Where Used List (Function Module) for SAP ABAP Message Class RDPT (Messages for Repayment Schedules for Securities Class Data)
SAP ABAP Message Class RDPT (Messages for Repayment Schedules for Securities Class Data) is used by
# Object Type Object Name Object Description Package Structure Package Software Component
   
1 Function Module  BAPI_RED_FACTOR_CHANGE
BAPI: Create or Change a Redemption Factor FTBAS  EA-FINSERV  EA-FINSERV 
2 Function Module  BAPI_RED_FACTOR_CREATE
BAPI: Create Redemption Factor Header + Factors FTBAS  EA-FINSERV  EA-FINSERV 
3 Function Module  BAPI_RED_FACTOR_GET_DETAIL
BAPI: Read Redemption Factors for a Securities ID FTBAS  EA-FINSERV  EA-FINSERV 
4 Function Module  BAPI_RSS_CHANGE_SCHEDULE
Change Repayment Schedule Data FTBAS  EA-FINSERV  EA-FINSERV 
5 Function Module  FVW6_ADD_REPAYMENT_CONDITIONS
Adds repayment conditions to the securities other conditions FTBAS  EA-FINSERV  EA-FINSERV 
6 Function Module  FVW6_CHECK_FIXING
Konsistenzprüfungen beim Fixieren FTBAS  EA-FINSERV  EA-FINSERV 
7 Function Module  FVW6_COMP_SCHEDULES
Compare schedules FTBAS  EA-FINSERV  EA-FINSERV 
8 Function Module  FVW6_CREATE_CONDITIONS
Create conditions from a repayment schedule FTBAS  EA-FINSERV  EA-FINSERV 
9 Function Module  FVW6_DISPLAY_SET
Display the set data FTBAS  EA-FINSERV  EA-FINSERV 
10 Function Module  FVW6_DISPLAY_SETS
Display sets for a security ID FTBAS  EA-FINSERV  EA-FINSERV 
11 Function Module  FVW6_DISP_CLEANUP_SET_AND_SCHD
Display cleanup schedules FTBAS  EA-FINSERV  EA-FINSERV 
12 Function Module  FVW6_F4_HELP_FIRST_REDEMPTION
Get the valid redemption dates FTBAS  EA-FINSERV  EA-FINSERV 
13 Function Module  FVW6_FIND_REPAY_CONDITION_TYPE
Find repayment condition type FTBAS  EA-FINSERV  EA-FINSERV 
14 Function Module  FVW6_FIX_REDEMPTION
Fixiert eine Tilgung eines Tilgungsplans FTBAS  EA-FINSERV  EA-FINSERV 
15 Function Module  FVW6_FIX_SCHEDULE
Fixiert einen Tilgungsplan FTBAS  EA-FINSERV  EA-FINSERV 
16 Function Module  FVW6_GET_COND_DATES
Liefert die Daten zu den Konditionen (zB DFAELL) FTBAS  EA-FINSERV  EA-FINSERV 
17 Function Module  FVW6_GET_EXP_MAT_DATE
Liefert das erw. Laufzeitende zu einem Datum FTBAS  EA-FINSERV  EA-FINSERV 
18 Function Module  FVW6_GET_REDEMPTION
Get actual redemption for Security, Set and Date FTBAS  EA-FINSERV  EA-FINSERV 
19 Function Module  FVW6_MANAGE_SCHEDULE
Manage the dynpro for a schedule FTBAS  EA-FINSERV  EA-FINSERV 
20 Function Module  FVW6_MANAGE_SET
Manage the dynpro for a set FTBAS  EA-FINSERV  EA-FINSERV 
21 Function Module  FVW6_RED_SCHED_CONVERSION
Währungsumsetzung der Tilgungspläne FTBAS  EA-FINSERV  EA-FINSERV 
22 Function Module  FVW6_RED_SCHED_CONVERSION_REV
Währungsumsetzung der Tilgungspläne Storno FTBAS  EA-FINSERV  EA-FINSERV 
23 Function Module  FVW6_SET_OVERVIEW
Overview of sets for multiple Sec. Id's FTBAS  EA-FINSERV  EA-FINSERV 
24 Function Module  FVW7_GET_CURRENT_IRP_DATA
Read IRP data (factor and current face) FTBAS  EA-FINSERV  EA-FINSERV 
25 Function Module  FVW8_GET_INDEX_FROM_SECURITY
Get the index object from a security FT_PRICE_INDEX  EA-FINSERV  EA-FINSERV 
26 Function Module  SECURITY_DERIVE_DRAWN_PART
Creates or Updates Security for the drawn part of a drawable bond FVVW  EA-FINSERV  EA-FINSERV 
27 Function Module  SECURITY_MAKE_DRAWN_BOND
Creates or Updates Security for the drawn part of a drawable bond FVVW  EA-FINSERV  EA-FINSERV 
28 Function Module  UTIL_VALIDATE_FACTORS
Validate the redemption factors FTBAS  EA-FINSERV  EA-FINSERV