Where Used List (Class) for SAP ABAP Interface IF_FAA_CFG_TRANSACTION_ERP (Access to Asset Transaction Type)
SAP ABAP Interface
IF_FAA_CFG_TRANSACTION_ERP (Access to Asset Transaction Type) is used by
| # | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
|---|---|---|---|---|---|---|
| 1 | CF_FAA_CFG_TRANSACTION | Factory Class Read Access for Transaction Types | ||||
| 2 | CF_FAA_CFG_TRANSV | Factory Class Read Access for Transaction Types | ||||
| 3 |
CL_FAA_CFG_TRANSACTION_ERP Method: IF_FAA_CFG_TRANSACTION_ERP~INITIALIZE
|
Access to Configuration of Asset Transaction | ||||
| 4 |
CL_FAA_CFG_TRANSACTION_ERP Method: _SET_LINKED_TTYS
|
Access to Configuration of Asset Transaction | ||||
| 5 |
CL_FAA_CFG_TRANSACTION_ERP Method: IF_FAA_CFG_TRANSACTION_ERP~LOAD_AREALIMITATIONS
|
Access to Configuration of Asset Transaction | ||||
| 6 |
CL_FAA_CFG_TRANSACTION_ERP Method: _SET_CONTROL_DATA
|
Access to Configuration of Asset Transaction | ||||
| 7 | CL_FAA_CFG_TRANSACTION_ERP | Access to Configuration of Asset Transaction | ||||
| 8 | CL_FAA_CFG_TRANSACTION_ERP | Access to Configuration of Asset Transaction | ||||
| 9 |
CL_FAA_CFG_TRANSACTION_ERP Method: SET_MTS_AREALIMITATION
|
Access to Configuration of Asset Transaction | ||||
| 10 |
CL_FAA_CFG_TRANSACTION_ERP Method: IF_FAA_CFG_TRANSACTION_ERP~GET_TTY_GROUP
|
Access to Configuration of Asset Transaction | ||||
| 11 |
CL_FAA_CFG_TRANSACTION_ERP Method: IF_FAA_FRW_OBJECT~INITIALIZE
|
Access to Configuration of Asset Transaction | ||||
| 12 |
CL_FAA_CFG_TRANSACTION_ERP Method: _SET_MEMBERDATA_FROM_GROUP
|
Access to Configuration of Asset Transaction | ||||
| 13 |
CL_FAA_CFG_TRANSACTION_ERP Method: IF_FAA_CFG_TRANSACTION~CAPITALIZE_ASSET
|
Access to Configuration of Asset Transaction | ||||
| 14 |
CL_FAA_CFG_TRANSACTION_ERP Method: SET_MTS_VALUE_ADJUST
|
Access to Configuration of Asset Transaction | ||||
| 15 |
CL_FAA_CFG_TRANSACTION_ERP Method: _SET_MEMBERDATA_FROM_BASIC
|
Access to Configuration of Asset Transaction | ||||
| 16 |
CL_FAA_CFG_TRANSACTION_ERP Method: IF_FAA_CFG_TRANSACTION_ERP~LOAD_VALUE_ADJUSTMENTS
|
Access to Configuration of Asset Transaction | ||||
| 17 |
CL_FAA_CFG_TRANSACTION_ERP Method: IF_FAA_CFG_TRANSACTION_ERP~LOAD_SPECIAL_RETIREMENTS
|
Access to Configuration of Asset Transaction | ||||
| 18 |
CL_FAA_CFG_TRANSACTION_ERP Method: SET_MTS_SPECIAL_RETIRE
|
Access to Configuration of Asset Transaction | ||||
| 19 |
CL_FAA_CFG_TRANSACTION_ERP Method: IF_FAA_CFG_TRANSACTION_ERP~ASSETCLASS_ALLOWED
|
Access to Configuration of Asset Transaction | ||||
| 20 |
CL_FAA_CFG_TRANSV_ERP Method: _SET_TRANSFER_METHOD
|
Access to Configuration of Transfer Variant in FIAA | ||||
| 21 |
CL_FAA_DC_ENGINE_CALL Method: _MAP_DEPRECIATION_AREA
|
Call Depreciation Calculation | ||||
| 22 |
CL_FAA_DC_ENGINE_CALL Method: _FILL_TRANSACTION_TO_VALUES
|
Call Depreciation Calculation | ||||
| 23 |
CL_FAA_DC_ENGINE_CALL Method: _FILL_CURRENTDATA_TO_VAL_SIM
|
Call Depreciation Calculation | ||||
| 24 |
CL_FAA_DC_ENGINE_CALL Method: _CHECK_FOR_RETIREMENT
|
Call Depreciation Calculation | ||||
| 25 |
CL_FAA_DC_ENGINE_CALL Method: _FILL_DEPR_VALUE_TO_ANEP
|
Call Depreciation Calculation | ||||
| 26 |
CL_FAA_DC_ENGINE_CALL Method: _MAP_NEWITEM_TO_MANAGER
|
Call Depreciation Calculation | ||||
| 27 |
CL_FAA_DC_ENGINE_CALL Method: _CHECK_FOR_RETIREMENT_T
|
Call Depreciation Calculation | ||||
| 28 |
CL_FAA_DC_ENGINE_CALL Method: _FILL_CURRENTDATA_TO_VALUES
|
Call Depreciation Calculation | ||||
| 29 |
CL_FAA_DOCUMENT Method: PREPARE_DETACH_SOM_INSTANCE
|
Document from FIAA Viewpoint (Business Logic) | ||||
| 30 |
CL_FAA_DOCUMENT_ACINT Method: SET_ACCOUNT_IN_ACCIT
|
Document from FIAA Viewpoint (Business Logic) | ||||
| 31 |
CL_FAA_DOCUMENT_ACINT Method: CHECK_ACC_CONSISTENCY
|
Document from FIAA Viewpoint (Business Logic) | ||||
| 32 |
CL_FAA_DOCUMENT_ACINT Method: PROCESS_RETIREMENT_TRANSACTION
|
Document from FIAA Viewpoint (Business Logic) | ||||
| 33 |
CL_FAA_DOCUMENT_FI Method: _CHECK_TTY_ALLOWED
|
Document from FIAA Viewpoint (Business Logic) | ||||
| 34 |
CL_FAA_DOCUMENT_FI Method: IF_FAA_DOCUMENT_DELEGATION~PROCESS_BELEG_GET_DIALOG_TEXTS
|
Document from FIAA Viewpoint (Business Logic) | ||||
| 35 |
CL_FAA_DOCUMENT_REVERSIBLE Method: _CREATE_REVERSAL_TRANSACTIONS
|
Reversible Document | ||||
| 36 |
CL_FAA_POSTING Method: CHECK_TTY_ASSET_OP_MANAGE
|
Posting to Assets - General Checks | ||||
| 37 |
CL_FAA_POSTING Method: CHECK_TTY_POSTCAP
|
Posting to Assets - General Checks | ||||
| 38 |
CL_FAA_POSTING Method: CHECK_TTY_ACQ_FROM_TRANSFER
|
Posting to Assets - General Checks | ||||
| 39 |
CL_FAA_POSTING Method: CHECK_TTY_CLEARING_DOWNPAYMENT
|
Posting to Assets - General Checks | ||||
| 40 |
CL_FAA_POSTING Method: CHECK_TTY_WITH_AFF_COMPANY
|
Posting to Assets - General Checks | ||||
| 41 |
CL_FAA_POSTING Method: CHECK_ACQDATE_GE_VALUEDATE
|
Posting to Assets - General Checks | ||||
| 42 |
CL_FAA_POSTING Method: CHECK_ORIG_YEAR_VS_CAPYEAR
|
Posting to Assets - General Checks | ||||
| 43 |
CL_FAA_POSTING Method: CHECK_ACQDATE_FROM_TRANSFER
|
Posting to Assets - General Checks | ||||
| 44 |
CL_FAA_POSTING Method: CHECK_EXTERN_AREA_WITH_VALUES
|
Posting to Assets - General Checks | ||||
| 45 |
CL_FAA_POSTING Method: CHECK_TTY_REVALUATION
|
Posting to Assets - General Checks | ||||
| 46 |
CL_FAA_POSTING Method: DETERMINE_TTY_ON_XUMHIS
|
Posting to Assets - General Checks | ||||
| 47 |
CL_FAA_POSTING Method: CHECK_AFA_KEY_ALLOWED
|
Posting to Assets - General Checks | ||||
| 48 |
CL_FAA_POSTING Method: CHECK_TTY_MANUAL_DEPR
|
Posting to Assets - General Checks | ||||
| 49 |
CL_FAA_POSTING Method: CHECK_LDGRP_VS_POST_AREA
|
Posting to Assets - General Checks | ||||
| 50 |
CL_FAA_POSTING Method: CHECK_EXT_VALUE_VS_TTY
|
Posting to Assets - General Checks | ||||
| 51 |
CL_FAA_POSTING Method: CHECK_VALUEDATE_GE_CAP_DATE
|
Posting to Assets - General Checks | ||||
| 52 |
CL_FAA_POSTING Method: CHECK_POSTING_ON_ASSET_ALLOWED
|
Posting to Assets - General Checks | ||||
| 53 |
CL_FAA_POSTING Method: CHECK_CUSTOMER_VALIDATION
|
Posting to Assets - General Checks | ||||
| 54 |
CL_FAA_POSTING Method: CHECK_ACQYEAR_GE_VALUEYEAR
|
Posting to Assets - General Checks | ||||
| 55 |
CL_FAA_POSTING Method: CHECK_POST_FY_IN_FIRST_OPEN_FY
|
Posting to Assets - General Checks | ||||
| 56 |
CL_FAA_POSTING Method: CHECK_TTY_HISTORICAL_VALUE
|
Posting to Assets - General Checks | ||||
| 57 |
CL_FAA_POSTING Method: CHECK_TTY_FOR_ASSETCLASS
|
Posting to Assets - General Checks | ||||
| 58 |
CL_FAA_POSTING Method: CHECK_TTY_SUB_COST_REV
|
Posting to Assets - General Checks | ||||
| 59 |
CL_FAA_POSTING Method: CHECK_TRADING_PARTNER_VS_TTY
|
Posting to Assets - General Checks | ||||
| 60 |
CL_FAA_POSTING Method: CHECK_POSTING_INDICATOR_VS_TTY
|
Posting to Assets - General Checks | ||||
| 61 |
CL_FAA_POSTING Method: CHECK_TTY_ACQ_GROSS
|
Posting to Assets - General Checks | ||||
| 62 |
CL_FAA_POSTING Method: CHECK_TTY_WRITEUP
|
Posting to Assets - General Checks | ||||
| 63 |
CL_FAA_POSTING Method: CHECK_TTY_VALUE_ADJUST
|
Posting to Assets - General Checks | ||||
| 64 |
CL_FAA_POSTING_ACQ Method: CHECK_CAPDATE_ON_POSTCAP
|
FIAA: Acquisition Posting to Asset | ||||
| 65 |
CL_FAA_POSTING_ACQ Method: CHECK_1ST_ACQ_DATE_INITIAL
|
FIAA: Acquisition Posting to Asset | ||||
| 66 |
CL_FAA_POSTING_ACQ_TR Method: DETERMINE_TTY_ON_AUC_CF
|
FIAA: Retirement Posting to Asset | ||||
| 67 |
CL_FAA_POSTING_ACQ_TR Method: _VALUETAKEOVER_DEPENDENT_AREAS
|
FIAA: Retirement Posting to Asset | ||||
| 68 |
CL_FAA_POSTING_ACQ_TR Method: DETERMINE_TTY_FROM_TRANSVAR
|
FIAA: Retirement Posting to Asset | ||||
| 69 |
CL_FAA_POSTING_ACQ_TR Method: TAKEOVER_PARAMETERS
|
FIAA: Retirement Posting to Asset | ||||
| 70 |
CL_FAA_POSTING_ACQ_TR Method: CHECK_TRANSFER_DEPR_AREA_DATE
|
FIAA: Retirement Posting to Asset | ||||
| 71 |
CL_FAA_POSTING_DOWNPAYMENT Method: CHECK_DOWNPAY_PRCTR
|
FIAA: Asset Down Payment Posting | ||||
| 72 |
CL_FAA_POSTING_DOWNPAYMENT Method: CHECK_DOWNPAY_BUSINESS_AREA
|
FIAA: Asset Down Payment Posting | ||||
| 73 |
CL_FAA_POSTING_DOWNPAYMENT Method: CHECK_DOWNPMT_WITHOUT_OI
|
FIAA: Asset Down Payment Posting | ||||
| 74 |
CL_FAA_POSTING_FACTORY Method: _GET_CLASSNAME_FOR_POSTING
|
Factory Class for ACC_TRANS Container | ||||
| 75 |
CL_FAA_POSTING_INVEST_SUPPORT Method: CHECK_1ST_ACQ_DATE_INITIAL
|
FIAA: Investment Support | ||||
| 76 |
CL_FAA_POSTING_LINE_ITEM_GEN Method: _CREATE_ACDOC_ACI
|
Line Item Generator | ||||
| 77 | CL_FAA_POSTING_LINE_ITEM_GEN | Line Item Generator | ||||
| 78 |
CL_FAA_POSTING_LINE_ITEM_GEN Method: _READ_TABWK
|
Line Item Generator | ||||
| 79 |
CL_FAA_POSTING_LINE_ITEM_GEN Method: _DETERMINE_TRANSTYPE_ACCTYPE
|
Line Item Generator | ||||
| 80 |
CL_FAA_POSTING_LINE_ITEM_GEN Method: _GET_DEFAULT_BUZSM_RESERVES
|
Line Item Generator | ||||
| 81 |
CL_FAA_POSTING_LINE_ITEM_GEN Method: _READ_T095
|
Line Item Generator | ||||
| 82 |
CL_FAA_POSTING_LINE_ITEM_GEN Method: _GET_DEFAULT_BUZSM
|
Line Item Generator | ||||
| 83 |
CL_FAA_POSTING_LINE_ITEM_GEN Method: _GET_SYMBOLIC_AMOUNT
|
Line Item Generator | ||||
| 84 |
CL_FAA_POSTING_LINE_ITEM_GEN Method: _CHECK_ACCOUNT_ASSIGNMENT
|
Line Item Generator | ||||
| 85 |
CL_FAA_POSTING_LINE_ITEM_GEN Method: _BUILD_DEBIT_CREDIT_POSTING
|
Line Item Generator | ||||
| 86 |
CL_FAA_POSTING_LINE_ITEM_GEN Method: _BUILD_ANLC
|
Line Item Generator | ||||
| 87 |
CL_FAA_POSTING_RET Method: CHECK_RETIREMENT_AMOUNT
|
FIAA: Acquisition Posting to Asset | ||||
| 88 |
CL_FAA_POSTING_RET Method: _CHECK_TTY_REVENUE_COMBINATION
|
FIAA: Acquisition Posting to Asset | ||||
| 89 |
CL_FAA_POSTING_RET Method: SET_LAST_RETIREMENT_DATE
|
FIAA: Acquisition Posting to Asset | ||||
| 90 |
CL_FAA_POSTING_RET Method: CREATE_WRITEUP_SPECIAL_RETIRE
|
FIAA: Acquisition Posting to Asset | ||||
| 91 |
CL_FAA_POSTING_RET Method: CHECK_VALUEDATE_VS_ACQDATE
|
FIAA: Acquisition Posting to Asset | ||||
| 92 |
CL_FAA_POSTING_RET Method: CHECK_CREDIT_INDICATOR
|
FIAA: Acquisition Posting to Asset | ||||
| 93 |
CL_FAA_POSTING_RET Method: ENHANCE_AREAVALUES
|
FIAA: Acquisition Posting to Asset | ||||
| 94 |
CL_FAA_POSTING_RET Method: CHECK_DEACT_DATE_OF_ASSET
|
FIAA: Acquisition Posting to Asset | ||||
| 95 |
CL_FAA_POSTING_RET Method: CHECK_VALUEDATE_GE_CAP_DATE
|
FIAA: Acquisition Posting to Asset | ||||
| 96 |
CL_FAA_POSTING_RET_TR Method: DETERMINE_TTY_FROM_TRANSVAR
|
FIAA: Retirement Posting to Asset | ||||
| 97 |
CL_FAA_POSTING_RET_TR Method: PREPARE_TRANSFER_ACQ_LOCAL
|
FIAA: Retirement Posting to Asset | ||||
| 98 |
CL_FAA_POSTING_REVALUATION Method: CHECK_REVALUATION_ALLOWED
|
FIAA: Revaluation | ||||
| 99 |
CL_FAA_POSTING_REVERSAL Method: UPDATE_QUANTITY_ON_ASSET
|
Reversal of Asset Transaction | ||||
| 100 |
CL_FAA_POSTING_REVERSAL Method: CHECK_LEGACY_TAKEOVER_REVERSAL
|
Reversal of Asset Transaction | ||||
| 101 |
CL_FAA_POSTING_REVERSAL Method: CHECK_QUANTITY_FOR_APC_ONLY
|
Reversal of Asset Transaction | ||||
| 102 |
CL_FAA_POSTING_REV_SERVICES Method: DETERMINE_REVENUE_FOR_RET
|
Services for Revenue on Retirement | ||||
| 103 |
CL_FAA_POSTING_SERVICES Method: FILL_COBL_FROM_RLAMBU
|
Services for Posting | ||||
| 104 | CL_FAA_POSTING_SERVICES | Services for Posting | ||||
| 105 |
CL_FAA_POSTING_SERVICES Method: _CHECK_TTY_VS_SENDER_APP
|
Services for Posting | ||||
| 106 |
CL_FAA_POSTING_SERVICES Method: FILL_POSTINGCONTROL_FROM_AMBU
|
Services for Posting | ||||
| 107 |
CL_FAA_POSTING_SERVICES Method: DETERMINE_ASSET_ACCOUNT
|
Services for Posting | ||||
| 108 |
CL_FAA_POSTING_SERVICES Method: _CHECK_TTY_VS_VORGID_STRUC
|
Services for Posting | ||||
| 109 |
CL_FAA_POSTING_SERVICES Method: CHECK_IF_REVENUE_ACCOUNT
|
Services for Posting | ||||
| 110 |
CL_FAA_POSTING_SERVICES Method: CHECK_IF_REVENUE_EXISTING
|
Services for Posting | ||||
| 111 |
CL_FAA_POSTING_SERVICES Method: DETERMINE_AND_VALIDATE_TTY
|
Services for Posting | ||||
| 112 |
CL_FAA_POSTING_SERVICES Method: _CALC_COUNTER_TTY_AND_AREA_DEF
|
Services for Posting | ||||
| 113 | CL_FAA_POSTING_SERVICES | Services for Posting | ||||
| 114 |
CL_FAA_POSTING_SETTLEMENT_AUC Method: DETERMINE_TTY_FROM_TRANSVAR
|
FIAA: Retirement Posting AUC | ||||
| 115 |
CL_FAA_POSTING_SETTLEMENT_CO Method: FILL_ANLK
|
FIAA: Acquisition Posting to AUC from CO | ||||
| 116 |
CL_FAA_POSTING_SETTLEMENT_CO Method: DETERMINE_CAPT_VALUE
|
FIAA: Acquisition Posting to AUC from CO | ||||
| 117 |
CL_FAA_POSTING_SETTLEMENT_CO Method: PREPARE_AUC_ACQ_LOCAL
|
FIAA: Acquisition Posting to AUC from CO | ||||
| 118 |
CL_FAA_POSTING_SETTLEMENT_CO Method: DETERMINE_BUSINESS_TRANSACTION
|
FIAA: Acquisition Posting to AUC from CO | ||||
| 119 |
CL_FAA_POSTING_SUBSEQ_COST_REV Method: CHECK_ASSET_SUBSEQUENT_REVENUE
|
FIAA: Subsequent Revenue/Retirement Costs | ||||
| 120 |
CL_FAA_POSTING_SUPER Method: SET_ANEPI_DEFAULTS_FROM_RLAMBU
|
Posting to Asset - General Part | ||||
| 121 |
CL_FAA_POSTING_SUPER Method: _CHECK_SIGN_OF_VALUES
|
Posting to Asset - General Part | ||||
| 122 |
CL_FAA_POSTING_SUPER Method: DETERMINE_DOCTYPE_FROM_TTY
|
Posting to Asset - General Part | ||||
| 123 |
CL_FAA_POSTING_SUPER Method: SET_INITIAL_ACQ_DATE
|
Posting to Asset - General Part | ||||
| 124 |
CL_FAA_POSTING_SUPER Method: CALCULATE_PAYBACK_AMOUNT_INVZ
|
Posting to Asset - General Part | ||||
| 125 |
CL_FAA_POSTING_SUPER Method: SET_CAPITALIZATION_DATE
|
Posting to Asset - General Part | ||||
| 126 |
CL_FAA_POSTING_SUPER Method: IF_FAA_POSTING_ACCOBJ~SET_ACCOBJ_FOR_COBL
|
Posting to Asset - General Part | ||||
| 127 |
CL_FAA_POSTING_SUPER Method: CREATE_CURRVAL_FROM_AREAVAL
|
Posting to Asset - General Part | ||||
| 128 |
CL_FAA_POSTING_SUPER Method: DETERMINE_DOCTYPE_FROM_TRAVA
|
Posting to Asset - General Part | ||||
| 129 |
CL_FAA_POSTING_SUPER Method: DETERMINE_MEINS_FROM_ASSET
|
Posting to Asset - General Part | ||||
| 130 |
CL_FAA_POSTING_SUPER Method: GET_TRANSACTION_TYPE
|
Posting to Asset - General Part | ||||
| 131 |
CL_FAA_POSTING_SUPER Method: DETERMINE_DEBIT_CRED_INDICATOR
|
Posting to Asset - General Part | ||||
| 132 |
CL_FAA_POSTING_SUPER Method: DETERMINE_TECH_CLEARING_ACC
|
Posting to Asset - General Part | ||||
| 133 |
CL_FAA_POSTING_UI_SERVICES Method: SET_LINE_ITEM_EDITABLE_FIELDS
|
Service for UI Methods | ||||
| 134 |
CL_FAA_POSTING_UI_SERVICES Method: SET_ACTIVE_ACCOBJ
|
Service for UI Methods | ||||
| 135 |
CL_FAA_POSTING_WRITEUP Method: CHECK_WRITEUP_ALLOWED
|
FIAA: Write-Up | ||||
| 136 |
CL_FAA_TENV_TRANSACT_GET_ERP Method: GET_DATA
|
Read Data for Asset Transactions | ||||
| 137 |
CL_FAA_TENV_TRANSACT_SIM_ERP Method: IF_FAA_CFG_TRANSACTION_ERP~INITIALIZE
|
Asset Transactions from Test Environment | ||||
| 138 | CL_FAA_TENV_TRANSACT_SIM_ERP | Asset Transactions from Test Environment |