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Showing posts with label FI. Show all posts
Showing posts with label FI. Show all posts

Wednesday, July 4, 2007

Finance Tables

AGKO Cleared Accounts

ANAR Asset Types

ANAT Asset type text

ANEK Document Header Asset Posting



ANEP Asset Line Items

ANEV Asset downpymt settlement

ANKT Asset classes- Description

ANLA Asset Master Record Segment

ANLB Depreciation terms

ANLC Asset Value Fields

ANLH Main asset number

AT02T Transaction Activity Category- Description

AT02A Transaction Code for Menu TIMN

AT10 Transaction type

AT10T Name of Transaction Type

BKDF Document Header Supplement for Recurring Entry

BKORM Accounting Correspondence Requests

BKPF Accounting Document Header

BLPK Document log header

BLPP Document log item

BLPR Document Log Index and Planned Order (Backflush)

BNKA Bank master record

BP000 Business Partner Master (General Data)

BPBK Doc.Header Controlling Obj.

BPEG Line Item Total Values Controlling Obj.

BPEJ Line Item Annual Values Controlling Obj.

BPEP Line Item Period Values Controlling Obj.

BPGE Totals Record for Total Value Controlling obj.

BPJA Totals Record for Annual Total Controlling Obj.

BSAD Accounting- Secondary Index for Customers (Cleared Items)

BSAK Accounting- Secondary Index for Vendors (Cleared Items)

BSAS Accounting- Secondary Index for G/L Accounts (Cleared Items)

BSEC One-Time Account Data Document Segment

BSEG Accounting Document Segment

BSID Accounting- Secondary Index for Customers

BSIK Accounting- Secondary Index for Vendors

BSIM Secondary Index, Documents for Material

BSIS Accounting- Secondary Index for G/L Accounts

CEPC Profit Center Master Data Table

CEPCT Texts for Profit Center Master Data

COBRA Settlement Rule for Order Settlement

COBRB Distribution Rules Settlement Rule Order Settlement

COKA CO Object- Control Data for Cost Elements

COSP CO Object- Cost Totals for External Postings

COSS CO Object- Cost Totals for Internal Postings

CRCO Assignment of Work Center to Cost Center

CSKA Cost Elements (Data Dependent on Chart of Accounts)

CSKB Cost Elements (Data Dependent on Controlling Area)

CSLA Activity master

FEBEP Electronic Bank Statement Line Items

FPLA Billing Plan

FPLT Billing Plan- Dates

GLPCT EC-PCA- Totals Table

KNA1 General Data in Customer Master

KOMK Pricing Communication Header

MAHNV Management Records for the Dunning Program

REGUT TemSe - Administration Data

SKA1 G/L Account Master (Chart of Accounts)

SKAT G/L Account Master Record (Chart of Accounts- Description)

SKB1 G/L account master (company code)

T003T Document Type Texts

T007S Tax Code Names

T087J Text

TAPRFT Text tab. for investment profile

TKA01 Controlling Areas

TKA09 Basic Settings for Versions

TKVS CO Versions

TZB0T Flow types text table

TZPAT Financial Assets Management product type texts

VBSEGS Document Segment for G/L Accounts Document Parking

VTBFHA Transaction

VTBFHAPO Transaction Flow

VTBFHAZU Transaction Activity

VTBFINKO Transaction Condition

VTIDERI Master Data Listed Options and Futures

VTIFHA Underlying transaction

VTIFHAPO Underlying transaction flows

VTIFHAZU Underlying transaction status table

VTIOF Options Additional Data

VWPANLA Asset master for securities

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Monday, July 2, 2007

FI Financial Management Transactions

FGRP Report Writer screen

FM12 View blocked documents by user

FST2 Insert language specific name for G/L account.

FST3 Display G/L account name.

KEA0 Maintain operating concern.



KEKE Activate CO-PA.

KEKK Assign operating concern.

KL04 Delete activity type.

KS04 Delete a cost centre.

KSH2 Change cost centre group - delete.

OBR2 Deletion program for customers, vendors, G/L accounts.

OKC5 Cost element/cost element group deletion.

OKE1 Delete transaction data.

OKE2 Delete a profit centre.

OKI1 Determine Activity Number: Activity Types (Assignment of material number/service to activity type)

OMZ1 Definition of partner roles.

OMZ2 Language dependent key reassignment for partner roles.

1KEL Create Profit Center doument

F.01 ABAP/4 Report: Balance Sheet

F.02 Compact Journal

F.08 G/L account balance(With Credit and Debit values)

F.23 A/R:Customer Balances

F.27 A/R: Periodic Account Statements

F.27 A/R: Periodic Account Statements

F.42 A/P Account Balances(Vendor balances)

F101 ABAP/4 Report: Balance Sheet Adjustment

FBL3 Display G/L Account Line Items

FBL5 Display Customer line items

FBME Banking

FI01-03 Create ,Change ,Display Bank Master

FS10 G/L account balance

GR55 Report Writer

KO02 Change Internal Order : Master Data

FKMN Area Menu for Account Payable

FDMN Area Menu for Account Receivable

FSMN Area Menu for General ledger

F-01 Enter Sample Document

F-02 Enter G/L Account Posting

F-03 Clear G/L Account

F-04 Post with Clearing

F-05 Post Forgn Currency Valuation

F-06 Post Incoming Payments

F-07 Post Outgoing Payments

FB01-03 Post/change/display : Document

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Thursday, June 14, 2007

How to Align MM and FI Document Numbers in Logistics Invoice Verification

In SAP Release 4.6C and above, Logistics Invoice Verification (LIV) replaces conventional invoice verification for invoices related to purchase orders. The author explains how the change in invoice verification methods leads to different MM and FI document numbers, and how to align them.


Here is the full article.


Website : http://abapcode.blogspot.com/

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