Workset |
Folder |
iView |
T-Code |
Accounts Payable |
AP Document Entry |
Enter Vendor Credit Memo |
FB65 |
Enter Vendor Invoice |
FB60 |
AP Account Management |
Clear Vendor Account |
F-44 |
Display Vendor Account Balance |
FK10N |
Display Vendor Line Items |
FBL1N |
Payment Run |
F110 |
Post with Clearing (Clear vendor account) |
F-51 |
Accounts Receivable |
AR Document Entry |
Enter Customer Credit Memo |
FB75 |
Enter Customer Invoice |
FB70 |
Incoming Payment |
F-28 |
AR Account Management |
Clear Customer Account |
F-32 |
Clear Customer down payment |
F-39 |
Customer Account Analysis |
FD11 |
Customer down payment request |
F-37 |
Display Balances |
FD10N |
Display Customer Line Items |
FBL5N |
Dunning |
F150 |
Enter Customer Credit Memo |
FB75 |
Enter Customer Credit Memo: Header Data |
F-27 |
Enter Customer Invoice |
FB70 |
Enter Customer Invoice: Header Data |
F-22 |
Post Customer down payment |
F-29 |
Post with Clearing (internal) |
F-30 |
Credit Management |
Change Customer Credit Management |
FD32 |
|
Credit Limit Changes |
FD24 |
Credit Management: Brief Overview |
F.33 |
Credit Management: Create A/R Summary |
FCV1 |
Credit Management: Missing Data |
F.32 |
Credit Management: Overview |
F.31 |
Customers: Reset Credit Limit |
F.28 |
Banks |
Cash Management |
Delete Cashing/Extract Data |
FCHG |
Display Check Information |
FCH1 |
Automatic Payments |
F110 |
Display check Register |
FCHN |
Manual Bank Statement |
FF67 |
Manual Check Deposit Transaction |
FF68 |
Online cashed checks - Reconciliation |
FCHR |
Renumber Checks |
FCH4 |
Reprinting check |
FCH7 |
Reverse Check Payment |
FCH8 |
Void Checks |
FCH3 |
Void Issued Checks |
FCH9 |
Fixed Assets |
Acquisition |
External Acquisition with Vendor |
F-90 |
Depreciation |
Normal Depreciation Posting Run |
AFAB |
Reverse Accrual/Deferral Document |
F.81 |
Sale Retirement |
Asset Retirement by scrapping |
ABAVN |
Asset Sale without customer |
ABAON |
Distribute capital assets under construction |
AIAB |
Settle capital assets under construction |
AIBU |
Periodic Posting |
Month End Closing |
Enter Accrual/Deferral Doc. |
FBS1 |
Period Closing |
Automatic Clearing w/o specification of clearing curr. |
F.13 |
General Ledger |
GL Document |
Creating and Posting General Journal Entries |
FB50 |
Edit or Park G/L Document |
FV50 |
|
Execute Recurring Entries |
F.14 |
Individual Reversal |
FB08 |
Post Incoming Payments |
F-06 |
Post Outgoing Payments |
F-07 |
Post with Clearing |
F-04 |
Recurring Document |
FBD1 |
Reset Cleared Items |
FBRA |
GL Account Management |
Clear General Ledger Account |
F-03 |
Display Balances |
FS10N |
Display/Change Line Items |
FBL3N |
Info Sys |
A_R |
Account Listing |
F.20 |
Display Customer Account Balances |
F.23 |
Open items report (aging report) |
F.21 |
A_P |
Display Vendor Account Balances |
F.42 |
Run Vendor Listing |
F.40 |
Master Record Admin |
Master Records |
Block/Unblock Customers (Centrally) |
FD05 |
Change Asset Master Record |
AS02 |
Change Customer (Centrally) |
FD02 |
Change Vendor (Centrally) |
FK04 |
Change Vendor Master |
FK02 |
Create Asset Master Record |
AS01 |
Create Asset Sub-number |
AS11 |
Create Customer |
FD01 |
Create Master Record in Chart/Accts |
FSP0 |
Create Master Record in Company Code |
FSS0 |
Create Vendor Master |
FK01 |
Create/Edit GL Master Account Centrally |
FS00 |
Delete Asset Master |
AS06 |
Display Bank Master Record |
FI03 |
Display Changes to the Customer Master |
FD04 |
Display of Changes for Customer |
OV51 |
|
Display Vendor Master |
FK03 |