Where Used List (Program) for SAP ABAP Table/Structure Field SYST-MSGV3 (SYST)
SAP ABAP Table/Structure Field
SYST - MSGV3 (SYST) is used by
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| # | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
|---|---|---|---|---|---|---|
| 1 | RFVIRE41 | Invoice on Rent on Basis of Cash Flow: Correspondence | ||||
| 2 | RFVIRE42 | Correspondence - Print Invoice on Rent on Basis of Cash Flow | ||||
| 3 | RFVIRECH | Correspondence - Print Invoice for Rent (With POR number) | ||||
| 4 | RFVIRECNAD0 | Accrual/Deferral (General Contract) | ||||
| 5 | RFVIREEP | Itemization for Settlement Units | ||||
| 6 | RFVIRMAZ | Display Rooms in Rental Unit | ||||
| 7 | RFVIRPALVCORE | Liste Konditionen | ||||
| 8 | RFVIRPGP01 | Partner Report for "Münchner Rück" with ALV | ||||
| 9 | RFVIRPI1 | Index Data for Lease-Outs | ||||
| 10 | RFVIRPME01 | Rental Unit Occupancy History | ||||
| 11 | RFVIRPMV | Rental Unit Overview | ||||
| 12 | RFVIRPP1 | Partner for Real Estate objects | ||||
| 13 | RFVIRPP2 | Partner: Real Estate Objects, Addresses and Bank Details | ||||
| 14 | RFVIRPP3 | Partner: Real Estate Objects, Address and Bank Details (Single-Line) | ||||
| 15 | RFVIRPP4 | Partner for Real Estate Objects | ||||
| 16 | RFVIRPVIMIRA01 | Lease-Out Installments | ||||
| 17 | RFVIRS00 | Resubmission Data Selection | ||||
| 18 | RFVIRS10 | RE: Generate Resubmission Dates for General Contracts | ||||
| 19 | RFVIRUINSPECTION01 | Rental Unit Inspection for Lease-Out: Correspondence | ||||
| 20 | RFVIRUINSPECTION02 | Correspondence - Print Rental Unit Inspection for Rental Agreement | ||||
| 21 | RFVISAD4 | Assign: Rental Request - Offer Objects | ||||
| 22 | RFVISAD5 | Assign: Offer Object - Rental Request | ||||
| 23 | RFVISETBEBASE | Berichtigungsbasis | ||||
| 24 | RFVISETBEBASEF01 | Include RFVIBETAXDF01 | ||||
| 25 | RFVISETS_BATCH | Maintain Set of Real Estate Objects: Background Processing | ||||
| 26 | RFVISL04 | Real Estate - General Posting Log | ||||
| 27 | RFVISL10 | Debit Position - Initial Screen | ||||
| 28 | RFVISL12 | Debit Position Simulation | ||||
| 29 | RFVISL21 | Debit Positions | ||||
| 30 | RFVISL41 | Debit Position of Vacant Rental Units | ||||
| 31 | RFVISL70 | OLD Reverse Debit Position Run | ||||
| 32 | RFVISL71 | Reverse LO/RU Debit Pos., LO Accr./Def., MC Debit Pos., MC Stt, CN-Po. | ||||
| 33 | RFVISLA0 | Accrual/Deferral for Real Estate Flow Records | ||||
| 34 | RFVISLA7 | OLD Reversal of Accruals/Deferrals (Real Estate Management) | ||||
| 35 | RFVISLB0 | Real Estate Internal Document Entry | ||||
| 36 | RFVISLB8 | RE Contract: Reverse Document | ||||
| 37 | RFVISLF1 | Forms for Debit Position Reports RFVISL1* - Debit Postion Init.Screen | ||||
| 38 | RFVISLF2 | Forms for Execution of Debit Position | ||||
| 39 | RFVISME0 | Rental Units | ||||
| 40 | RFVISPF0 | Reset Flow Block for Debit Positions from & | ||||
| 41 | RFVISR01CNZ | Missing Sales Reports: Correspondence | ||||
| 42 | RFVISR02CNZ | Correspondence - Print General Letter | ||||
| 43 | RFVISTOR | Reversal of Input Tax Run | ||||
| 44 | RFVITCUK | SAPscript Text Modules: Search For Strings, Display Module Names | ||||
| 45 | RFVITIV25_AVERAGE | Calculation of Average | ||||
| 46 | RFVITXBA | Where-Used List for Text Modules | ||||
| 47 | RFVITXBAF | Include FVITXTBAF | ||||
| 48 | RFVIUA01 | Sales-Based Rent Settlement: Correspondence | ||||
| 49 | RFVIUA02 | Correspondence - Print Sales Settlements | ||||
| 50 | RFVIUBMV00 | Open Item Transfer on Change of Master Tenant with Customer Account | ||||
| 51 | RFVIUE2SKZ | Transfer statistical figures from apportionment units | ||||
| 52 | RFVIUMLG | RE: Check Apportionment Factors Against Areas | ||||
| 53 | RFVIURSE | Example of Use of User Exit for Rent Adjustment | ||||
| 54 | RFVIVIBETAXD | Belege zu Berichtigungsobjekten | ||||
| 55 | RFVIVS01 | Management Debit Position | ||||
| 56 | RFVIVS02 | OLD Management Contract Debit Position Reversal | ||||
| 57 | RFVIVST2 | Program RFVIVST2 | ||||
| 58 | RFVIVST3 | Input Tax Distribution Acc. To Option Rate | ||||
| 59 | RFVIVST5 | Reversal of Input Tax Distribution (Real Estate Management) | ||||
| 60 | RFVIVST7_SCHEDMAN_CLOSE | Include Schnittstelle zum SchedMan | ||||
| 61 | RFVIVST8 | Input Tax Treatment Reversal (Real Estate Management) | ||||
| 62 | RFVIVST9 | Manual input tax treatment | ||||
| 63 | RFVIVW01 | Management Costs Settlement | ||||
| 64 | RFVIVW02 | OLD Management Contract Settlement Reversal | ||||
| 65 | RFVIWA01 | Accompanying Letter for Residential Lease-Out: Correspondence | ||||
| 66 | RFVIWA02 | Correspondence - Print Residential Rental Agreement Letter | ||||
| 67 | RFVIWB01 | Advance Notice of Structural Measures: Correspondence | ||||
| 68 | RFVIWB02 | Correspondence - Print Advance Notice of Structural Alterations | ||||
| 69 | RFVIWBC01 | Wirtschaftlichkeitsberechnung: Korrespondenz | ||||
| 70 | RFVIWBC02 | RE-WB: Korrespondenz, WiBe Gesamtübersicht, Einzeldruck | ||||
| 71 | RFVIWBHI | RE-WB: Reporting | ||||
| 72 | RFVIWC01 | Rent Adjustment after Structural Measures: Correspondence | ||||
| 73 | RFVIWC02 | Correspondence - Print Rent Adjustment after Structural Alterations | ||||
| 74 | RFVIWE01 | Rent Adjustment Based on Representative List of Rents: Correspondence | ||||
| 75 | RFVIWE02 | Correspondence - Print Res.RA Rent Adj. in acc. with Repr. Rent List | ||||
| 76 | RFVIWEDI | RE Business Entity: Direct Input | ||||
| 77 | RFVIWESH | RE Business Entity: Direct Input (Show) | ||||
| 78 | RFVIWI01 | Rent Adjustment Based on CEA: Correspondence (Germany Only) | ||||
| 79 | RFVIWM01 | Residential Lease-Out Form: Correspondence | ||||
| 80 | RFVIWM02 | Correspondence - Print Residential Rental Agreement | ||||
| 81 | RFVIWN01 | Rent Adjustment Based on Apartment Valuation NL: Correspondence | ||||
| 82 | RFVIWN02 | Correspondence - print rent adjustment apartment valuation NL | ||||
| 83 | RFVIWV01 | Rent Adjustment Based on Comparative Rent: Correspondence | ||||
| 84 | RFVIWV02 | Correspondence - Print Rent Adj. acc.to Comparative Rent | ||||
| 85 | RFVIXEF0 | Adjustment of RU's for Vacant Status for Upgrade 2.22C -> 2.22D | ||||
| 86 | RFVIZSP0 | Select documents for dunning program (set payment block) | ||||
| 87 | RFVIZWT10 | Payment Data Change | ||||
| 88 | RFVIZWTF01 | Forms für die Treedarstellung | ||||
| 89 | RFVIZWTF02 | Include RFVIZWTF02 | ||||
| 90 | RFVIZWTF03 | Listdarstellung, Belegänderung | ||||
| 91 | RFVIZWTF04 | Schlußbearbeitung | ||||
| 92 | RFVIZWTI01 | PAI | ||||
| 93 | RFVIZWTO10 | PBO | ||||
| 94 | RFVI_ANCO_VITAXD | Correction/Maintenance Program VITAXD | ||||
| 95 | RFVI_FUNC_LOC_FOR_REAL_ESTATE | Functional Locations for Real Estate Objects | ||||
| 96 | RFVI_MV_KOND_ENTW | Lease-Out Conditions History Analysis | ||||
| 97 | RFVI_ORDER_FOR_REAL_ESTATE_1 | Include RFVI_ORDER_FOR_REAL_ESTATE_1 | ||||
| 98 | RFVI_RADJ_DUNN_02 | Correspondence - Print Dunning for Rent Adjustment | ||||
| 99 | RFVI_USE_OF_ACCOUNTS | Use of Accounts in RE Account Determination | ||||
| 100 | RFVI_VITAXD_SHOW | Analysis of VITAXD (Installed Base Maintenance) | ||||
| 101 | RFVLST10 | Reversal of Incoming Payments / Returned Debit Memos | ||||
| 102 | RFVMABU | Post Interest on Arrears | ||||
| 103 | RFVOBJ01 | Batch Input for Creating Objects Relating to a Loan | ||||
| 104 | RFVOBJ01_CREATE_STRUCTURE | Generate Structure to Prepare Object Transfer | ||||
| 105 | RFVOBJRE | Include RFVDOBJRE | ||||
| 106 | RFVSIC01 | Batch Input for Creating Collateral | ||||
| 107 | RFVSIC01_CREATE_STRUCTURE | Generate Structure to Prepare Transfer of Collateral | ||||
| 108 | RFVSOLD3 | Loan Debit Position | ||||
| 109 | RFVSOLD_F00 | Include RFVSOLD_F00 | ||||
| 110 | RFVSOLD_F00_INCL_GEB | DO NOT USE: Include RFVSOLD_F00_INCL_GEB | ||||
| 111 | RFVSOLD_F01 | Include RFVSOLD_F01 | ||||
| 112 | RFVSOLD_F02 | Include RFVSOLD_F02 | ||||
| 113 | RFVVMAIL | Report for Sending Resubmission from the Transmission Table | ||||
| 114 | RFVVZAL1 | Inflow/Outflow List | ||||
| 115 | RFVWABG0 | Securities: Execute Accrual/Deferral | ||||
| 116 | RFVWBEW0 | Securities: Execute Rate/Price Valuation | ||||
| 117 | RFVWDPR0 | Securities: Securities Account List | ||||
| 118 | RFVWDPR1 | Securities: Securities Account List | ||||
| 119 | RFVWERMR | MIGRATION_RIGHTS Program | ||||
| 120 | RFVWEUR1 | Test | ||||
| 121 | RFVWINF2 | Sec. Info: Display Sec. Account Position for an ID No. / Sec. Account | ||||
| 122 | RFVWKMCE | RFVWKMCE | ||||
| 123 | RFVWPOJR | Securities: Posting Journal | ||||
| 124 | RFVWRATING_UMSETZEN | Convert to Old Ratings in New Table VWPRATING | ||||
| 125 | RFVWTR00 | Program RFVBTR01 | ||||
| 126 | RFVWWDV1 | Securities Deadline Monitoring | ||||
| 127 | RFVWXFI1 | TR-TM-SE: Conversion report SEC posting document in posted flows | ||||
| 128 | RFVW_SEC_ACCOUNT_HOUSEBANK | Conversion for Sec.Accounts with Internal Bank Account: Initial Screen | ||||
| 129 | RFVZBAV0 | Control Transaction for BAV Lists | ||||
| 130 | RFVZFST0 | Release Procedure: Reversals to be Released | ||||
| 131 | RFVZFWF_CONFIRM_DATA_DISPLAY | Release: Workflow Item Overview | ||||
| 132 | RFVZFWF_SYNCHRONIZE | Program RFVZFWF_SYNCHRONIZE | ||||
| 133 | RFVZTEXT | Find and edit SAPscript text modules due to string change | ||||
| 134 | RFVZTVI3 | Include: Interface Parameters for Word Processing | ||||
| 135 | RFVZWPD1 | OeNB Report: Report for Securities (Sales) in Accordance w. Forex Law | ||||
| 136 | RFVZWPD2 | OeNB Report: Securities Position Report | ||||
| 137 | RFVZ_UNICODE_REORG_VZTXT_TWL1T | Programm RFVZ_UNICODE_REORG_VZTXT_TWL1T | ||||
| 138 | RFW1099M | USA: Withholding Tax Report for 1099-MISC | ||||
| 139 | RFWEDX00 | Data Medium Exchange with Disk (Bill of Exchange Presentation) | ||||
| 140 | RFWEKO00 | Bill of Exchange List | ||||
| 141 | RFWEKO01 | Extended Bill of Exchange Information | ||||
| 142 | RFWEKR00 | Bill of Exchange & Check Usage List | ||||
| 143 | RFWEKR01 | Bill of Exchange Management | ||||
| 144 | RFWERE00 | Analyze GR/IR Clearing Accounts and Display Acquisition Tax | ||||
| 145 | RFWERE00A | Analyze GR/IR Clearing Accounts and Display Acquisition Tax | ||||
| 146 | RFWERE00F01 | Include RFWERE00F01 | ||||
| 147 | RFWMAN00 | Multi-Level Dunning of Bill of Exchange Requests | ||||
| 148 | RFWOBL00 | Maintain Bill of Exchange Liability | ||||
| 149 | RFWOBL10 | Maintain Bill/Exch. Liability for Failed Bill/Exch. Prior to Due Date | ||||
| 150 | RFWT0010_ALV | Include RFWT0010_ALV | ||||
| 151 | RFWTCT10 | Withholding Tax Certificates | ||||
| 152 | RFXABL00 | Display Changes: Intercompany Routines | ||||
| 153 | RFXPRA45 | Set Investment Indicator in Specific Countries | ||||
| 154 | RFYTXDISPLAY | Program for displaying a list of documents for the external tax system | ||||
| 155 | RFYTXINC | Includes for update routines | ||||
| 156 | RFYTXUPDATE | Batch program for updating external tax system | ||||
| 157 | RFZ30FOR | Include RFZ30FOR | ||||
| 158 | RFZ5AV01 | Formroutinen für die AWV-Meldung Z5 und Z5a | ||||
| 159 | RFZ5AV02 | Schreiben der Daten auf sequentielle Datei | ||||
| 160 | RFZALSEL | Include RFZALSEL | ||||
| 161 | RFZAVF01 | Formroutinen | ||||
| 162 | RFZINSS0 | Subroutines for Interest Calculation | ||||
| 163 | RF_CONVERT_XEZER_TO_MANDATEF01 | Form-Routinen | ||||
| 164 | RF_INSTREP | Conversion of Instr.Key Appl.Area "001" to "100" (Single Repair) | ||||
| 165 | RF_PRD_CL_SCHED | RF_PRD_CL_SCHED | ||||
| 166 | RF_PRD_OP_SCHED | RRF_PR_OP_SCHED | ||||
| 167 | RF_STEUERINFO | Tax Information (Country) | ||||
| 168 | RGALLOC1 | FI-SL Generate Allocation Select Statement | ||||
| 169 | RGALLOC2 | FI-SL: Generating transformation modules in SAPLGUTF | ||||
| 170 | RGALLOC3 | Allocation: Delete Line Items No Longer Needed | ||||
| 171 | RGALLOC4 | Check Customizing Settings for the Allocation | ||||
| 172 | RGALLOC5 | Allocation cycle mass deletion | ||||
| 173 | RGBALANCE | Output account balances | ||||
| 174 | RGBCFL00 | Update FI-SL Programs | ||||
| 175 | RGBCUT00 | Generate FI-SL Update Function Modules for Summary Tables | ||||
| 176 | RGC880B0 | Where-Used List for Currency Translation Methods | ||||
| 177 | RGCBILA0 | Consolidation Data Extract | ||||
| 178 | RGCDDP00 | Print Direct-Posting Account Assignments | ||||
| 179 | RGCEDR20 | Download Extract to R/2 RF-KONS | ||||
| 180 | RGCEUR40 | Cons.Ledger: Curr.Type 30 --> 80 | ||||
| 181 | RGCEUR50 | Reconciliation and anaysis of consolidation staging ledger | ||||
| 182 | RGCEUR5I | Include for report program RGCEUR50 | ||||
| 183 | RGCEURAA | General FORM routines for reconciliation program | ||||
| 184 | RGCOPYGLT0 | Flexible general ledger: Summary transfer from GLT0 | ||||
| 185 | RGFLPST | Program RGFLPST | ||||
| 186 | RGFL_DIFBAL_SHOW | Display Logs from RFEWA009/010 | ||||
| 187 | RGFL_ZERO_BALANCE | Log Analysis for RFEWA012/RFEWA013/RFEWA014 | ||||
| 188 | RGGD1300 | Totals record display | ||||
| 189 | RGGD1300_FISL | Totals record display | ||||
| 190 | RGGD1300_FIX | Totals record display | ||||
| 191 | RGGD1300_FLEXGL | Totals record display | ||||
| 192 | RGGD2300 | Line item search | ||||
| 193 | RGGD2300_FISL | Line item search | ||||
| 194 | RGGD2300_FIX | Line item search | ||||
| 195 | RGGD2300_FLEXGL | Line item search | ||||
| 196 | RGICGLU2 | FI-SL: Update Internal Structure GLU2 | ||||
| 197 | RGICHKEX | RGUXI30A Conversion of FI Tables | ||||
| 198 | RGIFS000 | SAP Exit Routines for Fixed Field Movements | ||||
| 199 | RGIMOVF0 | FI-SL Generate Fixed Field Movements | ||||
| 200 | RGIMOVV0 | FI-SL: Generate Variable Field Movements | ||||
| 201 | RGIMOVV1 | FI-SL Generate Allocation Select Statement | ||||
| 202 | RGJACD00 | Display Change Documents for Joint Operating Agreement | ||||
| 203 | RGJAIN00 | Joint Operating Agreement master data catalog | ||||
| 204 | RGJBF_I1 | JV Billing Forms Programs | ||||
| 205 | RGJBUR00 | Joint Venture Payroll Burden Clearing | ||||
| 206 | RGJESC00 | Overhead Rate Escalation/Reduction Calculation | ||||
| 207 | RGJGLTAR | Allocation Exit Module Line Item Check | ||||
| 208 | RGJGLXC1 | Activate company in JV | ||||
| 209 | RGJJVD00 | Joint Venture Detailed Information | ||||
| 210 | RGJMCD00 | Display Change Documents for Joint Venture Master Tables | ||||
| 211 | RGJNOUXD | Valuation of foreign curr. balances of GL accounts at a posting period | ||||
| 212 | RGJOAD00 | Joint Operating Agreement Detailed Information | ||||
| 213 | RGJOADEL | Delete Joint Operating Agreement Master Data | ||||
| 214 | RGJOVR00 | Joint Venture Overhead Calculations | ||||
| 215 | RGJPCO00 | Joint Venture Cost Calculations - International | ||||
| 216 | RGJVATAX | Advance Return for Tax on Sales/Purchases | ||||
| 217 | RGJVBASW | JV Bank Account Switches | ||||
| 218 | RGJVBE01 | Billing data selection: Invoice / Statement | ||||
| 219 | RGJVBE02 | Billing data selection: Expenditure detail / supplemental detail | ||||
| 220 | RGJVBR10 | Billing output: Hard copy billing | ||||
| 221 | RGJVBR15 | Billing output: Hard copy billing | ||||
| 222 | RGJVBR22 | JV Billing Extract Reconciliation Report | ||||
| 223 | RGJVBRTH | Billing threshold check | ||||
| 224 | RGJVCB10 | Cutback | ||||
| 225 | RGJVCB15 | RGJVCB15 | ||||
| 226 | RGJVCC00 | JVA: Copy/delete configuration for company code | ||||
| 227 | RGJVCCRC | Cash Call Reclassification | ||||
| 228 | RGJVCF00 | JVA GL-X Carry Forward Program - RGJVCF00 (JVA GL-X ledgers only) | ||||
| 229 | RGJVCNET | Convenience Netting | ||||
| 230 | RGJVEA10 | Prior period equity adjustment | ||||
| 231 | RGJVEA10_FAGL | Include RGJVEA10_FAGL | ||||
| 232 | RGJVEC00 | Pre-Cutback Equity Change Management | ||||
| 233 | RGJVEDI2 | EDI Inbound Reports (Cost Objects/Account Mappings) | ||||
| 234 | RGJVEVNT | Display event table | ||||
| 235 | RGJVFARM10 | Farm in/out & Re-Determination | ||||
| 236 | RGJVFARM10_NEWGL | Include RGJVFARM10_NEWGL | ||||
| 237 | RGJVFARM20 | Farm IN/Out: Cutback Correction for Inter-Company Partner | ||||
| 238 | RGJVFARMCC | Farm IN/Out: Change for billing ledger | ||||
| 239 | RGJVFARMCC1 | Prior period equity adjustment | ||||
| 240 | RGJVFARMCC2 | Farm IN/Out: Cash Call correction | ||||
| 241 | RGJVGJ4A_MCC | Periodic updates for multiple company codes in JVA | ||||
| 242 | RGJVHBCH | House Bank Switching | ||||
| 243 | RGJVPMRECON | Reconcile Production month numbers iwith JV totals | ||||
| 244 | RGJVPNET | Partner Netting | ||||
| 245 | RGJVREPO | Joint Venture Information System | ||||
| 246 | RGJVRU00 | Suspense projects and equity groups | ||||
| 247 | RGJVRXDT | Transfer automatic postings to CO | ||||
| 248 | RGJVSALV | ALV routines for JV snigle item reports | ||||
| 249 | RGJVSFRM | JV single items - common forms | ||||
| 250 | RGJVSO10 | List JV single items | ||||
| 251 | RGJVSSEL | Free selection routines for JV line item reports | ||||
| 252 | RGJVTAX2 | Advance Return for Tax on Sales/Purchases | ||||
| 253 | RGJVTAXR | Advance Return for Tax on Sales/Purchases | ||||
| 254 | RGJVTAXR_NEW | Advance Return for Tax on Sales/Purchases | ||||
| 255 | RGJVUDOC | Compare FI/CO/MM document and JV document | ||||
| 256 | RGJVUXDT | Unrealized exchange differences | ||||
| 257 | RGJVVBAT | Create Table Entries for VBA Switching | ||||
| 258 | RGJVW001 | Valuation of foreign currency PO's assigned to an account | ||||
| 259 | RGJV_CC_RECLASS | JV Cash Call Reclassification with Rollforward | ||||
| 260 | RGJV_CC_RECLASS_ALV | JV Cash Call Reclass - ALV Routines | ||||
| 261 | RGJV_CC_RECLASS_MSG | JV Cash Call Reclass - Message handling routines | ||||
| 262 | RGJV_CUTB_REVERSE_GENERALFS | Include RGJV_CUTB_REVERSE_GENERALFS | ||||
| 263 | RGJV_DOC_COMPARE | JV document comparison | ||||
| 264 | RGJV_DOC_COMPARE_ALV | JV document compare - ALV routines | ||||
| 265 | RGJV_ICMAP_CHECK_ALL_O01 | Include RGJV_ICMAP_CHECK_ALL_O01 | ||||
| 266 | RGJV_NEWGL | Include RGJV_NEWGL | ||||
| 267 | RGJV_RFUMS_DME_FORMS | Determines the Activity Type (vorgart) on the Basis of the Flow Type | ||||
| 268 | RGJV_RFUMS_SELECTION_FORMS | Include LGJVITP3 | ||||
| 269 | RGLEXE00 | Execute Rollup | ||||
| 270 | RGLE_ADB_DOCTYPE | Program RGLE_ADB_DOCTYPE | ||||
| 271 | RGLE_ADB_LEDGER_CUSTOMIZING | Program RGLE_ADB_LEDGER_CUSTOMIZING | ||||
| 272 | RGLE_ADB_MONTHLY_AVG_CALC | Program GLE_R_ADB_MONTHLY_AVG_CALC | ||||
| 273 | RGLE_ECS_ACP04_CONF | Program RGLE_ECS_ACP04_CONF | ||||
| 274 | RGLE_ECS_BAL_UPDATE | Reconcile ECS/GL Balances: Read ECS + GL Balances + Update ECS Tables | ||||
| 275 | RGLE_ECS_DCT001_CONF | Program RGLE_ECS_DCT001_CONF | ||||
| 276 | RGLE_ECS_DIRECT_INPUT_PP | Error Correction and Suspense Accounting (ECS) - Direct Input | ||||
| 277 | RGLE_ECS_ITEM_STATUS_UPDATEF01 | ECS: Aktualisierung der ECS-Posten Status | ||||
| 278 | RGLE_ECS_MSG_LOG_DISPLAY | ECS: Display Application Logs | ||||
| 279 | RGLE_ECS_PP_FILL_NRIV_BUFFER | Program RGLE_ECS_PP_FILL_NRIV_BUFFER | ||||
| 280 | RGLIUGEN | FI-SL: Generating update function modules in SAPLGLIU | ||||
| 281 | RGLUCALE | FI-SL Distribution (ALE): Generate Distribution Routines | ||||
| 282 | RGMBUDGET_TRANSFER_TO_FM | Transfer Grants Management Budget to Funds Management | ||||
| 283 | RGMDTDERIVE | GM Object Assignment (CallBack Report) using CO-PA Derivation Tool | ||||
| 284 | RGMDTUSED | Display Derivation Tool assignments | ||||
| 285 | RGMGAAPPOST001 | Include RGMGAAPPOST001 | ||||
| 286 | RGMGAAPPOST003 | Include RGMGAAPPOST003 | ||||
| 287 | RGMGAAPPOST004 | Include RGMGAAPPOST004 | ||||
| 288 | RGMGAAPPOST005 | Include RGMGAAPPOST005 | ||||
| 289 | RGMIDCPOST | RGMIDCPOST | ||||
| 290 | RGMIDCPOST001 | Include RGMIDCPOST001 | ||||
| 291 | RGMIDCPOST005 | Include RGMIDCPOST005 | ||||
| 292 | RGMIDCPOST006 | Include RGMIDCPOST006 | ||||
| 293 | RGMLEDGER_ADDON | GM: Add on functions for GM ledger [90] | ||||
| 294 | RGMSETMAN | General data for Set creation in Grants Management | ||||
| 295 | RGOSPST | Program RGOSPST | ||||
| 296 | RGPARTNER_ACCOUNT | Offsetting Account Program | ||||
| 297 | RGPLEP01 | FI-SL: Activate Update of Plan Line Items | ||||
| 298 | RGPLEP02 | FI-SL: Activate Update of Plan Line Items | ||||
| 299 | RGPSA_BCF | Year End Carry Forward Selection Screen | ||||
| 300 | RGPSA_CALC_FORMS | Include for global used forms | ||||
| 301 | RGPSA_CALC_PROCESS | PSA Calculation | ||||
| 302 | RGPSA_CALC_REV_MAIN | Main Processing for PSA Calculation Reversal | ||||
| 303 | RGPSA_CALC_SEL_MAIN | Selection Main Program | ||||
| 304 | RGPSA_CALC_TRANSFER | PSA Transfer Funds | ||||
| 305 | RGPSA_CALC_TRANSFER_REV | Reverse Manual PSA Transfer Postings | ||||
| 306 | RGPSA_COPY_VERSION | PSA Copy to Plan: Initial Screen | ||||
| 307 | RGPSA_COST_ADJUSTMENT | PSA Cost Adjustment | ||||
| 308 | RGPSA_COST_ADJUSTMENT_REV | PSA Cost Adjustments Reversal | ||||
| 309 | RGPSA_DATA_ENTRY | Production Data Entry of Price, Lifting, Production & Adjustment Info | ||||
| 310 | RGPSA_DISP_DOC | PSA documents by period | ||||
| 311 | RGPSA_ET_TRANSFER | PSA entitlement transfer calculation | ||||
| 312 | RGPSA_ET_TRANSFER_REV | Entitlement Transfer Reversal Calculation | ||||
| 313 | RGPSA_INITAL_SETUP | Report RGPSA_INITAL_SETUP | ||||
| 314 | RGPSA_LIFTING_UPDATE | PSA Manual Terminal Lifting Split by PSC | ||||
| 315 | RGPSA_PARTNER_LIST | Partner List Report | ||||
| 316 | RGPSA_PI_MALAYSIA_F01 | Include RGPSA_PI_MALAYSIA_F01 | ||||
| 317 | RGPSA_PI_MALAYSIA_PRINT_ALV | Include RGPSA_PI_MALAYSIA_PRINT_ALV | ||||
| 318 | RGPSA_PROD_INT | PSC Production Information Interface | ||||
| 319 | RGPSA_REP_PARTNER | JV Partner Entitlement Report | ||||
| 320 | RGPSA_REP_STORAGE_SEL_VALID | Include RGPSA_REP_STORAGE_SEL_VALID | ||||
| 321 | RGPSA_STOCK_ADJUSTMENT | PSA Stock Adjustments | ||||
| 322 | RGPSA_STOCK_ADJUSTMENT_REV | PSA Stock Adjustments Reversal | ||||
| 323 | RGPSA_VALIDATE_P_CURT | Include RGPSA_VALIDATE_P_CURT | ||||
| 324 | RGPSC_CALC | PSC Calculation Program | ||||
| 325 | RGRC_LOG | Display Error Log for Goods Receipt Costing | ||||
| 326 | RGRDCJ00 | Report Writer: Report Group Directory | ||||
| 327 | RGRDCL00 | Report Writer: Library Catalog | ||||
| 328 | RGRDCR00 | Report Writer: Report Catalog | ||||
| 329 | RGRDCS00 | Report Writer: Standard Layout Catalog | ||||
| 330 | RGRDDC00 | Report Writer: List of Possible Key Figures | ||||
| 331 | RGRGEN00 | Generate Report Group in Own Roll Area | ||||
| 332 | RGRGEN01 | Generate Extract in its own Roll Area | ||||
| 333 | RGRGRIX4 | Report Writer: Extract Management | ||||
| 334 | RGRJBG00 | Report Writer: Generate Report Groups | ||||
| 335 | RGRJTI00 | Report Writer: Import Transport Objects | ||||
| 336 | RGRLDC00 | Report Writer: Library List | ||||
| 337 | RGRMTI00 | Report Writer: Import Transport Objects | ||||
| 338 | RGRPC_BO_CAPALAN | Program for object type GRPC_CASEC : CAPA Plan | ||||
| 339 | RGRPGF01 | Include RGRPGF01 | ||||
| 340 | RGRPGF02 | Include LPGDSF01 | ||||
| 341 | RGRTINCL | Common Include for Transport Programs | ||||
| 342 | RGRWSUBMIT | Report Writer: Call Report with Variant | ||||
| 343 | RGRXDS00 | Key Figure Maintenance | ||||
| 344 | RGSALEAT | Send Activity Type Groups via ALE | ||||
| 345 | RGSALEBP | ALE: Send business process groups | ||||
| 346 | RGSALECC | Send Cost Center Groups via ALE | ||||
| 347 | RGSALECE | Send Cost Element Groups via ALE | ||||
| 348 | RGSALEF4 | F4 RGSALE* | ||||
| 349 | RGSALEH1 | Send Complete CO Hierarchy via ALE | ||||
| 350 | RGSALEPC | Send Profit Center Groups or Account Groups via ALE | ||||
| 351 | RGSAUTHGR | Entering an Authorization Group in all the Sets of a Hierarchy | ||||
| 352 | RGSBIL00 | Creation of groups or sets from the financial statement version | ||||
| 353 | RGSCOMPARE | Comparison of Hierarchies: Find Common Values | ||||
| 354 | RGSCOMPGRP | Comparison of Hierarchies: Find Common Values | ||||
| 355 | RGSCPY00 | Copy Sets Between Different Tables | ||||
| 356 | RGSCPY10 | Copying Sets for the Conversion of FI-SL Tables | ||||
| 357 | RGSCPY30 | Copy Group with Suffix - Program for Background Processing | ||||
| 358 | RGSCPY50 | Copy from EC-PCA Account Groups by Cost Element Group | ||||
| 359 | RGSDCS10 | Set Directory | ||||
| 360 | RGSDCV00 | Variable Directory | ||||
| 361 | RGSGRA01 | Set Graphics | ||||
| 362 | RGSHREO1 | Cost Center Group Interface | ||||
| 363 | RGSIMPH0 | Import CO Hierarchies from External System | ||||
| 364 | RGSIMPH1 | Import CO Hierarchies from External System | ||||
| 365 | RGSIMPH2 | Import CO Hierarchies from External System | ||||
| 366 | RGSNUS00 | Unused Sets | ||||
| 367 | RGSNUV00 | Non-Used Variables | ||||
| 368 | RGSOLD2N | Conversion of Old Sets to Transparent Tables | ||||
| 369 | RGSOVL00 | Ambiguity Check | ||||
| 370 | RGSSTE00 | Export Sets | ||||
| 371 | RGSSTF00 | Copy Sets From Source Client | ||||
| 372 | RGSSTI00 | Import Sets | ||||
| 373 | RGSVTE00 | Export Variables | ||||
| 374 | RGSVTF00 | Copy Variables from Source Client | ||||
| 375 | RGSVTI00 | Import Variables | ||||
| 376 | RGTABKEY_ADMIN | GTABKEY 2.0 Administration Tool | ||||
| 377 | RGTABKEY_APPROV | GTABKEY 2.0 Exception Approvals | ||||
| 378 | RGTABKEY_BATCH | Adjust GTABKEY Entries to New NAMETAB Structures | ||||
| 379 | RGTABKEY_CHECK_COMPRESS | Check GTABKEY/GTABKEYEXC Compression | ||||
| 380 | RGTABKEY_COMPARE | GTABKEY: Compare Two Software Components | ||||
| 381 | RGTABKEY_COPY | GTABKEY Copy of Registrations | ||||
| 382 | RGTABKEY_CREATE_RFC | creation of GTABKEY RFC destination | ||||
| 383 | RGTABKEY_DETECT_ABORTED_CALLS | Get Terminated Registrations/Mail to Administrator | ||||
| 384 | RGTABKEY_MAINTAIN_CASCADE | Define Entries in Table GTABKEY_CASCADE | ||||
| 385 | RGTABKEY_MAINTAIN_GSWCGRP_S | Define Central GTABKEY Settings | ||||
| 386 | RGTABKEY_MERGE | Merge Two Software Components in GTABKEY | ||||
| 387 | RGTABKEY_MOVE | GTABKEY: Copy Registrations | ||||
| 388 | RGTABKEY_RENAME | GTABKEY: Rename Registrations | ||||
| 389 | RGTABKEY_RENAME_GRP | Rename GTABKEY Group | ||||
| 390 | RGTABKEY_ROOT | GTABKEY: Tools and Utilities | ||||
| 391 | RGTABKEY_SHOW_CONNECTION | GTABKEY: Show and Evaluate Connection Information | ||||
| 392 | RGTABKEY_UL_RFC_USER | Program RGTABKEY_UL_RFC_USER | ||||
| 393 | RGTABKEY_VALIDATION | GTABKEY: Display Keys | ||||
| 394 | RGTBGD13 | Totals record display GD13 | ||||
| 395 | RGTBGD23 | Line Item Search GD20 | ||||
| 396 | RGUC882C | Copy the Posting and Check Indicator in T886A, T886B and T886C | ||||
| 397 | RGUC888M | Check Program for Variable and Fixed Field Movements | ||||
| 398 | RGUCATCI | Coding Block: Transfer of Customer Appends in Customer Includes | ||||
| 399 | RGUCBIW0 | Activate Information Structure for the FI-SL Table | ||||
| 400 | RGUCBIW0_PI | Generate Extraction Structure for Table | ||||
| 401 | RGUCBIW1 | FI-SL: Define DataSource for a Ledger | ||||
| 402 | RGUCBIW1_PI | Assign DataSource to a Ledger | ||||
| 403 | RGUCBIW_CONVERT | Conversion of Table Entries from T800AIS, T881IS, & ROOSOURCE | ||||
| 404 | RGUCBL01 | 2.1/2.2 User-def.Coding Block Fields: Appends & Entries in TMODU,GB01 | ||||
| 405 | RGUCHEFI | Check currency settings for FI-GL fixed ledgers | ||||
| 406 | RGUCOMP4 | Ledger Comparison | ||||
| 407 | RGUCOMP4_REMOTE_F01 | Include UCOMP4_REMOTE_F01 | ||||
| 408 | RGUCREP0 | Activate Drilldown Reporting for FI-SL Table | ||||
| 409 | RGUCURRC | Analysis of Currencies Stored in FI-SL Customizing | ||||
| 410 | RGUDBANA_INCL_ALV | Include program for ALV routines in RGUGDBAN | ||||
| 411 | RGUDEL00 | Delete Transaction Data from Ledgers | ||||
| 412 | RGUDELEC | Delete Incorrect Configuration Entries | ||||
| 413 | RGUFILL882FLEX | Fill report table T882 flexible general ledger | ||||
| 414 | RGUGBR00 | Generates ABAP Coding for Validations/Substitutions/Rules | ||||
| 415 | RGUGBR30 | Rule Directory | ||||
| 416 | RGUGBR31 | Validation Directory | ||||
| 417 | RGUGBR32 | Substitution Directory | ||||
| 418 | RGUGCU00 | Report for Generating Code for FI-SL Customizing | ||||
| 419 | RGUGDBAN | Generator for Program RGUDBANA | ||||
| 420 | RGUGDEL0 | Generate Deletion Routines | ||||
| 421 | RGUGFIS0 | FI-SL drilldown reporting: Generate internal tables for FIS | ||||
| 422 | RGUGLARR | Subroutines for Reading the Archive | ||||
| 423 | RGUGLARR_FILC | Unterprogramme zum Lesen vom Archiv | ||||
| 424 | RGUGLTAR | Unterprogramme zum Lesen vom Archiv | ||||
| 425 | RGUGSL00 | G/L Generate Allocation Select Statement | ||||
| 426 | RGUGTYPES | Generating Types | ||||
| 427 | RGUIST01 | Calculation of Potential Number of Records in a New GL Totals Table | ||||
| 428 | RGULIST0 | Contents of FI-SL Direct Posting Tables | ||||
| 429 | RGUMD000 | Generating Includes for Master Data Validation | ||||
| 430 | RGUMLFIX | Identify Ledger as a 'Fixed' Ledger of a Specific Application | ||||
| 431 | RGUPOOL0 | Ledger in Pool Tables | ||||
| 432 | RGUREC10 | Transfer Documents from Financial Accounting | ||||
| 433 | RGUREC20 | Transfer CO Documents (Actual Data) to FI-SL | ||||
| 434 | RGUREC30 | Transfer Documents from Materials Management | ||||
| 435 | RGUREC40 | Transfer Opening Balance of Stat. Key Figures (Type 1) | ||||
| 436 | RGURECGLFLEX | Transfer of Opening Balance Actual Data to General Ledger | ||||
| 437 | RGURELCOF01 | Gemeinsame Formroutinen für die Reports REGURELLC und RGURELTC | ||||
| 438 | RGURELF01 | Gemeinsame Formroutinen für die Reports RGURELPC und RGURELSL | ||||
| 439 | RGUREP13 | FI-SL: Reversal of Actual Documents | ||||
| 440 | RGUSI100 | Find Values in Sets | ||||
| 441 | RGUSLSEP | Compare Totals Records with Total from Line Items | ||||
| 442 | RGUSLSEPH | Compare HDB Totals Records with Total from HDB Line Items | ||||
| 443 | RGUSTU01 | Display Set Usage | ||||
| 444 | RGUSTU10 | Restructure of Set and Variable Usage | ||||
| 445 | RGUT000GL | Maintenance program for the flexible general ledger and table T882 | ||||
| 446 | RGUT882M | Maintenance Program for the Flexible General Ledger and Table T882 | ||||
| 447 | RGUT882M_LOCAL | Maintenance Program for the Flexible General Ledger and Table T882 | ||||
| 448 | RGUTRACE01_FORMS | Include RGUTRACE01_FORMS | ||||
| 449 | RGUUMR00 | FI-SL: Currency Translation | ||||
| 450 | RGVILIRF_BDC | Include RGVILIRF_BDC | ||||
| 451 | RGWTAB00 | FI-SL: Generate Update Routines for Currency Translation | ||||
| 452 | RGX_SETS_TO_40 | Conversion of Old Sets to Transparent Tables | ||||
| 453 | RGZZGLUX | FI-SL XPRA: Generation GLU1, GLU2, FI-SL Programs | ||||
| 454 | RG_MIGRATION_F01 | Include RG_MIGRATION_F01 | ||||
| 455 | RG_MIGRATION_F03 | Include RG_MIGRATION_F03 | ||||
| 456 | RG_PP_GENERATE | Install Totals Table for Planning | ||||
| 457 | RG_SAC_CALCPL_F01 | Include RG_SAC_CALCPL_F01 | ||||
| 458 | RG_SAC_CALCPL_F02 | Include RG_SAC_CALCPL_F02 | ||||
| 459 | RG_SAC_CENTRAL_F01 | Include RG_SAC_CENTRAL_F01 | ||||
| 460 | RG_SAC_CENTRAL_F02 | Include RG_SAC_CENTRAL_F02 | ||||
| 461 | RG_SAC_SHARED_F01 | Include RG_SAC_SHARED_F01 | ||||
| 462 | RG_SET_RW_CLEAN | Delete Old Sets and SAP Delivery Reports | ||||
| 463 | RHAKTI00 | Change Object Status | ||||
| 464 | RHALEACU | HR: Auto Customizing for Distribution Model 'HR and RW/LO' | ||||
| 465 | RHALECLEANRELA | HR: Clean Relationships | ||||
| 466 | RHALECPS | HR: Display ALE Change Pointers for HR Master Data | ||||
| 467 | RHALEHRMDORIGXPERT | HR: Maintain HRMDORIGIN (Expert Mode) | ||||
| 468 | RHALEINI | HR: ALE Distribution of HR Master Data | ||||
| 469 | RHALE_HRMDRGIN_MAINTAIN | HR: Maintain registry for serialization in ALE inbound (HRMDRGIN) | ||||
| 470 | RHALE_HRMDRGIN_TO_IDOC_FIT | HR: Adjust HRMDRGIN to IDoc | ||||
| 471 | RHALE_HRMDRGOUT_MAINTAIN | HR: Maintain registry for serialization in ALE outbound (HRMDRGOUT) | ||||
| 472 | RHALTD00 | Legacy Data Transfer | ||||
| 473 | RHANALYSIS_TOOLF01 | Include RHANALYSIS_TOOLF01 | ||||
| 474 | RHAUTH01 | Display Authorization Views | ||||
| 475 | RHAUTUPD_NEW | Compare User Assignments | ||||
| 476 | RHBAS_CHECK_INFTY | Testing of Decoupled Infotypes | ||||
| 477 | RHBAUSF01 | Include RHBAUSF01 | ||||
| 478 | RHBUCH00 | Bookings per Attendee | ||||
| 479 | RHBUCH00_LSO | Bookings per Participant | ||||
| 480 | RHBUCHUC | Module Pool for RHBUCH00 / User Command + Line Selection | ||||
| 481 | RHBUCHUC_LSO | Modulpool für RHBUCH00 / User-Command + Line-Selection | ||||
| 482 | RHCALE00 | Check VM-ALE Scenarios | ||||
| 483 | RHCALE01 | Program RHCALE01 | ||||
| 484 | RHCALE02 | Program RHCALE02 | ||||
| 485 | RHCALE03 | Program RHCALE03 | ||||
| 486 | RHCALE04 | Program RHCALE04 | ||||
| 487 | RHCCOS00 | Business Event Cost Calculation and Cost Transfer to CO | ||||
| 488 | RHCCOS00_LSO | Determine Course Costs and Cost Transfer Posting in CO | ||||
| 489 | RHCCOST0 | Cost Assignment (online) | ||||
| 490 | RHCDOC_DISPLAY | Display Change Documents | ||||
| 491 | RHCHECKI | Display/Adjust Relationships with Different Inverse Relationship | ||||
| 492 | RHCHECKRELATIONS | Delete relationships without existing objects | ||||
| 493 | RHCHECKS | Display/Reconstruct Missing Schedule Records | ||||
| 494 | RHCLUC00 | Cluster Controller | ||||
| 495 | RHCMPBUDGETINITF01 | Include für RHCMPBUDGETINIT: Formroutine allgemein | ||||
| 496 | RHCMPCOMPARE_PLALV_CALL | Include RHTTOM_ALV_GRID | ||||
| 497 | RHCMPVESTEX | Program RHCMPVESTEX | ||||
| 498 | RHCOGR00 | Cost Center Group Interface | ||||
| 499 | RHCOLLABORATION_CHECK_LSO | Program RHCOLLABORATION_CHECK_LSO | ||||
| 500 | RHCOMP00 | Training Costs |