Where Used List (Program) for SAP ABAP Table/Structure Field T030-KTOPL (T030)
SAP ABAP Table/Structure Field
T030 - KTOPL (T030) is used by
| # | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
|---|---|---|---|---|---|---|
| 1 | /SAPNEA/LJ_SC_ROWATOP | Top Include of Function Group /sapnea/j_sc_rowa | ||||
| 2 | /SAPPCE/ECP_ACTUAL | Equity Change Management (Actual Data) | ||||
| 3 | /SAPPSPRO/LPI_ADDF04 | Include /SAPPSPRO/LPI_ADDF04 | ||||
| 4 | /SSA/AFI | ST14 analyses for Finance (FI) | ||||
| 5 | /SSA/AOT | ST14 for other applications (Treasury/RE/PS/EC) | ||||
| 6 | /SSA/CAF | SAP General ledger migration service : Detail analysis | ||||
| 7 | CNVA_PCREA_GRIR_START_FORM | Include CNVA_PCREA_AA_START_RECON_FORM | ||||
| 8 | CON_FIN_COMPARE_SRV_GET_ACCTS | Include CON_FIN_COMPARE_BALANCESF02 | ||||
| 9 | DFKB1F00 | Check validity of payment reference (KIDNO) | ||||
| 10 | DFKB1FTC | DFKB1FTC | ||||
| 11 | DFKB1I00 | Check validity of payment reference (KIDNO) | ||||
| 12 | DFKB1ITC | DFKB1ITC | ||||
| 13 | EWUMMBST_40 | Report for balance comparison between MM and FI after EURO conversion | ||||
| 14 | EWUMMCHK_40 | Report for Balance Comparison between MM and FI after EURO Conversion | ||||
| 15 | F110SFA0_ABZTAB_SKV_COLLECT | ABZTAB_SKV_COLLECT | ||||
| 16 | F110SFK0_KONTENFINDUNG_T030 | KONTENFINDUNG_T030 | ||||
| 17 | F110SFW0_WT_POST_WITHHOLDING | WT_POST_WITHHOLDING | ||||
| 18 | F124_MERGE | Include SAPF124_MERGE | ||||
| 19 | FAGL_CHECK_ACCOUNT_LINETYPE | Derivation and Check of Assignment of G/L Account to Item Category | ||||
| 20 | FAGL_FCV_F47 | Include FAGL_FCV_F47 | ||||
| 21 | FAGL_FC_VALUATION | Foreign Currency Valuation | ||||
| 22 | FAGL_YEC_POSTINGS | Closing/Opening Postings at Year End | ||||
| 23 | FAGL_YEC_POSTINGS_EHP4 | Closing/Opening Postings at Year End | ||||
| 24 | FGJCGF20 | CI/NPI GEN PAYOUT DOCS | ||||
| 25 | FGJCGF30 | NPI & CI NETTING POSTING (CALLED BY SAPFGJCI) | ||||
| 26 | FGVTRF10 | prepare main screen (form) | ||||
| 27 | FGVTRF10_NACC | FGVTRF10_NACC | ||||
| 28 | FGVTRF20 | General Interfaces with Posting Log | ||||
| 29 | FGVTRTOP | prepare main screen (form) | ||||
| 30 | FIUT_180_TAX | Aux. Program "Balance Sheet Adjustment": Taxes without Business Area | ||||
| 31 | J_1AF014 | Selfwithholding | ||||
| 32 | J_1BEFD_BLOCK_H_AUX2 | EFD: auxiliary routines for block H | ||||
| 33 | J_1BEFD_MAIN_TOP | Include J_1BEFD_MAIN_TOP | ||||
| 34 | J_1BEFD_PRE_PROCESSING | EFD: pre-processing routines | ||||
| 35 | J_1BLFC6_FORMS | Include J_1BLFC6_FORMS | ||||
| 36 | J_1BLFC6_TOP | Include J_1BLFC6_TOP | ||||
| 37 | J_1IEWT_HEALTH_CHECK_F01 | Include J_1IEWT_HEALTH_CHECK_F01 | ||||
| 38 | J_1IEWT_PROVISIONS | Provisions for Taxes on Services Received | ||||
| 39 | J_1ITD2I | TDS Cancellation. | ||||
| 40 | J_1I_QER_EFILE_FETCH_DATA | Include J_1I_QER_EFILE_FETCH_DATA | ||||
| 41 | J_3RF_TAX_DDR | Provision for Doubtful Receivables | ||||
| 42 | J_3R_INV3_19_F01 | Include J_3R_INV3_19_F01 | ||||
| 43 | L0GC1F00 | L0GC1F00 | ||||
| 44 | L0MB3F99 | L0MB3F99 | ||||
| 45 | LF036F00 | FORM Routines for Exchange Rate Differences | ||||
| 46 | LF044F00 | FORM routines | ||||
| 47 | LF055F01 | Include LF055F01 | ||||
| 48 | LF0KOF01 | Include LF0KOF01 | ||||
| 49 | LF11PF2U | Include LF11PF2U | ||||
| 50 | LFAA_CFG_UI_SFWS1F00 | LFAA_CFG_UI_SFWS1F00 | ||||
| 51 | LFAA_CFG_UI_SFWS1F02 | Include LFAA_CFG_UI_SFWS1F02 | ||||
| 52 | LFACIFS3 | CLEARING_ACCOUNT_CHECK | ||||
| 53 | LFAGL_FC_VAL_SELECTF01 | Include LFAGL_FC_VAL_SELECTF01 | ||||
| 54 | LFDBAF02 | Include LFDBAF02 | ||||
| 55 | LFM3RF05 | LFM3RF05 | ||||
| 56 | LFMCANCELED_FUNDF01 | Include LFMCANCELED_FUNDF01 | ||||
| 57 | LFMFA_COFI_CUSTF02 | Include LFMFA_COFI_CUSTF02 | ||||
| 58 | LFRADF00 | SAPLFRAD: Include for FORM Routines | ||||
| 59 | LFWTTF01 | Include LFWTTF01 | ||||
| 60 | LGIN0F32 | IncludeLFVPHTOP | ||||
| 61 | LGJVA_FAGL_SFWSF01 | Include LGJVA_FAGLF01 | ||||
| 62 | LGJVIF00 | JVA Integration Manager - SELECT subroutines | ||||
| 63 | LGJVI_FAGLF01 | Include LGJVI_FAGLF01 | ||||
| 64 | LGLINF32 | General Interfaces with Posting Log | ||||
| 65 | LGLIUF20 | Include LGLIUF20 | ||||
| 66 | LGL_ACCOUNT_MASTER_MAINTAINFST | Form SET_TEXT_* | ||||
| 67 | LGL_ACCOUNT_MASTER_MAINTAINFUT | Sachkontenstamm: Hilfs-Unterprogramme | ||||
| 68 | LGL_ACCOUNT_MASTER_REFERENCF01 | Include LGL_ACCOUNT_MASTER_REFERENCF01 | ||||
| 69 | LHRMS_BIW_PPF01 | Include LHRMS_BIW_PPF01 | ||||
| 70 | LHR_BIW_XX_RECF02 | Include LHR_BIW_XX_RECF02 | ||||
| 71 | LHR_BIW_XX_RECF03 | Include LHR_BIW_XX_RECF03 | ||||
| 72 | LHR_BIW_XX_RECTOP | LHR_BIW_XX_RECTOP | ||||
| 73 | LJ1IEWTF02 | Include LJ1IEWTF02 | ||||
| 74 | LKALOF01 | Include LKALOF01: Forms for Dynpros | ||||
| 75 | LMB0D_WIZF01 | Include LMB0D_WIZF01 | ||||
| 76 | LPC62F01 | Include LPC62F01 | ||||
| 77 | LTAX1F02 | Include for SAPLTAX1 | ||||
| 78 | M021MF01 | Include M021MF01 | ||||
| 79 | MBCKBSEGS | MBCKBSEGS: Search Manual FI Postings for Stock Accounts | ||||
| 80 | MBCKBSIMS | MBCKBSIMS : search missing MSIM entries | ||||
| 81 | MBCKT030S | MBCKT030: Find Changes in Account Determination | ||||
| 82 | MBFIRSTS | MBFIRSTS : Show system environment | ||||
| 83 | MBVALUES | MBVALUES: Check Material Value Against FI Documents | ||||
| 84 | MF02HI00 | ADD_COMP_CODE_CLEARING_ITEM | ||||
| 85 | MF02HO00 | ?... | ||||
| 86 | MF05AFA0_ABZUEGE_BUCHEN | ABZUEGE_BUCHEN | ||||
| 87 | MF05AFA0_AUSGLEICHSKONTO_LESEN | AUSGLEICHSKONTO_LESEN | ||||
| 88 | MF05AFK0_KONTENFINDUNG_T030 | KONTENFINDUNG_T030 | ||||
| 89 | MF05AFR0_ROUND_DIFF_ACC_PKEY | Include MF05AFR0_ROUND_DIFF_ACC_PKEY | ||||
| 90 | MF05AFS0_SONDERUMSATZ_PRUEFEN | SONDERUMSATZ_PRUEFEN | ||||
| 91 | MF05BFS0 | Include MF05AI00_READ_VERIFDOC | ||||
| 92 | MFCX1_MF05A_FORMS | Kopie der FORM-Routinen von SAPMF05A | ||||
| 93 | MFKM8F00_KOPIEREN_KFIN | KOPIEREN_KFIN | ||||
| 94 | MFKM8F00_KOPIERLISTE_KF | KOPIERLISTE_KF | ||||
| 95 | MFKM8F02_LOESCHEN | LOESCHEN | ||||
| 96 | MFKM8F04_LANDLISTE | LANDLISTE | ||||
| 97 | MGJB2F10 | Non Operated Billing Forms Module Pool | ||||
| 98 | MGTRAF01 | Include | ||||
| 99 | ML_VALUE_FLOW_MONITOR | Value Flow Monitor | ||||
| 100 | MO20MD12 | Data Declaration for Transport Connection | ||||
| 101 | MO20MF10 | MO20MF10 | ||||
| 102 | MO20MF12 | Sub-Routines for Transport | ||||
| 103 | MO20MF15 | MO20MF15 | ||||
| 104 | MO20MF20 | MO20MF20 | ||||
| 105 | MO20MTOP | ?... | ||||
| 106 | MWBE3FL0_LESEN_T030 | LESEN_T030 | ||||
| 107 | RCKM_ORDER_HISTORY_MLF01 | Include LAFWKFPA_EVALF01 | ||||
| 108 | RFAUDI30 | Account Detective | ||||
| 109 | RFAWVI90 | Include module for foreign trade reports: general form routines | ||||
| 110 | RFAWVI90_NACC | Includebaustein AWV-Meldungen: Allgemeine Formroutinen | ||||
| 111 | RFAWVZ40N_PROC | Formroutinen Datenselektion, Prozessierung | ||||
| 112 | RFCORR78 | Adjustment of PSWBT and PSWSL from SGA Postings | ||||
| 113 | RFEBBU00 | Update Account Statement/Check Deposit Transaction | ||||
| 114 | RFEBBU00_NACC | Update Account Statement/Check Deposit Transaction | ||||
| 115 | RFEWASOA | Check Particular Accounts for "Balances in LC" Being Active in Master | ||||
| 116 | RFFMCANCEL_FUND_FORMS_CLASS_AP | Include RFFMCANCEL_FUND_FORMS_CLASS | ||||
| 117 | RFFMCANCEL_FUND_FORMS_CLASS_AR | Include RFFMCANCEL_FUND_FORMS_CLASS | ||||
| 118 | RFFR0C01 | Document C80, Reporting of Finan.Transacts Minus Sp.G/L codes A and W | ||||
| 119 | RFFR1C01 | Document C80, Reporting of Finan.Transacts Minus Sp.G/L codes A and W | ||||
| 120 | RFIDCN_GRIR_BNG_F01 | Include RFIDCN_GRIR_BNG_F01 | ||||
| 121 | RFIDCN_GRIR_BNG_TOP | Include RFIDCN_GRIR_BNG_TOP | ||||
| 122 | RFIDCN_GRIR_GNB_F01 | Include RFIDCN_GRIR_GNB_F01 | ||||
| 123 | RFIDCN_GRIR_GNB_TOP | Include RFIDCN_GRIR_GNB_TOP | ||||
| 124 | RFIDCN_PLACCT_FWD_F00 | Include RFIDCN_PLACCT_FWD_F00 | ||||
| 125 | RFINDEX | FI Consistency Check | ||||
| 126 | RFINDEX_NACC | FI Consistency Check | ||||
| 127 | RFLQ_CASH_FORECAST_MMPARK | Liquidity Calculation: Forecast from Accounting (MM Parked Items) | ||||
| 128 | RFSEPA02 | Switch On Open Item Management by Changing Master Record | ||||
| 129 | RFSEPA03 | Switch Off Open Item Management by Changing Master Record | ||||
| 130 | RFSUMB00 | Year-End Postings | ||||
| 131 | RFSUMB00_NACC | Year-End Postings (Copy NACC) | ||||
| 132 | RFUMD001 | Conversion of Cash Discount Clearing Accounts to OI Management | ||||
| 133 | RFUMSV25 | Deferred Tax Transfer | ||||
| 134 | RFUMSV25_NACC | Deferred Tax Transfer | ||||
| 135 | RFUMSV40 | VAT Report (Russia) | ||||
| 136 | RFUMSV49R_BATCH_PROCESS | Include RFUMSV49R_BATCH_PROCESS | ||||
| 137 | RFWEKR01 | Bill of Exchange Management | ||||
| 138 | RFWERE00 | Analyze GR/IR Clearing Accounts and Display Acquisition Tax | ||||
| 139 | RGJBUR00 | Joint Venture Payroll Burden Clearing | ||||
| 140 | RGJBUR00_PM | Report RGJBUR00_PM | ||||
| 141 | RGJOHD00 | Joint Venture Overhead Detail | ||||
| 142 | RGJOVR00 | Joint Venture Overhead Calculations | ||||
| 143 | RGJOVR01 | Joint Venture Overhead Calculations | ||||
| 144 | RGJPCO00 | Joint Venture Cost Calculations - International | ||||
| 145 | RGJVATAX | Advance Return for Tax on Sales/Purchases | ||||
| 146 | RGJVBASW | JV Bank Account Switches | ||||
| 147 | RGJVCB03 | Cutback - General includes | ||||
| 148 | RGJVCF00_SWITCH_PL_ACCOUNTS | Include RGJVCF00_SWITCH_PL_ACCOUNTS | ||||
| 149 | RGJVCF01 | JVA GL-X Carry Forward Program - RGJVCF01 (Common part of program) | ||||
| 150 | RGJVCF01_ALV | JVA GL-X Carry Forward Program - RGJVCF01 (Common part of program) | ||||
| 151 | RGJVEC00 | Pre-Cutback Equity Change Management | ||||
| 152 | RGJVEURI | Euro reconciliation program JV ledgers to FI documents | ||||
| 153 | RGJVJOBC | JV Job Load Balancer | ||||
| 154 | RGJVLB00 | Load balancing for JV processes | ||||
| 155 | RGJVPNET | Partner Netting | ||||
| 156 | RGJVTAX2 | Advance Return for Tax on Sales/Purchases | ||||
| 157 | RGJVTAXR | Advance Return for Tax on Sales/Purchases | ||||
| 158 | RGJVTAXR_NEW | Advance Return for Tax on Sales/Purchases | ||||
| 159 | RGJVVBAT | Create Table Entries for VBA Switching | ||||
| 160 | RGJVW001 | Valuation of foreign currency PO's assigned to an account | ||||
| 161 | RG_SAC_CALCPL_F01 | Include RG_SAC_CALCPL_F01 | ||||
| 162 | RG_SAC_CENTRAL_F01 | Include RG_SAC_CENTRAL_F01 | ||||
| 163 | RM030KDM | Invoice Verification: Changing Acct Determin. for Exch. Rate Differen. | ||||
| 164 | RM07C030 | Where-Used List: G/L Accounts in MM Account Determination | ||||
| 165 | RM07C030_LIST | Where-Used List: G/L Accounts in MM Account Determination | ||||
| 166 | RM07MBSD | Data definitions for report RM07MBST | ||||
| 167 | RM07MBST | List of Stock Values: Balances | ||||
| 168 | RM07MLBD_FORM_01 | Include RM07MLBD_FORM_01 | ||||
| 169 | RM07MMFI | MM/FI balance comparison | ||||
| 170 | ROIH1L07 | List of Stock Values: Balances of Excise duty | ||||
| 171 | ROIHEW30 | List of Stock Values: Balances of Excise duty | ||||
| 172 | ROIHEW31 | List of Stock Values: Balances of Excise duty | ||||
| 173 | ROIHEW32 | List of Stock Values: Balances of Excise duty | ||||
| 174 | RPUCVT30 | Convert table T030 for transactions HRC, HRF, HRD, HRK (Utility 4.0) | ||||
| 175 | SAPDFKB1 | Copy Log | ||||
| 176 | SAPDFKB1 | Copy Log | ||||
| 177 | SAPDFKB1 | Copy Log | ||||
| 178 | SAPDFKB1 | Copy Log | ||||
| 179 | SAPDFKB1 | Copy Log | ||||
| 180 | SAPDFKB1 | Copy Log | ||||
| 181 | SAPDFKB1 | Copy Log | ||||
| 182 | SAPDFKB1 | Copy Log | ||||
| 183 | SAPDFKB1 | Copy Log | ||||
| 184 | SAPDFKB1 | Copy Log | ||||
| 185 | SAPDFKB1 | Copy Log | ||||
| 186 | SAPDFKB1 | Copy Log | ||||
| 187 | SAPDFKB1 | Copy Log | ||||
| 188 | SAPDFKB1 | Copy Log | ||||
| 189 | SAPF011 | Carry Forward G/L Balances | ||||
| 190 | SAPF100 | Foreign Currency Valuation | ||||
| 191 | SAPF100A | Open Item - Foreign Currency - Valuation per ........ (Old) | ||||
| 192 | SAPF104 | Provisions for Doubtful Receivables | ||||
| 193 | SAPF109A | Balance Sheet Supplement - OI - Analysis per DD.MM.YY | ||||
| 194 | SAPF180R | Subsqnt Bus.Area/Prof.Center Adjustmnt: Form Routines for Posting/Log | ||||
| 195 | SAPF180U | Nachbelastung Bilanz: Formroutinen für Buchen / Protokoll / Append-ALV | ||||
| 196 | SAPF180X | Nachbelastung Bilanz: Ausgabe Beleg per Append-ALV | ||||
| 197 | SAPF181 | Profit and Loss Adjustment | ||||
| 198 | SAPFGJCG | CI/NPI Processing | ||||
| 199 | SAPFGJRC | Partner Suspense Clearance | ||||
| 200 | SAPFPCR3 | Startup Currencies: Balance Valuation for Parallel Currencies | ||||
| 201 | SAPRCKMG | Display of ML-Relevant Customizing Settings | ||||
| 202 | SAPRCKM_LIST_UMB_ACCOUNTS | Display Accounts For Account Key UMB | ||||
| 203 | SAPUFKB1 | Error Analysis/Automatic Postings Documentation | ||||
| 204 | SAPUFKB2 | Error Analysis/Special G/L Documentation | ||||
| 205 | WTMIGRATION | Withholding Tax: Conversion Program | ||||
| 206 | WTMIGRATION_COL | Withholding Tax: Conversion Program | ||||
| 207 | WUC1FF01 | Include WUC1FF01 |