Where Used List (Class) for SAP ABAP Table BSEG (Accounting Document Segment)
SAP ABAP Table
BSEG (Accounting Document Segment) is used by
pages: 1 2
| # | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
|---|---|---|---|---|---|---|
| 1 |
/GRCPI/CL_GRIA_BKPF_BSEG Method: /GRCPI/IF_GRIA_DATASOURCE~GET
|
Data source : BKPF , BSEG | ||||
| 2 | /GRCPI/CL_GRIA_BKPF_BSEG | Data source : BKPF , BSEG | ||||
| 3 |
/GRCPI/CL_GRIA_BSIK_BSAK Method: /GRCPI/IF_GRIA_DATASOURCE~GET
|
Data source : BSIK,BSAK | ||||
| 4 |
/GRCPI/CL_GRIA_BSIK_BSAK_DATE Method: /GRCPI/IF_GRIA_DATASOURCE~GET
|
Data source : BSIK,BSAK | ||||
| 5 | /GRCPI/CL_GRIA_FIMPRCH_05T1_1 | Rule : FIMPRCH_05T1_01_A ( Value & Percentage Optimistic ) | ||||
| 6 |
/GRCPI/CL_GRIA_FIMPRCH_05T1_1 Method: PROCESS_DATA
|
Rule : FIMPRCH_05T1_01_A ( Value & Percentage Optimistic ) | ||||
| 7 | /GRCPI/CL_GRIA_FIMPRCH_05T1_2 | Rule : FIMPRCH_05T1_01_A ( Value & Percentage Pessimistic ) | ||||
| 8 |
/GRCPI/CL_GRIA_FIMPRCH_05T3_1 Method: PROCESS_DATA
|
Rule : FIMPRCH_05T1_01_A ( Value & Percentage Optimistic ) | ||||
| 9 | /GRCPI/CL_GRIA_FIMPRCH_05T3_1 | Rule : FIMPRCH_05T1_01_A ( Value & Percentage Optimistic ) | ||||
| 10 |
/GRCPI/CL_GRIA_FIPOSTDO_1006T1 Method: /GRCPI/IF_GRIA_DATASOURCE~GET
|
1006T1 data source and rule class | ||||
| 11 |
/GRCPI/CL_GRIA_FIVINVPOST_01T1 Method: PROCESS_DATA
|
FIVINVPOST_01T1_01_A | ||||
| 12 |
/GRCPI/CL_GRIA_LOPURVAP07T1 Method: /GRCPI/IF_GRIA_DATASOURCE~GET
|
Data source: LOPURVAP_07T1 | ||||
| 13 |
/GRCPI/CL_GRIA_LOPURVAP07T2 Method: /GRCPI/IF_GRIA_DATASOURCE~GET
|
Data source: LOPURVAP_07T2 | ||||
| 14 |
/KYK/CL_FI_F_15 Method: IF_POWL_FEEDER~GET_OBJECTS
|
POWL - Lineitems General Ledger Accounts NewGL | ||||
| 15 |
CH_REEX_INVOICE_FI Method: INVOICE_AFTER_STORE
|
RE Invoice (FI View): Event Handler | ||||
| 16 |
CLFIEU_CUST_SAFT Method: GET_BSEC
|
Global Class for SAFT | ||||
| 17 |
CLFIEU_VEND_SAFT Method: GET_BSEC
|
Class for Vendor Information | ||||
| 18 |
CL_ACCOUNTING_DOCUMENT_DP Method: /IWBEP/IF_MGW_APPL_SRV_RUNTIME~GET_ENTITY
|
CL_ACCOUNTING_DOCUMENT_DP | ||||
| 19 |
CL_ACCOUNT_MMSRV Method: DETERMINE_GL_ACCOUNT
|
Class for accounting | ||||
| 20 |
CL_BADI_EXM_VATDATE_VALUES_SAP Method: IF_EX_VATDATE_VALUES~VATDATE_DETERMINE
|
CL_BADI_EXM_VATDATE_VALUES_SAP | ||||
| 21 |
CL_BADI_EXM_VATDATE_VALUES_SAP Method: IF_EX_VATDATE_VALUES~VATDATE_CHECK
|
CL_BADI_EXM_VATDATE_VALUES_SAP | ||||
| 22 |
CL_BNK_BADI_ORIG_PAYMT_CHG Method: FI_ITEM_FROM_REGUH
|
Implementing Class BNK_BADI_ORIG_PAYMT_CHG | ||||
| 23 |
CL_BNK_BADI_ORIG_PAYMT_CHG Method: FI_ITEM_UPDATE
|
Implementing Class BNK_BADI_ORIG_PAYMT_CHG | ||||
| 24 | CL_CIAP_DA | Data Acess class for CIAP | ||||
| 25 | CL_CIAP_DA | Data Acess class for CIAP | ||||
| 26 | CL_CIAP_FI | Nota fiscal writer with accounting | ||||
| 27 |
CL_CMM_MTM_SEL_PO Method: DETERMINE_NETDT
|
Query Purchase Orders for MtM | ||||
| 28 |
CL_CNVA_20000_CHK_FY_BSEGZUONR Method: CHECK_BSEG_ZUONR
|
Check for conflict between header table and number ranges | ||||
| 29 |
CL_CON_FIN_COMPARE_BALANCES Method: GET_STANDARD_WIP
|
Reconcile Monthly Totals Inventory Ledger - General Ledger | ||||
| 30 |
CL_CUSTOMER_ACC_DOC_DP Method: /IWBEP/IF_MGW_APPL_SRV_RUNTIME~GET_ENTITYSET
|
CL_CUSTOMER_ACC_DOC_DP | ||||
| 31 |
CL_CUSTOMER_ACC_DOC_DP Method: /IWBEP/IF_MGW_APPL_SRV_RUNTIME~GET_ENTITY
|
CL_CUSTOMER_ACC_DOC_DP | ||||
| 32 |
CL_DEF_IM_FISPLIT Method: IF_EX_FISPLIT~MOVE_ACCOUNT_TO_ITEM
|
Default Implementation for BAdI Definition FISPLIT | ||||
| 33 |
CL_DEF_IM_FISPLIT Method: IF_EX_FISPLIT~CASH_DISCOUNT_SPLIT
|
Default Implementation for BAdI Definition FISPLIT | ||||
| 34 |
CL_DEF_IM_FISPLIT Method: IF_EX_FISPLIT~EXCHANGE_RATE_SPLIT
|
Default Implementation for BAdI Definition FISPLIT | ||||
| 35 |
CL_DEF_IM_FISPLIT Method: IF_EX_FISPLIT~MOVE_TO_ITEM
|
Default Implementation for BAdI Definition FISPLIT | ||||
| 36 |
CL_DEF_IM_WB2C_FX Method: IF_EX_WB2C_FX~CALC_DATE_FOR_TC
|
Default Implementation for BAdI Definition WB2C_FX | ||||
| 37 |
CL_DIAN_FORMAT_1001 Method: DETERMINE_SELF_WHT
|
DIAN Format 1001 Test Class | ||||
| 38 |
CL_DIAN_FORMAT_1001 Method: IF_DIAN_EXTRACTION~PROCESS_DOCUMENTS
|
DIAN Format 1001 Test Class | ||||
| 39 | CL_DIAN_FORMAT_1001 | DIAN Format 1001 Test Class | ||||
| 40 |
CL_DIAN_FORMAT_1001 Method: UPDATE_XRUN_MEMBER_TABLES
|
DIAN Format 1001 Test Class | ||||
| 41 |
CL_DIAN_FORMAT_1001 Method: IF_DIAN_EXTRACTION~INIT
|
DIAN Format 1001 Test Class | ||||
| 42 |
CL_DIAN_FORMAT_1003 Method: IF_DIAN_EXTRACTION~PROCESS_DOCUMENTS
|
DIAN Format 1003 Implementation | ||||
| 43 |
CL_DIAN_FORMAT_1005 Method: IF_DIAN_EXTRACTION~PROCESS_DOCUMENTS
|
DIAN Format 1005 Implementation | ||||
| 44 |
CL_DIAN_FORMAT_1006 Method: IF_DIAN_EXTRACTION~PROCESS_DOCUMENTS
|
DIAN Format 1006 Implementation | ||||
| 45 |
CL_DIAN_FORMAT_1007 Method: IF_DIAN_EXTRACTION~PROCESS_DOCUMENTS
|
Test | ||||
| 46 |
CL_DIAN_FORMAT_1008 Method: PROCESS_OT_DEBITORS
|
Test | ||||
| 47 |
CL_DIAN_FORMAT_1009 Method: PROCESS_OT_VENDORS
|
Test | ||||
| 48 |
CL_DIAN_XRUN_DISPATCHER Method: EXECUTE
|
DIAN Extraction Run | ||||
| 49 |
CL_DIAN_XRUN_DISPATCHER Method: GET_PARTNER_DATA_FOR_DOCUMENTS
|
DIAN Extraction Run | ||||
| 50 |
CL_DIAN_XRUN_DISPATCHER Method: GET_TAXES
|
DIAN Extraction Run | ||||
| 51 |
CL_DIAN_XRUN_DISPATCHER Method: GET_WITHHOLDING_TAXES
|
DIAN Extraction Run | ||||
| 52 |
CL_DOCUMENT_TRAC Method: DETERMINE_POSTING_DATA
|
Accounting Adaptor Document | ||||
| 53 |
CL_DOCUMENT_TRAC Method: IF_DOCUMENT_TRAC~REVERSE
|
Accounting Adaptor Document | ||||
| 54 |
CL_EBPP_PAYREG_IT_BY_PAYREF_QR Method: SELECT_PAYMENT_P
|
Proxy Class (Generated) | ||||
| 55 | CL_EBPP_PAYREG_IT_BY_PAYREF_QR | Proxy Class (Generated) | ||||
| 56 |
CL_EBPP_TRPACC_GRP_MAPITEM Method: GET_VALUE_DATE
|
Helper class for TrdRblsPyblsAcctERPSpltItmGrpBy - Services | ||||
| 57 | CL_EBPP_TRPACC_GRP_MAPITEM | Helper class for TrdRblsPyblsAcctERPSpltItmGrpBy - Services | ||||
| 58 |
CL_ECS_RESET_CLEARING_EXAMPLE Method: IF_GLE_ECS_RESET_CLEARING~RESET_CLEARING
|
Reverse Clearing | ||||
| 59 |
CL_EPIC_A_RUN_PROPOSAL Method: EXECUTE
|
Run Payment Proposal | ||||
| 60 |
CL_EPIC_BDJ_FI_SERVICE Method: IF_EPIC_BDJ_FI_SERVICE~GET_OPPOSITE_ACCOUNTS
|
EPIC: BDJ FI Service Class | ||||
| 61 |
CL_EPIC_DE_UIL Method: _CREATE_FTPOST
|
UI Logic for Deduction | ||||
| 62 | CL_EPIC_DE_UIL | UI Logic for Deduction | ||||
| 63 |
CL_EPIC_DE_UIL Method: _POST_DOCUMENT_WITH_CLEARING
|
UI Logic for Deduction | ||||
| 64 |
CL_EPIC_DE_UIL Method: _CREATE_FTCLEAR
|
UI Logic for Deduction | ||||
| 65 |
CL_EPIC_DE_UIL Method: _GENERATE_PAYMENT_REQUEST
|
UI Logic for Deduction | ||||
| 66 |
CL_EPIC_EBR_AV_DATA_ACCESS Method: GET_AVIP_BY_SEG
|
payment advice table data access | ||||
| 67 |
CL_EPIC_EBR_AV_DATA_ACCESS Method: GET_BSEG_WRBTR
|
payment advice table data access | ||||
| 68 |
CL_EPIC_EBR_BANK_ITEM_UIL Method: GET_GRID_DATA
|
UI logic for EBR post bank item | ||||
| 69 | CL_EPIC_EBR_CLAIMER | EBR Claim Manager | ||||
| 70 |
CL_EPIC_EBR_CLAIM_DETAIL_UIL Method: GET_FLOWSCODE_BY_KEY
|
UI Logic for Bank Communication Monitor | ||||
| 71 | CL_EPIC_EBR_DATA_ACCESS | Manager of Electronic Bank Receipt | ||||
| 72 |
CL_EPIC_EBR_DATA_ACCESS Method: GET_BSEG
|
Manager of Electronic Bank Receipt | ||||
| 73 |
CL_EPIC_EBR_DATA_ACCESS Method: GET_BSEG_CLEARED_BY
|
Manager of Electronic Bank Receipt | ||||
| 74 |
CL_EPIC_EBR_FEB_DATA_ACCESS Method: _ANALYSIZE_EBR_STATUS
|
EPIC ebs data access | ||||
| 75 |
CL_EPIC_EBR_FI_SERVICE Method: GET_OPEN_ITEM
|
FI Service for Electronic Bank Receipt | ||||
| 76 |
CL_EPIC_EBR_FI_SERVICE Method: IS_OPEN_ITEM_CLEARED
|
FI Service for Electronic Bank Receipt | ||||
| 77 |
CL_EPIC_EBR_IDENTIFY_GENERATOR Method: GENERATE_BANK_ITEMS
|
Generic generator with credit memo | ||||
| 78 |
CL_EPIC_EBR_MANAGER Method: GET_CLAIM_DETAIL
|
Manager of Electronic Bank Receipt | ||||
| 79 | CL_EPIC_EBR_MANAGER | Manager of Electronic Bank Receipt | ||||
| 80 |
CL_EPIC_EBR_OPEN_ITEM_UIL Method: GET_GRID_DATA
|
UI logic for EBR post bank item | ||||
| 81 |
CL_EPIC_EBR_PARTIAL_GENERATOR Method: GENERATE_OPEN_ITEMS
|
Partial post generator | ||||
| 82 | CL_EPIC_EBR_POST | Post Bank Receipts | ||||
| 83 |
CL_EPIC_EBR_POST Method: VALIDATE_POSTING_KEY
|
Post Bank Receipts | ||||
| 84 |
CL_EPIC_EBR_POST Method: GET_BSEG
|
Post Bank Receipts | ||||
| 85 |
CL_EPIC_EBR_POST Method: APPLY_POSTING_TEMP
|
Post Bank Receipts | ||||
| 86 |
CL_EPIC_EBR_POST Method: UPDATE_OPEN_ITEMS
|
Post Bank Receipts | ||||
| 87 |
CL_EPIC_EBR_POST Method: GET_ACCOUNT_FROM_POSTING_TEMP
|
Post Bank Receipts | ||||
| 88 |
CL_EPIC_EBR_POST Method: _UPDATE_SEG_PARTIAL_RESIDUAL
|
Post Bank Receipts | ||||
| 89 |
CL_EPIC_EBR_POST Method: CREATE_FTPOST
|
Post Bank Receipts | ||||
| 90 | CL_EPIC_EBR_POST | Post Bank Receipts | ||||
| 91 | CL_EPIC_EBR_POST | Post Bank Receipts | ||||
| 92 |
CL_EPIC_EBR_POST Method: POST_AND_SIMULATE
|
Post Bank Receipts | ||||
| 93 |
CL_EPIC_EBR_POST Method: _REVERSE_SEG_PARTIAL_RESIDUAL
|
Post Bank Receipts | ||||
| 94 |
CL_EPIC_EBR_POST Method: UPDATE_BANK_LINE
|
Post Bank Receipts | ||||
| 95 | CL_EPIC_EBR_POST | Post Bank Receipts | ||||
| 96 |
CL_EPIC_EBR_POST Method: VALIDATE_POSTING_TYPE
|
Post Bank Receipts | ||||
| 97 |
CL_EPIC_EBR_POST Method: _GET_POST_TYPE
|
Post Bank Receipts | ||||
| 98 |
CL_EPIC_EBR_POST_GENERATOR Method: GENERATE_BANK_ITEMS
|
Post items generator | ||||
| 99 |
CL_EPIC_EBR_POST_INFO_UIL Method: MODIFY_BANK_LINE_ITEMS
|
Post Info UIL | ||||
| 100 |
CL_EPIC_EBR_POST_INFO_UIL Method: GENERATE_POST_INFO_DATA
|
Post Info UIL | ||||
| 101 |
CL_EPIC_EBR_POST_UIL Method: PAI_DO_EBR_POST
|
Poster of Bank Receipt | ||||
| 102 |
CL_EPIC_EBR_POST_UIL Method: PAI_DO_EBR_SIMULATE
|
Poster of Bank Receipt | ||||
| 103 |
CL_EPIC_EBR_POST_UIL Method: _BUILD_CLEAR_OPEN_ITEMS
|
Poster of Bank Receipt | ||||
| 104 |
CL_EPIC_EBR_POST_UIL Method: _GET_CLAIM_INFO
|
Poster of Bank Receipt | ||||
| 105 |
CL_EPIC_EBR_RESIDUAL_GENERATOR Method: GENERATE_OPEN_ITEMS
|
Residual post generator | ||||
| 106 |
CL_EPIC_EBR_RESIDUAL_GENERATOR Method: _GET_EBR_OPEN_ITEM
|
Residual post generator | ||||
| 107 | CL_EPIC_EBR_UTIL | EPIC EBR util class | ||||
| 108 |
CL_EPIC_EBR_UTIL Method: SET_FLOWSCODE_VALUE
|
EPIC EBR util class | ||||
| 109 | CL_EPIC_EBR_UTIL | EPIC EBR util class | ||||
| 110 |
CL_EPIC_EBR_UTIL Method: GET_FLOWSCODE_VALUE
|
EPIC EBR util class | ||||
| 111 |
CL_EPIC_FLCD_CTRL_EXAMPLE_01 Method: EXEC_1_N_MAPPING
|
Cash flow category control example class | ||||
| 112 |
CL_EPIC_FLCD_CTRL_EXAMPLE_01 Method: EXEC_N_N_MAPPING
|
Cash flow category control example class | ||||
| 113 |
CL_EPIC_FLCD_CTRL_EXAMPLE_01 Method: ALL_EMPTY_CHECK
|
Cash flow category control example class | ||||
| 114 |
CL_EPIC_FLCD_CTRL_EXAMPLE_01 Method: HANDLE_ERROR_MSG
|
Cash flow category control example class | ||||
| 115 |
CL_EPIC_FLCD_CTRL_EXAMPLE_01 Method: GET_FLOWSCODE_VALUE
|
Cash flow category control example class | ||||
| 116 |
CL_EPIC_FLCD_CTRL_EXAMPLE_01 Method: ALL_FLOWSCODE_CLASSIFY
|
Cash flow category control example class | ||||
| 117 | CL_EPIC_FLCD_CTRL_EXAMPLE_01 | Cash flow category control example class | ||||
| 118 |
CL_EPIC_FLCD_CTRL_EXAMPLE_01 Method: EXEC_N_1_MAPPING
|
Cash flow category control example class | ||||
| 119 |
CL_EPIC_FLCD_CTRL_EXAMPLE_01 Method: SET_FLOWSCODE_VALUE
|
Cash flow category control example class | ||||
| 120 | CL_EPIC_FLCD_CTRL_EXAMPLE_01 | Cash flow category control example class | ||||
| 121 |
CL_EPIC_FLCD_CTRL_EXAMPLE_01 Method: SET_FLOWSCODE_TO_ITEMS
|
Cash flow category control example class | ||||
| 122 |
CL_EPIC_FLCD_CTRL_EXAMPLE_01 Method: HANDLE_WARNING_MSG
|
Cash flow category control example class | ||||
| 123 | CL_EPIC_FLCD_PASSER_CLEAR | Cash flow category passer on clearing | ||||
| 124 |
CL_EPIC_FLCD_PASSER_CLEAR Method: SAVE_BANK_GL_ACCOUNT_BSEG
|
Cash flow category passer on clearing | ||||
| 125 | CL_EPIC_FLCD_PASSER_CLEAR | Cash flow category passer on clearing | ||||
| 126 |
CL_EPIC_FLCD_PASSER_CLEAR Method: SAVE_BANK_SUBACCOUNT_BSEG
|
Cash flow category passer on clearing | ||||
| 127 |
CL_EPIC_FLCD_PASSER_CLEAR Method: GROUP_SUB_AND_GL_ACCOUNT
|
Cash flow category passer on clearing | ||||
| 128 |
CL_EPIC_FLCD_PASSER_FACTORY Method: GET_PASSER
|
Cash flow category passer factory | ||||
| 129 | CL_EPIC_FLCD_PASSER_FACTORY | Cash flow category passer factory | ||||
| 130 | CL_EPIC_FLCD_PASSER_PAY | Cash flow category passer on automatic outgoing payment | ||||
| 131 |
CL_EPIC_FLCD_PASSER_PAY Method: PASS_FLOWSCODE
|
Cash flow category passer on automatic outgoing payment | ||||
| 132 |
CL_EPIC_FLCD_PASSER_POST_CLEAR Method: PREPARE_DATA
|
Cash flow category passer on posting with clearing | ||||
| 133 | CL_EPIC_FLCD_PASSER_POST_CLEAR | Cash flow category passer on posting with clearing | ||||
| 134 |
CL_EPIC_FLOWSCODE_FI_SERVICE Method: GET_BSEG_BY_DOCUMENT
|
Cash flow category FI data service | ||||
| 135 |
CL_EPIC_FLOWSCODE_FI_SERVICE Method: GET_BSEG_BY_KEY
|
Cash flow category FI data service | ||||
| 136 |
CL_EPIC_FLOWSCODE_FI_SERVICE Method: UPDATE_BSEG
|
Cash flow category FI data service | ||||
| 137 | CL_EPIC_FLOWSCODE_FI_SERVICE | Cash flow category FI data service | ||||
| 138 |
CL_EPIC_FLOWSCODE_HELPER Method: IS_BANK_SUBACCOUNT_BSEG
|
Cash flow category helper | ||||
| 139 | CL_EPIC_FLOWSCODE_HELPER | Cash flow category helper | ||||
| 140 |
CL_EPIC_FLOWSCODE_HELPER Method: CHECK_FIELD_STATUS
|
Cash flow category helper | ||||
| 141 |
CL_EPIC_FLOWSCODE_HELPER Method: GET_FLOWSCODE_FROM_BSEG
|
Cash flow category helper | ||||
| 142 |
CL_EPIC_FLOWSCODE_HELPER Method: SET_FLOWSCODE_INTO_BSEG
|
Cash flow category helper | ||||
| 143 |
CL_EPIC_FLOWSCODE_HELPER Method: UPDATE_BSEG
|
Cash flow category helper | ||||
| 144 |
CL_EPIC_FLOWSCODE_HELPER Method: GET_OPPOSITE_BSEG_OF_AUSZ_CLR
|
Cash flow category helper | ||||
| 145 |
CL_EPIC_FLOWSCODE_HELPER Method: GET_BSEG_OF_AUSZ_CLR
|
Cash flow category helper | ||||
| 146 |
CL_EPIC_PRTL_PYMT Method: GET_PP_ITEM_WITH_WEAK_REL_ALL
|
Partial Payment Class | ||||
| 147 | CL_EPIC_PRTL_PYMT_MGR | EPIC: Partial Payment Manager | ||||
| 148 |
CL_EPIC_PRTL_PYMT_MGR Method: CALCULATE_ASSIGNED_AMT_4_INV
|
EPIC: Partial Payment Manager | ||||
| 149 |
CL_EPIC_PRTL_PYMT_MGR_SERVICE Method: IF_EPIC_PRTL_PYMT_MGR_SERVICE~FETCH_LOCAL_AMOUNT
|
Service Class for Dependencies | ||||
| 150 |
CL_EPIC_PRTL_PYMT_MGR_SERVICE Method: IF_EPIC_PRTL_PYMT_MGR_SERVICE~GET_ITEM_FROM_BSEG
|
Service Class for Dependencies | ||||
| 151 |
CL_EPIC_PRTL_PYMT_MGR_SERVICE Method: IF_EPIC_PRTL_PYMT_MGR_SERVICE~GET_ITEM_FROM_BSIK
|
Service Class for Dependencies | ||||
| 152 |
CL_EPIC_PRTL_PYMT_MGR_SERVICE Method: IF_EPIC_PRTL_PYMT_MGR_SERVICE~GET_ITEM_FROM_BSID
|
Service Class for Dependencies | ||||
| 153 |
CL_EPIC_PRTL_PYMT_MGR_SERVICE Method: IF_EPIC_PRTL_PYMT_MGR_SERVICE~GET_PM_FROM_BSEG
|
Service Class for Dependencies | ||||
| 154 |
CL_EPIC_PRTL_PYMT_SERVICE Method: IF_EPIC_PRTL_PYMT_SERVICE~GET_PM_FROM_BSEG
|
Service Class for Dependencies | ||||
| 155 |
CL_EPIC_UI_SERVICES Method: SCHED_PRO_FOR_WARN_ITEM_F110
|
UI Support (EPIC) | ||||
| 156 |
CL_EPIC_UI_SERVICES Method: SCHED_PRO_RUN_FOR_ITEM_F110
|
UI Support (EPIC) | ||||
| 157 |
CL_ESH_BSEG Method: IF_BADI_ESH_IF_OBJECT_DATA~GET_DATA
|
CL_ESH_BSEG | ||||
| 158 |
CL_EXM_IM_ARC_MM_REBEL_CHECK Method: IF_EX_ARC_MM_REBEL_CHECK~CHECK
|
Sample Implementation of BAdI Definition ARC_MM_REBEL_CHECK | ||||
| 159 | CL_EXM_IM_BADI_IPAC | Example implementation for business add-in definition BADI_I | ||||
| 160 |
CL_EXM_IM_BADI_IPAC Method: IF_EX_BADI_IPAC~METHOD_IPACED_FI_INV
|
Example implementation for business add-in definition BADI_I | ||||
| 161 |
CL_EXM_IM_BADI_IPAC Method: IPACED_RIGHT_JUSTIFY
|
Example implementation for business add-in definition BADI_I | ||||
| 162 |
CL_EXM_IM_FAGL_MIGR_SUBST Method: IF_EX_FAGL_MIGR_SUBST~SUBST_ITEM
|
Example Implementation for BAdI Definition FAGL_MIGR_SUBST | ||||
| 163 |
CL_EXM_IM_FISPLIT Method: IF_EX_FISPLIT~MOVE_TO_ITEM
|
Example Implementation for BAdI Definition FISPLIT | ||||
| 164 |
CL_EXM_IM_IHC_BADI_GUI_CHECKS Method: IF_EX_IHC_BADI_GUI_CHECKS~CHECK_CONTAINER_FIELDS
|
Sample Implementation for BAdI Definition IHC_BADI_GUI_CH | ||||
| 165 |
CL_EXM_IM_REEX_FI_PAYING Method: IF_EX_REEX_FI_PAYING~CHANGE_SEPA_MANDATE
|
Example Class BADI_REEX_FI_PAYING | ||||
| 166 |
CL_EXM_IM_RFID_PTVPR_BADI_002 Method: IF_EX_RFID_PTVPR_BADI_002~SEL_EXC_DOC_TX
|
Example implementation for business add-in definition RFID_P | ||||
| 167 |
CL_EXM_IM_RFID_PTVPR_BADI_003 Method: IF_EX_RFID_PTVPR_BADI_003~SEL_EXC_DOC_ITEM
|
Example implementation for business add-in definition RFID_P | ||||
| 168 |
CL_EX_BOLETO_BARCODE Method: IF_EX_BOLETO_BARCODE~VALIDATE
|
BAdI class CL_EX_BOLETO_BARCODE | ||||
| 169 |
CL_EX_BOLETO_BARCODE Method: IF_EX_BOLETO_BARCODE~CONVERT
|
BAdI class CL_EX_BOLETO_BARCODE | ||||
| 170 |
CL_EX_FBAS_CIN_MF05AFA0 Method: IF_EX_FBAS_CIN_MF05AFA0~EWT_COPY_BSEG
|
BAdI Class CL_EX_FBAS_CIN_MF05AFA0 | ||||
| 171 |
CL_EX_FB_ICRC_001 Method: IF_EX_FB_ICRC_001~ADD_INFORMATION_TO_DATA_RECORD
|
BAdI class CL_EX_FB_ICRC_001 | ||||
| 172 |
CL_EX_FB_ICRC_003 Method: IF_EX_FB_ICRC_003~ADD_INFORMATION_TO_DATA_RECORD
|
BAdI class CL_EX_FB_ICRC_003 | ||||
| 173 |
CL_EX_FISPLIT Method: IF_EX_FISPLIT~CASH_DISCOUNT_SPLIT
|
BAdI Class CL_EX_FISPLIT | ||||
| 174 |
CL_EX_FISPLIT Method: IF_EX_FISPLIT~EXCHANGE_RATE_SPLIT
|
BAdI Class CL_EX_FISPLIT | ||||
| 175 |
CL_EX_FISPLIT Method: IF_EX_FISPLIT~MOVE_ACCOUNT_TO_ITEM
|
BAdI Class CL_EX_FISPLIT | ||||
| 176 |
CL_EX_FISPLIT Method: IF_EX_FISPLIT~MOVE_TO_ITEM
|
BAdI Class CL_EX_FISPLIT | ||||
| 177 |
CL_EX_FI_AUTHORITY_ITEM Method: IF_EX_FI_AUTHORITY_ITEM~FI_AUTHORITY_ITEM
|
BAdI Class CL_EX_FI_AUTHORITY_ITEM | ||||
| 178 |
CL_EX_FI_PAYREF_BADI_010 Method: IF_EX_FI_PAYREF_BADI_010~CREATE_KIDNO
|
BAdI Class CL_EX_FI_PAYREF_BADI_010 | ||||
| 179 |
CL_EX_FMFG_BL_CORRECT Method: IF_EX_FMFG_BL_CORRECT~PREPARE_TO_COLLECT_ORIG
|
BAdI class CL_EX_FMFG_BL_CORRECT | ||||
| 180 |
CL_EX_FOT_RFD Method: IF_EX_FOT_RFD~ADAPT_FI_RFDITM
|
BAdI Class CL_EX_FOT_RFD | ||||
| 181 |
CL_EX_FQST_CALC_COUNTRY Method: IF_EX_FQST_CALC_COUNTRY~CALC_BASE_PER_TYPE
|
BAdI class CL_EX_FQST_CALC_COUNTRY | ||||
| 182 |
CL_EX_FQST_CALC_COUNTRY Method: IF_EX_FQST_CALC_COUNTRY~SET_ACCOUNTING_DOCUMENTS
|
BAdI class CL_EX_FQST_CALC_COUNTRY | ||||
| 183 |
CL_EX_FVD_DUNNING Method: IF_EX_FVD_DUNNING~ACC_API_CHECK_SEL_OPT
|
BAdI Class CL_EX_FVD_DUNNING | ||||
| 184 |
CL_EX_IDCN_GAIS_04 Method: IF_EX_IDCN_GAIS_04~GET_BOOKKEEPER
|
BAdI class CL_EX_IDCN_GAIS_04 | ||||
| 185 |
CL_EX_IDCN_GAIS_04 Method: IF_EX_IDCN_GAIS_04~GET_CASHIER
|
BAdI class CL_EX_IDCN_GAIS_04 | ||||
| 186 |
CL_EX_IDCN_GAIS_04 Method: IF_EX_IDCN_GAIS_04~GET_DOUBLECHECKSTAFF
|
BAdI class CL_EX_IDCN_GAIS_04 | ||||
| 187 |
CL_EX_IDWTREP_ADDFUNCINT Method: IF_EX_IDWTREP_ADDFUNCINT~DS_GET_DB_FILTER_ON_CALLBACK
|
BAdI Class CL_EX_IDWTREP_ADDFUNCINT | ||||
| 188 |
CL_EX_J_1BWHT_BR_EXT Method: IF_EX_J_1BWHT_BR_EXT~DETERMINE_TAX_CODE
|
BAdI class CL_EX_J_1BWHT_BR_EXT | ||||
| 189 |
CL_EX_MR_CIN_MM08RFS0 Method: IF_EX_MR_CIN_MM08RFS0~MR_CIN_IVTAX
|
BAdI class CL_EX_MR_CIN_MM08RFS0 | ||||
| 190 |
CL_FAA_DOCUMENT_DELEGATION Method: IF_FAA_TRWPR_DELEGATION~PROCESS_BELEG_ASSET_DISPOSAL
|
Class for BAdI: FAA_DOCUMENT_DELEGATION (Techn. BAdI Deleg.) | ||||
| 191 |
CL_FAA_DOCUMENT_DELEGATION Method: _CHECK_BELEG_STEP_RELEVANT
|
Class for BAdI: FAA_DOCUMENT_DELEGATION (Techn. BAdI Deleg.) | ||||
| 192 | CL_FAA_DOCUMENT_FI | Document from FIAA Viewpoint (Business Logic) | ||||
| 193 |
CL_FAA_DOCUMENT_FI Method: _CHECK_PRE_ASSET_ON_DISPOSAL
|
Document from FIAA Viewpoint (Business Logic) | ||||
| 194 |
CL_FAA_DOCUMENT_FI Method: _GET_BIZAREA_ASSET_DISPOSAL
|
Document from FIAA Viewpoint (Business Logic) | ||||
| 195 |
CL_FAA_DOCUMENT_FI Method: IF_FAA_TRWPR_DELEGATION~PROCESS_BELEG_ASSET_DISPOSAL
|
Document from FIAA Viewpoint (Business Logic) | ||||
| 196 |
CL_FAA_DOCUMENT_FI Method: IF_FAA_TRWPR_DELEGATION~PROCESS_BELEG_COMPLETE
|
Document from FIAA Viewpoint (Business Logic) | ||||
| 197 |
CL_FAA_DOCUMENT_REVERSIBLE Method: _GET_FI_DOCUMENTS_FOR_REVERSAL
|
Reversible Document | ||||
| 198 |
CL_FAA_DOCUMENT_REVERSIBLE Method: _REMOVE_BUDGETARY_LEDGER_DOC
|
Reversible Document | ||||
| 199 | CL_FAA_POSTING_SERVICES | Services for Posting | ||||
| 200 |
CL_FAA_POSTING_SERVICES Method: FILL_POSTINGCONTROL_FROM_BSEG
|
Services for Posting | ||||
| 201 |
CL_FAA_POSTING_UI_SERVICES Method: SET_ACCOOBJ_FOR_BSEG
|
Service for UI Methods | ||||
| 202 | CL_FAA_POSTING_UI_SERVICES | Service for UI Methods | ||||
| 203 |
CL_FAGL_EMU_BUKRS Method: FILL_SPLINFO
|
Conversion Routines: SOP | ||||
| 204 | CL_FAGL_EMU_CVRT_SERVICES | Conversion Routines for EURO | ||||
| 205 |
CL_FAGL_EMU_CVRT_SERVICES Method: MOVE_BSEG_TO_SI_TABLE
|
Conversion Routines for EURO | ||||
| 206 |
CL_FAGL_EMU_CVRT_SERVICES Method: COLLECT_BALANCE
|
Conversion Routines for EURO | ||||
| 207 |
CL_FAGL_EMU_CVRT_SERVICES Method: PROCESS_COMPARE_BSEG_SPLINFO
|
Conversion Routines for EURO | ||||
| 208 |
CL_FAGL_EMU_CVRT_SERVICES Method: SELECT_CLEARING_DOC
|
Conversion Routines for EURO | ||||
| 209 |
CL_FAGL_EMU_SPLITTER Method: ADJUST_SPLINFO_2
|
Adjustment to SPLINFO(VAL) | ||||
| 210 |
CL_FAGL_EMU_SPLITTER Method: CREATE_VIRTUAL_SI_ENTRIES_NS
|
Adjustment to SPLINFO(VAL) | ||||
| 211 |
CL_FAGL_EMU_SPLITTER Method: ADJUST_SI_TABLE_NSPLIT_NS
|
Adjustment to SPLINFO(VAL) | ||||
| 212 |
CL_FAGL_EMU_SPLITTER Method: ADJUST_SI_TABLE_SPLIT
|
Adjustment to SPLINFO(VAL) | ||||
| 213 |
CL_FAGL_EMU_SPLITTER Method: CREATE_VIRTUAL_SI_ENTRIES
|
Adjustment to SPLINFO(VAL) | ||||
| 214 |
CL_FAGL_RPACK Method: REPOST_LEDGER
|
Reorganization Package | ||||
| 215 | CL_FAGL_R_OBJ_TYPE_001_PO | Reorganization: Profit Center/Purchase Order (Unassigned) | ||||
| 216 |
CL_FAGL_R_OBJ_TYPE_001_PO Method: IF_FAGL_R_OBJ_TYPE~GET_BALANCES
|
Reorganization: Profit Center/Purchase Order (Unassigned) | ||||
| 217 |
CL_FAGL_R_OBJ_TYPE_001_PO Method: GET_SPLIT_ITEMS
|
Reorganization: Profit Center/Purchase Order (Unassigned) | ||||
| 218 | CL_FAGL_R_OBJ_TYPE_001_POA | Reorganization: Profit Center/Purchase Order (Assigned) | ||||
| 219 |
CL_FAGL_R_OBJ_TYPE_001_POA Method: IF_FAGL_R_OBJ_TYPE~GET_BALANCES
|
Reorganization: Profit Center/Purchase Order (Assigned) | ||||
| 220 |
CL_FAGL_R_OBJ_TYPE_001_POA Method: GET_SPLIT_ITEMS
|
Reorganization: Profit Center/Purchase Order (Assigned) | ||||
| 221 |
CL_FAGL_R_OBJ_TYPE_APAR Method: G_FILL_ACC_ASSIGN_P
|
Reorganization: General - Payable and Receivable | ||||
| 222 |
CL_FAGL_R_SPLIT_REORG Method: GET_FC_VAL
|
Reorg.: Additional Doc. Splitting Attributes for Reorg. | ||||
| 223 |
CL_FAGL_R_SPLIT_REORG Method: SIMADD_GET_SPLITINFO_FOR_DOC_P
|
Reorg.: Additional Doc. Splitting Attributes for Reorg. | ||||
| 224 |
CL_FAGL_R_SPLIT_REORG Method: SET_TEMP_REBZG_VBRK_REVERSAL
|
Reorg.: Additional Doc. Splitting Attributes for Reorg. | ||||
| 225 |
CL_FAGL_R_SPLIT_REORG Method: GET_FI_DOC_P
|
Reorg.: Additional Doc. Splitting Attributes for Reorg. | ||||
| 226 | CL_FAGL_R_SPLIT_REORG | Reorg.: Additional Doc. Splitting Attributes for Reorg. | ||||
| 227 |
CL_FAGL_SPLIT_SERVICES Method: CHECK_BSEG_FIELD
|
Services for Split | ||||
| 228 |
CL_FAGL_STATE_POSTED Method: READ_LINE_ITEMS
|
Document Status FI: Posted Document | ||||
| 229 |
CL_FBICRC_DB_SERVICE Method: GET_ACCOUNT_INFO
|
ICR Database Services | ||||
| 230 |
CL_FBICRC_DB_SERVICE Method: GET_GL_ACC_AND_ACC_GROUP
|
ICR Database Services | ||||
| 231 |
CL_FBICRC_SERVICES Method: COMPLETE_DATA
|
CL_FBICRC_SERVICES | ||||
| 232 |
CL_FDM_COLL_CONTROLLER Method: CREATE_DISP
|
Collections Management Controller | ||||
| 233 |
CL_FDM_COLL_CONTROLLER Method: CREATE_DISP_ON_ITEM_LEVEL
|
Collections Management Controller | ||||
| 234 |
CL_FDM_COLL_CONTROLLER Method: DISPLAY_PAYMENT_USAGE
|
Collections Management Controller | ||||
| 235 |
CL_FDM_COLL_POST_DATA Method: POST_DELTA
|
Update of Documents for a Customer | ||||
| 236 | CL_FDM_COLL_POST_DATA | Update of Documents for a Customer | ||||
| 237 |
CL_FDM_COLL_POST_DATA Method: CUSTOMER_ITEM
|
Update of Documents for a Customer | ||||
| 238 |
CL_FDM_COLL_POST_DATA Method: CUSTOMER_REFERENCE
|
Update of Documents for a Customer | ||||
| 239 |
CL_FDM_COLL_POST_DATA Method: GL_ITEM
|
Update of Documents for a Customer | ||||
| 240 |
CL_FDM_COLL_POST_DATA Method: POST_NEW
|
Update of Documents for a Customer | ||||
| 241 |
CL_FDM_COLL_POST_SERV Method: COMPARE_EXCEPT_SGTXT
|
Services for Posting the Documents | ||||
| 242 |
CL_FDM_COLL_SAMPLE_GET_ADDL46C Method: GET_BSEG_DATA
|
Example: Read Additional Fields (XREF3, EMPFB) fro 4.6C | ||||
| 243 | CL_FEBAN_ALV_GRID | Represents the Selection in the ALV Grid | ||||
| 244 | CL_FEBAN_LOCKBOX_ALV_GRID | Represents the Selection in the ALV Grid | ||||
| 245 |
CL_FEB_BSPROC_BS_ITEM Method: ADD_DME_DOC
|
Bank Statement Items for Postprocessing | ||||
| 246 |
CL_FEB_BSPROC_BS_ITEM Method: CHECK_ON_ACCOUNT_DOCUMENT
|
Bank Statement Items for Postprocessing | ||||
| 247 |
CL_FEB_BSPROC_BS_ITEM Method: POST
|
Bank Statement Items for Postprocessing | ||||
| 248 | CL_FEB_BSPROC_BS_ITEM | Bank Statement Items for Postprocessing | ||||
| 249 |
CL_FEB_BSPROC_BS_ITEM Method: DEFAULT_ACCOUNT_ASSIGNMENTS
|
Bank Statement Items for Postprocessing | ||||
| 250 |
CL_FEB_BSPROC_BS_ITEM Method: GET_DME_ITEM
|
Bank Statement Items for Postprocessing | ||||
| 251 |
CL_FEB_BSPROC_BS_ITEM Method: MODIFY_BSEG
|
Bank Statement Items for Postprocessing | ||||
| 252 |
CL_FEB_BSPROC_BS_ITEM Method: GET_DYNAMIC_ACCOUNT
|
Bank Statement Items for Postprocessing | ||||
| 253 |
CL_FEB_BSPROC_BS_ITEM Method: COMPARE_ACCOUNT
|
Bank Statement Items for Postprocessing | ||||
| 254 |
CL_FEB_BSPROC_OI_SERVICES Method: GET_CLEARED_ITEMS4FEBEP
|
Treatment of Open Items | ||||
| 255 |
CL_FEB_BSPROC_OI_SERVICES Method: DETERMINE_SAKNR
|
Treatment of Open Items | ||||
| 256 |
CL_FEB_BSPROC_OI_SERVICES Method: DETERMINE_LIFNR
|
Treatment of Open Items | ||||
| 257 |
CL_FEB_BSPROC_OI_SERVICES Method: GET_AGUMS
|
Treatment of Open Items | ||||
| 258 |
CL_FEB_BSPROC_OI_SERVICES Method: GET_OPEN_ITEMS4FEBEP
|
Treatment of Open Items | ||||
| 259 |
CL_FEB_BSPROC_OI_SERVICES Method: DETERMINE_KUNNR
|
Treatment of Open Items | ||||
| 260 |
CL_FEB_BSPROC_OI_SERVICES Method: GET_CLEARED_ITEMS
|
Treatment of Open Items | ||||
| 261 |
CL_FIAAIN_POTRACK Method: GET_BSEG
|
Tracking of Asset | ||||
| 262 |
CL_FIAAIN_POTRACK Method: GET_BSEG_WITH_PO
|
Tracking of Asset | ||||
| 263 |
CL_FIAPPT_CBR Method: PROCESS_PARTIAL_ITEMS
|
Class for CBR PT | ||||
| 264 |
CL_FIAPPT_CBR Method: GET_PAID_DOC_FROM_BSEG
|
Class for CBR PT | ||||
| 265 | CL_FIAPPT_CBR | Class for CBR PT | ||||
| 266 |
CL_FIAPPT_CBR Method: GET_BSEG
|
Class for CBR PT | ||||
| 267 |
CL_FINAR_HDB_OI Method: GET_RAW_DATA
|
Class for Overdue Items HDB Access | ||||
| 268 |
CL_FINAR_HDB_OI Method: GET_CALC_RESULTS
|
Class for Overdue Items HDB Access | ||||
| 269 |
CL_FIND_SRULE_BUS_AN Method: ON_READ_DOCUMENT_ITEMS
|
Business Logic for Line Item Settlement of AuC | ||||
| 270 | CL_FIN_LDB_BRF | Logical Database BRF Utility Class | ||||
| 271 |
CL_FIN_LDB_BRF Method: _BADI_AUTHORITY_ITEM
|
Logical Database BRF Utility Class | ||||
| 272 | CL_FIN_LDB_BRF | Logical Database BRF Utility Class | ||||
| 273 |
CL_FIN_LDB_BRF Method: BSEG
|
Logical Database BRF Utility Class | ||||
| 274 |
CL_FIWTIN_QRETURNS_DOCUMENTS Method: PROCESS_CLEARING
|
India Quarterly retrun | ||||
| 275 |
CL_FIWTIN_QRETURNS_DOCUMENTS Method: PROCESS_DOWNPAYMENT
|
India Quarterly retrun | ||||
| 276 |
CL_FIWTIN_QRETURNS_DOCUMENTS Method: PROCESS_CREDITMEMO
|
India Quarterly retrun | ||||
| 277 |
CL_FMEUF_DOC_SEL_1 Method: IF_FMEUF_DOC_SEL~DOCUMENT_DETAIL
|
BAdI Impl Class Document selection Expenditure Certification | ||||
| 278 |
CL_FMFG_FI_DOC_ARCH_CHK_IMP Method: IF_EX_FI_DOCUMNT_CHECK~CHECK_FOR_ARCHIVING
|
CL_FMFG_FI_DOC_ARCH_CHK_IMP | ||||
| 279 |
CL_FMPP_DOCUMENTS Method: FILL_ACCCR
|
Partial Payment by Fund Documents | ||||
| 280 |
CL_FMPP_DOCUMENTS Method: ACC_PAYMENT_REQUEST
|
Partial Payment by Fund Documents | ||||
| 281 | CL_FMPP_DOCUMENTS | Partial Payment by Fund Documents | ||||
| 282 |
CL_FMPP_DOCUMENTS Method: FILL_ACCIT
|
Partial Payment by Fund Documents | ||||
| 283 |
CL_FMPP_DOCUMENTS Method: GET_AMOUNT_BSIK
|
Partial Payment by Fund Documents | ||||
| 284 |
CL_FMPP_SERVICES Method: CHECK_LOCK_UNLOCK
|
Partial Payment by Fund Services | ||||
| 285 |
CL_FMPP_SERVICES Method: GET_FMPP_DOCUMENTS
|
Partial Payment by Fund Services | ||||
| 286 | CL_FMPP_SERVICES | Partial Payment by Fund Services | ||||
| 287 | CL_FMPP_SERVICES | Partial Payment by Fund Services | ||||
| 288 |
CL_FM_FUNDED_PROG_UTIL_APPL Method: GET_MEASURE_FROM_MATDOC
|
Utilities for switched Funded Program field | ||||
| 289 | CL_FPDP_ALV_CONTROL | Purchase Order Items | ||||
| 290 |
CL_FPDP_CUSTOMER Method: IF_EX_CALC_VALUES~CALC_PROPOSED_VALUES
|
CL_FPDP_CUSTOMER | ||||
| 291 |
CL_FPIA_APP_DOWN_PAYM_REQ Method: POST
|
Application for Down Payment Request | ||||
| 292 |
CL_FPIA_APP_FI Method: SAVE_POSTED_DOC
|
FPIA Application for FI transactions | ||||
| 293 |
CL_FPIA_APP_FI Method: SAVE_PARKED_DOC
|
FPIA Application for FI transactions | ||||
| 294 |
CL_FPIA_APP_FI_MM Method: COPY_PAYMENT_TERMS_FI
|
FPIA Application FI and MM | ||||
| 295 | CL_FPIA_APP_FI_MM | FPIA Application FI and MM | ||||
| 296 |
CL_FPIA_APP_MM Method: ASSIGN_FI_DOCUMENTS
|
FPIA Application for MM transactions | ||||
| 297 |
CL_FPIA_INTITSHOW Method: SELECT_OFFSETING_ITEMS
|
Class for report FPIA_RFINITITSHOW | ||||
| 298 |
CL_FPIA_KEPL00 Method: GET_CLEARING_DATE
|
Class for report FPIA_RFKEPL00 | ||||
| 299 |
CL_FPIA_SRV_INT_MGR Method: CREATE_INTEREST_BY_FI
|
Service Interest Manager | ||||
| 300 | CL_FPRL_EDIT | FPRL Editing | ||||
| 301 |
CL_FPRL_EDIT Method: CHECK_PAYMT_METHOD
|
FPRL Editing | ||||
| 302 |
CL_FPRL_EDIT Method: CONSTRUCTOR
|
FPRL Editing | ||||
| 303 |
CL_FVD_PPM Method: RETRIEVE_FLOWS_DUE
|
Payment Plan Manager: Interface to FSIH | ||||
| 304 |
CL_FVD_PPM Method: /FSIH/IF_PAYM_PLAN_MANAGER~RETRIEVE_PREMIUMS_DUE
|
Payment Plan Manager: Interface to FSIH | ||||
| 305 |
CL_FVD_PPM Method: /FSIH/IF_PAYM_PLAN_MANAGER~RETRIEVE_PREMIUMS_PAID
|
Payment Plan Manager: Interface to FSIH | ||||
| 306 |
CL_GLE_MCA_DOCUMENT Method: IF_MCA_DOCUMENT~PROCESS_DOCUMENTS
|
BAdI MCA Document - Example Class | ||||
| 307 |
CL_GLE_MCA_FXR_UPD_ITEM_001 Method: IF_GLE_MCA_FXR_UPD_ITEM_001~UPDATE_POSTITEMS
|
CL_GLE_MCA_FXR_UPD_ITEM_001 | ||||
| 308 |
CL_GLE_MCA_IFX_PROCESS Method: IF_GLE_MCA_PROCESS~PROCESS_DOCUMENTS
|
IFX process | ||||
| 309 |
CL_GLE_MCA_IFX_PROCESS Method: IF_GLE_MCA_PROCESS~GET_POSTLINES
|
IFX process | ||||
| 310 | CL_GLE_MCA_IFX_PROCESS | IFX process | ||||
| 311 |
CL_GLE_MCA_IFX_PROCESS Method: GET_POSTLINES_GL_AP_AR
|
IFX process | ||||
| 312 | CL_GLE_MCA_PL_PROCESS | P&L process | ||||
| 313 |
CL_GLE_MCA_PL_PROCESS Method: EXECUTE_PLL
|
P&L process | ||||
| 314 | CL_GLE_MCA_SERVICE_FACTORY | Service Factory | ||||
| 315 |
CL_GRPCRTA_MGFICLPEP03C1 Method: IF_GRPCRTA_CONTROL~SHOW_DETAIL
|
Evaluation of Prior Period Posting Entries | ||||
| 316 |
CL_GRPCRTA_MGFICLPEP03C1 Method: RETRIEVE_DATA
|
Evaluation of Prior Period Posting Entries | ||||
| 317 | CL_GRPCRTA_MGFICLPEP03C1 | Evaluation of Prior Period Posting Entries | ||||
| 318 | CL_GRPCRTA_MGFICLPEP03C1N | Evaluation of Prior Period Posting Entries | ||||
| 319 |
CL_GRPCRTA_MGFICLPEP03C1N Method: RETRIEVE_DATA
|
Evaluation of Prior Period Posting Entries | ||||
| 320 | CL_GRPCRTA_MGFIINVPOST01BC1 | Analysis of Vendor invoices against tolerance limit | ||||
| 321 | CL_GRPCRTA_MGFIINVPOST01BC1N | Analysis of Vendor invoices against tolerance limit | ||||
| 322 |
CL_GRPCRTA_MGFIINVPOST01BC1N Method: RETRIEVE_DATA
|
Analysis of Vendor invoices against tolerance limit | ||||
| 323 | CL_GRPCRTA_MGFIMDDIS1005C1 | Evaluation of Revenue Recognition Accounts at Account level | ||||
| 324 |
CL_GRPCRTA_MGFIMDDIS1005C1 Method: GET_DATA
|
Evaluation of Revenue Recognition Accounts at Account level | ||||
| 325 |
CL_GRPCRTA_MGFIMDDIS1005C1N Method: GET_DATA
|
Evaluation of Revenue Recognition Accounts at Account level | ||||
| 326 | CL_GRPCRTA_MGFIMDDIS1005C1N | Evaluation of Revenue Recognition Accounts at Account level | ||||
| 327 |
CL_GRPCRTA_MGFIMDDIS1005C2 Method: GET_DATA
|
GL Postings at Account Item Level | ||||
| 328 |
CL_GRPCRTA_MGFIMDDIS1005C2N Method: GET_DATA
|
GL Postings at Account Item Level | ||||
| 329 |
CL_GRPCRTA_MGFIMDDIS1006C1 Method: GET_DATA
|
Analysis of GL postings at Document level | ||||
| 330 | CL_GRPCRTA_MGFIMDDIS1006C1 | Analysis of GL postings at Document level | ||||
| 331 |
CL_GRPCRTA_MGFIMDDIS1006C1N Method: GET_DATA
|
Analysis of GL postings at Document level | ||||
| 332 | CL_GRPCRTA_MGFIMDDIS1006C1N | Analysis of GL postings at Document level | ||||
| 333 | CL_GRPCRTA_MGFIMDDIS1006C2 | Evaluation of Prior Period Posting Entries | ||||
| 334 |
CL_GRPCRTA_MGFIMDDIS1006C2 Method: RETRIEVE_DATA
|
Evaluation of Prior Period Posting Entries | ||||
| 335 |
CL_GRPCRTA_MGFIMDDIS1007C1 Method: GET_DATA
|
Recurring GL Postings | ||||
| 336 |
CL_GRPCRTA_MGFIMDDIS1007C1N Method: GET_DATA
|
Recurring GL Postings | ||||
| 337 | CL_GRPCRTA_MGFIREPDIS05C1 | Evaluation of Prior Period Posting Entries | ||||
| 338 |
CL_GRPCRTA_MGFIREPDIS05C1 Method: IF_GRPCRTA_CONTROL~SHOW_DETAIL
|
Evaluation of Prior Period Posting Entries | ||||
| 339 |
CL_GRPCRTA_MGFIREPDIS05C1 Method: RETRIEVE_DATA
|
Evaluation of Prior Period Posting Entries | ||||
| 340 |
CL_GRPCRTA_MGLOPURVAP07C1 Method: GET_DATA
|
Record all posted invoices that have resulted in overpayment | ||||
| 341 |
CL_GRPCRTA_MGLOPURVAP07C2 Method: GET_DATA
|
Record all posted invoices that have resulted in overpayment | ||||
| 342 | CL_GRPCRTA_MGLOPURVAP10C2 | Vendor Credit Note Analysis | ||||
| 343 |
CL_IDSAU_WT_CERTIFICATE Method: GET_WHT_FRM_CERTNO
|
operations on certificate | ||||
| 344 |
CL_IDSAU_WT_CERT_DETAILS Method: READ_FI_DOC
|
reads the certificate details | ||||
| 345 |
CL_IDSAU_WT_CERT_DETAILS Method: READ_WHT_TAX
|
reads the certificate details | ||||
| 346 |
CL_IFW_MODEL Method: _GET_SET_PAYMENT_STATUS
|
IFW UI Model Class | ||||
| 347 |
CL_IMP_FDM_BEFORE_SEND Method: IF_EX_FDM_BEFORE_SEND~ENHANCE
|
Imp. Class for BAdI FDM_IMP_BEFORE_SEND | ||||
| 348 |
CL_IMP_FDM_BEFORE_SEND_CSD Method: IF_EX_FDM_BEFORE_SEND~ENHANCE
|
Class for BAdI Impl.: FDM_IMP_BEFORE_SEND_CSD | ||||
| 349 |
CL_IM_AR_FI_CHANGE_WTAX_CODE Method: IF_CHANGE_WTAX_CODE~CHANGE_WTAX_CODE
|
Implementation of Withholding Tax Code | ||||
| 350 |
CL_IM_AR_UNITPRICE_UPDATE Method: IF_EX_INVOICE_UPDATE~CHANGE_AT_SAVE
|
CL_IM_AR_UNITPRICE_UPDATE | ||||
| 351 |
CL_IM_BADI_JVA_MM07M_JV Method: IF_EX_BADI_JVA_MM07M~JVA_DETERMINE_RECID
|
Implementation Class for Badi Impl. BAD_JVA_MM07M_JV | ||||
| 352 |
CL_IM_BOLETO_BARCODE_BR Method: IF_EX_BOLETO_BARCODE~CONVERT
|
Imp. class for BAdI imp. BOLETO_BARCODE_BR | ||||
| 353 |
CL_IM_CIN_FBAS_MF05AFA0 Method: IF_EX_FBAS_CIN_MF05AFA0~EWT_DP_TAX_TRANSFER
|
Imp. class for BAdI imp. CIN_FBAS_MF05AFA0 | ||||
| 354 |
CL_IM_CIN_FBAS_MF05AFA0 Method: IF_EX_FBAS_CIN_MF05AFA0~EWT_COPY_BSEG
|
Imp. class for BAdI imp. CIN_FBAS_MF05AFA0 | ||||
| 355 |
CL_IM_CIN_MR_CIN_MM08RFS0 Method: IF_EX_MR_CIN_MM08RFS0~MR_CIN_IVTAX
|
Imp. class for BAdI imp. CIN_MR_CIN_MM08RFS0 | ||||
| 356 |
CL_IM_CON_FIN_DOC_DISP_LI2 Method: IF_EX_FI_DOC_DISP_LI~DISPLAY_LINE_ITEM
|
Imp. Class for BAdI Imp. CON_FIN_DOC_DISP_LI2 | ||||
| 357 |
CL_IM_CRM_CCM_FOAP_ACTIVECHECK Method: IF_EX_FOAP_ADDIT_ACTIVE_CHECKS~CHECK_ACTIVE
|
Class for BAdI Impl.: CRM_CCM_FOAP_ACTIVE_CHECK | ||||
| 358 |
CL_IM_CRM_CCM_PAYMENT_TRANSFER Method: IF_EX_CRM_CCM_PAYMENT_TRANSFER~PUBLISH_PAYMENT
|
Class for BAdI Impl.: CRM_CCM_PAYMENT_TRANSFER | ||||
| 359 |
CL_IM_DEFTAX_ITEM_CHECK Method: IF_EX_FI_DOCUMNT_CHECK~CHECK_FOR_ARCHIVING
|
Imp. Class for BAdI Imp. DEFTAX_ITEM_CHECK | ||||
| 360 |
CL_IM_EPIC_FPRL_EDIT Method: IF_EX_FPRL_ACTION_EXECUTE~EXECUTE
|
BAdI Implementation for PRL Editing in EPIC | ||||
| 361 |
CL_IM_EWT_COPY_WITH_ITEM Method: IF_EX_FQST_CIN_WITHITEM~EWT_COPY_LIV_WITH_ITEM
|
Imp. class for BAdI imp. EWT_COPY_WITH_ITEM | ||||
| 362 |
CL_IM_EWT_COPY_WITH_ITEM Method: IF_EX_FQST_CIN_WITHITEM~EWT_COPY_BUPLA
|
Imp. class for BAdI imp. EWT_COPY_WITH_ITEM | ||||
| 363 |
CL_IM_EWT_COPY_WITH_ITEM Method: IF_EX_FQST_CIN_WITHITEM~EWT_GET_BUPLA
|
Imp. class for BAdI imp. EWT_COPY_WITH_ITEM | ||||
| 364 |
CL_IM_FBMW_FOREIGN_TRADE Method: IF_EX_FBMW_FOREIGN_TRADE~ADJUSTMENT_DETERMINE_REFERENCE
|
Class for BAdI: FBMW_FOREIGN_TRADE | ||||
| 365 |
CL_IM_FB_ICRC_001 Method: IF_EX_FB_ICRC_001~ADD_INFORMATION_TO_DATA_RECORD
|
Imp. class for BAdI imp. FB_ICRC_001 | ||||
| 366 |
CL_IM_FB_ICRC_001 Method: IF_EX_FB_ICRC_001~CHANGE_DATA_TABLE_SENDER_SYS
|
Imp. class for BAdI imp. FB_ICRC_001 | ||||
| 367 |
CL_IM_FDM_AR_CCM_PAYMENT_CHECK Method: IF_EX_FDM_AR_CCM_PAYMENT_CHECK~CHECK_PAYMENT
|
Class for BAdI Impl.: FDM_AR_CCM_PAYMENT_CHECK | ||||
| 368 |
CL_IM_FDM_AR_ITEM_MENU_IM2 Method: IF_EX_FI_ITEMS_MENUE02~LIST_ITEMS05
|
Imp. class for BAdI imp. | ||||
| 369 |
CL_IM_FI_INT_SAP01_CML Method: IF_EX_FI_INT_SAP01~INT_CHANGE_ITEMS
|
Imp. Class for BAdI Imp. FI_INT_SAP01_CML | ||||
| 370 |
CL_IM_FI_RES_ITEM_CURR_IMP Method: IF_EX_FI_RES_ITEM_CURRENCY~CALL_FI_REPOST_OP
|
Imp. Class for BAdI Imp. FI_RES_ITEM_CURR_IMP | ||||
| 371 |
CL_IM_FMBS_ADDON_AUTH_FI Method: IF_EX_FI_AUTHORITY_ITEM~FI_AUTHORITY_ITEM
|
Imp. Class for BAdI Imp. FMBS_ADDON_AUTH_FI | ||||
| 372 |
CL_IM_FM_DO_NET_DAYS_FI Method: CALL_MESSAGE_BADI
|
Imp. class for BAdI imp. FM_DO_NET_DAYS_FI | ||||
| 373 |
CL_IM_FOT_VAT_DECL_BE Method: IF_EX_FOT_VAT_DECL~CREATE_XML
|
Imp. class for BAdI imp. FOT_VAT_DECL_BE | ||||
| 374 |
CL_IM_FOT_VAT_DECL_GB Method: IF_EX_FOT_VAT_DECL~CREATE_XML
|
Imp. class for BAdI imp. FOT_VAT_DECL_GB | ||||
| 375 |
CL_IM_FOT_VAT_DECL_LU Method: IF_EX_FOT_VAT_DECL~CREATE_XML
|
Imp. class for BAdI imp. FOT_VAT_DECL_LU | ||||
| 376 |
CL_IM_FQST_CALC_COUNTRY_BR Method: CALC_TAX
|
Imp. class for BAdI imp. FQST_CALC_COUNTRY_BR | ||||
| 377 |
CL_IM_FQST_CALC_COUNTRY_BR Method: FILL_TAXCOM_SD
|
Imp. class for BAdI imp. FQST_CALC_COUNTRY_BR | ||||
| 378 |
CL_IM_FQST_CALC_COUNTRY_BR Method: GET_CURRENT_OPEN_ITEM
|
Imp. class for BAdI imp. FQST_CALC_COUNTRY_BR | ||||
| 379 |
CL_IM_FQST_CALC_COUNTRY_BR Method: FILL_TAXCOM
|
Imp. class for BAdI imp. FQST_CALC_COUNTRY_BR | ||||
| 380 |
CL_IM_FQST_CALC_COUNTRY_BR Method: DETERMINE_TAX_CODE_WITH_BADI
|
Imp. class for BAdI imp. FQST_CALC_COUNTRY_BR | ||||
| 381 | CL_IM_FQST_CALC_COUNTRY_BR | Imp. class for BAdI imp. FQST_CALC_COUNTRY_BR | ||||
| 382 |
CL_IM_FQST_CALC_COUNTRY_BR Method: IF_EX_FQST_CALC_COUNTRY~SET_ACCOUNTING_DOCUMENTS
|
Imp. class for BAdI imp. FQST_CALC_COUNTRY_BR | ||||
| 383 |
CL_IM_FQST_CALC_COUNTRY_BR Method: CHECK_RELEVANT
|
Imp. class for BAdI imp. FQST_CALC_COUNTRY_BR | ||||
| 384 |
CL_IM_FQST_CALC_COUNTRY_BR Method: IF_EX_FQST_CALC_COUNTRY~CALC_BASE_PER_TYPE
|
Imp. class for BAdI imp. FQST_CALC_COUNTRY_BR | ||||
| 385 |
CL_IM_FQST_CALC_COUNTRY_BR Method: GET_TAX_RECORD
|
Imp. class for BAdI imp. FQST_CALC_COUNTRY_BR | ||||
| 386 |
CL_IM_FQST_CALC_COUNTRY_BR Method: IF_EX_FQST_CALC_COUNTRY~DETERM_BASE_FOR_CHECK
|
Imp. class for BAdI imp. FQST_CALC_COUNTRY_BR | ||||
| 387 |
CL_IM_FQST_CALC_COUNTRY_BR Method: GET_WHT_AMOUNT
|
Imp. class for BAdI imp. FQST_CALC_COUNTRY_BR | ||||
| 388 |
CL_IM_FQST_CALC_COUNTRY_BR Method: READ_WT_CUSTOMIZING
|
Imp. class for BAdI imp. FQST_CALC_COUNTRY_BR | ||||
| 389 |
CL_IM_FVD_DUNN_CL Method: IF_EX_FVD_DUNNING~ACC_API_CHECK_SEL_OPT
|
Imp. Class for BAdI Imp. FVD_IM_DUNN_CL | ||||
| 390 |
CL_IM_IMPCZ_TAXREP_011 Method: IF_EX_FI_TAX_BADI_011~APPEND_TAX_ITEM
|
Imp. class for BAdI imp. IMPCZ_TAXREP_011 | ||||
| 391 |
CL_IM_IMPCZ_TAXREP_016 Method: IF_EX_FI_TAX_BADI_016~END_OF_SELECTION
|
Imp. class for BAdI imp. IMPCZ_TAXREP_016 | ||||
| 392 |
CL_IM_IMPID_IDWTREP Method: IF_EX_IDWTREP_ADDFUNCINT~ALLDATA_MODIFY_BEFORE_OUTPUT
|
Imp. class for BAdI imp. IMPID_IDWTREP | ||||
| 393 |
CL_IM_IMPIE_IDWTREP Method: IF_EX_IDWTREP_ADDFUNCINT~QSTRMAIN_MODIFY_BEFORE_OUTPUT
|
Imp. class for BAdI imp. IMPIE_IDWTREP | ||||
| 394 |
CL_IM_IMPIT_IDWTREP Method: IF_EX_IDWTREP_ADDFUNCINT~QSTRMAIN_MODIFY_BEFORE_OUTPUT
|
Imp. class for BAdI imp. IMPIT_IDWTREP | ||||
| 395 |
CL_IM_IMPJP_IDWTREP Method: IF_EX_IDWTREP_ADDFUNCINT~QSTRMAIN_MODIFY_BEFORE_OUTPUT
|
Imp. class for BAdI imp. IMPJP_IDWTREP | ||||
| 396 |
CL_IM_IMPTH_TAXREP_011 Method: IF_EX_FI_TAX_BADI_011~APPEND_TAX_ITEM
|
Imp. class for BAdI imp. IMPTH_TAXREP_011 | ||||
| 397 |
CL_IM_IMPUK_IDWTREP Method: IF_EX_IDWTREP_ADDFUNCINT~QSTRMAIN_MODIFY_BEFORE_OUTPUT
|
Imp. class for BAdI imp. IMPUK_IDWTREP | ||||
| 398 |
CL_IM_IMPVE_IDWTREP Method: IF_EX_IDWTREP_ADDFUNCINT~ALLDATA_MODIFY_BEFORE_OUTPUT
|
Imp. class for BAdI imp. IMPVE_IDWTREP | ||||
| 399 |
CL_IM_ISJP_CHANGE_STATEMNT Method: IF_EX_FIEB_CHANGE_STATEMNT~CHANGE_DATA
|
Imp. class for BAdI imp. ISJP_CHANGE_STATEMNT | ||||
| 400 |
CL_IM_J1BA_DDA_BRAZIL Method: IF_EX_MRM_HEADER_CHECK~HEADERDATA_CHECK
|
Imp. class for BAdI imp. J1BA_DDA_BRAZIL | ||||
| 401 |
CL_IM_J_3RFVATSD_DOCFLOW Method: IF_EX_BADI_SD_DOCUMENTFLOW~ADD_SUBSEQUENT_DOCUMENT
|
Imp. class for BAdI imp. J_3RFVATSD_DOCFLOW | ||||
| 402 |
CL_IM_OI0_SD_VBAK_CHECK Method: IF_EX_ARC_SD_VBAK_CHECK~CHECK
|
Imp. class for BAdI imp. OI0_SD_VBAK_CHECK | ||||
| 403 |
CL_IM_OI0_SD_VBRK_CHECK Method: IF_EX_ARC_SD_VBRK_CHECK~CHECK
|
Imp. class for BAdI imp. OI0_SD_VBRK_CHECK | ||||
| 404 |
CL_IM_OIA_FI_DOCUMNT_CHECK Method: IF_EX_FI_DOCUMNT_CHECK~CHECK_FOR_ARCHIVING
|
Imp.-Class for BAdI-Imp. OIA_FI_DOCUMNT_CHECK | ||||
| 405 |
CL_IM_OIC_SD_ACCOUNTING Method: IF_EX_BADI_SD_ACCOUNTING~ACCOUNTING_INTERFACE
|
Imp. class for BAdI imp. OIC_SD_ACCOUNTING | ||||
| 406 |
CL_IM_REXC_CORR_CHECK_REV Method: IF_EX_RERA_REVERSAL~MODIFY_DOC_SEL_FOR_REPP_REV
|
Beispielklasse BADI_RERA_REVERSAL | ||||
| 407 |
CL_IM_REXC_CORR_REEX_FI_BAPI Method: _SET_CORRECTION_REF
|
FI-Changes for correction/reversal invoices | ||||
| 408 |
CL_IM_REXC_CORR_REEX_FI_BAPI Method: _SET_CORRECTION_REF_RESC
|
FI-Changes for correction/reversal invoices | ||||
| 409 |
CL_IM_REXC_CORR_REEX_FI_BAPI Method: _SET_CORRECTION_REF_REPP
|
FI-Changes for correction/reversal invoices | ||||
| 410 |
CL_IM_REXC_CORR_RERA_INVOICE Method: IF_EX_RERA_INVOICE~ADAPT_INVOICE_ITEM_LIST
|
Change Correction/Reversal invoicing | ||||
| 411 |
CL_IM_REXC_CORR_RERA_INVOICE Method: IF_EX_RERA_INVOICE~AFTER_STORE
|
Change Correction/Reversal invoicing | ||||
| 412 |
CL_IM_REXC_HU_FF_DOCDATE Method: _GET_PYMNT_TERM_BY_REFDOCID
|
Class for BAdI Impl.: BADI_RE_XC_HU_FF_DATE | ||||
| 413 |
CL_IM_REXC_IN_REEX_FI_POST Method: IF_EX_REEX_FI_BAPI~BAPIDOC_MODIFY
|
Class for BAdI: BADI_REEX_FI_BAPI | ||||
| 414 |
CL_IM_REXC_MM_OT_DOC Method: IF_EX_RERA_DOC~BEFORE_POST
|
Class for BAdI: BADI_RERA_DOC | ||||
| 415 |
CL_IM_REXC_PT_SAFT Method: _GET_VATID
|
SAF-T Implementation class for BADI_RE_XC_PT_SAFT | ||||
| 416 |
CL_IM_RFIDES_TAX_BADI_016 Method: IF_EX_FI_TAX_BADI_016~END_OF_SELECTION
|
Implementation Class for Add-In RFIDES_TAX_BADI_016 | ||||
| 417 |
CL_IM_RFIDHU_FI_DSP Method: IF_EX_FI_HU_DSP_REPORT~MM_GET_INVOICE_DETAILS
|
Class for BAdI Impl.: IMPL_BADI_HU_DSP | ||||
| 418 |
CL_IM_RFIDHU_FI_DSP Method: GET_FI_DOC_FROM_REF_PARTNER
|
Class for BAdI Impl.: IMPL_BADI_HU_DSP | ||||
| 419 |
CL_IM_RFIDHU_FI_DSP Method: IF_EX_FI_HU_DSP_REPORT~FI_GET_INVOICE_DETAILS
|
Class for BAdI Impl.: IMPL_BADI_HU_DSP | ||||
| 420 |
CL_IM_RFIDID_TAX_BADI_011 Method: IF_EX_FI_TAX_BADI_011~APPEND_TAX_ITEM
|
Imp. class for BAdI imp. RFIDID_TAX_BADI_011 | ||||
| 421 |
CL_IM_RFIDID_TAX_BADI_012 Method: IF_EX_FI_TAX_BADI_012~GET_BKPF_LATE
|
Imp. class for BAdI imp. RFIDID_TAX_BADI_012 | ||||
| 422 |
CL_IM_RFIDID_TAX_BADI_015 Method: IF_EX_FI_TAX_BADI_015~END_OF_SELECTION
|
Imp. class for BAdI imp. RFIDID_TAX_BADI_015 | ||||
| 423 |
CL_IM_RFIDIT_TAX_BADI_016 Method: IF_EX_FI_TAX_BADI_016~END_OF_SELECTION
|
Imp. class for BAdI imp. RFIDIT_TAX_BADI_016 | ||||
| 424 |
CL_IM_RFIDTW_TAX_BADI_011 Method: IF_EX_FI_TAX_BADI_011~APPEND_TAX_ITEM
|
Imp. class for BAdI imp. RFIDTW_TAX_BADI_011 | ||||
| 425 |
CL_IM_RFIDTW_TAX_BADI_012 Method: IF_EX_FI_TAX_BADI_012~GET_BKPF_LATE
|
Class for BAdI Implementation RFIDTW_TAX_BADI_012 | ||||
| 426 |
CL_IM_RFIDTW_TAX_BADI_015 Method: IF_EX_FI_TAX_BADI_015~END_OF_SELECTION
|
Implementation Class for Implementation RFIDTW_TAX_BADI_015 | ||||
| 427 |
CL_IM_XML_GEN Method: IF_FIEU_SAFT_XML_GENERATION~CREATE_XML_GL_MASTER_PT
|
Class for BAdI: FIEUSAFT_XML_GENERATION | ||||
| 428 |
CL_ISH_NL_CINV_FI Method: CREATE_CUSTOMER_INVOICE
|
FI Aktion fur Sammelrechnung | ||||
| 429 |
CL_ISH_NL_CINV_FI Method: ENTER_TRANSFER_POSTING
|
FI Aktion fur Sammelrechnung | ||||
| 430 | CL_J1AWTH_TAX | Withholding Tax Code | ||||
| 431 |
CL_J1AWTH_TAX Method: CHECK_WITH_TAX_CODE_SUBS
|
Withholding Tax Code | ||||
| 432 |
CL_J1AWTH_TAX Method: CHECK_REVIEW_LINKED_DOC
|
Withholding Tax Code | ||||
| 433 | CL_J1AWTH_TAX | Withholding Tax Code | ||||
| 434 |
CL_J3MRM_HKONT Method: GET_STORNO_HKONT
|
Alternative Reconciliation Account in MM | ||||
| 435 | CL_J3MRM_HKONT | Alternative Reconciliation Account in MM | ||||
| 436 |
CL_J3RF_TRANSFER_PRICING Method: CHECK_SEL_CRIT
|
Transfer pricing processor | ||||
| 437 |
CL_J3RF_TRANSFER_PRICING Method: UPDATE_DOCS
|
Transfer pricing processor | ||||
| 438 |
CL_J3RF_TRANSFER_PRICING Method: SELECT
|
Transfer pricing processor | ||||
| 439 |
CL_J3RF_TRANSFER_PRICING Method: MAKE_BSEG_RES
|
Transfer pricing processor | ||||
| 440 | CL_J3RF_TRANSFER_PRICING | Transfer pricing processor | ||||
| 441 | CL_J3RF_TRANSFER_PRICING | Transfer pricing processor | ||||
| 442 |
CL_J3RF_TRANSFER_PRICING Method: FIND_PREVIOUS_TREAS_DOCUMENT
|
Transfer pricing processor | ||||
| 443 |
CL_MIGRATION_TRAC Method: CLS_MIGR_FUT_POSTING_DATA
|
Migration-Service Accounting Adaptor | ||||
| 444 | CL_MMIM_MAA | Central Class for Valuated Multiple Account Assignment MM-IM | ||||
| 445 |
CL_MM_IM_03_UM Method: INITIALIZE
|
Inv. Management Revaluations | ||||
| 446 |
CL_MM_IM_03_UM Method: GET_DETAILS
|
Inv. Management Revaluations | ||||
| 447 | CL_MM_IM_03_UM | Inv. Management Revaluations | ||||
| 448 | CL_MWSKZ_CONVERSION_BELEG | Tax enhancement table conversion | ||||
| 449 |
CL_MWSKZ_CONVERSION_BELEG Method: WRITE_MWSKZ_BSED
|
Tax enhancement table conversion | ||||
| 450 |
CL_MWSKZ_CONVERSION_BELEG Method: WRITE_MWSKZ_BSEG
|
Tax enhancement table conversion | ||||
| 451 |
CL_MWSKZ_CONVERSION_BELEG Method: WRITE_MWSKZ_BSET
|
Tax enhancement table conversion | ||||
| 452 |
CL_MWSKZ_CONVERSION_BELEG Method: IF_MWSKZ_CONVERSION~PROCESS_BUNDLE_AREA
|
Tax enhancement table conversion | ||||
| 453 |
CL_MWSKZ_CONVERSION_BELEG Method: IF_MWSKZ_CONVERSION~WRITE_TRIGGER_PORTION
|
Tax enhancement table conversion | ||||
| 454 |
CL_MWSKZ_ENRICH_TABLES Method: ENRICH_BELEG
|
Populate new fields for Tax Code extension | ||||
| 455 | CL_MWSKZ_ENRICH_TABLES | Populate new fields for Tax Code extension | ||||
| 456 |
CL_MWSKZ_ENRICH_TABLES Method: ENRICH_BSEG
|
Populate new fields for Tax Code extension | ||||
| 457 |
CL_REEX_ACCRUAL_SERVICES Method: GET_ACEDS
|
Services for Accrual/Deferral | ||||
| 458 | CL_REEX_ACCT_SHEET_FI | FI Account Overview: Implementation | ||||
| 459 |
CL_REEX_ACCT_SHEET_FI Method: _BUILD_WHERE_CLAUSE
|
FI Account Overview: Implementation | ||||
| 460 |
CL_REEX_ACCT_SHEET_FI Method: _PREPARE_ITEM
|
FI Account Overview: Implementation | ||||
| 461 |
CL_REEX_ACCT_SHEET_FI Method: _GET_CN_SELECTION
|
FI Account Overview: Implementation | ||||
| 462 |
CL_REEX_ACCT_SHEET_FI Method: _READ_FROM_ARCHIVE
|
FI Account Overview: Implementation | ||||
| 463 |
CL_REEX_ACC_SYSTEM_FI Method: IF_RERA_ACC_SYSTEM~CREATE_DOC_FOR_EXT_ADVPAYMENT
|
Interface for Reading Costs (Standard Implementation) | ||||
| 464 |
CL_REEX_ACC_SYSTEM_FI Method: IF_RERA_ACC_SYSTEM~GET_LINEITEM
|
Interface for Reading Costs (Standard Implementation) | ||||
| 465 |
CL_REEX_ACC_SYSTEM_FI Method: MAP_FI_TO_RE_DOC_ITEMS
|
Interface for Reading Costs (Standard Implementation) | ||||
| 466 |
CL_REEX_AR_CLEARING Method: _GET_TAX_DATA
|
Clearing of Customer Receivables (Installments, Writeoffs) | ||||
| 467 | CL_REEX_AR_CLEARING | Clearing of Customer Receivables (Installments, Writeoffs) | ||||
| 468 |
CL_REEX_AR_CLEARING Method: _REMOVE_ITEMS_OF_PAYMENT_RUN
|
Clearing of Customer Receivables (Installments, Writeoffs) | ||||
| 469 |
CL_REEX_AR_CLEARING Method: _CHECK_FOR_WITHHOLDING_TAX
|
Clearing of Customer Receivables (Installments, Writeoffs) | ||||
| 470 |
CL_REEX_AR_CLEARING Method: _PROPOSE_ITEM_DATA
|
Clearing of Customer Receivables (Installments, Writeoffs) | ||||
| 471 |
CL_REEX_AR_CLEARING Method: PROCESS_CLEARING
|
Clearing of Customer Receivables (Installments, Writeoffs) | ||||
| 472 |
CL_REEX_AR_CLEARING Method: _REPLACE_ACC_SYMBOL
|
Clearing of Customer Receivables (Installments, Writeoffs) | ||||
| 473 |
CL_REEX_AR_CLEARING Method: _CALCULATE_POSTING_AMOUNT
|
Clearing of Customer Receivables (Installments, Writeoffs) | ||||
| 474 |
CL_REEX_AR_CLEARING Method: _PROPOSE_HEADER_DATA
|
Clearing of Customer Receivables (Installments, Writeoffs) | ||||
| 475 |
CL_REEX_CALLBACK_ACCT_STMT_FI Method: _DOCUMENT_EXISTS
|
Callbacks from Account Statement Transfer | ||||
| 476 |
CL_REEX_CALLBACK_ACCT_STMT_FI Method: ANALYZE_NOTE_TO_PAYEE_GENERAL
|
Callbacks from Account Statement Transfer | ||||
| 477 |
CL_REEX_CALLBACK_DUNNING Method: _COMPLETE_DATA_FOR_PDF
|
Callbacks from FI Dunning | ||||
| 478 |
CL_REEX_COPL_DATA_PREP Method: _SIMULATE_POSTING
|
Formatting of Cash Flow Records for CO Planning | ||||
| 479 |
CL_REEX_DOC_FI Method: PRE_REVERSE_EX
|
Post Accounting Document in SAP FI | ||||
| 480 |
CL_REEX_DOC_FI Method: _GET_STATISTICAL_ACCT_ASS
|
Post Accounting Document in SAP FI | ||||
| 481 |
CL_REEX_DOC_FI Method: POST_EX
|
Post Accounting Document in SAP FI | ||||
| 482 |
CL_REEX_DOC_ITEM_MNGR_FI Method: CLEAR_EX
|
Process Item in SAP FI | ||||
| 483 |
CL_REEX_DOC_ITEM_MNGR_FI Method: UNDO_CLEARING_EX
|
Process Item in SAP FI | ||||
| 484 |
CL_REEX_FI_CLEARING_INTERFACE Method: _APPEND_CLEARING_POSITION_BI
|
Calls FI Clearing Interface (Fill FB05 Screens) | ||||
| 485 |
CL_REEX_FI_CLEARING_INTERFACE Method: CALL_CLEARING_INTERFACE
|
Calls FI Clearing Interface (Fill FB05 Screens) | ||||
| 486 | CL_REEX_FI_CLEARING_INTERFACE | Calls FI Clearing Interface (Fill FB05 Screens) | ||||
| 487 |
CL_REEX_FI_CLEARING_INTERFACE Method: _APPEND_FTPOST_ITEM_BI
|
Calls FI Clearing Interface (Fill FB05 Screens) | ||||
| 488 |
CL_REEX_FM_ACCT_DERIVE_TOOL_FI Method: IF_REEX_FM_ACCT_DERIVE_TOOL~GET_LIST
|
Derivation of FM Account Assignment - Implementation | ||||
| 489 |
CL_REEX_FM_ACCT_DERIVE_TOOL_FI Method: SIMULATE_POSTING
|
Derivation of FM Account Assignment - Implementation | ||||
| 490 |
CL_REEX_MM_CAPITAL_SERVICES Method: GET_MM_CAPITAL
|
Services Link: Statement of Reserve Fund | ||||
| 491 |
CL_REEX_POSTING_ENGINE_RECL_FI Method: POST_AND_CLEAR_EX
|
Posts Clearing in FI | ||||
| 492 |
CL_REEX_POSTING_ENGINE_RECL_FI Method: REVERSE_AND_UNDO_CLEAR_EX
|
Posts Clearing in FI | ||||
| 493 |
CL_REEX_SCS_SERVICES Method: CALCULATE_TAX
|
FI/CO Services for Service Charge Settlement | ||||
| 494 |
CL_REEX_SCS_SERVICES Method: GET_TAX_DETAIL_FOR_LIST
|
FI/CO Services for Service Charge Settlement | ||||
| 495 |
CL_REEX_SCS_SERVICES Method: GET_INPUT_TAXAMOUNT_FOR_ITEM
|
FI/CO Services for Service Charge Settlement | ||||
| 496 |
CL_REEX_SCS_SERVICES Method: GET_MARK_OR_DELETE
|
FI/CO Services for Service Charge Settlement | ||||
| 497 |
CL_REEX_SCS_SERVICES Method: ADD_CO_TO_IBSEG
|
FI/CO Services for Service Charge Settlement | ||||
| 498 |
CL_REEX_SCS_SERVICES Method: CHECK_TAX_DISTRIBUTION
|
FI/CO Services for Service Charge Settlement | ||||
| 499 |
CL_REEX_SCS_SERVICES Method: GET_ITEM_LIST
|
FI/CO Services for Service Charge Settlement | ||||
| 500 |
CL_REEX_SCS_SERVICES Method: GET_POSTINGKEY_LIST
|
FI/CO Services for Service Charge Settlement |