ||||
| 168 | RTXWCF02 | Data Retention Tool: Extract data | ||||
| 169 | RTXWCHK10 | DART: Verify control totals for FI documents | ||||
| 170 | RTXWCHK11 | DART: Verify control totals for FI documents | ||||
| 171 | RTXWCHK2 | DART: Verify data extract checksums | ||||
| 172 | RTXWCHK3 | DART: Verify extract consistency | ||||
| 173 | RTXWCHK4 | Check All Control Totals in Data Extract | ||||
| 174 | RTXWDIR2 | Program RTXWDIR2 | ||||
| 175 | RTXWQU01_F24 | Include RTXWQU01_F24 | ||||
| 176 | R_FCOM_INA_GRP_ACTIVATION_AF01 | Include R_FCOM_INA_GRP_ACTIVATION_AF01 | ||||
| 177 | SAPF010 | Carry Forward Receivables/Payables | ||||
| 178 | SAPF010_NACC | Carry Forward Receivables/Payables | ||||
| 179 | SAPF011 | Carry Forward G/L Balances | ||||
| 180 | SAPF070 | Reconcile Documents and Account Transaction Figures | ||||
| 181 | SAPF070_NACC | Reconcile Documents and Account Transaction Figures | ||||
| 182 | SAPF080 | Mass Reversal of Documents | ||||
| 183 | SAPF080R | Reverse Accrual/Deferral Documents | ||||
| 184 | SAPF100 | Foreign Currency Valuation | ||||
| 185 | SAPF101 | Balance Sheet Supplement - OI - Analysis per & | ||||
| 186 | SAPF107S | FI Valuation - Selection Section | ||||
| 187 | SAPF120 | Create Posting Documents from Recurring Documents | ||||
| 188 | SAPF120R | Main Program for SAPF120 | ||||
| 189 | SAPF130D | Customer Balance Confirmation | ||||
| 190 | SAPF130D_PDF | Customer Balance Confirmation | ||||
| 191 | SAPF130K | Vendor Balance Confirmation | ||||
| 192 | SAPF130K_PDF | Vendor Balance Confirmation | ||||
| 193 | SAPF150S2 | FI Dunning - Selection Section | ||||
| 194 | SAPF180 | Post Balance Sheet Adjustment | ||||
| 195 | SAPF180A | Calculate Balance Sheet Adjustment | ||||
| 196 | SAPF180_NACC | Post Balance Sheet Adjustment | ||||
| 197 | SAPF181 | Profit and Loss Adjustment | ||||
| 198 | SAPF190 | Financial Accounting Comparative Analysis | ||||
| 199 | SAPF190_NACC | Financial Accounting Comparative Analysis | ||||
| 200 | SCMABOX | Schedule Manager: Generic Cover for Starting Any Reports | ||||
| 201 | TFC_COMPARE_VZ_SCHED | Include TFC_COMPARE_VZ_SCHED | ||||
| 202 | UA_INV_WORKLIST_SCHEDMAN | Include UA_INV_WORKLIST_SCHEDMAN |