Where Used List (View) for SAP ABAP Table T001 (Company Codes)
SAP ABAP Table
T001 (Company Codes) is used by
pages: 1 2
# | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
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1 | ![]() |
/BEV3/CHBKRIVBW | Contract MVT dependent on CoCd, RI, Date part, Contract view | ![]() |
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2 | ![]() |
/BEV3/CHCBSCHL | Posting key dependent on CoCd,acc. type/Datepart,sett.method | ![]() |
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3 | ![]() |
/BEV3/CHCBWA | Maintenance view of validation table movement types | ![]() |
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4 | ![]() |
/BEV3/CHCELCACNT | CH BTE Customizing Event Listenter Class Account | ![]() |
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5 | ![]() |
/BEV3/CHCELCASFI | CH BTE Customizing Event Listener Class Assessment FI | ![]() |
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6 | ![]() |
/BEV3/CHCKMPLBCH | Maintenance Cust. Complementary Posting | ![]() |
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7 | ![]() |
/BEV3/CHCSTBSCHL | Complementary Posting Keys | ![]() |
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8 | ![]() |
/BEV3/CHCSTRKZ | Tax classification | ![]() |
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9 | ![]() |
/BEV3/CHEVACCPRV | Maintenance: Selection of Posting Line f. Date Clearing(BTE) | ![]() |
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10 | ![]() |
/BEV3/CHEVACGTDT | Maintenance: Assignment to Post./Doc/to-Settlement Date(BTE) | ![]() |
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11 | ![]() |
/BEV3/CHSTMZS | Indiv. Doc. Cancelltn: Change Option f. Pymt + Dunning Block | ![]() |
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12 | ![]() |
/BEV3/CHV_VORGE | CH Sales organization | ![]() |
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13 | ![]() |
/CEERE/MPOMNAK | Posting Period of Costs | ![]() |
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14 | ![]() |
/CEERE/MUSNAK | Posting Schema - Costs | ![]() |
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15 | ![]() |
/CEERE/MUSZAV | Posting schema - liability to tax office | ![]() |
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16 | ![]() |
/DSD/SL_CLEARS_V | DSD Clearing: Settings for Automatic Clearing | ![]() |
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17 | ![]() |
/DSD/SL_POSTSE_V | DSD Collection: Posting Ctrl. Driver Receipts/Expenditures | ![]() |
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18 | ![]() |
/KJRTAX01/A01V | Additional Depreciation Data | ![]() |
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19 | ![]() |
/KJRTAX01/B01V | Migration Status | ![]() |
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20 | ![]() |
/NFM/TBWE_V | Company Code-Dependent NF Reporting Bases | ![]() |
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21 | ![]() |
/NFM/TBWE_V99 | Reporting Base Values for Base Key 99 | ![]() |
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22 | ![]() |
/SAPNEA/JSCLF | Subcontractor View | ![]() |
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23 | ![]() |
/SAPNEA/JSCT001 | Selection : Company code and plant | ![]() |
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24 | ![]() |
/SAPPCE/V_PODPC | Assign Chain Type to Purchase Order Document Type | ![]() |
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25 | ![]() |
/SAPPCE/V_TDPCSO | Assign Chain Type to Sales Order item category | ![]() |
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26 | ![]() |
/SRMERP/V_001_SC | View for T001 | ![]() |
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27 | ![]() |
/TDAG/RCSV_LGNTT | Legal Entity (Search Help) | ![]() |
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28 | ![]() |
BIW_DEPAR | AA <-> BW Connection: Attributes for InfoObject 0DEPRAREA | ![]() |
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29 | ![]() |
BIW_MARV_S | BI Extraction for Material Control Record | ![]() |
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30 | ![]() |
BIW_T001 | Collection of company code master data for Warehouse | ![]() |
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31 | ![]() |
BIW_T001T | Collection of company code texts for Warehouse | ![]() |
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32 | ![]() |
CCD_ACC | F4 Help: Company Codes Relating to a Securities Account | ![]() |
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33 | ![]() |
CCD_ALL | F4 Help: Company Code (no context) | ![]() |
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34 | ![]() |
CCD_ID | F4 Help: Company Codes for a Security ID Number | ![]() |
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35 | ![]() |
CCRCV_BW | Specify Bonded Warehouses | ![]() |
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36 | ![]() |
DEREG_BVRKO | Search Help for Bank Clearing Account | ![]() |
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37 | ![]() |
D_DBUKA | View for search help for company code (customers) | ![]() |
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38 | ![]() |
ENT2037 | Company code | ![]() |
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39 | ![]() |
FA_MDC_C1_01_A | Asset Master Data: Capturing Changes related to Org | ![]() |
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40 | ![]() |
FA_MDC_C1_02_A | Asset Master Data: Capturing Changes related to Org | ![]() |
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41 | ![]() |
FICLPEP_03C4_01 | Changes to back posting flag in logistics period settings | ![]() |
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42 | ![]() |
FILFGNV_ROLES | Maintain Roles for FI legal Forms | ![]() |
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43 | ![]() |
FILFGNV_ROLESEQ | Assign Roles to Form Signatures | ![]() |
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44 | ![]() |
FIPTV_BD_SPLGL | Maintain Special GL Indicators for Bad Debts | ![]() |
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45 | ![]() |
FKVARCOF_C | Argentina: Revenue Tax Distribution Coefficient - County | ![]() |
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46 | ![]() |
FKVARGROUP_C | Argentina: Reporting group for county level | ![]() |
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47 | ![]() |
FKVARGROUP_R | Argentina: Reporting group for region level | ![]() |
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48 | ![]() |
FKVARMZPKT_C | Argentina: Reporting time at County level | ![]() |
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49 | ![]() |
FKVARMZPKT_R | Argentina: Reporting time at Regional level | ![]() |
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50 | ![]() |
GL_ACCT_CC | G/L accounts in company code | ![]() |
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51 | ![]() |
GL_ACCT_CC_FLAGS | Selection view for search help | ![]() |
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52 | ![]() |
GL_ACCT_CC_TEXT | Selection view for search help | ![]() |
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53 | ![]() |
HLP_BWKEY_CCS | Valuation Areas with Active Actual Cost Component Split | ![]() |
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54 | ![]() |
H_CCS_BUKRSACTIV | DB View: Company Code w/ Active Actual Cost Component Split | ![]() |
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55 | ![]() |
H_ISSRBEZ | Pflegeview zu ISSRBEZ | ![]() |
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56 | ![]() |
H_ML_BUKRS_AKTIV | DB_View: Company Codes with the Material Ledger = Active | ![]() |
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57 | ![]() |
H_ML_BUKRS_PROD | DB_View: Company Codes with Material Ledger = Productive | ![]() |
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58 | ![]() |
H_RERAOPCC | Helpview: Company Code/Mandate by Company Code Type | ![]() |
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59 | ![]() |
H_SKB1_PCA | EC-PCA: G/L Accounts in the Company Code | ![]() |
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60 | ![]() |
H_T001 | "Help View for Company Codes" | ![]() |
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61 | ![]() |
H_T001K | Help View for Check Table T001K | ![]() |
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62 | ![]() |
H_T001W_BUKRS | Input help for plants in a company code | ![]() |
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63 | ![]() |
H_T037S | Acct assignment ref. | ![]() |
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64 | ![]() |
H_TKA02 | Assign Company Code to Controlling Area | ![]() |
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65 | ![]() |
H_TKA02_PCA | Assign Company Code to Controlling Area | ![]() |
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66 | ![]() |
H_WLF_T024E_CMP | Suchhilfsview für Einkaufsorganisation zum Buchungskreis | ![]() |
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67 | ![]() |
H_WLF_TVTA_CMP | Search Help View for Company Code Sales Area | ![]() |
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68 | ![]() |
IDCN_VALGACCSHLP | Search Help View: Account Level Hierarchy To G/L Account | ![]() |
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69 | ![]() |
IDCN_VODN_ACTIVE | Activating Document Numbering for Company Code | ![]() |
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70 | ![]() |
IDCN_VODN_CLEAR | Generation of ODN for Clearing Documents w/o Line Items | ![]() |
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71 | ![]() |
IDCN_V_ZJFSAKNR | DB View: G/L Account from P&L Account Closing Posting | ![]() |
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72 | ![]() |
IDMX_DI_VBASIC | General Settings for Digital Invoice | ![]() |
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73 | ![]() |
IDMX_DI_VPROFDET | Digital Invoice Mexico: PSE Profile Assignments of Company | ![]() |
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74 | ![]() |
JBVT001 | Bank Company Code | ![]() |
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75 | ![]() |
JFVTJFREVENUEUR | IS-M/SD: Maintenance View - G/L Acct for Unbilled Recvbles | ![]() |
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76 | ![]() |
JFV_TVKO | IS-M/SD: Sales Organization-Company Code-Chart of Accounts | ![]() |
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77 | ![]() |
JGVSKAT | IS-M: G/L Account Text in Company Code | ![]() |
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78 | ![]() |
JIPMVTJIPMBTCC | IS-M By Title: Define Partial Payment Ledger per Comp.Code | ![]() |
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79 | ![]() |
JJVVA3 | IS-M: Defube Default Contract Settlement Attributes | ![]() |
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80 | ![]() |
JKVTJKTRANSTYPE | IS-M/SD: Transfer Cats for Controlling Liab.Acct Transfer | ![]() |
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81 | ![]() |
J_1AINFMTYV | Inflation: Relevant Movement Types | ![]() |
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82 | ![]() |
J_1AVCITI | C.I.T.I. codes | ![]() |
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83 | ![]() |
J_1AVEBRCH | Define Electronic Branches | ![]() |
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84 | ![]() |
J_1AVSNR | Branch Numbers | ![]() |
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85 | ![]() |
J_1BB2V | Nota Fiscal Numbers and Form Sizes | ![]() |
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86 | ![]() |
J_1BBRANCV | Business Places | ![]() |
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87 | ![]() |
J_1BNFDANG_GOODV | Source for NF texts for dangerous goods | ![]() |
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88 | ![]() |
J_1BNFE_CUST3_1V | Nota NF-e: System Configuration - Connections | ![]() |
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89 | ![]() |
J_1BNFE_CUST3_2V | Nota NF-e: System Configuration - Default Settings | ![]() |
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90 | ![]() |
J_1BNFE_CUST3_3V | NF-e: System Configuration - Foreign Partners | ![]() |
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91 | ![]() |
J_1BNFE_CUST3_4V | NF-e: System Configuration | ![]() |
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92 | ![]() |
J_1BNF_PLANTSV | NF Creation: Plants in Same Branch | ![]() |
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93 | ![]() |
J_1BSTASTV | Regional Tax Codes for Substituição Tributária | ![]() |
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94 | ![]() |
J_1HVAT_OFF_NUMA | Assign Numbering Group for Tax Invoice Issue | ![]() |
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95 | ![]() |
J_1HVAT_OFF_NUMV | Assign Numbering Group for Tax Invoice Reciept running no. | ![]() |
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96 | ![]() |
J_1IEWTDTCHLN | Document Type for Remittance Challan - Classic With. Tax | ![]() |
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97 | ![]() |
J_1IEWTDTPRV | Document Types for TDS Provisions -EWT India | ![]() |
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98 | ![]() |
J_1IEWTJV | Document Types for Journal Vouchers | ![]() |
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99 | ![]() |
J_1IEWT_SURC | Maintain Surcharge Calculation Methods | ![]() |
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100 | ![]() |
J_1IVT001 | Document types for TDS JV | ![]() |
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101 | ![]() |
J_1I_SECCODE | Section Codes for Extended Withholding Tax | ![]() |
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102 | ![]() |
J_3RFV_SURP_PRC | Maintenance view for market prices for inventory surplus(RU) | ![]() |
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103 | ![]() |
J_3RF_VCOMP_CODE | Maintenance view for company codes | ![]() |
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104 | ![]() |
J_3RF_VSTRDIV | Maintenance view for Structural Divisions | ![]() |
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105 | ![]() |
J_3RF_V_T001K_AS | Assignment Plant - Company Code | ![]() |
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106 | ![]() |
J_7LC01_V | REA Company Codes | ![]() |
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107 | ![]() |
J_7LC02_F4 | REA Input Help: Company Codes | ![]() |
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108 | ![]() |
J_7LC02_V | REA Company Codes: Define Common Company Codes | ![]() |
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109 | ![]() |
J_7LC31_V | REA Customizing: General Interface Default Settings | ![]() |
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110 | ![]() |
J_7LC52_V | REA Company Codes: Assigned Plants for Bills of Material | ![]() |
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111 | ![]() |
J_7LC59_V | REA Customizing: Assignment of Accruals Correction Posting | ![]() |
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112 | ![]() |
J_7LIP0_V | REA View: Info Systems for Price List Master Record | ![]() |
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113 | ![]() |
K_KBUKA | View for work fields for company code (vendors) | ![]() |
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114 | ![]() |
LOPURVAP_07M1_01 | Monitor changes to vendor master data | ![]() |
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115 | ![]() |
LOPURVAP_07M1_02 | Monitor vendor master data values changed to blank | ![]() |
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116 | ![]() |
MEV_V_CCODE | Global Company-Code-Dependent Settings | ![]() |
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117 | ![]() |
MEV_V_CCODE_MM | Company-Code-Dependent Settings (MM) | ![]() |
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118 | ![]() |
MEV_V_CCODE_SD | Company-Code-Dependent Settings (SD) | ![]() |
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119 | ![]() |
MIGV_COM_VALCLS | Conversion Customizing for General Valuation Class | ![]() |
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120 | ![]() |
MMIMCTR_07C1_01 | Monitor settings for Tolerance Limits At Document Level | ![]() |
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121 | ![]() |
MMIMCTR_07C2_01 | Monitor settings for Tolerance Limits At Item Level | ![]() |
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122 | ![]() |
M_AA_BUKRS | Asset Accounting Company Code per Chart of Depreciation | ![]() |
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123 | ![]() |
M_T001_FM | Assigning Company Codes to FM Areas | ![]() |
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124 | ![]() |
M_TICL082 | Reserve General Ledger Account Determination | ![]() |
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125 | ![]() |
M_TICL321 | Policy Product Version | ![]() |
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126 | ![]() |
M_TICL321_CD | Policy Product Version | ![]() |
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127 | ![]() |
PS_TKA02 | Assignment of company code(s) | ![]() |
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128 | ![]() |
SEC_CCD | Company Code | ![]() |
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129 | ![]() |
SIPT_NUMBR_FI_V | Signature PT: Relevancy of FI Number range | ![]() |
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130 | ![]() |
SIPT_NUMBR_MM_V | Signature PT: Relevancy of Self Billing Number range | ![]() |
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131 | ![]() |
SIPT_NUMBR_OBD_V | Signature PT: Relevancy of Delivery Number range | ![]() |
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132 | ![]() |
SIPT_NUMBR_SD_V | Signature PT: Relevancy of Billing Number range | ![]() |
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133 | ![]() |
TCM_V_PUR_MAP | Map TM Organizational Unit to Purchasing Organization | ![]() |
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134 | ![]() |
TRACV_ADDACCDATA | Additional Acct Assignments Dependent on Acct Assignm. Ref. | ![]() |
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135 | ![]() |
TRFV_F4_POS_ACC2 | Treasury: Help View for Entry of Futures Account | ![]() |
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136 | ![]() |
TRGV_CVC_GR_STAT | Active Indicator for Assignment of General Valuation Class | ![]() |
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137 | ![]() |
TRGV_VA_CC | Assign Company Code to Valuation Areas for Search Help | ![]() |
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138 | ![]() |
TRQV_LOT_ACC_1 | CFM: Single Position Setting at Company Code Level | ![]() |
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139 | ![]() |
TRQV_POS_IND_1 | Treasury: Quantity Ledger Position Ind. - Default Values | ![]() |
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140 | ![]() |
TRRV_CA1 | TR Reporting: Definition of Currency Accounts | ![]() |
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141 | ![]() |
U_12556 | Company - company code - assignment | ![]() |
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142 | ![]() |
U_13674 | Obsolete | ![]() |
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143 | ![]() |
V1T043T | "Tolerances For Employee Groups RFPRO+BUKRS" | ![]() |
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144 | ![]() |
VEWAMBEW | View: Bulk Waste Evaluation | ![]() |
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145 | ![]() |
VFMFGT_IPAC_FLAG | IPACed Automated Invoice Generation Activation Flag | ![]() |
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146 | ![]() |
VFMFGT_SS01 | Activate/Deactivate Payment Statistical Sampling Process | ![]() |
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147 | ![]() |
VFMFGT_SS03 | Payment Process Clerk/Supervisor Relationships | ![]() |
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148 | ![]() |
VISSR_ANLV | ISSR: View auf ANLA, ANEP und ANEK, T095 | ![]() |
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149 | ![]() |
VPIT_T001 | Line Item Display: Company Code Header Information | ![]() |
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150 | ![]() |
VSH_T093C | View for Search Help for Asset Company Code | ![]() |
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151 | ![]() |
VT042 | Payable Special General Ledger Processes (Debit-Side) | ![]() |
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152 | ![]() |
VT042_1 | Payment Program: Transfer Bank Details To BSEC | ![]() |
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153 | ![]() |
VTIPAB | Rent Adjustment Parameters | ![]() |
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154 | ![]() |
VTIPZBEIG | Owner acct sttlmnt document type per company code | ![]() |
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155 | ![]() |
VTIPZBFI | Financial Assets Management info on company code | ![]() |
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156 | ![]() |
VTIPZBGEW1 | Assignment of Area Type Group to Company Code | ![]() |
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157 | ![]() |
VTIPZBINS | Comp.code-dependent installation parameters | ![]() |
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158 | ![]() |
VTIPZBMV | Fld assignments for rntl agrmnts and trnsfr of conditions | ![]() |
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159 | ![]() |
VTIPZBMV1 | Rules for Creating Rental Agreement Numbers | ![]() |
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160 | ![]() |
VTIPZBMV2 | Predefined Entries for Creating Rental Agreements | ![]() |
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161 | ![]() |
VTIPZBMV3 | Default Values Relevant to Accounting | ![]() |
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162 | ![]() |
VTIPZBNKA | Service charges settlement co.cd-depend.parameters | ![]() |
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163 | ![]() |
VTIPZBPM | CoCd-Dependent Installation Parameters: Plant Maintenance | ![]() |
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164 | ![]() |
VTIPZBPMBUKRS | CoCd-Dependent Installation Parameters: Plant Maintenance | ![]() |
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165 | ![]() |
VTIPZBST | Preallocations and parameters for master data maintenance | ![]() |
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166 | ![]() |
VTIPZBST_GEW | Preallocations and Parameters for Master Data Maintenance | ![]() |
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167 | ![]() |
VTIPZBUSTAX | Document Type for Tax Posting (Jurisdiction Code) for SCS | ![]() |
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168 | ![]() |
VTIPZBVST | Rules for input tax treatment for opting | ![]() |
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169 | ![]() |
VTIV82 | Allocate Cost Element Sets to RW Report Groups | ![]() |
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170 | ![]() |
VTZB06 | Reference Flow Types per Company Code/Relationship Key | ![]() |
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171 | ![]() |
VTZPAB2 | Status definition selection | ![]() |
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172 | ![]() |
VTZPAB3N | Securities: Status Transitions Selection | ![]() |
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173 | ![]() |
VTZPBIFI | Cash Flow, Company-Code-Dependent | ![]() |
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174 | ![]() |
VV_169G_PS | Tolerance Limits | ![]() |
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175 | ![]() |
VV_FMDERIVEENVID_FMOA | View Variant for view V_FMDERIVEENVID strategy FMOA | ![]() |
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176 | ![]() |
VV_FMDERIVEENVID_GMDT | View Variant for view V_FMDERIVEENVID strategy GMDT | ![]() |
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177 | ![]() |
VV_FMDERIVE_FMSP_ENVID | View Variant for view V_FMDERIVEENVID strategy FMSP | ![]() |
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178 | ![]() |
VV_GTRDERIVEENVID_GOCO | View Variant for view V_GTRDERIVEENVID strategy GOCO | ![]() |
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179 | ![]() |
VV_T001G_AG_WT | Company code-dependent sender texts for trading contract | ![]() |
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180 | ![]() |
VV_T001G_RP_V1 | Sender Details | ![]() |
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181 | ![]() |
VV_T001G_RP_V2 | Sender Details | ![]() |
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182 | ![]() |
VV_T001G_RP_V3 | Sender Details | ![]() |
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183 | ![]() |
VV_T001G_RP_V4 | Sender Details | ![]() |
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184 | ![]() |
VV_T001G_RP_V5 | Sender Details | ![]() |
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185 | ![]() |
VV_T090A_01 | Time-dependent period control | ![]() |
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186 | ![]() |
VV_T093C_10 | Asset Accounting Company Codes Including Mapping | ![]() |
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187 | ![]() |
VV_T093SB_01 | Master Data Substitution (Asset Accounting) | ![]() |
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188 | ![]() |
VV_T093SB_1_03 | Asset Retirement Substitution | ![]() |
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189 | ![]() |
VV_T093SB_2_02 | Substitution in Mass Changes | ![]() |
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190 | ![]() |
VV_TZPBIFI_V1 | Cash Flow, Company-Code-Dependent | ![]() |
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191 | ![]() |
V_001G_B | Sender Details For Correspondence | ![]() |
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192 | ![]() |
V_001G_D | Sender Details For Returned Bills of Exchange | ![]() |
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193 | ![]() |
V_001G_E | Sender Details For Bill of Exchange Presentation | ![]() |
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194 | ![]() |
V_001G_F | Standard texts | ![]() |
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195 | ![]() |
V_001G_R | Sender Texts for Invoice Verification Forms | ![]() |
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196 | ![]() |
V_001K_EK | Set up calculation of value for the purchase account | ![]() |
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197 | ![]() |
V_001K_EK2 | Configure Separate Accounting Document for Purchase Account | ![]() |
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198 | ![]() |
V_001K_G | Valuation Areas | ![]() |
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199 | ![]() |
V_001K_K | Acct Determination for Val. Areas | ![]() |
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200 | ![]() |
V_001K_LB | Price Differences in Subcontracting for Valuation Areas | ![]() |
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201 | ![]() |
V_001K_N | Negative Stocks for Valuation Areas | ![]() |
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202 | ![]() |
V_001N_MAB | Decl. to the Authorities: INTRASTAT and EXTRASTAT ID nos | ![]() |
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203 | ![]() |
V_001_0 | Posting Date for Document Parking | ![]() |
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204 | ![]() |
V_001_B | Company Code Global Data | ![]() |
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205 | ![]() |
V_001_C | Productive Indicator Of Company Code | ![]() |
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206 | ![]() |
V_001_COS | Cost of Sales Accounting | ![]() |
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207 | ![]() |
V_001_D | Maximum Difference Between Exchange Rates | ![]() |
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208 | ![]() |
V_001_E | Business Area Financial Statements | ![]() |
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209 | ![]() |
V_001_F | Post Translations | ![]() |
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210 | ![]() |
V_001_G | Default Fiscal Year | ![]() |
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211 | ![]() |
V_001_GKF | Method for Determining Offsetting Account | ![]() |
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212 | ![]() |
V_001_H | Domestic VAT Registration Numbers | ![]() |
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213 | ![]() |
V_001_I | CC: Activate Cash Management and Forecast | ![]() |
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214 | ![]() |
V_001_J | Allocate Co.Cd. -> Non-Taxable Transactions | ![]() |
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215 | ![]() |
V_001_K | Company Code: Default Value Date | ![]() |
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216 | ![]() |
V_001_L | Tax Base | ![]() |
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217 | ![]() |
V_001_M | Cash Discount Base | ![]() |
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218 | ![]() |
V_001_MARV | Materials Management View on Company Codes | ![]() |
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219 | ![]() |
V_001_MB | G/L Account Authorization Check in Inventory Mgmt | ![]() |
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220 | ![]() |
V_001_MPUR | Definition of Purchase Account Mgmt | ![]() |
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221 | ![]() |
V_001_N | Document Entry Screen Variant | ![]() |
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222 | ![]() |
V_001_NP | Maintain Negative Postings in Company Code | ![]() |
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223 | ![]() |
V_001_O | Assign company code -> Cross-system company code | ![]() |
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224 | ![]() |
V_001_P | Assign Company Code -> Field Status Variant | ![]() |
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225 | ![]() |
V_001_PUR1 | G/L Account Authorization Check in Requisition | ![]() |
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226 | ![]() |
V_001_PUR2 | G/L Account Authorization Check in PO/Scheduling Agreement | ![]() |
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227 | ![]() |
V_001_PUR3 | G/L Account Authorization Check in Contract | ![]() |
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228 | ![]() |
V_001_Q | Assign Comp.Code -> Taxes On Sls/Purch.Group | ![]() |
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229 | ![]() |
V_001_R | Assign Comp.Code -> Posting Period Variants | ![]() |
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230 | ![]() |
V_001_S | Assign Company Code -> Chart Of Accounts | ![]() |
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231 | ![]() |
V_001_T | Assign Comp.Code -> Sample Acct Rule Variants | ![]() |
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232 | ![]() |
V_001_U | Assign Comp.Code -> Fiscal Year Variant | ![]() |
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233 | ![]() |
V_001_V | Foreign Currency Translation for Tax Items | ![]() |
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234 | ![]() |
V_001_W | Workflow Variants | ![]() |
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235 | ![]() |
V_001_X | Assign company code -> credit control area | ![]() |
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236 | ![]() |
V_001_Y | Assign Company Code -> Company | ![]() |
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237 | ![]() |
V_001_Z | Allocate Co.Cd -> Document Date For Tax Determination | ![]() |
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238 | ![]() |
V_012E_B | EDI-compatible banks | ![]() |
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239 | ![]() |
V_076S_M | EDI Parameters for MM Invoice Verification | ![]() |
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240 | ![]() |
V_169D | Invoice Verification: Amount Check | ![]() |
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241 | ![]() |
V_169G | Tolerance Limits | ![]() |
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242 | ![]() |
V_169K | Default Account Maintenance | ![]() |
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243 | ![]() |
V_169L | Vendor-Specific Tolerances | ![]() |
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244 | ![]() |
V_169P | PO Supplement | ![]() |
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245 | ![]() |
V_169P_A | Mail to Purchasing When Price Variances Occur | ![]() |
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246 | ![]() |
V_169P_DC | Duplicate Invoice Check | ![]() |
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247 | ![]() |
V_169P_IRTAX | Tax Treatment in Invoice Reduction | ![]() |
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248 | ![]() |
V_169P_K | Automatic Change in Status of Correct Invoices | ![]() |
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249 | ![]() |
V_169P_LOGO | Display Start Logo | ![]() |
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250 | ![]() |
V_169P_MB | PO Supplement | ![]() |
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251 | ![]() |
V_169P_PA | "Activate Block Due To Item Amount" | ![]() |
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252 | ![]() |
V_169P_RET | Control Parameters for Retention | ![]() |
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253 | ![]() |
V_169P_S | "Stochastic Block: Values" | ![]() |
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254 | ![]() |
V_169P_SA | Stochastic Block: Activation | ![]() |
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255 | ![]() |
V_169P_SV | Tax Version | ![]() |
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256 | ![]() |
V_169V | "Incoming Invoice Default Values" | ![]() |
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257 | ![]() |
V_169V_ST | Tax Defaults in Invoice Verification | ![]() |
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258 | ![]() |
V_1ABKTC | Tax Category Data - Company Code (Debit Side) | ![]() |
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259 | ![]() |
V_1ABKTC1 | Tax Category Data - Company Code (Credit Side) | ![]() |
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260 | ![]() |
V_1ACI_LIMIT | Limits for Credit Invoice | ![]() |
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261 | ![]() |
V_1APACD | Enter Printing Authorization Code | ![]() |
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262 | ![]() |
V_1ASNRDT1 | Branch Determination for Deliveries | ![]() |
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263 | ![]() |
V_1ASNRDT2 | Branch determination for material movements | ![]() |
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264 | ![]() |
V_AAACC_OBJ_01 | Account Assignments in Asset Accounting | ![]() |
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265 | ![]() |
V_ACCRCUST | Accruals/Deferrals Document Types | ![]() |
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266 | ![]() |
V_ANLBZW_00 | Asset-specific base value percentages | ![]() |
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267 | ![]() |
V_ANLBZW_01 | Asset-specific base values | ![]() |
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268 | ![]() |
V_ANLBZW_02 | Maint. asset-specific base val. perct: Choose dep.area | ![]() |
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269 | ![]() |
V_ANLBZW_10 | Asset-specific base value percentages | ![]() |
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270 | ![]() |
V_ATARCHIVE00 | Archiving: Minimum retention period per company code | ![]() |
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271 | ![]() |
V_ATCVC2 | Assign General Valuation Class to Product Type | ![]() |
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272 | ![]() |
V_ATRELE1 | Transaction release: Release procedure | ![]() |
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273 | ![]() |
V_ATRELE2 | Transaction release: Preconditions/subsequent conditions | ![]() |
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274 | ![]() |
V_BAM_T001 | Relationship Plant/Currency | ![]() |
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275 | ![]() |
V_BUSOP | Post Business Operation: Parameters | ![]() |
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276 | ![]() |
V_CMM_LREV_CCODE | Revaluation of Logistics Documents: Active Company Codes | ![]() |
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277 | ![]() |
V_CWTYVS | Activation of Validations/Substitutions | ![]() |
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278 | ![]() |
V_DFKKREP03 | Payment History: Posting Totals for Debit Entries | ![]() |
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279 | ![]() |
V_DFKKREP04 | Open Items at Period End | ![]() |
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280 | ![]() |
V_DFKKREP05 | Payment History: Reversals and Write-Offs | ![]() |
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281 | ![]() |
V_EARMACOF | ARGENTINA: Revenue tax municipal distribution | ![]() |
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282 | ![]() |
V_EARTAXID | ARGENTINA: Legal report determination of reporting method | ![]() |
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283 | ![]() |
V_EBPPCATCOCD | Deactivated Company Codes | ![]() |
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284 | ![]() |
V_ENH_FC_CCODE | Company Codes maintained for Enhanced Forecast Objects | ![]() |
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285 | ![]() |
V_ESERVPROVP | Service provider | ![]() |
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286 | ![]() |
V_ESRTDT049E | CML Corr.: Assignment of Posting Area - ISR Partic. Number | ![]() |
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287 | ![]() |
V_EWUAFABE | EMU Conversion: Depreciation Areas | ![]() |
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288 | ![]() |
V_EWUFI_ARCH | The Archives are Read for the Following Company Codes | ![]() |
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289 | ![]() |
V_EWUSAK | EMU Conv.: Participating G/L Accts | ![]() |
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290 | ![]() |
V_EWUSL | EMU Conversion: Special Ledger Data | ![]() |
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291 | ![]() |
V_FAGL_INVSP_ACT | Activation of Invoice Split | ![]() |
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292 | ![]() |
V_FAGL_SPLIT_ACT | Deactivation of Document Splitter per Company Code | ![]() |
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293 | ![]() |
V_FAGL_T882G | Settings for Non-Leading Ledgers in General Ledger | ![]() |
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294 | ![]() |
V_FAGL_T882G_AVG | Assign Average Ledger to Company Codes | ![]() |
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295 | ![]() |
V_FAGL_T882G_DEA | Deactivation of a General Ledger | ![]() |
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296 | ![]() |
V_FAGL_T895_KT | Plan Version: Enter Exch. Rate Type for Ext. Data Transfer | ![]() |
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297 | ![]() |
V_FAGL_TRVOR | General Ledger: Control Statements | ![]() |
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298 | ![]() |
V_FAGL_VAL_COCO | Assignment to Company Code | ![]() |
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299 | ![]() |
V_FDM_COLL_CCODE | Active Company Codes in Collections Management | ![]() |
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300 | ![]() |
V_FERC_C2 | Company code dependent parameters | ![]() |
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301 | ![]() |
V_FISCATCOCD | Deactivated Company Codes | ![]() |
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302 | ![]() |
V_FLQBANK_GRP | Liquidity Calculation - Query Sequence for Account | ![]() |
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303 | ![]() |
V_FLQCOMPANY | Liquidity Calculation - Company Codes | ![]() |
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304 | ![]() |
V_FLQSUM | Liquidity Calculation - Totals Records | ![]() |
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305 | ![]() |
V_FM023B | Maintain Minimum and Maximum Penalty Amounts | ![]() |
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306 | ![]() |
V_FM023G | Activate/Deactivate the Prompt Payment Act | ![]() |
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307 | ![]() |
V_FM023N | Fast/Accelerated Pay Maximum Amount | ![]() |
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308 | ![]() |
V_FM043U | Treasury Processing Time | ![]() |
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309 | ![]() |
V_FMDERIVEENVID | Assignment Company Code to FM Derivation Tool Strategy | ![]() |
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310 | ![]() |
V_FMDP_DPR_CLR | Activate the DP Clearing and DPR Clearing and update | ![]() |
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311 | ![]() |
V_FMFG023G | Activate/Deactivate the Prompt Payment Act | ![]() |
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312 | ![]() |
V_FMFG023G_FOEDT | Activate Online Edits | ![]() |
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313 | ![]() |
V_FMFGAPCON2 | Accountable Property Configuration | ![]() |
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314 | ![]() |
V_FMFGAPTR | Accountable Property Transaction Types | ![]() |
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315 | ![]() |
V_FMFGT_SS03 | AP Clerk/Supervisor Relationship | ![]() |
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316 | ![]() |
V_FMMM1 | Maintain Warehouse Funds Center Assignment | ![]() |
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317 | ![]() |
V_FMPDCUST | Settings for Payment Distribution | ![]() |
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318 | ![]() |
V_FMRCCVARIA | Assign Company Code Group to Company Code | ![]() |
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319 | ![]() |
V_FMTF_GLACC | Selection View for Search Help | ![]() |
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320 | ![]() |
V_FORM2 | Securities: Forms | ![]() |
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321 | ![]() |
V_FORM4 | Forex: Forms | ![]() |
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322 | ![]() |
V_FORM5 | Money Market: Forms | ![]() |
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323 | ![]() |
V_FORM6 | Derivatives: Forms | ![]() |
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324 | ![]() |
V_FORM_2 | Securities: Correspondence Activities | ![]() |
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325 | ![]() |
V_FSEPA_INST_CD | Local Instrument and Lead Times for SEPA Direct Debits | ![]() |
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326 | ![]() |
V_GLACCREFH | G/L Account Master Record: Create with Reference | ![]() |
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327 | ![]() |
V_GMAVCBUDFILTH0 | Maintain AVC Filter Settings for GM Actuals Values | ![]() |
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328 | ![]() |
V_GMAVCBUDFILTH1 | Maintain AVC Filter Settings for GM Budget Values | ![]() |
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329 | ![]() |
V_GMAVCLDGRACT | Maintain Activation Status for GM AVC Ledger | ![]() |
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330 | ![]() |
V_GMAVCLDGRATT | Maintain Attributes for GM Availability Control Ledger | ![]() |
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331 | ![]() |
V_GMAVCLDGRGAT | Assign Check Horizon to Control Ledger (Default Value) | ![]() |
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332 | ![]() |
V_GMCCSETTINGS | Settings for Company Code | ![]() |
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333 | ![]() |
V_GMPBCLINK | Integration Settings between GM and PBC | ![]() |
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334 | ![]() |
V_IDCN_ACCITEM1 | Operating Activities for GL Accounts (Golden Audit) | ![]() |
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335 | ![]() |
V_IDCN_ACCITEM2 | Assignment of Report Item to GL Account (Golden Audit) | ![]() |
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336 | ![]() |
V_IDCN_ACCITEM3 | Assignment of Report Item (Supp. Info) (Golden Audit) | ![]() |
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337 | ![]() |
V_IDCN_BOMA | Books | ![]() |
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338 | ![]() |
V_IDCN_GA_ORDNR | Asset Evaluation Group (Golden Audit) | ![]() |
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339 | ![]() |
V_IDCN_LOMA | Lots | ![]() |
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340 | ![]() |
V_IDES_SI | Assign Number Range for Self Invoices to Company Code | ![]() |
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341 | ![]() |
V_IDPL_SI | Assign Number Range Interval to Company Code | ![]() |
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342 | ![]() |
V_IDPT_A011 | Revaluation Areas for Asset Reports | ![]() |
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343 | ![]() |
V_IDPT_A021 | Revaluation Classes/Exceptions for Asset Reports | ![]() |
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344 | ![]() |
V_IDPT_A031 | Manual Entries for Asset Report 32.1 | ![]() |
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345 | ![]() |
V_IDPT_A041 | Currency Revaluation Coeffients for Asset Reports | ![]() |
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346 | ![]() |
V_IDPT_A051 | Movement Types for Assets Being Retired | ![]() |
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347 | ![]() |
V_IDPT_A061 | Depreciation Foregone | ![]() |
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348 | ![]() |
V_IDPT_A071 | Limit for assets which use Electric/ non-electric energy | ![]() |
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349 | ![]() |
V_IDPT_A099 | Checks for Asset Reports | ![]() |
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350 | ![]() |
V_J_1BLB08_TEXT | Registro de Apuração for IPI: List Control for Addtl. Accts | ![]() |
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351 | ![]() |
V_J_1BLB09_TEXT | Registro de Apuração for IPI: List Control for Addtl. Accts | ![]() |
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352 | ![]() |
V_J_3RFREGCUSIN | Automatic Filling: Incoming Invoice Registration Journal | ![]() |
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353 | ![]() |
V_J_3RFREGCUSOFI | Automatic Filling FI: Outgoing Invoice Registration Journal | ![]() |
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354 | ![]() |
V_J_3RFREGINVIN | Register Incoming Invoices in Journal | ![]() |
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355 | ![]() |
V_J_3RFREGINVOUT | Register Outgoing Invoices in Journal | ![]() |
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356 | ![]() |
V_KNB1_CORE | Customer Master (Company Code) | ![]() |
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357 | ![]() |
V_LFB1_CORE | Vendor Master (Company Code) | ![]() |
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358 | ![]() |
V_MAHNWESEN | Basic Settings for Dunning | ![]() |
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359 | ![]() |
V_MIRROREX | CFM: Maintenance View of Initial Table for Mirror Transactns | ![]() |
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360 | ![]() |
V_MIRRORINFKT | CFM: Maintenance View of Incoming Function for Mirror Trans. | ![]() |
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361 | ![]() |
V_MIRRORMAP | CFM: Maint. View Mapping Table Prod./Trans.Type Mirr.Trans. | ![]() |
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362 | ![]() |
V_NIW5 | Lowest Value: Devaluation by Range of Coverage | ![]() |
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363 | ![]() |
V_NIW6 | Lowest Value: Deval. by Slow/Non-Movement | ![]() |
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364 | ![]() |
V_NKIP_1 | IS-H: Pre-Approved Insurance | ![]() |
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365 | ![]() |
V_NKIP_2 | IS-H: Insurance Verification Default Values | ![]() |
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366 | ![]() |
V_OFFNUM_IT | Assign Number Ranges to Doc. Classes | ![]() |
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367 | ![]() |
V_OFF_NUM_LV | Obsolete: Number Groups for Official Document Numbering (LV) | ![]() |
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368 | ![]() |
V_OFF_NUM_LV2 | Assign Number Ranges to Document Class, Number Group, Date | ![]() |
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369 | ![]() |
V_OIRA_ARCH_CUST | Archiving customizing | ![]() |
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370 | ![]() |
V_OIRC_ACT_HD | Fuels - Errors Activation (Header) | ![]() |
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371 | ![]() |
V_OIRC_ACT_ST | Fuels - Errors Activation (Status) | ![]() |
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372 | ![]() |
V_OIRC_APR_HD | SSR Pricing - Errors Activation (Header) | ![]() |
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373 | ![]() |
V_OIRC_APR_ST | SSR Pricing - Errors Activation (Status) | ![]() |
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374 | ![]() |
V_OIRC_BUKRS | Errors Activation (Company Code) | ![]() |
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375 | ![]() |
V_OIRC_DR_COMPST | Stocks - Completion Strategy for DBT | ![]() |
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376 | ![]() |
V_OIRC_MR_COMPST | Meters - Completion Strategy for DBT | ![]() |
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377 | ![]() |
V_OIRC_MR_FDEF_K | Meters - Field Selection Setting: Key Definition | ![]() |
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378 | ![]() |
V_OIRC_MR_FDEF_S | Fuels - Meter Field Selection | ![]() |
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379 | ![]() |
V_OIRC_MR_FDEF_V | Fuels - Meter Field value control | ![]() |
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380 | ![]() |
V_OIRECCTYP | Payment Card Types on Company Code Level | ![]() |
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381 | ![]() |
V_OIRECH | Clearing House Object | ![]() |
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382 | ![]() |
V_OIRECH_APPL | Clearing house object application table | ![]() |
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383 | ![]() |
V_OIREDTF_INFOSC | View for info screen assignment | ![]() |
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384 | ![]() |
V_OIRE_RECON_CUS | PC Reconciliation Setting by Cl. House/Card Type | ![]() |
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385 | ![]() |
V_OIRIREVCOMP | Assign completion strategy for invoice reversal | ![]() |
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386 | ![]() |
V_OIUH_CM_OR1_CC | Help view for PREMAS intercompany codes | ![]() |
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387 | ![]() |
V_OIUOW_UVENTURE | Unit Venture | ![]() |
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388 | ![]() |
V_OIU_DO_BGUC | View: Bearer Group Use Control | ![]() |
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389 | ![]() |
V_OIU_DO_DI | DOI | ![]() |
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390 | ![]() |
V_OIU_DO_JV | Joint Venture | ![]() |
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391 | ![]() |
V_PFAIM_CFTYPES | Assign Cash Flow Type to PA Flow Type | ![]() |
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392 | ![]() |
V_PSKW3 | Cash Accounting: Balances and Totals for Day-End Closing | ![]() |
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393 | ![]() |
V_REFXVARTZD0BI | Standard Values for Automatic Creation of Customers (Posting | ![]() |
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394 | ![]() |
V_REMMCCCR | Condominium Owner Company Code | ![]() |
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395 | ![]() |
V_REMMCCMNG | Manager Company Code | ![]() |
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396 | ![]() |
V_REMMCCREF | Reference Company Code | ![]() |
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397 | ![]() |
V_SECCODE | Section Codes | ![]() |
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398 | ![]() |
V_SECCO_ADDL | Maintain section code level data for India eFiling | ![]() |
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399 | ![]() |
V_T001 | Company Code | ![]() |
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400 | ![]() |
V_T001A | Additional Local Currencies For Company Code | ![]() |
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401 | ![]() |
V_T001G | Sender Details | ![]() |
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402 | ![]() |
V_T001G_AG | Sender Text for Forms from Agency Business | ![]() |
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403 | ![]() |
V_T001G_FK | Issuer Specifications for Shipment Credit Memos | ![]() |
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404 | ![]() |
V_T001G_QM | Company-code dependent sender details (QM) | ![]() |
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405 | ![]() |
V_T001G_RP | Sender Details | ![]() |
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406 | ![]() |
V_T001K_ASSIGN | Assignment Plant - Company Code | ![]() |
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407 | ![]() |
V_T001M | Company Data For FTR Report Z5A (FRG) | ![]() |
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408 | ![]() |
V_T001TR | Company codes | ![]() |
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409 | ![]() |
V_T001U | Control of Import Data Screens | ![]() |
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410 | ![]() |
V_T001WT | Withholding tax information for company code per w/tax type | ![]() |
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411 | ![]() |
V_T001_CESSION | Accounts Receivable Pledging Active | ![]() |
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412 | ![]() |
V_T001_CORE | Company code | ![]() |
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413 | ![]() |
V_T001_DEF | Assign Deferred Tax Rules to Company Codes | ![]() |
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414 | ![]() |
V_T001_EXT | Enhanced withholding tax functions active | ![]() |
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415 | ![]() |
V_T001_FM | Assigning Company Codes to FM Areas | ![]() |
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416 | ![]() |
V_T001_FM1 | Activate Cash Budget Management | ![]() |
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417 | ![]() |
V_T001_FM2 | Activate Funds Management | ![]() |
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418 | ![]() |
V_T001_FM3 | Activate Funds Management and HR | ![]() |
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419 | ![]() |
V_T001_FMACT | Activate Funds Management | ![]() |
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420 | ![]() |
V_T001_IMP | Foreign Trade: Import - Extended Document Control | ![]() |
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421 | ![]() |
V_T001_LK | Assignment of company codes to internal trading partners | ![]() |
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422 | ![]() |
V_T001_MF | Help view: Company code selection | ![]() |
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423 | ![]() |
V_T001_PS | Activate Project Cash Management | ![]() |
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424 | ![]() |
V_T001_UMKRS | Time-Dep. Assignment of Comp. Codes to Sales/Purch. Tax Grp | ![]() |
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425 | ![]() |
V_T001_UMKRS_Z | Activate Time-Dep. Sls/Pur.Tax Grps / Assign Selection Date | ![]() |
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426 | ![]() |
V_T012 | House Banks | ![]() |
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427 | ![]() |
V_T012D | Parameters for DMEs and Foreign Payment Transactions | ![]() |
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428 | ![]() |
V_T012D_CORE | Parameters for DMEs and foreign pmnt transactions | ![]() |
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429 | ![]() |
V_T012E | EDI-compatible payment methods | ![]() |
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430 | ![]() |
V_T012K | House Bank Accounts | ![]() |
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431 | ![]() |
V_T012K_CORE | House bank accounts | ![]() |
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432 | ![]() |
V_T012K_D | Bank Details for Returned Bills of Exchange Payable | ![]() |
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433 | ![]() |
V_T012K_W | Bank Details for Bill Of Exchange Presentation | ![]() |
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434 | ![]() |
V_T012_CORE | House banks | ![]() |
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435 | ![]() |
V_T018D | Cash Management and Forecast Forms | ![]() |
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436 | ![]() |
V_T024E_ASSIGN | Assign Purchasing Organization -> Company Code | ![]() |
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437 | ![]() |
V_T031 | Bill Discount Note - Default Values | ![]() |
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438 | ![]() |
V_T034 | Cash Mgmt: Determine Account Assignments/Document Splitting | ![]() |
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439 | ![]() |
V_T036VD | Allocation of Planning Levels for Financial Assets Mgmt | ![]() |
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440 | ![]() |
V_T036V_RE | Allocation of Planning Levels for Financial Assets Mgmt | ![]() |
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441 | ![]() |
V_T042 | Company Codes | ![]() |
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442 | ![]() |
V_T042A | Bank selection for payment program | ![]() |
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443 | ![]() |
V_T042B | Paying Company Codes | ![]() |
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444 | ![]() |
V_T042BD | Paying Company Codes | ![]() |
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445 | ![]() |
V_T042D | Available Amounts for Payment Program | ![]() |
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446 | ![]() |
V_T042E | Maintenance of Company Code Data for a Payment Method | ![]() |
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447 | ![]() |
V_T042EA | ALE-Compatible Payment Methods | ![]() |
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448 | ![]() |
V_T042I | Account determination | ![]() |
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449 | ![]() |
V_T042ICC | Account Determination for Payment Cards | ![]() |
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450 | ![]() |
V_T042ICC_HKONT | The Receivables Accounts for Payment Cards | ![]() |
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451 | ![]() |
V_T042IY0 | Account Determination with Subaccounts for F110 | ![]() |
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452 | ![]() |
V_T042J | "Bank Charges Determination" | ![]() |
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453 | ![]() |
V_T042JB | Define Bank Group for Merged Banks (Japan) | ![]() |
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454 | ![]() |
V_T042JB1 | Define Branch Group for Merged Banks (Japan) | ![]() |
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455 | ![]() |
V_T042K | Accounts For Bank Charges | ![]() |
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456 | ![]() |
V_T042P | Bank Selection by Postal Code | ![]() |
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457 | ![]() |
V_T042S | Charges/Expenses for Automatic Payment Transactions | ![]() |
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458 | ![]() |
V_T042T | Sender Details | ![]() |
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459 | ![]() |
V_T042V | Value Date for Automatic Payments | ![]() |
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460 | ![]() |
V_T042Y | Account Determination for G/L Account Payments | ![]() |
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461 | ![]() |
V_T042YP | Account Determination for Bank Clearing A/C for HR Payments | ![]() |
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462 | ![]() |
V_T042ZEBPP | Maintenance of EBPP Payment Methods | ![]() |
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463 | ![]() |
V_T042Z_XEINZ | Incoming Payment Methods in Company Code | ![]() |
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464 | ![]() |
V_T043G | Customer/Vendor Tolerances | ![]() |
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465 | ![]() |
V_T043I | Tolerance Groups for Persons Processing Inventory Diff. | ![]() |
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466 | ![]() |
V_T043K | Control Of Payment Notices To Customers/Vendors | ![]() |
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467 | ![]() |
V_T043S | Tolerances for Groups of G/L Accounts in Local Currency | ![]() |
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468 | ![]() |
V_T043T | FI Tolerance Groups For Users | ![]() |
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469 | ![]() |
V_T048A | Company Code Details | ![]() |
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470 | ![]() |
V_T048B | Allocate Program for Automatic Correspondence | ![]() |
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471 | ![]() |
V_T049E | Control Data For ISR Procedure | ![]() |
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472 | ![]() |
V_T053D | Reason Codes for Clearing According to Pmt Adv | ![]() |
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473 | ![]() |
V_T053R | Classification of Payment Differences | ![]() |
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474 | ![]() |
V_T056D | Forms For Interest Calculation | ![]() |
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475 | ![]() |
V_T074U_FDM_REL | Activate Process Integration of Documents with Spec. G/L Ind | ![]() |
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476 | ![]() |
V_T090A_01 | Dep. key for time-dep. period control T090A level 3 | ![]() |
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477 | ![]() |
V_T090L_01 | Number of units | ![]() |
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478 | ![]() |
V_T093B_03 | Assignment of fiscal year versions to areas | ![]() |
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479 | ![]() |
V_T093B_04 | FIAA: Change closed fiscal year | ![]() |
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480 | ![]() |
V_T093B_05 | FI-AA: Specify the currency of the depreciation area | ![]() |
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481 | ![]() |
V_T093B_06 | FI-AA: Determine memo value | ![]() |
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482 | ![]() |
V_T093B_07 | FI-AA: Specify changeover amount | ![]() |
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483 | ![]() |
V_T093B_08 | FI-AA: Amount for low value assets | ![]() |
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484 | ![]() |
V_T093B_09 | FI-AA: Individual weighting of periods (4-4-5 rule) | ![]() |
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485 | ![]() |
V_T093B_10 | FI-AA: Allow group assets for depreciation area | ![]() |
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486 | ![]() |
V_T093B_11 | FI-AA: Assign versions for balance sheet/P&L to area | ![]() |
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487 | ![]() |
V_T093B_12 | FI-AA: Rounding rules for depreciation area | ![]() |
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488 | ![]() |
V_T093B_13 | FI-AA: Capitalization of down payments | ![]() |
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489 | ![]() |
V_T093B_KZRBWB | Area Posts Net Book Value for Retirement | ![]() |
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490 | ![]() |
V_T093B_RSL | Default for Depreciation Key in Depreciation Area | ![]() |
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491 | ![]() |
V_T093CE | Limit transaction types | ![]() |
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492 | ![]() |
V_T093CK | "Specify Retention Period (Archiving)" | ![]() |
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493 | ![]() |
V_T093CT | "Maint. of field TTECH in T093C" | ![]() |
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494 | ![]() |
V_T093C_00 | Maintain company code in Asset Accounting | ![]() |
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495 | ![]() |
V_T093C_01 | FI-AA: "Document type for posting depreciation" | ![]() |
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496 | ![]() |
V_T093C_02 | FI-AA: Net worth area for company code | ![]() |
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497 | ![]() |
V_T093C_03 | FI-AA: "Assignmt. to company code providing number range" | ![]() |
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498 | ![]() |
V_T093C_04 | FI-AA: "Posting remaining value" | ![]() |
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499 | ![]() |
V_T093C_05 | FI-AA: "Assign input tax indicator" | ![]() |
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500 | ![]() |
V_T093C_06 | FI-AA: Fiscal year version for company code | ![]() |
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