Test

SAP Tcodes authorized for the SAP assigned Role YS : FA_SO_PA

 SAP Tcodes authorized for the SAP assigned Role YS : FA_SO_PA

Transaction Code

Transaction Text

F-02

Enter G/L Account Posting

F-28

Post Incoming Payments

F-32

Clear Customer

F-39

Clear Customer Down Payment

F.01

ABAP Report: Financial Statements

F.13

Automatic Clearing without Currency

F110

Parameters for Automatic Payment

F150

Dunning Run

FAGLB03

Display Balances

FAGLF101

Sorted List/Regrouping

FAGLL03

G/L Account Line Items (New)

FB00

Accounting Editing Options

FB01

Post Document

FB02

Change Document

FB03

Display Document

FB50

G/L Acct Pstg: Single Screen Trans.

FB65

Enter Incoming Credit Memos

FB70

Enter Outgoing Invoices

FBD1

Enter Recurring Entry

FBD2

Change Recurring Entry

FBD3

Display Recurring Entry

FBL1N

Vendor Line Items

FBL3N

G/L Account Line Items

FBL5N

Customer Line Items

FBV0

Post Parked Document

FBV2

Change Parked Document

FBV3

Display Parked Document

FBVB

Post Parked Document

FBZ0

Display/Edit Payment Proposal

FCHN

Check Register

FD10N

Customer Balance Display

FK10N

Vendor Balance Display

FV50

Park G/L Account Items

FV53

Display Parked G/L Account Document

SHD0

Transaction and Screen Variants

SMEN

Session Manager Menu Tree Display

SP01

Output Controller

SU53

Evaluate Authorization Check

S_ALR_87012078

Due Date Analysis for Open Items

S_ALR_87012079

Transaction Figures: Account Balance

S_ALR_87012082

Vendor Balances in Local Currency

S_ALR_87012084

Open Items: Vendor Due Date Forecast

S_ALR_87012168

Due Date Analysis for Open Items

S_ALR_87012172

Customer Balances in Local Currency

S_ALR_87012175

Open Items: Customer Due Date Forec.

S_ALR_87012177

Customer Payment History

S_ALR_87012178

Customer Open Item Analysis(Overdue)

S_ALR_87012199

Open Down Payments

S_ALR_87012271

Cash Flow (Direct Method)

S_ALR_87013611

Cost Centers: Actual/Plan/Variance

S_P99_41000099

Payment List

S_PL0_86000028

Fin. Statements: Act/Act Comparison

S_PL0_86000030

G/L Account - Balances

S_PL0_86000031

Transaction Figures: Account Balance

ZBF07

Upload GL Transaction F-02

ZF110

Cheque request

ZFA_MISASSET

FA: MIS Asset Details

ZFBL3N

zfbl3n

ZFDAILY

FA: Profit Center wise Daily Transac

ZFFV50

Profit Center Posting

ZFI

FI: Transaction Cockpit

ZFI_EMD

Tender Details

ZFI_EMD_CUST

FI: Tcode for Customer EMD

ZFI_FPO

FA: FPO Report

ZFI_IPOREV

IPO Transfer

ZFI_IQRENT

IQ Rent Recipt

ZFI_LIAB_REPORT

tcode for dop liability report

ZFI_MOFORFEIT

Fi: Report for Forfeited MO

ZFI_POS_BAL

POS Cash Balance Check

ZFI_RECEIPT

FI: Receipt Scroll

ZFI_RECON

FI: Tcode for ZR_F_BANK_SCHEDULES

ZFI_SCHEDULES

FI: Tcode for ZRFI_BANK_SCHEDULE

ZFI_UNBLOCK

FI: Unblock Biller Transactions

ZFR01

Statement of Union Government

ZFR02

FI: Report for SCT Corrections

ZFR_DAY_NEW

trnsn code for FR DAYcash and cheque

ZHF_ROLL

HF Roll

ZLIQF

FI: Liquidity Forecast Report

ZMO_DISP

Money Order Report

ZNPS_EMO

Report for nps refund emo

ZOSOM

Generate OS and OM file: NPS

ZPAY_CC

Cash and Check Postings

ZPFF67

FI: Tcode to Recon from File

ZPLP

FI: PLI Policy Payment Status Report

ZRFBL3N

Daily cash ledger report

ZRFR_DAY_NEW

Daily balance report for Cash

 

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