<?xml version="1.0" encoding="UTF-8"?>
<rss xmlns:content="http://purl.org/rss/1.0/modules/content/" xmlns:dc="http://purl.org/dc/elements/1.1/" xmlns:rdf="http://www.w3.org/1999/02/22-rdf-syntax-ns#" xmlns:taxo="http://purl.org/rss/1.0/modules/taxonomy/" version="2.0">
  <channel>
    <title>topic Re: FI  FLOW in Application Development and Automation Discussions</title>
    <link>https://community.sap.com/t5/application-development-and-automation-discussions/fi-flow/m-p/2527094#M572589</link>
    <description>&lt;HTML&gt;&lt;HEAD&gt;&lt;/HEAD&gt;&lt;BODY&gt;&lt;P&gt;&amp;lt;b&amp;gt;Document flow confusion in SAP FI &amp;lt;/b&amp;gt; &lt;/P&gt;&lt;P&gt;I have a problem understanding basic things like how a document flows in the Sap system.  When posting a customer invoice the subledger will be debited with that amount, now my confusion is will the same amount be posted to the G/L only or the very same amount will also be posted to the reconciliation general ledger - making 3 postings or The recon acc is the G/L . I don't see 3 postings happening because then 2 debits will be Posted against one debit -please clarify me on this. &lt;/P&gt;&lt;P&gt;  &lt;/P&gt;&lt;P&gt;Also the different between the G/L, Special ledgers and the recon acc is not clear to me. &lt;/P&gt;&lt;P&gt;  &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&amp;lt;b&amp;gt;Customer and Vendor accounts are&amp;lt;/b&amp;gt; maintained in a subledger. Posting to these accounts will also be posted to the A/R and A/P reconciliation accounts. All Reconciliation accouints are GL accounts.   &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;All &amp;lt;b&amp;gt;G/L accounts&amp;lt;/b&amp;gt; are not reconciliation accounts. &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Why is this done? &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;In large businesses, there will be hundreds/thousands of customers/vendors. All these are personalaccounts (there are three types of accounts: nominal, personal and real). These personal accounts are grouped in to sub-ledgers and any posting to them is reconciled to the G/L &lt;/P&gt;&lt;P&gt;via the reconciliation accounts. &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;For fulfilling completing the double entry system accounting the Reconciliation accounts i.e., Accounts Receivable and Accounts Payable are used. All the Vendors are grouped under Acounts Payable &amp;amp; Customers are grouped under Accounts Receivable. And also always any time the balance in reconciliation account shows as zero. &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&amp;lt;b&amp;gt;Ex: 1) Vendors transaction:&amp;lt;/b&amp;gt; &lt;/P&gt;&lt;P&gt;         For Invoice posting: &lt;/P&gt;&lt;P&gt;         Inventory A/c            Dr &lt;/P&gt;&lt;P&gt;         To Vendor A/c................Accounts Payable A/c (Reconciliation Ledger) &lt;/P&gt;&lt;P&gt;(In SAP since we are linking in the G/L Master Accounts Payable with the Reconciliation Accounts type setting as Vendors. Hence, with one entry 3 Accounts are automatically updated) &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Accounts Payable is Liability &amp;amp; Inventory is Current Assets. &lt;/P&gt;&lt;P&gt;         For Payment to Vendor: &lt;/P&gt;&lt;P&gt;         Vendor A/c               Dr.....Accounts Payable A/c &lt;/P&gt;&lt;P&gt;         To Bank/ Cash A/c &lt;/P&gt;&lt;P&gt;          &lt;/P&gt;&lt;P&gt;&amp;lt;b&amp;gt;Ex:2) Customer Transaction:&amp;lt;/b&amp;gt; &lt;/P&gt;&lt;P&gt;         Sales Invoice Posting: &lt;/P&gt;&lt;P&gt;         Customer A/c           Dr...Accounts Receivable A/c (Reconciliation A/c) &lt;/P&gt;&lt;P&gt;         To Sales A/c &lt;/P&gt;&lt;P&gt;       &lt;/P&gt;&lt;P&gt;         Receipt Posting: &lt;/P&gt;&lt;P&gt;         Bank A/c                 Dr &lt;/P&gt;&lt;P&gt;         To Customer A/c...........Accounts Receivable A/c &lt;/P&gt;&lt;P&gt;  &lt;/P&gt;&lt;P&gt;In Normal Accounting the Reconciliation Accounts are called as Control Accounts and we pass 2 entries for each transaction i.e., Sale, as following: &lt;/P&gt;&lt;P&gt;   [code]1)  Customer A/c           Dr       (Sales Ledger / Accounts Receivable A/c) &lt;/P&gt;&lt;P&gt;        To Sales A/c                       (General Ledger) &lt;/P&gt;&lt;P&gt;   2)  Accounts Receivable A/c Dr  (General Ledger) &lt;/P&gt;&lt;P&gt;        To Customer A/c                 (Sales Ledger Adjustment A/c)[/code] &lt;/P&gt;&lt;P&gt;Hence, any time the Control A/c balance is zero. &lt;/P&gt;&lt;P&gt;  &lt;/P&gt;&lt;P&gt;    &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;These are basic accounting differentiation for different types of accoutns. This is a basic accounting concept and is not specifically mentioned anywhere in SAP terminology. &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&amp;lt;b&amp;gt;Personal accounts:&amp;lt;/b&amp;gt;  &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Accounts in the name of individuals, organizations etc. &lt;/P&gt;&lt;P&gt;For example, Company A A/c, XYZ limited co A/C, Suresh A/C, Indian Bank A/C etc &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&amp;lt;b&amp;gt;Real Accounts:&amp;lt;/b&amp;gt; &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;These are accounts related to assets, both real and tangible. &lt;/P&gt;&lt;P&gt;example, furniture a/c, machinery a/c, accounts receivables a/c etc &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&amp;lt;b&amp;gt;Nominal Accounts:&amp;lt;/b&amp;gt; &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;These are related to incomes/expenditures and profit/losses. &lt;/P&gt;&lt;P&gt;for example, sales A/c, salary a/c etc &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&amp;lt;b&amp;gt;list  of  tables&amp;lt;/b&amp;gt;  :&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;[code]AGKO Cleared Accounts &lt;/P&gt;&lt;P&gt;ANAR Asset Types &lt;/P&gt;&lt;P&gt;ANAT Asset type text &lt;/P&gt;&lt;P&gt;ANEK Document Header Asset Posting &lt;/P&gt;&lt;P&gt;ANEP Asset Line Items &lt;/P&gt;&lt;P&gt;ANEV Asset downpymt settlement &lt;/P&gt;&lt;P&gt;ANKT Asset classes- Description &lt;/P&gt;&lt;P&gt;ANLA Asset Master Record Segment &lt;/P&gt;&lt;P&gt;ANLB Depreciation terms &lt;/P&gt;&lt;P&gt;ANLC Asset Value Fields &lt;/P&gt;&lt;P&gt;ANLH Main asset number &lt;/P&gt;&lt;P&gt;AT02T Transaction Activity Category- Description &lt;/P&gt;&lt;P&gt;AT02A Transaction Code for Menu TIMN &lt;/P&gt;&lt;P&gt;AT10 Transaction type &lt;/P&gt;&lt;P&gt;AT10T Name of Transaction Type &lt;/P&gt;&lt;P&gt;BKDF Document Header Supplement for Recurring Entry &lt;/P&gt;&lt;P&gt;BKORM Accounting Correspondence Requests &lt;/P&gt;&lt;P&gt;BKPF Accounting Document Header &lt;/P&gt;&lt;P&gt;BLPK Document log header &lt;/P&gt;&lt;P&gt;BLPP Document log item &lt;/P&gt;&lt;P&gt;BLPR Document Log Index and Planned Order (Backflush) &lt;/P&gt;&lt;P&gt;BNKA Bank master record &lt;/P&gt;&lt;P&gt;BP000 Business Partner Master (General Data) &lt;/P&gt;&lt;P&gt;BPBK Doc.Header Controlling Obj. &lt;/P&gt;&lt;P&gt;BPEG Line Item Total Values Controlling Obj. &lt;/P&gt;&lt;P&gt;BPEJ Line Item Annual Values Controlling Obj. &lt;/P&gt;&lt;P&gt;BPEP Line Item Period Values Controlling Obj. &lt;/P&gt;&lt;P&gt;BPGE Totals Record for Total Value Controlling obj. &lt;/P&gt;&lt;P&gt;BPJA Totals Record for Annual Total Controlling Obj. &lt;/P&gt;&lt;P&gt;BSAD Accounting- Secondary Index for Customers (Cleared Items) &lt;/P&gt;&lt;P&gt;BSAK Accounting- Secondary Index for Vendors (Cleared Items) &lt;/P&gt;&lt;P&gt;BSAS Accounting- Secondary Index for G/L Accounts (Cleared Items) &lt;/P&gt;&lt;P&gt;BSEC One-Time Account Data Document Segment &lt;/P&gt;&lt;P&gt;BSEG Accounting Document Segment &lt;/P&gt;&lt;P&gt;BSID Accounting- Secondary Index for Customers &lt;/P&gt;&lt;P&gt;BSIK Accounting- Secondary Index for Vendors &lt;/P&gt;&lt;P&gt;BSIM Secondary Index, Documents for Material &lt;/P&gt;&lt;P&gt;BSIS Accounting- Secondary Index for G/L Accounts &lt;/P&gt;&lt;P&gt;CEPC Profit Center Master Data Table &lt;/P&gt;&lt;P&gt;CEPCT Texts for Profit Center Master Data &lt;/P&gt;&lt;P&gt;COBRA Settlement Rule for Order Settlement &lt;/P&gt;&lt;P&gt;COBRB Distribution Rules Settlement Rule Order Settlement &lt;/P&gt;&lt;P&gt;COKA CO Object- Control Data for Cost Elements &lt;/P&gt;&lt;P&gt;COSP CO Object- Cost Totals for External Postings &lt;/P&gt;&lt;P&gt;COSS CO Object- Cost Totals for Internal Postings &lt;/P&gt;&lt;P&gt;CRCO Assignment of Work Center to Cost Center &lt;/P&gt;&lt;P&gt;CSKA Cost Elements (Data Dependent on Chart of Accounts) &lt;/P&gt;&lt;P&gt;CSKB Cost Elements (Data Dependent on Controlling Area) &lt;/P&gt;&lt;P&gt;CSLA Activity master &lt;/P&gt;&lt;P&gt;FEBEP Electronic Bank Statement Line Items &lt;/P&gt;&lt;P&gt;FPLA Billing Plan &lt;/P&gt;&lt;P&gt;FPLT Billing Plan- Dates &lt;/P&gt;&lt;P&gt;GLPCT EC-PCA- Totals Table &lt;/P&gt;&lt;P&gt;KNA1 General Data in Customer Master &lt;/P&gt;&lt;P&gt;KOMK Pricing Communication Header &lt;/P&gt;&lt;P&gt;MAHNV Management Records for the Dunning Program &lt;/P&gt;&lt;P&gt;REGUT TemSe - Administration Data &lt;/P&gt;&lt;P&gt;SKA1 G/L Account Master (Chart of Accounts) &lt;/P&gt;&lt;P&gt;SKAT G/L Account Master Record (Chart of Accounts- Description) &lt;/P&gt;&lt;P&gt;SKB1 G/L account master (company code) &lt;/P&gt;&lt;P&gt;T003T Document Type Texts &lt;/P&gt;&lt;P&gt;T007S Tax Code Names &lt;/P&gt;&lt;P&gt;T087J Text &lt;/P&gt;&lt;P&gt;TAPRFT Text tab. for investment profile &lt;/P&gt;&lt;P&gt;TKA01 Controlling Areas &lt;/P&gt;&lt;P&gt;TKA09 Basic Settings for Versions &lt;/P&gt;&lt;P&gt;TKVS CO Versions &lt;/P&gt;&lt;P&gt;TZB0T Flow types text table &lt;/P&gt;&lt;P&gt;TZPAT Financial Assets Management product type texts &lt;/P&gt;&lt;P&gt;VBSEGS Document Segment for G/L Accounts Document Parking &lt;/P&gt;&lt;P&gt;VTBFHA Transaction &lt;/P&gt;&lt;P&gt;VTBFHAPO Transaction Flow &lt;/P&gt;&lt;P&gt;VTBFHAZU Transaction Activity &lt;/P&gt;&lt;P&gt;VTBFINKO Transaction Condition &lt;/P&gt;&lt;P&gt;VTIDERI Master Data Listed Options and Futures &lt;/P&gt;&lt;P&gt;VTIFHA Underlying transaction &lt;/P&gt;&lt;P&gt;VTIFHAPO Underlying transaction flows &lt;/P&gt;&lt;P&gt;VTIFHAZU Underlying transaction status table &lt;/P&gt;&lt;P&gt;VTIOF Options Additional Data &lt;/P&gt;&lt;P&gt;VWPANLA Asset master for securities[/code]&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&amp;lt;b&amp;gt;&lt;/P&gt;&lt;P&gt;SAP FI Transaction Code List &amp;lt;/b&amp;gt; &lt;/P&gt;&lt;P&gt;How to reverse a cleared documents? &lt;/P&gt;&lt;P&gt;The following procedure is to be followed to reverse the cleared document.  &lt;/P&gt;&lt;P&gt;1. Reset the cleared document and reverse the document. &lt;/P&gt;&lt;P&gt;Path # Accounting --&amp;gt; financial Accounting --&amp;gt; C/L &lt;DEL&gt;&amp;gt; Document&lt;/DEL&gt;&amp;gt; Reset Cleared items -  T. code : FBRA &lt;/P&gt;&lt;P&gt;In this screen select resetting and reverse radio button  and give the reversal reason. : 01 and save the settings. &lt;/P&gt;&lt;P&gt;*-- Maddipati &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;[code]F-01    Enter Sample Document &lt;/P&gt;&lt;P&gt;F-02    Enter G/L Account Posting &lt;/P&gt;&lt;P&gt;F-03    Clear G/L Account &lt;/P&gt;&lt;P&gt;F-04    Post with Clearing &lt;/P&gt;&lt;P&gt;F-05    Post Foreign Currency Valuation &lt;/P&gt;&lt;P&gt;F-06    Post Incoming Payments &lt;/P&gt;&lt;P&gt;F-07    Post Outgoing Payments &lt;/P&gt;&lt;P&gt;F-18    Payment with Printout &lt;/P&gt;&lt;P&gt;F-19    Reverse Statistical Posting &lt;/P&gt;&lt;P&gt;F-20    Reverse Bill Liability &lt;/P&gt;&lt;P&gt;F-21    Enter Transfer Posting &lt;/P&gt;&lt;P&gt;F-22    Enter Customer Invoice &lt;/P&gt;&lt;P&gt;F-23    Return Bill of Exchange Pmt Request&lt;/P&gt;&lt;P&gt;F-25    Reverse Check/Bill of Exch. &lt;/P&gt;&lt;P&gt;F-26    Incoming Payments Fast Entry &lt;/P&gt;&lt;P&gt;F-27    Enter Customer Credit Memo &lt;/P&gt;&lt;P&gt;F-28    Post Incoming Payments &lt;/P&gt;&lt;P&gt;F-29    Post Customer Down Payment &lt;/P&gt;&lt;P&gt;F-30    Post with Clearing &lt;/P&gt;&lt;P&gt;F-31    Post Outgoing Payments &lt;/P&gt;&lt;P&gt;F-32    Clear Customer &lt;/P&gt;&lt;P&gt;F-33    Post Bill of Exchange Usage &lt;/P&gt;&lt;P&gt;F-34    Post Collection &lt;/P&gt;&lt;P&gt;F-35    Post Forfaiting &lt;/P&gt;&lt;P&gt;F-36    Bill of Exchange Payment &lt;/P&gt;&lt;P&gt;F-37    Customer Down Payment Request &lt;/P&gt;&lt;P&gt;F-38    Enter Statistical Posting &lt;/P&gt;&lt;P&gt;F-39    Clear Customer Down Payment &lt;/P&gt;&lt;P&gt;F-40    Bill of Exchange Payment &lt;/P&gt;&lt;P&gt;F-41    Enter Vendor Credit Memo &lt;/P&gt;&lt;P&gt;F-42    Enter Transfer Posting &lt;/P&gt;&lt;P&gt;F-43    Enter Vendor Invoice &lt;/P&gt;&lt;P&gt;F-44    Clear Vendor &lt;/P&gt;&lt;P&gt;F-46    Reverse Refinancing Acceptance &lt;/P&gt;&lt;P&gt;F-47    Down Payment Request &lt;/P&gt;&lt;P&gt;F-48    Post Vendor Down Payment &lt;/P&gt;&lt;P&gt;F-49    Customer Noted Item &lt;/P&gt;&lt;P&gt;F-51    Post with Clearing &lt;/P&gt;&lt;P&gt;F-52    Post Incoming Payments &lt;/P&gt;&lt;P&gt;F-53    Post Outgoing Payments &lt;/P&gt;&lt;P&gt;F-54    Clear Vendor Down Payment &lt;/P&gt;&lt;P&gt;F-55    Enter Statistical Posting &lt;/P&gt;&lt;P&gt;F-56    Reverse Statistical Posting &lt;/P&gt;&lt;P&gt;F-57    Vendor Noted Item &lt;/P&gt;&lt;P&gt;F-58    Payment with Printout &lt;/P&gt;&lt;P&gt;F-59    Payment Request &lt;/P&gt;&lt;P&gt;F-60    Maintain Table: Posting Periods &lt;/P&gt;&lt;P&gt;F-62    Maintain Table: Exchange Rates &lt;/P&gt;&lt;P&gt;F-63    Park Vendor Invoice &lt;/P&gt;&lt;P&gt;F-64    Park Customer Invoice &lt;/P&gt;&lt;P&gt;F-65    Preliminary Posting &lt;/P&gt;&lt;P&gt;F-66    Park Vendor Credit Memo &lt;/P&gt;&lt;P&gt;F-67    Park Customer Credit Memo &lt;/P&gt;&lt;P&gt;F-90    Acquisition from purchase w. vendor&lt;/P&gt;&lt;P&gt;F-91    Asset acquis. to clearing account &lt;/P&gt;&lt;P&gt;F-92    Asset Retire. frm Sale w/ Customer &lt;/P&gt;&lt;P&gt;F.01    ABAP/4 Report: Balance Sheet &lt;/P&gt;&lt;P&gt;F.02    Compact Journal &lt;/P&gt;&lt;P&gt;F.03    Reconciliation &lt;/P&gt;&lt;P&gt;F.04    G/L: Create Foreign Trade Report &lt;/P&gt;&lt;P&gt;F.05    Foreign Currency Val.: Open Items &lt;/P&gt;&lt;P&gt;F.06    Foreign Currency Valuation:G/L Assts&lt;/P&gt;&lt;P&gt;F.07    G/L: Balance Carried Forward &lt;/P&gt;&lt;P&gt;F.08    G/L: Account Balances &lt;/P&gt;&lt;P&gt;F.09    G/L: Account List &lt;/P&gt;&lt;P&gt;F.0A    G/L: FTR Report on Disk &lt;/P&gt;&lt;P&gt;F.0B    G/L: Create Z2 to Z4 &lt;/P&gt;&lt;P&gt;F.10    G/L: Chart of Accounts &lt;/P&gt;&lt;P&gt;F.11    G/L: General Ledger from Doc.File &lt;/P&gt;&lt;P&gt;F.12    Advance Tax Return &lt;/P&gt;&lt;P&gt;F.13    ABAP/4 Report: Automatic Clearing &lt;/P&gt;&lt;P&gt;F.14    ABAP/4 Report: Recurring Entries &lt;/P&gt;&lt;P&gt;F.15    ABAP/4 Report: List Recurr.Entries &lt;/P&gt;&lt;P&gt;F.16    ABAP/4 Report: G/L Bal.Carried Fwd &lt;/P&gt;&lt;P&gt;F.17    ABAP/4 Report: Cust.Bal.Confirmation&lt;/P&gt;&lt;P&gt;F.18    ABAP/4 Report: Vend.Bal.Confirmation&lt;/P&gt;&lt;P&gt;F.19    G/L: Goods/Invoice Received Clearing&lt;/P&gt;&lt;P&gt;F.1A    Customer/Vendor Statistics &lt;/P&gt;&lt;P&gt;F.1B    Head Office and Branch Index &lt;/P&gt;&lt;P&gt;F.20    A/R: Account List &lt;/P&gt;&lt;P&gt;F.21    A/R: Open Items &lt;/P&gt;&lt;P&gt;F.22    A/R: Open Item Sorted List &lt;/P&gt;&lt;P&gt;F.23    A/R: Account Balances &lt;/P&gt;&lt;P&gt;F.24    A/R: Interest for Days Overdue &lt;/P&gt;&lt;P&gt;F.25    Bill of Exchange List &lt;/P&gt;&lt;P&gt;F.26    A/R: Balance Interest Calculation &lt;/P&gt;&lt;P&gt;F.27    A/R: Periodic Account Statements &lt;/P&gt;&lt;P&gt;F.28    Customers: Reset Credit Limit &lt;/P&gt;&lt;P&gt;F.29    A/R: Set Up Info System 1 &lt;/P&gt;&lt;P&gt;F.2A    Calc.cust.int.on arr.: Post (w/o OI)&lt;/P&gt;&lt;P&gt;F.2B    Calc.cust.int.on arr.: Post(with OI)&lt;/P&gt;&lt;P&gt;F.2C    Calc.cust.int.on arr.: w/o postings&lt;/P&gt;&lt;P&gt;F.2D    Customrs: FI-SD mast.data comparison&lt;/P&gt;&lt;P&gt;F.2E    Reconciliation Btwn Affiliated Comps&lt;/P&gt;&lt;P&gt;F.2F    Management Acct Group Reconciliation&lt;/P&gt;&lt;P&gt;F.2G    Create Account Group Reconcil. G/L &lt;/P&gt;&lt;P&gt;F.30    A/R: Evaluate Info System &lt;/P&gt;&lt;P&gt;F.31    Credit Management - Overview &lt;/P&gt;&lt;P&gt;F.32    Credit Management - Missing Data &lt;/P&gt;&lt;P&gt;F.33    Credit Management - Brief Overview &lt;/P&gt;&lt;P&gt;F.34    Credit Management - Mass Change &lt;/P&gt;&lt;P&gt;F.35    Credit Master Sheet &lt;/P&gt;&lt;P&gt;F.36    Adv.Ret.on Sls/Pur.Form Printout(DE)&lt;/P&gt;&lt;P&gt;F.37    Adv.rept.tx sls/purch.form print (BE&lt;/P&gt;&lt;P&gt;F.38    Transfer Posting of Deferred Tax &lt;/P&gt;&lt;P&gt;F.39    C FI Maint. table T042Z (BillExcTyp)&lt;/P&gt;&lt;P&gt;F.40    A/P: Account List &lt;/P&gt;&lt;P&gt;F.41    A/P: Open Items &lt;/P&gt;&lt;P&gt;F.42    A/P: Account Balances &lt;/P&gt;&lt;P&gt;F.44    A/P: Balance Interest Calculation &lt;/P&gt;&lt;P&gt;F.45    A/P: Set Up Info System 1 &lt;/P&gt;&lt;P&gt;F.46    A/P: Evaluate Info System &lt;/P&gt;&lt;P&gt;F.47    Vendors: calc.of interest on arrears&lt;/P&gt;&lt;P&gt;F.48    Vendors: FI-MM mast.data comparison&lt;/P&gt;&lt;P&gt;F.4A    Calc.vend.int.on arr.: Post (w/o OI)&lt;/P&gt;&lt;P&gt;F.4B    Calc.vend.int.on arr.: Post(with OI)&lt;/P&gt;&lt;P&gt;F.4C    Calc.vend.int.on arr.: w/o postings&lt;/P&gt;&lt;P&gt;F.50    G/L: Profitability Segment Adjustmnt&lt;/P&gt;&lt;P&gt;F.51    G/L: Open Items &lt;/P&gt;&lt;P&gt;F.52    G/L: Acct Bal.Interest Calculation &lt;/P&gt;&lt;P&gt;F.53    G/L: Account Assignment Manual &lt;/P&gt;&lt;P&gt;F.54    G/L: Structured Account Balances &lt;/P&gt;&lt;P&gt;F.56    Delete Recurring Document &lt;/P&gt;&lt;P&gt;F.57    G/L: Delete Sample Documents &lt;/P&gt;&lt;P&gt;F.58    OI Bal.Audit Trail: fr.Document File&lt;/P&gt;&lt;P&gt;F.59    Accum.Clas.Aud.Trail: Create Extract&lt;/P&gt;&lt;P&gt;F.5A    Accum.Clas.Aud.Trail: Eval.Extract &lt;/P&gt;&lt;P&gt;F.5B    Accum.OI Aud.Trail: Create Extract &lt;/P&gt;&lt;P&gt;F.5C    Accum.OI Audit Trail: Display Extr.&lt;/P&gt;&lt;P&gt;F.5D    G/L: Update Bal. Sheet Adjustment &lt;/P&gt;&lt;P&gt;F.5E    G/L: Post Balance Sheet Adjustment &lt;/P&gt;&lt;P&gt;F.5F    G/L: Balance Sheet Adjustment Log &lt;/P&gt;&lt;P&gt;F.5G    G/L: Subseq.Adjustment(BA/PC) Sp.ErA&lt;/P&gt;&lt;P&gt;F.5I    G/L: Adv.Rep.f.Tx on Sls/Purch.w.Jur&lt;/P&gt;&lt;P&gt;F.61    Correspondence: Print Requests &lt;/P&gt;&lt;P&gt;F.62    Correspondence: Print Int.Documents&lt;/P&gt;&lt;P&gt;F.63    Correspondence: Delete Requests &lt;/P&gt;&lt;P&gt;F.64    Correspondence: Maintain Requests &lt;/P&gt;&lt;P&gt;F.65    Correspondence: Print Letters (Cust)&lt;/P&gt;&lt;P&gt;F.66    Correspondence: Print Letters (Vend)&lt;/P&gt;&lt;P&gt;F.70    Bill/Exchange Pmnt Request Dunning &lt;/P&gt;&lt;P&gt;F.71    DME with Disk: B/Excha. Presentation&lt;/P&gt;&lt;P&gt;F.75    Extended Bill/Exchange Information &lt;/P&gt;&lt;P&gt;F.77    C FI Maintain Table T045D &lt;/P&gt;&lt;P&gt;F.78    C FI Maintain Table T045B &lt;/P&gt;&lt;P&gt;F.79    C FI Maintain Table T045G &lt;/P&gt;&lt;P&gt;F.80    Mass Reversal of Documents &lt;/P&gt;&lt;P&gt;F.81    Reverse Posting for Accr./Defer.Docs&lt;/P&gt;&lt;P&gt;F.90    C FI Maintain Table T045F &lt;/P&gt;&lt;P&gt;F.91    C FI Maintain Table T045L &lt;/P&gt;&lt;P&gt;F.92    C FI Maintain T012K (Bill/Exch.) &lt;/P&gt;&lt;P&gt;F.93    Maintain Bill Liability and Rem.Risk&lt;/P&gt;&lt;P&gt;F.97    General Ledger: Report Selection &lt;/P&gt;&lt;P&gt;F.98    Vendors: Report Selection &lt;/P&gt;&lt;P&gt;F.99    Customers: Report Selection &lt;/P&gt;&lt;P&gt;F/LA    Create Pricing Report &lt;/P&gt;&lt;P&gt;F/LB    Change pricing reports &lt;/P&gt;&lt;P&gt;F/LC    Display pricing reports &lt;/P&gt;&lt;P&gt;F/LD    Execute pricing reports &lt;/P&gt;&lt;P&gt;F00     SAPoffice: Short Message &lt;/P&gt;&lt;P&gt;F000    Accounting &lt;/P&gt;&lt;P&gt;F010    ABAP/4 Reporting: Fiscal Year Change&lt;/P&gt;&lt;P&gt;F01N    Debit position RA single reversal &lt;/P&gt;&lt;P&gt;F01O    Vacancy RU single reversal &lt;/P&gt;&lt;P&gt;F01P    Accruals/deferrals single reversal &lt;/P&gt;&lt;P&gt;F01Q    Debit position MC single reversal &lt;/P&gt;&lt;P&gt;F01R    MC settlement single reversal &lt;/P&gt;&lt;P&gt;F01S    Reverse Periodic Posting &lt;/P&gt;&lt;P&gt;F01T    Reverse Acc./Def. General Contract &lt;/P&gt;&lt;P&gt;F040    Reorganization &lt;/P&gt;&lt;P&gt;F041    Bank Master Data Archiving &lt;/P&gt;&lt;P&gt;F042    G/L Accounts Archiving &lt;/P&gt;&lt;P&gt;F043    Customer Archiving &lt;/P&gt;&lt;P&gt;F044    Vendor Archiving &lt;/P&gt;&lt;P&gt;F045    Document Archiving &lt;/P&gt;&lt;P&gt;F046    Transaction Figures Archiving &lt;/P&gt;&lt;P&gt;F101    ABAP/4 Reporting: Balance Sheet Adj.&lt;/P&gt;&lt;P&gt;F103    ABAP/4 Reporting: Transfer Receivbls&lt;/P&gt;&lt;P&gt;F104    ABAP/4 Reporting: Receivbls Provisn&lt;/P&gt;&lt;P&gt;F107    FI Valuation Run &lt;/P&gt;&lt;P&gt;F110    Parameters for Automatic Payment &lt;/P&gt;&lt;P&gt;F111    Parameters for Payment of PRequest &lt;/P&gt;&lt;P&gt;F13E    ABAP/4 Report: Automatic Clearing &lt;/P&gt;&lt;P&gt;F150    Dunning Run &lt;/P&gt;&lt;P&gt;F48A    Document Archiving &lt;/P&gt;&lt;P&gt;F53A    Archiving of G/L Accounts &lt;/P&gt;&lt;P&gt;F53V    Management of G/L Account Archives &lt;/P&gt;&lt;P&gt;F56A    Customer Archiving &lt;/P&gt;&lt;P&gt;F58A    Archiving of Vendors &lt;/P&gt;&lt;P&gt;F61A    Bank archiving &lt;/P&gt;&lt;P&gt;F64A    Transaction Figure Archiving &lt;/P&gt;&lt;P&gt;F66A    Archiving of Bank Data Storage &lt;/P&gt;&lt;P&gt;F8+0    Display FI Main Role Definition &lt;/P&gt;&lt;P&gt;F8+1    Maintain FI Main Role Definition &lt;/P&gt;&lt;P&gt;F8+2    Display FI Amount Groups &lt;/P&gt;&lt;P&gt;F8+3    Maintain FI Amount Groups &lt;/P&gt;&lt;P&gt;F8B4    C FI Maintain Table TBKDC &lt;/P&gt;&lt;P&gt;F8B6N   C FI Maintain Table TBKPV &lt;/P&gt;&lt;P&gt;F8BC    C FI Maintain Table TBKFK &lt;/P&gt;&lt;P&gt;F8BF    C FI Maintain Table T042Y &lt;/P&gt;&lt;P&gt;F8BG    Maintain Global Data for F111 &lt;/P&gt;&lt;P&gt;F8BH    Inconsistencies T042I and T042Y &lt;/P&gt;&lt;P&gt;F8BJ    Maintain Clearing Accts (Rec.Bank) &lt;/P&gt;&lt;P&gt;F8BK    Maintain ALE-Compatible Pmnt Methods&lt;/P&gt;&lt;P&gt;F8BM    Maintain numb.range: Payment request&lt;/P&gt;&lt;P&gt;F8BN    Corr.Acctg Documents Payment Block &lt;/P&gt;&lt;P&gt;F8BO    Payment request archiving &lt;/P&gt;&lt;P&gt;F8BR    Levels for Payment Requests &lt;/P&gt;&lt;P&gt;F8BS    Detail display of payment requests &lt;/P&gt;&lt;P&gt;F8BT    Display Payment Requests &lt;/P&gt;&lt;P&gt;F8BU    Create payment runs automatically &lt;/P&gt;&lt;P&gt;F8BV    Reversal of Bank-to-Bank Transfers &lt;/P&gt;&lt;P&gt;F8BW    Reset Cleared Items: Payt Requests &lt;/P&gt;&lt;P&gt;F8BZ    F111 Customizing &lt;/P&gt;&lt;P&gt;F8XX    Payment Request No. Ranges KI3-F8BM&lt;/P&gt;&lt;P&gt;FA39    Call up report with report variant &lt;/P&gt;&lt;P&gt;FAKA    Config.: Show Display Format &lt;/P&gt;&lt;P&gt;FAKP    Config.: Maintain Display Format &lt;/P&gt;&lt;P&gt;FAR1    S FI-ARI Maint. table T061A &lt;/P&gt;&lt;P&gt;FARA    S FI-ARI Maint. table T061P/Q &lt;/P&gt;&lt;P&gt;FARB    C FI-ARI Maint. table T061R &lt;/P&gt;&lt;P&gt;FARI    AR Interface: Third-party applicatns&lt;/P&gt;&lt;P&gt;FARY    Table T061S &lt;/P&gt;&lt;P&gt;FARZ    Table T061V &lt;/P&gt;&lt;P&gt;FAX1    BC sample SAP DE 2.1 &lt;/P&gt;&lt;P&gt;FAX2    BC sample 2 SAP DE 2.1 &lt;/P&gt;&lt;P&gt;FB00    Accounting Editing Options &lt;/P&gt;&lt;P&gt;FB01    Post Document &lt;/P&gt;&lt;P&gt;FB02    Change Document &lt;/P&gt;&lt;P&gt;FB03    Display Document &lt;/P&gt;&lt;P&gt;FB03Z   Display Document/Payment Usage &lt;/P&gt;&lt;P&gt;FB04    Document Changes &lt;/P&gt;&lt;P&gt;FB05    Post with Clearing &lt;/P&gt;&lt;P&gt;FB05_OLD Post with clearing &lt;/P&gt;&lt;P&gt;FB07    Control Totals &lt;/P&gt;&lt;P&gt;FB08    Reverse Document &lt;/P&gt;&lt;P&gt;FB09    Change Line Items &lt;/P&gt;&lt;P&gt;FB10    Invoice/Credit Fast Entry &lt;/P&gt;&lt;P&gt;FB11    Post Held Document &lt;/P&gt;&lt;P&gt;FB12    Request from Correspondence &lt;/P&gt;&lt;P&gt;FB13    Release for Payments &lt;/P&gt;&lt;P&gt;FB1D    Clear Customer &lt;/P&gt;&lt;P&gt;FB1K    Clear Vendor &lt;/P&gt;&lt;P&gt;FB1S    Clear G/L Account &lt;/P&gt;&lt;P&gt;FB21    Enter Statistical Posting &lt;/P&gt;&lt;P&gt;FB22    Reverse Statistical Posting &lt;/P&gt;&lt;P&gt;FB31    Enter Noted Item &lt;/P&gt;&lt;P&gt;FB41    Post Tax Payable &lt;/P&gt;&lt;P&gt;FB50    G/L Acct Pstg: Single Screen Trans.&lt;/P&gt;&lt;P&gt;FB60    Enter Incoming Invoices &lt;/P&gt;&lt;P&gt;FB65    Enter Incoming Credit Memos &lt;/P&gt;&lt;P&gt;FB70    Enter Outgoing Invoices &lt;/P&gt;&lt;P&gt;FB75    Enter Outgoing Credit Memos &lt;/P&gt;&lt;P&gt;FB99    Check if Documents can be Archived &lt;/P&gt;&lt;P&gt;FBA1    Customer Down Payment Request &lt;/P&gt;&lt;P&gt;FBA2    Post Customer Down Payment &lt;/P&gt;&lt;P&gt;FBA3    Clear Customer Down Payment &lt;/P&gt;&lt;P&gt;FBA6    Vendor Down Payment Request &lt;/P&gt;&lt;P&gt;FBA7    Post Vendor Down Payment &lt;/P&gt;&lt;P&gt;FBA7_OLD Post Vendor Down Payment &lt;/P&gt;&lt;P&gt;FBA8     Clear Vendor Down Payment &lt;/P&gt;&lt;P&gt;FBA8_OLD Clear Vendor Down Payment &lt;/P&gt;&lt;P&gt;FBB1    Post Foreign Currency Valn &lt;/P&gt;&lt;P&gt;FBBA    Display Acct Determination Config. &lt;/P&gt;&lt;P&gt;FBBP    Maintain Acct Determination Config.&lt;/P&gt;&lt;P&gt;FBCJ    Cash Journal &lt;/P&gt;&lt;P&gt;FBCJC0  C FI Maintain Tables TCJ_C_JOURNALS&lt;/P&gt;&lt;P&gt;FBCJC1  Cash Journal Document Number Range &lt;/P&gt;&lt;P&gt;FBCJC2  C FI Maint. Tables TCJ_TRANSACTIONS&lt;/P&gt;&lt;P&gt;FBCJC3  C FI Maintain Tables TCJ_PRINT &lt;/P&gt;&lt;P&gt;FBCOPY  Copy Function Module &lt;/P&gt;&lt;P&gt;FBD1    Enter Recurring Entry &lt;/P&gt;&lt;P&gt;FBD2    Change Recurring Entry &lt;/P&gt;&lt;P&gt;FBD3    Display Recurring Entry &lt;/P&gt;&lt;P&gt;FBD4    Display Recurring Entry Changes &lt;/P&gt;&lt;P&gt;FBD5    Realize Recurring Entry &lt;/P&gt;&lt;P&gt;FBD9    Enter Recurring Entry &lt;/P&gt;&lt;P&gt;FBDF    Menu Banque de France &lt;/P&gt;&lt;P&gt;FBE1    Create Payment Advice &lt;/P&gt;&lt;P&gt;FBE2    Change Payment Advice &lt;/P&gt;&lt;P&gt;FBE3    Display Payment Advice &lt;/P&gt;&lt;P&gt;FBE6    Delete Payment Advice &lt;/P&gt;&lt;P&gt;FBE7    Add to Payment Advice Account &lt;/P&gt;&lt;P&gt;FBF1    C80 Reporting Minus Sp.G/L Ind. &lt;/P&gt;&lt;P&gt;FBF2    Financial Transactions &lt;/P&gt;&lt;P&gt;FBF3    Control Report &lt;/P&gt;&lt;P&gt;FBF4    Download Documents &lt;/P&gt;&lt;P&gt;FBF5    Reports Minus Vendor Accounts &lt;/P&gt;&lt;P&gt;FBF6    Document Changes &lt;/P&gt;&lt;P&gt;FBF7    C80 Reports Minus Sp.G/L Ind. &lt;/P&gt;&lt;P&gt;FBF8    C84 Reports &lt;/P&gt;&lt;P&gt;FBFT    Customizing BDF &lt;/P&gt;&lt;P&gt;FBIPU   Maintain bank chains for partner &lt;/P&gt;&lt;P&gt;FBKA    Display Accounting Configuration &lt;/P&gt;&lt;P&gt;FBKF    FBKP/Carry Out Function (Internal) &lt;/P&gt;&lt;P&gt;FBKP    Maintain Accounting Configuration &lt;/P&gt;&lt;P&gt;FBL1    Display Vendor Line Items &lt;/P&gt;&lt;P&gt;FBL1N   Vendor Line Items &lt;/P&gt;&lt;P&gt;FBL2    Change Vendor Line Items &lt;/P&gt;&lt;P&gt;FBL2N   Vendor Line Items &lt;/P&gt;&lt;P&gt;FBL3    Display G/L Account Line Items &lt;/P&gt;&lt;P&gt;FBL3N   G/L Account Line Items &lt;/P&gt;&lt;P&gt;FBL4    Change G/L Account Line Items &lt;/P&gt;&lt;P&gt;FBL4N   G/L Account Line Items &lt;/P&gt;&lt;P&gt;FBL5    Display Customer Line Items &lt;/P&gt;&lt;P&gt;FBL5N   Customer Line Items &lt;/P&gt;&lt;P&gt;FBL6    Change Customer Line Items &lt;/P&gt;&lt;P&gt;FBL6N   Customer Line Items &lt;/P&gt;&lt;P&gt;FBM1    Enter Sample Document &lt;/P&gt;&lt;P&gt;FBM2    Change Sample Document &lt;/P&gt;&lt;P&gt;FBM3    Display Sample Document &lt;/P&gt;&lt;P&gt;FBM4    Display Sample Document Changes &lt;/P&gt;&lt;P&gt;FBMA    Display Dunning Procedure &lt;/P&gt;&lt;P&gt;FBME    Banks &lt;/P&gt;&lt;P&gt;FBMP    Maintain Dunning Procedure &lt;/P&gt;&lt;P&gt;FBN1    Accounting Document Number Ranges &lt;/P&gt;&lt;P&gt;FBN2    Number Range Maintenance: FI_PYORD &lt;/P&gt;&lt;P&gt;FBP1    Enter Payment Request &lt;/P&gt;&lt;P&gt;FBR1    Post with Reference Document &lt;/P&gt;&lt;P&gt;FBR2    Post Document &lt;/P&gt;&lt;P&gt;FBRA    Reset Cleared Items &lt;/P&gt;&lt;P&gt;FBRC    Reset Cleared Items (Payment Cards)&lt;/P&gt;&lt;P&gt;FBS1    Enter Accrual/Deferral Doc. &lt;/P&gt;&lt;P&gt;FBTA    Display Text Determin.Configuration&lt;/P&gt;&lt;P&gt;FBTP    Maintain Text Determin.Configuration&lt;/P&gt;&lt;P&gt;FBU2    Change Intercompany Document &lt;/P&gt;&lt;P&gt;FBU3    Display Intercompany Document &lt;/P&gt;&lt;P&gt;FBU8    Reverse Cross-Company Code Document&lt;/P&gt;&lt;P&gt;FBV0    Post Parked Document &lt;/P&gt;&lt;P&gt;FBV1    Park Document &lt;/P&gt;&lt;P&gt;FBV2    Change Parked Document &lt;/P&gt;&lt;P&gt;FBV3    Display Parked Document &lt;/P&gt;&lt;P&gt;FBV4    Change Parked Document (Header) &lt;/P&gt;&lt;P&gt;FBV5    Document Changes of Parked Documents&lt;/P&gt;&lt;P&gt;FBV6    Parked Document $ &lt;/P&gt;&lt;P&gt;FBVB    Post Parked Document &lt;/P&gt;&lt;P&gt;FBW1    Enter Bill of Exchange Pmnt Request&lt;/P&gt;&lt;P&gt;FBW2    Post Bill of Exch.acc.to Pmt Request&lt;/P&gt;&lt;P&gt;FBW3    Post Bill of Exchange Usage &lt;/P&gt;&lt;P&gt;FBW4    Reverse Bill Liability &lt;/P&gt;&lt;P&gt;FBW5    Customer Check/Bill of Exchange &lt;/P&gt;&lt;P&gt;FBW6    Vendor Check/Bill of Exchange &lt;/P&gt;&lt;P&gt;FBW7    Bank file to file system (for FBWD)&lt;/P&gt;&lt;P&gt;FBW8    File to Bank (for Transaction FBWD)&lt;/P&gt;&lt;P&gt;FBW9    C FI Maintain Table T045DTA &lt;/P&gt;&lt;P&gt;FBWA    C FI Maintain Table T046a &lt;/P&gt;&lt;P&gt;FBWD    Returned Bills of Exchange Payable &lt;/P&gt;&lt;P&gt;FBWD2   Parameter Transaction for FBWD &lt;/P&gt;&lt;P&gt;FBWE    Bill/Exch.Presentatn - International&lt;/P&gt;&lt;P&gt;FBWQ    C FI Maintain Table T045T &lt;/P&gt;&lt;P&gt;FBWR    C FI Maintain Table T045W &lt;/P&gt;&lt;P&gt;FBWS    C FI Maintain Table T046s &lt;/P&gt;&lt;P&gt;FBZ0    Display/Edit Payment Proposal &lt;/P&gt;&lt;P&gt;FBZ1    Post Incoming Payments &lt;/P&gt;&lt;P&gt;FBZ2    Post Outgoing Payments &lt;/P&gt;&lt;P&gt;FBZ3    Incoming Payments Fast Entry &lt;/P&gt;&lt;P&gt;FBZ4    Payment with Printout &lt;/P&gt;&lt;P&gt;FBZ5    Print Check For Payment Document &lt;/P&gt;&lt;P&gt;FBZ8    Display Payment Run &lt;/P&gt;&lt;P&gt;FBZA    Display Pmnt Program Configuration &lt;/P&gt;&lt;P&gt;FBZG    Failed Customer Payments &lt;/P&gt;&lt;P&gt;FBZP    Maintain Pmnt Program Configuration&lt;/P&gt;&lt;P&gt;FC10    Financial Statements Comparison &lt;/P&gt;&lt;P&gt;FC11    Data Extract for FI Transfer &lt;/P&gt;&lt;P&gt;FC80    Document C80 &lt;/P&gt;&lt;P&gt;FC82    Document C82 &lt;/P&gt;&lt;P&gt;FCAA    Check Archiving &lt;/P&gt;&lt;P&gt;FCC1    Payment Cards: Settlement &lt;/P&gt;&lt;P&gt;FCC2    Payment Cards: Repeat Settlement &lt;/P&gt;&lt;P&gt;FCC3    Payment Cards: Delete Logs &lt;/P&gt;&lt;P&gt;FCC4    Payment Cards: Display Logs &lt;/P&gt;&lt;P&gt;FCCR    Payment Card Evaluations &lt;/P&gt;&lt;P&gt;FCH1    Display Check Information &lt;/P&gt;&lt;P&gt;FCH2    Display Payment Document Checks &lt;/P&gt;&lt;P&gt;FCH3    Void Checks &lt;/P&gt;&lt;P&gt;FCH4    Renumber Checks &lt;/P&gt;&lt;P&gt;FCH5    Create Check Information &lt;/P&gt;&lt;P&gt;FCH6    Change Check Information/Cash Check&lt;/P&gt;&lt;P&gt;FCH7    Reprint Check &lt;/P&gt;&lt;P&gt;FCH8    Reverse Check Payment &lt;/P&gt;&lt;P&gt;FCH9    Void Issued Check &lt;/P&gt;&lt;P&gt;FCHA    Check archiving &lt;/P&gt;&lt;P&gt;FCHB    Check retrieval &lt;/P&gt;&lt;P&gt;FCHD    Delete Payment Run Check Information&lt;/P&gt;&lt;P&gt;FCHE    Delete Voided Checks &lt;/P&gt;&lt;P&gt;FCHF    Delete Manual Checks &lt;/P&gt;&lt;P&gt;FCHG    Delete cashing/extract data &lt;/P&gt;&lt;P&gt;FCHI    Check Lots &lt;/P&gt;&lt;P&gt;FCHK    Check Tracing Initial Menu &lt;/P&gt;&lt;P&gt;FCHN    Check Register &lt;/P&gt;&lt;P&gt;FCHR    Online Cashed Checks &lt;/P&gt;&lt;P&gt;FCHT    Change check/payment allocation &lt;/P&gt;&lt;P&gt;FCHU    Create Reference for Check &lt;/P&gt;&lt;P&gt;FCHV    C FI Maintain Table TVOID &lt;/P&gt;&lt;P&gt;FCHX    Check Extract - Creation &lt;/P&gt;&lt;P&gt;FCIWCU  BW Customizing for CS &lt;/P&gt;&lt;P&gt;FCIWD00 Download InfoObject text &lt;/P&gt;&lt;P&gt;FCIWD10 Download InfoObject hierarchies &lt;/P&gt;&lt;P&gt;FCKR    International cashed checks &lt;/P&gt;&lt;P&gt;FCMM    C FI Preparations for consolidation&lt;/P&gt;&lt;P&gt;FCMN    FI Initial Consolidation Menu &lt;/P&gt;&lt;P&gt;FCV1    Create A/R Summary &lt;/P&gt;&lt;P&gt;FCV2    Delete A/R Summary &lt;/P&gt;&lt;P&gt;FCV3    Early Warning List &lt;/P&gt;&lt;P&gt;FC_BW_BEX       Business Explorer Analyser &lt;/P&gt;&lt;P&gt;FC_BW_RSA1      BW Administrator Workbench &lt;/P&gt;&lt;P&gt;FC_BW_RSZDELETE Delete BW Query Objects &lt;/P&gt;&lt;P&gt;FC_BW_RSZV      Maintain BW Variables &lt;/P&gt;&lt;P&gt;FD-1    Number range maintenance: FVVD_RANL&lt;/P&gt;&lt;P&gt;FD01    Create Customer (Accounting) &lt;/P&gt;&lt;P&gt;FD02    Change Customer (Accounting) &lt;/P&gt;&lt;P&gt;FD02CORE Maintain customer &lt;/P&gt;&lt;P&gt;FD03    Display Customer (Accounting) &lt;/P&gt;&lt;P&gt;FD04    Customer Changes (Accounting) &lt;/P&gt;&lt;P&gt;FD05    Block Customer (Accounting) &lt;/P&gt;&lt;P&gt;FD06    Mark Customer for Deletion (Acctng)&lt;/P&gt;&lt;P&gt;FD08    Confirm Customer Individually(Actng)&lt;/P&gt;&lt;P&gt;FD09    Confirm Customer List (Accounting) &lt;/P&gt;&lt;P&gt;FD10    Customer Account Balance &lt;/P&gt;&lt;P&gt;FD10N   Customer Balance Display &lt;/P&gt;&lt;P&gt;FD10NA  Customer Bal. Display with Worklist&lt;/P&gt;&lt;P&gt;FD11    Customer Account Analysis &lt;/P&gt;&lt;P&gt;FD15    Transfer customer changes: send &lt;/P&gt;&lt;P&gt;FD16    Transfer customer changes: receive &lt;/P&gt;&lt;P&gt;FD24    Credit Limit Changes &lt;/P&gt;&lt;P&gt;FD32    Change Customer Credit Management &lt;/P&gt;&lt;P&gt;FD33    Display Customer Credit Management &lt;/P&gt;&lt;P&gt;FD37    Credit Management Mass Change &lt;/P&gt;&lt;P&gt;FDCU    Loans customizing menu &lt;/P&gt;&lt;P&gt;FDFD    Cash Management Implementation Tool&lt;/P&gt;&lt;P&gt;FDI0    Execute Report &lt;/P&gt;&lt;P&gt;FDI1    Create Report &lt;/P&gt;&lt;P&gt;FDI2    Change Report &lt;/P&gt;&lt;P&gt;FDI3    Display Report &lt;/P&gt;&lt;P&gt;FDI4    Create Form &lt;/P&gt;&lt;P&gt;FDI5    Change Form &lt;/P&gt;&lt;P&gt;FDI6    Display Form &lt;/P&gt;&lt;P&gt;FDIB    Background Processing &lt;/P&gt;&lt;P&gt;FDIC    Maintain Currency Translation Type &lt;/P&gt;&lt;P&gt;FDIK    Maintain Key Figures &lt;/P&gt;&lt;P&gt;FDIM    Report Monitor &lt;/P&gt;&lt;P&gt;FDIO    Transport Reports &lt;/P&gt;&lt;P&gt;FDIP    Transport Forms &lt;/P&gt;&lt;P&gt;FDIQ    Import Reports from Client 000 &lt;/P&gt;&lt;P&gt;FDIR    Import Forms from Client 000 &lt;/P&gt;&lt;P&gt;FDIT    Translation Tool - Drilldown Report&lt;/P&gt;&lt;P&gt;FDIV    Maintain Global Variable &lt;/P&gt;&lt;P&gt;FDIX    Reorganize Drilldown Reports &lt;/P&gt;&lt;P&gt;FDIY    Reorganize Report Data &lt;/P&gt;&lt;P&gt;FDIZ    Reorganize Forms &lt;/P&gt;&lt;P&gt;FDK43   Credit Management - Master Data List&lt;/P&gt;&lt;P&gt;FDMN    &lt;/P&gt;&lt;P&gt;FDOO    Borrower's notes order overview &lt;/P&gt;&lt;P&gt;FDTA    TemSe/REGUT Data Administration &lt;/P&gt;&lt;P&gt;FDTT    Treasury Data Medium Administration&lt;/P&gt;&lt;P&gt;FEBA    Postprocess Electronic Bank Statmt &lt;/P&gt;&lt;P&gt;FEBC    Generate Multicash format &lt;/P&gt;&lt;P&gt;FEBMSG  Display Internet Messages &lt;/P&gt;&lt;P&gt;FEBOAS  Request Account Statement via OFX &lt;/P&gt;&lt;P&gt;FEBOFX  OFX Functions &lt;/P&gt;&lt;P&gt;FEBP    Post Electronic Bank Statement &lt;/P&gt;&lt;P&gt;FEBSTS  Search String Search Simulation &lt;/P&gt;&lt;P&gt;FESR    Importing of POR File (Switzerland)&lt;/P&gt;&lt;P&gt;FEUB    Adjust VIBEPP after EURO conversion&lt;/P&gt;&lt;P&gt;FEUI    Real Estate Implementation Guide &lt;/P&gt;&lt;P&gt;FF$3    Send planning data to central system&lt;/P&gt;&lt;P&gt;FF$4    Retrieve planning data &lt;/P&gt;&lt;P&gt;FF$5    Retrieve transmission results &lt;/P&gt;&lt;P&gt;FF$6    Check settings &lt;/P&gt;&lt;P&gt;FF$7    Check all external systems &lt;/P&gt;&lt;P&gt;FF$A    Maintain TR-CM subsystems &lt;/P&gt;&lt;P&gt;FF$B    Convert Planning Group &lt;/P&gt;&lt;P&gt;FF$C    Convert planning level &lt;/P&gt;&lt;P&gt;FF$D    Convert business areas &lt;/P&gt;&lt;P&gt;FF$L    Display transmission information &lt;/P&gt;&lt;P&gt;FF$S    Display transmission information &lt;/P&gt;&lt;P&gt;FF$X    Configure the central TR-CM system &lt;/P&gt;&lt;P&gt;FF-1    Outstanding Checks &lt;/P&gt;&lt;P&gt;FF-2    Outstanding Bills of Exchange &lt;/P&gt;&lt;P&gt;FF-3    Cash Management Summary Records &lt;/P&gt;&lt;P&gt;FF-4    CMF Data In Accounting Documents &lt;/P&gt;&lt;P&gt;FF-5    CMF Records fr.Materials Management&lt;/P&gt;&lt;P&gt;FF-6    CMF Records from Sales &lt;/P&gt;&lt;P&gt;FF-7    Forecast Item Journal &lt;/P&gt;&lt;P&gt;FF-8    Payment Advice Journal &lt;/P&gt;&lt;P&gt;FF-9    Journal &lt;/P&gt;&lt;P&gt;FF.1    Standard G/L Account Interest Scale&lt;/P&gt;&lt;P&gt;FF.3    G/L Account Cashed Checks &lt;/P&gt;&lt;P&gt;FF.4    Vendor Cashed Checks &lt;/P&gt;&lt;P&gt;FF.5    Import Electronic Bank Statement &lt;/P&gt;&lt;P&gt;FF.6    Display Electronic Bank Statement &lt;/P&gt;&lt;P&gt;FF.7    Payment Advice Comparison &lt;/P&gt;&lt;P&gt;FF.8    Print Payment Orders &lt;/P&gt;&lt;P&gt;FF.9    Post Payment Orders &lt;/P&gt;&lt;P&gt;FF.D    Generate payt req. from advices &lt;/P&gt;&lt;P&gt;FF/1    Compare Bank Terms &lt;/P&gt;&lt;P&gt;FF/2    Compare value date &lt;/P&gt;&lt;P&gt;FF/3    Archive advices from bank statements&lt;/P&gt;&lt;P&gt;FF/4    Import electronic check deposit list&lt;/P&gt;&lt;P&gt;FF/5    Post electronic check deposit list &lt;/P&gt;&lt;P&gt;FF/6    Deposit/loan mgmt analysis/posting &lt;/P&gt;&lt;P&gt;FF/7    Deposit/loan management int accruals&lt;/P&gt;&lt;P&gt;FF/8    Import Bank Statement into Cash Mgmt&lt;/P&gt;&lt;P&gt;FF/9    Compare Advices with Bank Statement&lt;/P&gt;&lt;P&gt;FF63    Create Planning Memo Record &lt;/P&gt;&lt;P&gt;FF65    List of Cash Management Memo Records&lt;/P&gt;&lt;P&gt;FF67    Manual Bank Statement &lt;/P&gt;&lt;P&gt;FF68    Manual Check Deposit Transaction &lt;/P&gt;&lt;P&gt;FF6A    Edit Cash Mgmt Pos Payment Advices &lt;/P&gt;&lt;P&gt;FF6B    Edit liquidity forecast planned item&lt;/P&gt;&lt;P&gt;FF70    Cash Mgmt Posit./Liquidity Forecast&lt;/P&gt;&lt;P&gt;FF71    Cash Position &lt;/P&gt;&lt;P&gt;FF72    Liquidity forecast &lt;/P&gt;&lt;P&gt;FF73    Cash Concentration &lt;/P&gt;&lt;P&gt;FF74    Use Program to Access Cash Concntn &lt;/P&gt;&lt;P&gt;FF7A    Cash Position &lt;/P&gt;&lt;P&gt;FF7B    Liquidity forecast &lt;/P&gt;&lt;P&gt;FF:1    Maintain exchange rates &lt;/P&gt;&lt;P&gt;FFB4    Import electronic check deposit list&lt;/P&gt;&lt;P&gt;FFB5    Post electronic check deposit list &lt;/P&gt;&lt;P&gt;FFL_OLD Display Transmission Information &lt;/P&gt;&lt;P&gt;FFS_OLD Display Transmission Information &lt;/P&gt;&lt;P&gt;FFTL    Telephone list &lt;/P&gt;&lt;P&gt;FFW1    Wire Authorization &lt;/P&gt;&lt;P&gt;FFWR    Post Payment Requests from Advice &lt;/P&gt;&lt;P&gt;FFWR_REQUESTS   Create Payment Requests from Advice&lt;/P&gt;&lt;P&gt;FF_1    Standard G/L Account Interest Scale&lt;/P&gt;&lt;P&gt;FF_3    G/L Account Cashed Checks &lt;/P&gt;&lt;P&gt;FF_4    Vendor Cashed Checks &lt;/P&gt;&lt;P&gt;FF_5    Import Electronic Bank Statement &lt;/P&gt;&lt;P&gt;FF_6    Display Electronic Bank Statement[/code] &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;reward  points if it is usefull...&lt;/P&gt;&lt;P&gt;Girish&lt;/P&gt;&lt;/BODY&gt;&lt;/HTML&gt;</description>
    <pubDate>Wed, 11 Jul 2007 07:32:38 GMT</pubDate>
    <dc:creator>Former Member</dc:creator>
    <dc:date>2007-07-11T07:32:38Z</dc:date>
    <item>
      <title>FI  FLOW</title>
      <link>https://community.sap.com/t5/application-development-and-automation-discussions/fi-flow/m-p/2527089#M572584</link>
      <description>&lt;HTML&gt;&lt;HEAD&gt;&lt;/HEAD&gt;&lt;BODY&gt;&lt;P&gt;HI.&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;   can anybody give me the flow of FI Module and some Important tables AND &amp;lt;b&amp;gt;TCODE&amp;lt;/b&amp;gt; &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;THANK YOU&lt;/P&gt;&lt;P&gt;ASHOK KUMAR&lt;/P&gt;&lt;/BODY&gt;&lt;/HTML&gt;</description>
      <pubDate>Wed, 11 Jul 2007 07:21:45 GMT</pubDate>
      <guid>https://community.sap.com/t5/application-development-and-automation-discussions/fi-flow/m-p/2527089#M572584</guid>
      <dc:creator>Former Member</dc:creator>
      <dc:date>2007-07-11T07:21:45Z</dc:date>
    </item>
    <item>
      <title>Re: FI  FLOW</title>
      <link>https://community.sap.com/t5/application-development-and-automation-discussions/fi-flow/m-p/2527090#M572585</link>
      <description>&lt;HTML&gt;&lt;HEAD&gt;&lt;/HEAD&gt;&lt;BODY&gt;&lt;P&gt;Hi&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Basically there are 5 major topics/areas in FI,&lt;/P&gt;&lt;P&gt;1. GL Accounting -&lt;/P&gt;&lt;P&gt;   related tables are SKA1, SKB1 Master data&lt;/P&gt;&lt;P&gt;   BSIS and BSAS are the Transaction Data&lt;/P&gt;&lt;P&gt;2. Account Receivables- related to Customer&lt;/P&gt;&lt;P&gt;    All the SD related data when transfered to FI these are created.&lt;/P&gt;&lt;P&gt;    Related Tables BSID and BSAD&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;3. Account Payables - related Vendor&lt;/P&gt;&lt;P&gt;    All the MM related documents data when transfered to FI these are created&lt;/P&gt;&lt;P&gt;    Related Tables  BSIK and BSAK&lt;/P&gt;&lt;P&gt;    All the above six tables data is present in BKPF and BSEG tables&lt;/P&gt;&lt;P&gt;You can link these tables with the hlp of BELNR and GJAHR  and with Dates also.&lt;/P&gt;&lt;P&gt;4. Special Purpose Ledger.. which is rarely used.&lt;/P&gt;&lt;P&gt;5. Asset Managment&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;In CO there are &lt;/P&gt;&lt;P&gt;Profit center Accounting&lt;/P&gt;&lt;P&gt;Cost center Accounting  will be there.&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Cross-Application Components -&amp;gt; Financial.&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;A href="http://help.sap.com/saphelp_470/helpdata/en/e1/8e51341a06084de10000009b38f83b/frameset.htm" target="test_blank"&gt;http://help.sap.com/saphelp_470/helpdata/en/e1/8e51341a06084de10000009b38f83b/frameset.htm&lt;/A&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;you will go through this link &lt;/P&gt;&lt;P&gt;&lt;A href="http://www.sapgenie.com/sapfunc/fi.htm" target="test_blank"&gt;http://www.sapgenie.com/sapfunc/fi.htm&lt;/A&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Check this Link it out&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;A href="http://www.sap-img.com/sap-download/sap-tables.zip" target="test_blank"&gt;http://www.sap-img.com/sap-download/sap-tables.zip&lt;/A&gt;&lt;/P&gt;&lt;P&gt;Please chcek this link and go to SAP R/3 Enterprise Application Components -&amp;gt; &lt;/P&gt;&lt;P&gt;Cross-Application Components -&amp;gt; Financial.&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;A href="http://help.sap.com/saphelp_470/helpdata/en/e1/8e51341a06084de10000009b38f83b/frameset.htm" target="test_blank"&gt;http://help.sap.com/saphelp_470/helpdata/en/e1/8e51341a06084de10000009b38f83b/frameset.htm&lt;/A&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;you will go through this link &lt;/P&gt;&lt;P&gt;&lt;A href="http://www.sapgenie.com/sapfunc/fi.htm" target="test_blank"&gt;http://www.sapgenie.com/sapfunc/fi.htm&lt;/A&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Check this Link it out&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;A href="http://www.sap-img.com/sap-download/sap-tables.zip" target="test_blank"&gt;http://www.sap-img.com/sap-download/sap-tables.zip&lt;/A&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;SKA1: G/L Account Master (Chart of Accounts)(KTOPL,SAKNR)&lt;/P&gt;&lt;P&gt;SKB1: G/L account master (Company code)(BUKRS,SAKNR)&lt;/P&gt;&lt;P&gt;SKAT: G/L Account Master-Description (KTOPL,SAKNR,SPRAS,LTEXT)&lt;/P&gt;&lt;P&gt;KNBK: Customer master (bank details)(KUNNR,BANKS,BANKL,BANKN)&lt;/P&gt;&lt;P&gt;LFBK: Vendor master (bank details)(LIFNR,BANKS,BANKL,BANKN)&lt;/P&gt;&lt;P&gt;BKPF: Accounting Doc.Header(BUKRS,GJAHR,BELNR,MONAT)&lt;/P&gt;&lt;P&gt;BSEG: Accounting Doc.Item (Cluster Table)(BUKRS,GJAHR,BELNR,BUZEI)&lt;/P&gt;&lt;P&gt;BSIS: G/L Open Items (BELNR,AUGBL,HKONT,BUZEI,BUKRS,ZUONR,GJAHR)&lt;/P&gt;&lt;P&gt;BSAS: G/L Closed Items(BELNR,AUGBL,HKONT,BUZEI,BUKRS,GJAHR,ZUONR)&lt;/P&gt;&lt;P&gt;BSID: Customer Open Items(A/Receivables)(BELNR,AUGBL,KUNNR,VBELN)&lt;/P&gt;&lt;P&gt;BSAD: Customer Closed Items(A/Receivables)(BELNR,AUGBL,KUNNR,VBELN)&lt;/P&gt;&lt;P&gt;BSIK: Vendor Open Items(A/Payables)(BELNR,AUGBL,LIFNR,EBELN)&lt;/P&gt;&lt;P&gt;BSAK: Vendor Open Items(A/Payables)(BELNR,AUGBL,LIFNR,EBELN)&lt;/P&gt;&lt;P&gt;      BKPF and BSEG tables Consists of data from BSIS,BSAS,BSID,&lt;/P&gt;&lt;P&gt;      BSAD,BSIK and BSAK tables.&lt;/P&gt;&lt;P&gt;BSET: Tax Information Data (BELNR,BUZEI,HKONT,MWSKZ)&lt;/P&gt;&lt;P&gt;BSEC: One time Vendor records(BELNR,BUZEI,BUKRS,NAME1)&lt;/P&gt;&lt;P&gt;CSKS: Cost Center Master(KOKRS,KOSTL,BUKRS,GSBER,PRCTR)&lt;/P&gt;&lt;P&gt;CSKT: Cost Center Texts (KOSTL,KOKRS,SPRAS,LTEXT)&lt;/P&gt;&lt;P&gt;CSSK: Cost Center/Cost Element relations(KOKRS,KOSTL,KSTAR)&lt;/P&gt;&lt;P&gt;GLT0: G/L account master-Ledger(RLDNR,RACCT,BUKRS,RVERS,RBUSA)&lt;/P&gt;&lt;P&gt;GLTPC: Profit Center Accounting(RLDNR,RACCT,BUKRS,RVERS,PRCTR)&lt;/P&gt;&lt;P&gt;GLPCA: EC-PCA: Actual Line Items(RLDNR,RACCT,KOSTL,KOKRS,RPRCTR)&lt;/P&gt;&lt;P&gt;GLPCT: EC-PCA: Totals Table(RLDNR,RACCT,RPRCTR,TSLXX,HSLXX,KSLXX) &lt;/P&gt;&lt;P&gt;COEP: CO Object Line Items by period(KOKRS,BELNR,BUZEI)&lt;/P&gt;&lt;P&gt;COST: CO Object Price Totals(LEDNR,OBJNR,GJAHR,TKGXXX)&lt;/P&gt;&lt;P&gt;CSSL: Cost Center-Activity Type(KOKRS,KOSTL,LSTAR,GJAHR)&lt;/P&gt;&lt;P&gt;CRCO: Work Center-Cost Center Assignment(OBJID,KOSTL,LSTAR)&lt;/P&gt;&lt;P&gt;CSLA: Activity Types Master(KOKRS,LSTAR,DATBI,LATYP)&lt;/P&gt;&lt;P&gt;CSKB: COST Elements(KSTAR,KOKRS,KATYP)&lt;/P&gt;&lt;P&gt;COSS: Cost Totals (OBJNR,GJAHR,KSTAR)&lt;/P&gt;&lt;P&gt;CEPC: Profit Center Master Data(PRCTR,DATBI,KOKRS)&lt;/P&gt;&lt;P&gt;BNKA: Master Record of Banks(BANKS,BANKL,BANKA)&lt;/P&gt;&lt;P&gt;KEKO: Product Costing Header data(KALKA,KALNR,KADKY,MATNR)&lt;/P&gt;&lt;P&gt;ANLH: Main Asset Number(BUKRS,ANLN1)&lt;/P&gt;&lt;P&gt;ANLA: Asset Master Record Segment(BUKRS,ANLN1,ANLN2)&lt;/P&gt;&lt;P&gt;ANLB: Depreciation terms(BUKRS,ANLN1,ANLN2,AFABE)&lt;/P&gt;&lt;P&gt;ANLC: Asset Value Fields(BUKRS,ANLN1,ANLN2,AFABE)&lt;/P&gt;&lt;P&gt;ANEK: Document Header Asset Posting(BUKRS,ANLN1,ANLN2,GJAHR)&lt;/P&gt;&lt;P&gt;ANKT: Asset classes: Description(SPRAS,ANLKL,TXT50)&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&amp;lt;b&amp;gt;Reward points for useful Answers&amp;lt;/b&amp;gt;&lt;/P&gt;&lt;P&gt;Regards&lt;/P&gt;&lt;P&gt;Anji&lt;/P&gt;&lt;/BODY&gt;&lt;/HTML&gt;</description>
      <pubDate>Wed, 11 Jul 2007 07:25:40 GMT</pubDate>
      <guid>https://community.sap.com/t5/application-development-and-automation-discussions/fi-flow/m-p/2527090#M572585</guid>
      <dc:creator>Former Member</dc:creator>
      <dc:date>2007-07-11T07:25:40Z</dc:date>
    </item>
    <item>
      <title>Re: FI  FLOW</title>
      <link>https://community.sap.com/t5/application-development-and-automation-discussions/fi-flow/m-p/2527091#M572586</link>
      <description>&lt;HTML&gt;&lt;HEAD&gt;&lt;/HEAD&gt;&lt;BODY&gt;&lt;P&gt;hi,&lt;/P&gt;&lt;P&gt;1. GL Accounting -&lt;/P&gt;&lt;P&gt;related tables are SKA1, SKB1 Master data&lt;/P&gt;&lt;P&gt;BSIS and BSAS are the Transaction Data&lt;/P&gt;&lt;P&gt;2. Account Receivables- related to Customer&lt;/P&gt;&lt;P&gt;All the SD related data when transfered to FI these are created.&lt;/P&gt;&lt;P&gt;Related Tables BSID and BSAD&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;3. Account Payables - related Vendor&lt;/P&gt;&lt;P&gt;All the MM related documents data when transfered to FI these are created&lt;/P&gt;&lt;P&gt;Related Tables BSIK and BSAK&lt;/P&gt;&lt;P&gt;All the above six tables data is present in BKPF and BSEG tables&lt;/P&gt;&lt;P&gt;You can link these tables with the hlp of BELNR and GJAHR and with Dates also.&lt;/P&gt;&lt;P&gt;4. Special Purpose Ledger.. which is rarely used.&lt;/P&gt;&lt;P&gt;5. Asset Managment&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Main Tables in 5 FI/CO :&lt;/P&gt;&lt;P&gt;5.1 FI :&lt;/P&gt;&lt;P&gt;5.1.1 Master data&lt;/P&gt;&lt;P&gt;SKA1 Accounts&lt;/P&gt;&lt;P&gt;BNKA Bank master record&lt;/P&gt;&lt;P&gt;5.1.2 Accounting documents // indices&lt;/P&gt;&lt;P&gt;BKPF Accounting documents&lt;/P&gt;&lt;P&gt;BSEG item level&lt;/P&gt;&lt;P&gt;BSID Accounting: Secondary index for customers &lt;/P&gt;&lt;P&gt;BSIK Accounting: Secondary index for vendors &lt;/P&gt;&lt;P&gt;BSIM Secondary Index, Documents for Material &lt;/P&gt;&lt;P&gt;BSIP Index for vendor validation of double documents &lt;/P&gt;&lt;P&gt;BSIS Accounting: Secondary index for G/L accounts&lt;/P&gt;&lt;P&gt;BSAD Accounting: Index for customers (cleared items) &lt;/P&gt;&lt;P&gt;BSAK Accounting: Index for vendors (cleared items) &lt;/P&gt;&lt;P&gt;BSAS Accounting: Index for G/L accounts (cleared items)&lt;/P&gt;&lt;P&gt;5.1.3 Payment run&lt;/P&gt;&lt;P&gt;REGUH Settlement data from payment program&lt;/P&gt;&lt;P&gt;REGUP Processed items from payment program&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Message was edited by: &lt;/P&gt;&lt;P&gt;        Roja Velagapudi&lt;/P&gt;&lt;/BODY&gt;&lt;/HTML&gt;</description>
      <pubDate>Wed, 11 Jul 2007 07:26:45 GMT</pubDate>
      <guid>https://community.sap.com/t5/application-development-and-automation-discussions/fi-flow/m-p/2527091#M572586</guid>
      <dc:creator>Former Member</dc:creator>
      <dc:date>2007-07-11T07:26:45Z</dc:date>
    </item>
    <item>
      <title>Re: FI  FLOW</title>
      <link>https://community.sap.com/t5/application-development-and-automation-discussions/fi-flow/m-p/2527092#M572587</link>
      <description>&lt;HTML&gt;&lt;HEAD&gt;&lt;/HEAD&gt;&lt;BODY&gt;&lt;P&gt;Hi&lt;/P&gt;&lt;P&gt;Hi,&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Basically there are 5 major topics/areas in FI,&lt;/P&gt;&lt;P&gt;1. GL Accounting -&lt;/P&gt;&lt;P&gt;related tables are SKA1, SKB1 Master data&lt;/P&gt;&lt;P&gt;BSIS and BSAS are the Transaction Data&lt;/P&gt;&lt;P&gt;2. Account Receivables- related to Customer&lt;/P&gt;&lt;P&gt;All the SD related data when transfered to FI these are created.&lt;/P&gt;&lt;P&gt;Related Tables BSID and BSAD&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;3. Account Payables - related Vendor&lt;/P&gt;&lt;P&gt;All the MM related documents data when transfered to FI these are created&lt;/P&gt;&lt;P&gt;Related Tables BSIK and BSAK&lt;/P&gt;&lt;P&gt;All the above six tables data is present in BKPF and BSEG tables&lt;/P&gt;&lt;P&gt;You can link these tables with the hlp of BELNR and GJAHR and with Dates also.&lt;/P&gt;&lt;P&gt;4. Special Purpose Ledger.. which is rarely used.&lt;/P&gt;&lt;P&gt;5. Asset Managment&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;In CO there are &lt;/P&gt;&lt;P&gt;Profit center Accounting&lt;/P&gt;&lt;P&gt;Cost center Accounting will be there.&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Cross-Application Components -&amp;gt; Financial.&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;A href="http://help.sap.com/saphelp_470/helpdata/en/e1/8e51341a06084de10000009b38f83b/frameset.htm" target="test_blank"&gt;http://help.sap.com/saphelp_470/helpdata/en/e1/8e51341a06084de10000009b38f83b/frameset.htm&lt;/A&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;you will go through this link &lt;/P&gt;&lt;P&gt;&lt;A href="http://www.sapgenie.com/sapfunc/fi.htm" target="test_blank"&gt;http://www.sapgenie.com/sapfunc/fi.htm&lt;/A&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Check this Link it out&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;A href="http://www.sap-img.com/sap-download/sap-tables.zip" target="test_blank"&gt;http://www.sap-img.com/sap-download/sap-tables.zip&lt;/A&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;FI-CO&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;A href="http://www.sapbrain.com/TUTORIALS/FUNCTIONAL/FI_tutorial.html" target="test_blank"&gt;http://www.sapbrain.com/TUTORIALS/FUNCTIONAL/FI_tutorial.html&lt;/A&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;A href="http://www.sapbrain.com/TUTORIALS/FUNCTIONAL/CO_tutorial.html" target="test_blank"&gt;http://www.sapbrain.com/TUTORIALS/FUNCTIONAL/CO_tutorial.html&lt;/A&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Main Tables in 5 FI/CO :&lt;/P&gt;&lt;P&gt;5.1 FI :&lt;/P&gt;&lt;P&gt;5.1.1 Master data&lt;/P&gt;&lt;P&gt;SKA1 Accounts&lt;/P&gt;&lt;P&gt;BNKA Bank master record&lt;/P&gt;&lt;P&gt;5.1.2 Accounting documents // indices&lt;/P&gt;&lt;P&gt;BKPF Accounting documents&lt;/P&gt;&lt;P&gt;BSEG item level&lt;/P&gt;&lt;P&gt;BSID Accounting: Secondary index for customers &lt;/P&gt;&lt;P&gt;BSIK Accounting: Secondary index for vendors &lt;/P&gt;&lt;P&gt;BSIM Secondary Index, Documents for Material &lt;/P&gt;&lt;P&gt;BSIP Index for vendor validation of double documents &lt;/P&gt;&lt;P&gt;BSIS Accounting: Secondary index for G/L accounts&lt;/P&gt;&lt;P&gt;BSAD Accounting: Index for customers (cleared items) &lt;/P&gt;&lt;P&gt;BSAK Accounting: Index for vendors (cleared items) &lt;/P&gt;&lt;P&gt;BSAS Accounting: Index for G/L accounts (cleared items)&lt;/P&gt;&lt;P&gt;5.1.3 Payment run&lt;/P&gt;&lt;P&gt;REGUH Settlement data from payment program&lt;/P&gt;&lt;P&gt;REGUP Processed items from payment program&lt;/P&gt;&lt;P&gt;5.2 CO :&lt;/P&gt;&lt;P&gt;TKA01 Controlling areas&lt;/P&gt;&lt;P&gt;TKA02 Controlling area assignment&lt;/P&gt;&lt;P&gt;KEKO Product-costing header&lt;/P&gt;&lt;P&gt;KEPH Cost components for cost of goods manuf.&lt;/P&gt;&lt;P&gt;KALO Costing objects&lt;/P&gt;&lt;P&gt;KANZ Sales order items - costing objects&lt;/P&gt;&lt;P&gt;5.2.1 Cost center master data&lt;/P&gt;&lt;P&gt;CSKS Cost Center Master Data&lt;/P&gt;&lt;P&gt;CSKT Cost center texts&lt;/P&gt;&lt;P&gt;CRCO Assignment of Work Center to Cost Center&lt;/P&gt;&lt;P&gt;5.2.2 Cost center accounting&lt;/P&gt;&lt;P&gt;COSP CO Object: Cost Totals for External Postings&lt;/P&gt;&lt;P&gt;COEP CO Object: Line Items (by Period)&lt;/P&gt;&lt;P&gt;COBK CO Object: Document header&lt;/P&gt;&lt;P&gt;COST CO Object: Price Totals &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Please refer to the following table relationships and table names from the following links below -&amp;gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;A href="http://www.erpgenie.com/abap/tables_fi.htm" target="test_blank"&gt;http://www.erpgenie.com/abap/tables_fi.htm&lt;/A&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;A href="http://www.erpgenie.com/sap/sapfunc/fi.htm" target="test_blank"&gt;http://www.erpgenie.com/sap/sapfunc/fi.htm&lt;/A&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;A href="http://www.ficoexpertonline.com/" target="test_blank"&gt;http://www.ficoexpertonline.com/&lt;/A&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Incase you have access to SAP system, log on transaction SPRO to see all the transactions available in Financial Accounting Node.&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&amp;lt;b&amp;gt;Reward points&amp;lt;/b&amp;gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Regards&lt;/P&gt;&lt;/BODY&gt;&lt;/HTML&gt;</description>
      <pubDate>Wed, 11 Jul 2007 07:30:09 GMT</pubDate>
      <guid>https://community.sap.com/t5/application-development-and-automation-discussions/fi-flow/m-p/2527092#M572587</guid>
      <dc:creator>Former Member</dc:creator>
      <dc:date>2007-07-11T07:30:09Z</dc:date>
    </item>
    <item>
      <title>Re: FI  FLOW</title>
      <link>https://community.sap.com/t5/application-development-and-automation-discussions/fi-flow/m-p/2527093#M572588</link>
      <description>&lt;HTML&gt;&lt;HEAD&gt;&lt;/HEAD&gt;&lt;BODY&gt;&lt;P&gt;Hi Ashok,&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;   You will find good documents in following links.&lt;/P&gt;&lt;P&gt;&lt;A href="http://www.sap-img.com/financial/fi-question.htm" target="test_blank"&gt;http://www.sap-img.com/financial/fi-question.htm&lt;/A&gt;&lt;/P&gt;&lt;P&gt;&lt;A href="http://www.sap-img.com/sap-fi.htm" target="test_blank"&gt;http://www.sap-img.com/sap-fi.htm&lt;/A&gt;&lt;/P&gt;&lt;P&gt;&lt;A href="http://www.sapgenie.com/publications/fico.htm" target="test_blank"&gt;http://www.sapgenie.com/publications/fico.htm&lt;/A&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Other wise the general outline of FI are :&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&amp;lt;b&amp;gt;External reporting&amp;lt;/b&amp;gt; of &lt;/P&gt;&lt;P&gt;General ledger&lt;/P&gt;&lt;P&gt;Accounts receivable/payable&lt;/P&gt;&lt;P&gt;Sub-ledger accounts with a user-defined Chart of Accounts&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&amp;lt;b&amp;gt;Key elements&amp;lt;/b&amp;gt;&lt;/P&gt;&lt;P&gt;General ledger&lt;/P&gt;&lt;P&gt;Accounts payable&lt;/P&gt;&lt;P&gt;Accounts receivable&lt;/P&gt;&lt;P&gt;Asset Management &lt;/P&gt;&lt;P&gt;Special Purpose Ledger (FI-SL)&lt;/P&gt;&lt;P&gt;Legal consolidation&lt;/P&gt;&lt;P&gt;Accounting Information System&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&amp;lt;b&amp;gt;Reward pts if found usefull :)&amp;lt;/b&amp;gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Regards&lt;/P&gt;&lt;P&gt;Sathish&lt;/P&gt;&lt;/BODY&gt;&lt;/HTML&gt;</description>
      <pubDate>Wed, 11 Jul 2007 07:31:31 GMT</pubDate>
      <guid>https://community.sap.com/t5/application-development-and-automation-discussions/fi-flow/m-p/2527093#M572588</guid>
      <dc:creator>Former Member</dc:creator>
      <dc:date>2007-07-11T07:31:31Z</dc:date>
    </item>
    <item>
      <title>Re: FI  FLOW</title>
      <link>https://community.sap.com/t5/application-development-and-automation-discussions/fi-flow/m-p/2527094#M572589</link>
      <description>&lt;HTML&gt;&lt;HEAD&gt;&lt;/HEAD&gt;&lt;BODY&gt;&lt;P&gt;&amp;lt;b&amp;gt;Document flow confusion in SAP FI &amp;lt;/b&amp;gt; &lt;/P&gt;&lt;P&gt;I have a problem understanding basic things like how a document flows in the Sap system.  When posting a customer invoice the subledger will be debited with that amount, now my confusion is will the same amount be posted to the G/L only or the very same amount will also be posted to the reconciliation general ledger - making 3 postings or The recon acc is the G/L . I don't see 3 postings happening because then 2 debits will be Posted against one debit -please clarify me on this. &lt;/P&gt;&lt;P&gt;  &lt;/P&gt;&lt;P&gt;Also the different between the G/L, Special ledgers and the recon acc is not clear to me. &lt;/P&gt;&lt;P&gt;  &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&amp;lt;b&amp;gt;Customer and Vendor accounts are&amp;lt;/b&amp;gt; maintained in a subledger. Posting to these accounts will also be posted to the A/R and A/P reconciliation accounts. All Reconciliation accouints are GL accounts.   &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;All &amp;lt;b&amp;gt;G/L accounts&amp;lt;/b&amp;gt; are not reconciliation accounts. &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Why is this done? &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;In large businesses, there will be hundreds/thousands of customers/vendors. All these are personalaccounts (there are three types of accounts: nominal, personal and real). These personal accounts are grouped in to sub-ledgers and any posting to them is reconciled to the G/L &lt;/P&gt;&lt;P&gt;via the reconciliation accounts. &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;For fulfilling completing the double entry system accounting the Reconciliation accounts i.e., Accounts Receivable and Accounts Payable are used. All the Vendors are grouped under Acounts Payable &amp;amp; Customers are grouped under Accounts Receivable. And also always any time the balance in reconciliation account shows as zero. &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&amp;lt;b&amp;gt;Ex: 1) Vendors transaction:&amp;lt;/b&amp;gt; &lt;/P&gt;&lt;P&gt;         For Invoice posting: &lt;/P&gt;&lt;P&gt;         Inventory A/c            Dr &lt;/P&gt;&lt;P&gt;         To Vendor A/c................Accounts Payable A/c (Reconciliation Ledger) &lt;/P&gt;&lt;P&gt;(In SAP since we are linking in the G/L Master Accounts Payable with the Reconciliation Accounts type setting as Vendors. Hence, with one entry 3 Accounts are automatically updated) &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Accounts Payable is Liability &amp;amp; Inventory is Current Assets. &lt;/P&gt;&lt;P&gt;         For Payment to Vendor: &lt;/P&gt;&lt;P&gt;         Vendor A/c               Dr.....Accounts Payable A/c &lt;/P&gt;&lt;P&gt;         To Bank/ Cash A/c &lt;/P&gt;&lt;P&gt;          &lt;/P&gt;&lt;P&gt;&amp;lt;b&amp;gt;Ex:2) Customer Transaction:&amp;lt;/b&amp;gt; &lt;/P&gt;&lt;P&gt;         Sales Invoice Posting: &lt;/P&gt;&lt;P&gt;         Customer A/c           Dr...Accounts Receivable A/c (Reconciliation A/c) &lt;/P&gt;&lt;P&gt;         To Sales A/c &lt;/P&gt;&lt;P&gt;       &lt;/P&gt;&lt;P&gt;         Receipt Posting: &lt;/P&gt;&lt;P&gt;         Bank A/c                 Dr &lt;/P&gt;&lt;P&gt;         To Customer A/c...........Accounts Receivable A/c &lt;/P&gt;&lt;P&gt;  &lt;/P&gt;&lt;P&gt;In Normal Accounting the Reconciliation Accounts are called as Control Accounts and we pass 2 entries for each transaction i.e., Sale, as following: &lt;/P&gt;&lt;P&gt;   [code]1)  Customer A/c           Dr       (Sales Ledger / Accounts Receivable A/c) &lt;/P&gt;&lt;P&gt;        To Sales A/c                       (General Ledger) &lt;/P&gt;&lt;P&gt;   2)  Accounts Receivable A/c Dr  (General Ledger) &lt;/P&gt;&lt;P&gt;        To Customer A/c                 (Sales Ledger Adjustment A/c)[/code] &lt;/P&gt;&lt;P&gt;Hence, any time the Control A/c balance is zero. &lt;/P&gt;&lt;P&gt;  &lt;/P&gt;&lt;P&gt;    &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;These are basic accounting differentiation for different types of accoutns. This is a basic accounting concept and is not specifically mentioned anywhere in SAP terminology. &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&amp;lt;b&amp;gt;Personal accounts:&amp;lt;/b&amp;gt;  &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;Accounts in the name of individuals, organizations etc. &lt;/P&gt;&lt;P&gt;For example, Company A A/c, XYZ limited co A/C, Suresh A/C, Indian Bank A/C etc &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&amp;lt;b&amp;gt;Real Accounts:&amp;lt;/b&amp;gt; &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;These are accounts related to assets, both real and tangible. &lt;/P&gt;&lt;P&gt;example, furniture a/c, machinery a/c, accounts receivables a/c etc &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&amp;lt;b&amp;gt;Nominal Accounts:&amp;lt;/b&amp;gt; &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;These are related to incomes/expenditures and profit/losses. &lt;/P&gt;&lt;P&gt;for example, sales A/c, salary a/c etc &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&amp;lt;b&amp;gt;list  of  tables&amp;lt;/b&amp;gt;  :&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;[code]AGKO Cleared Accounts &lt;/P&gt;&lt;P&gt;ANAR Asset Types &lt;/P&gt;&lt;P&gt;ANAT Asset type text &lt;/P&gt;&lt;P&gt;ANEK Document Header Asset Posting &lt;/P&gt;&lt;P&gt;ANEP Asset Line Items &lt;/P&gt;&lt;P&gt;ANEV Asset downpymt settlement &lt;/P&gt;&lt;P&gt;ANKT Asset classes- Description &lt;/P&gt;&lt;P&gt;ANLA Asset Master Record Segment &lt;/P&gt;&lt;P&gt;ANLB Depreciation terms &lt;/P&gt;&lt;P&gt;ANLC Asset Value Fields &lt;/P&gt;&lt;P&gt;ANLH Main asset number &lt;/P&gt;&lt;P&gt;AT02T Transaction Activity Category- Description &lt;/P&gt;&lt;P&gt;AT02A Transaction Code for Menu TIMN &lt;/P&gt;&lt;P&gt;AT10 Transaction type &lt;/P&gt;&lt;P&gt;AT10T Name of Transaction Type &lt;/P&gt;&lt;P&gt;BKDF Document Header Supplement for Recurring Entry &lt;/P&gt;&lt;P&gt;BKORM Accounting Correspondence Requests &lt;/P&gt;&lt;P&gt;BKPF Accounting Document Header &lt;/P&gt;&lt;P&gt;BLPK Document log header &lt;/P&gt;&lt;P&gt;BLPP Document log item &lt;/P&gt;&lt;P&gt;BLPR Document Log Index and Planned Order (Backflush) &lt;/P&gt;&lt;P&gt;BNKA Bank master record &lt;/P&gt;&lt;P&gt;BP000 Business Partner Master (General Data) &lt;/P&gt;&lt;P&gt;BPBK Doc.Header Controlling Obj. &lt;/P&gt;&lt;P&gt;BPEG Line Item Total Values Controlling Obj. &lt;/P&gt;&lt;P&gt;BPEJ Line Item Annual Values Controlling Obj. &lt;/P&gt;&lt;P&gt;BPEP Line Item Period Values Controlling Obj. &lt;/P&gt;&lt;P&gt;BPGE Totals Record for Total Value Controlling obj. &lt;/P&gt;&lt;P&gt;BPJA Totals Record for Annual Total Controlling Obj. &lt;/P&gt;&lt;P&gt;BSAD Accounting- Secondary Index for Customers (Cleared Items) &lt;/P&gt;&lt;P&gt;BSAK Accounting- Secondary Index for Vendors (Cleared Items) &lt;/P&gt;&lt;P&gt;BSAS Accounting- Secondary Index for G/L Accounts (Cleared Items) &lt;/P&gt;&lt;P&gt;BSEC One-Time Account Data Document Segment &lt;/P&gt;&lt;P&gt;BSEG Accounting Document Segment &lt;/P&gt;&lt;P&gt;BSID Accounting- Secondary Index for Customers &lt;/P&gt;&lt;P&gt;BSIK Accounting- Secondary Index for Vendors &lt;/P&gt;&lt;P&gt;BSIM Secondary Index, Documents for Material &lt;/P&gt;&lt;P&gt;BSIS Accounting- Secondary Index for G/L Accounts &lt;/P&gt;&lt;P&gt;CEPC Profit Center Master Data Table &lt;/P&gt;&lt;P&gt;CEPCT Texts for Profit Center Master Data &lt;/P&gt;&lt;P&gt;COBRA Settlement Rule for Order Settlement &lt;/P&gt;&lt;P&gt;COBRB Distribution Rules Settlement Rule Order Settlement &lt;/P&gt;&lt;P&gt;COKA CO Object- Control Data for Cost Elements &lt;/P&gt;&lt;P&gt;COSP CO Object- Cost Totals for External Postings &lt;/P&gt;&lt;P&gt;COSS CO Object- Cost Totals for Internal Postings &lt;/P&gt;&lt;P&gt;CRCO Assignment of Work Center to Cost Center &lt;/P&gt;&lt;P&gt;CSKA Cost Elements (Data Dependent on Chart of Accounts) &lt;/P&gt;&lt;P&gt;CSKB Cost Elements (Data Dependent on Controlling Area) &lt;/P&gt;&lt;P&gt;CSLA Activity master &lt;/P&gt;&lt;P&gt;FEBEP Electronic Bank Statement Line Items &lt;/P&gt;&lt;P&gt;FPLA Billing Plan &lt;/P&gt;&lt;P&gt;FPLT Billing Plan- Dates &lt;/P&gt;&lt;P&gt;GLPCT EC-PCA- Totals Table &lt;/P&gt;&lt;P&gt;KNA1 General Data in Customer Master &lt;/P&gt;&lt;P&gt;KOMK Pricing Communication Header &lt;/P&gt;&lt;P&gt;MAHNV Management Records for the Dunning Program &lt;/P&gt;&lt;P&gt;REGUT TemSe - Administration Data &lt;/P&gt;&lt;P&gt;SKA1 G/L Account Master (Chart of Accounts) &lt;/P&gt;&lt;P&gt;SKAT G/L Account Master Record (Chart of Accounts- Description) &lt;/P&gt;&lt;P&gt;SKB1 G/L account master (company code) &lt;/P&gt;&lt;P&gt;T003T Document Type Texts &lt;/P&gt;&lt;P&gt;T007S Tax Code Names &lt;/P&gt;&lt;P&gt;T087J Text &lt;/P&gt;&lt;P&gt;TAPRFT Text tab. for investment profile &lt;/P&gt;&lt;P&gt;TKA01 Controlling Areas &lt;/P&gt;&lt;P&gt;TKA09 Basic Settings for Versions &lt;/P&gt;&lt;P&gt;TKVS CO Versions &lt;/P&gt;&lt;P&gt;TZB0T Flow types text table &lt;/P&gt;&lt;P&gt;TZPAT Financial Assets Management product type texts &lt;/P&gt;&lt;P&gt;VBSEGS Document Segment for G/L Accounts Document Parking &lt;/P&gt;&lt;P&gt;VTBFHA Transaction &lt;/P&gt;&lt;P&gt;VTBFHAPO Transaction Flow &lt;/P&gt;&lt;P&gt;VTBFHAZU Transaction Activity &lt;/P&gt;&lt;P&gt;VTBFINKO Transaction Condition &lt;/P&gt;&lt;P&gt;VTIDERI Master Data Listed Options and Futures &lt;/P&gt;&lt;P&gt;VTIFHA Underlying transaction &lt;/P&gt;&lt;P&gt;VTIFHAPO Underlying transaction flows &lt;/P&gt;&lt;P&gt;VTIFHAZU Underlying transaction status table &lt;/P&gt;&lt;P&gt;VTIOF Options Additional Data &lt;/P&gt;&lt;P&gt;VWPANLA Asset master for securities[/code]&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&amp;lt;b&amp;gt;&lt;/P&gt;&lt;P&gt;SAP FI Transaction Code List &amp;lt;/b&amp;gt; &lt;/P&gt;&lt;P&gt;How to reverse a cleared documents? &lt;/P&gt;&lt;P&gt;The following procedure is to be followed to reverse the cleared document.  &lt;/P&gt;&lt;P&gt;1. Reset the cleared document and reverse the document. &lt;/P&gt;&lt;P&gt;Path # Accounting --&amp;gt; financial Accounting --&amp;gt; C/L &lt;DEL&gt;&amp;gt; Document&lt;/DEL&gt;&amp;gt; Reset Cleared items -  T. code : FBRA &lt;/P&gt;&lt;P&gt;In this screen select resetting and reverse radio button  and give the reversal reason. : 01 and save the settings. &lt;/P&gt;&lt;P&gt;*-- Maddipati &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;[code]F-01    Enter Sample Document &lt;/P&gt;&lt;P&gt;F-02    Enter G/L Account Posting &lt;/P&gt;&lt;P&gt;F-03    Clear G/L Account &lt;/P&gt;&lt;P&gt;F-04    Post with Clearing &lt;/P&gt;&lt;P&gt;F-05    Post Foreign Currency Valuation &lt;/P&gt;&lt;P&gt;F-06    Post Incoming Payments &lt;/P&gt;&lt;P&gt;F-07    Post Outgoing Payments &lt;/P&gt;&lt;P&gt;F-18    Payment with Printout &lt;/P&gt;&lt;P&gt;F-19    Reverse Statistical Posting &lt;/P&gt;&lt;P&gt;F-20    Reverse Bill Liability &lt;/P&gt;&lt;P&gt;F-21    Enter Transfer Posting &lt;/P&gt;&lt;P&gt;F-22    Enter Customer Invoice &lt;/P&gt;&lt;P&gt;F-23    Return Bill of Exchange Pmt Request&lt;/P&gt;&lt;P&gt;F-25    Reverse Check/Bill of Exch. &lt;/P&gt;&lt;P&gt;F-26    Incoming Payments Fast Entry &lt;/P&gt;&lt;P&gt;F-27    Enter Customer Credit Memo &lt;/P&gt;&lt;P&gt;F-28    Post Incoming Payments &lt;/P&gt;&lt;P&gt;F-29    Post Customer Down Payment &lt;/P&gt;&lt;P&gt;F-30    Post with Clearing &lt;/P&gt;&lt;P&gt;F-31    Post Outgoing Payments &lt;/P&gt;&lt;P&gt;F-32    Clear Customer &lt;/P&gt;&lt;P&gt;F-33    Post Bill of Exchange Usage &lt;/P&gt;&lt;P&gt;F-34    Post Collection &lt;/P&gt;&lt;P&gt;F-35    Post Forfaiting &lt;/P&gt;&lt;P&gt;F-36    Bill of Exchange Payment &lt;/P&gt;&lt;P&gt;F-37    Customer Down Payment Request &lt;/P&gt;&lt;P&gt;F-38    Enter Statistical Posting &lt;/P&gt;&lt;P&gt;F-39    Clear Customer Down Payment &lt;/P&gt;&lt;P&gt;F-40    Bill of Exchange Payment &lt;/P&gt;&lt;P&gt;F-41    Enter Vendor Credit Memo &lt;/P&gt;&lt;P&gt;F-42    Enter Transfer Posting &lt;/P&gt;&lt;P&gt;F-43    Enter Vendor Invoice &lt;/P&gt;&lt;P&gt;F-44    Clear Vendor &lt;/P&gt;&lt;P&gt;F-46    Reverse Refinancing Acceptance &lt;/P&gt;&lt;P&gt;F-47    Down Payment Request &lt;/P&gt;&lt;P&gt;F-48    Post Vendor Down Payment &lt;/P&gt;&lt;P&gt;F-49    Customer Noted Item &lt;/P&gt;&lt;P&gt;F-51    Post with Clearing &lt;/P&gt;&lt;P&gt;F-52    Post Incoming Payments &lt;/P&gt;&lt;P&gt;F-53    Post Outgoing Payments &lt;/P&gt;&lt;P&gt;F-54    Clear Vendor Down Payment &lt;/P&gt;&lt;P&gt;F-55    Enter Statistical Posting &lt;/P&gt;&lt;P&gt;F-56    Reverse Statistical Posting &lt;/P&gt;&lt;P&gt;F-57    Vendor Noted Item &lt;/P&gt;&lt;P&gt;F-58    Payment with Printout &lt;/P&gt;&lt;P&gt;F-59    Payment Request &lt;/P&gt;&lt;P&gt;F-60    Maintain Table: Posting Periods &lt;/P&gt;&lt;P&gt;F-62    Maintain Table: Exchange Rates &lt;/P&gt;&lt;P&gt;F-63    Park Vendor Invoice &lt;/P&gt;&lt;P&gt;F-64    Park Customer Invoice &lt;/P&gt;&lt;P&gt;F-65    Preliminary Posting &lt;/P&gt;&lt;P&gt;F-66    Park Vendor Credit Memo &lt;/P&gt;&lt;P&gt;F-67    Park Customer Credit Memo &lt;/P&gt;&lt;P&gt;F-90    Acquisition from purchase w. vendor&lt;/P&gt;&lt;P&gt;F-91    Asset acquis. to clearing account &lt;/P&gt;&lt;P&gt;F-92    Asset Retire. frm Sale w/ Customer &lt;/P&gt;&lt;P&gt;F.01    ABAP/4 Report: Balance Sheet &lt;/P&gt;&lt;P&gt;F.02    Compact Journal &lt;/P&gt;&lt;P&gt;F.03    Reconciliation &lt;/P&gt;&lt;P&gt;F.04    G/L: Create Foreign Trade Report &lt;/P&gt;&lt;P&gt;F.05    Foreign Currency Val.: Open Items &lt;/P&gt;&lt;P&gt;F.06    Foreign Currency Valuation:G/L Assts&lt;/P&gt;&lt;P&gt;F.07    G/L: Balance Carried Forward &lt;/P&gt;&lt;P&gt;F.08    G/L: Account Balances &lt;/P&gt;&lt;P&gt;F.09    G/L: Account List &lt;/P&gt;&lt;P&gt;F.0A    G/L: FTR Report on Disk &lt;/P&gt;&lt;P&gt;F.0B    G/L: Create Z2 to Z4 &lt;/P&gt;&lt;P&gt;F.10    G/L: Chart of Accounts &lt;/P&gt;&lt;P&gt;F.11    G/L: General Ledger from Doc.File &lt;/P&gt;&lt;P&gt;F.12    Advance Tax Return &lt;/P&gt;&lt;P&gt;F.13    ABAP/4 Report: Automatic Clearing &lt;/P&gt;&lt;P&gt;F.14    ABAP/4 Report: Recurring Entries &lt;/P&gt;&lt;P&gt;F.15    ABAP/4 Report: List Recurr.Entries &lt;/P&gt;&lt;P&gt;F.16    ABAP/4 Report: G/L Bal.Carried Fwd &lt;/P&gt;&lt;P&gt;F.17    ABAP/4 Report: Cust.Bal.Confirmation&lt;/P&gt;&lt;P&gt;F.18    ABAP/4 Report: Vend.Bal.Confirmation&lt;/P&gt;&lt;P&gt;F.19    G/L: Goods/Invoice Received Clearing&lt;/P&gt;&lt;P&gt;F.1A    Customer/Vendor Statistics &lt;/P&gt;&lt;P&gt;F.1B    Head Office and Branch Index &lt;/P&gt;&lt;P&gt;F.20    A/R: Account List &lt;/P&gt;&lt;P&gt;F.21    A/R: Open Items &lt;/P&gt;&lt;P&gt;F.22    A/R: Open Item Sorted List &lt;/P&gt;&lt;P&gt;F.23    A/R: Account Balances &lt;/P&gt;&lt;P&gt;F.24    A/R: Interest for Days Overdue &lt;/P&gt;&lt;P&gt;F.25    Bill of Exchange List &lt;/P&gt;&lt;P&gt;F.26    A/R: Balance Interest Calculation &lt;/P&gt;&lt;P&gt;F.27    A/R: Periodic Account Statements &lt;/P&gt;&lt;P&gt;F.28    Customers: Reset Credit Limit &lt;/P&gt;&lt;P&gt;F.29    A/R: Set Up Info System 1 &lt;/P&gt;&lt;P&gt;F.2A    Calc.cust.int.on arr.: Post (w/o OI)&lt;/P&gt;&lt;P&gt;F.2B    Calc.cust.int.on arr.: Post(with OI)&lt;/P&gt;&lt;P&gt;F.2C    Calc.cust.int.on arr.: w/o postings&lt;/P&gt;&lt;P&gt;F.2D    Customrs: FI-SD mast.data comparison&lt;/P&gt;&lt;P&gt;F.2E    Reconciliation Btwn Affiliated Comps&lt;/P&gt;&lt;P&gt;F.2F    Management Acct Group Reconciliation&lt;/P&gt;&lt;P&gt;F.2G    Create Account Group Reconcil. G/L &lt;/P&gt;&lt;P&gt;F.30    A/R: Evaluate Info System &lt;/P&gt;&lt;P&gt;F.31    Credit Management - Overview &lt;/P&gt;&lt;P&gt;F.32    Credit Management - Missing Data &lt;/P&gt;&lt;P&gt;F.33    Credit Management - Brief Overview &lt;/P&gt;&lt;P&gt;F.34    Credit Management - Mass Change &lt;/P&gt;&lt;P&gt;F.35    Credit Master Sheet &lt;/P&gt;&lt;P&gt;F.36    Adv.Ret.on Sls/Pur.Form Printout(DE)&lt;/P&gt;&lt;P&gt;F.37    Adv.rept.tx sls/purch.form print (BE&lt;/P&gt;&lt;P&gt;F.38    Transfer Posting of Deferred Tax &lt;/P&gt;&lt;P&gt;F.39    C FI Maint. table T042Z (BillExcTyp)&lt;/P&gt;&lt;P&gt;F.40    A/P: Account List &lt;/P&gt;&lt;P&gt;F.41    A/P: Open Items &lt;/P&gt;&lt;P&gt;F.42    A/P: Account Balances &lt;/P&gt;&lt;P&gt;F.44    A/P: Balance Interest Calculation &lt;/P&gt;&lt;P&gt;F.45    A/P: Set Up Info System 1 &lt;/P&gt;&lt;P&gt;F.46    A/P: Evaluate Info System &lt;/P&gt;&lt;P&gt;F.47    Vendors: calc.of interest on arrears&lt;/P&gt;&lt;P&gt;F.48    Vendors: FI-MM mast.data comparison&lt;/P&gt;&lt;P&gt;F.4A    Calc.vend.int.on arr.: Post (w/o OI)&lt;/P&gt;&lt;P&gt;F.4B    Calc.vend.int.on arr.: Post(with OI)&lt;/P&gt;&lt;P&gt;F.4C    Calc.vend.int.on arr.: w/o postings&lt;/P&gt;&lt;P&gt;F.50    G/L: Profitability Segment Adjustmnt&lt;/P&gt;&lt;P&gt;F.51    G/L: Open Items &lt;/P&gt;&lt;P&gt;F.52    G/L: Acct Bal.Interest Calculation &lt;/P&gt;&lt;P&gt;F.53    G/L: Account Assignment Manual &lt;/P&gt;&lt;P&gt;F.54    G/L: Structured Account Balances &lt;/P&gt;&lt;P&gt;F.56    Delete Recurring Document &lt;/P&gt;&lt;P&gt;F.57    G/L: Delete Sample Documents &lt;/P&gt;&lt;P&gt;F.58    OI Bal.Audit Trail: fr.Document File&lt;/P&gt;&lt;P&gt;F.59    Accum.Clas.Aud.Trail: Create Extract&lt;/P&gt;&lt;P&gt;F.5A    Accum.Clas.Aud.Trail: Eval.Extract &lt;/P&gt;&lt;P&gt;F.5B    Accum.OI Aud.Trail: Create Extract &lt;/P&gt;&lt;P&gt;F.5C    Accum.OI Audit Trail: Display Extr.&lt;/P&gt;&lt;P&gt;F.5D    G/L: Update Bal. Sheet Adjustment &lt;/P&gt;&lt;P&gt;F.5E    G/L: Post Balance Sheet Adjustment &lt;/P&gt;&lt;P&gt;F.5F    G/L: Balance Sheet Adjustment Log &lt;/P&gt;&lt;P&gt;F.5G    G/L: Subseq.Adjustment(BA/PC) Sp.ErA&lt;/P&gt;&lt;P&gt;F.5I    G/L: Adv.Rep.f.Tx on Sls/Purch.w.Jur&lt;/P&gt;&lt;P&gt;F.61    Correspondence: Print Requests &lt;/P&gt;&lt;P&gt;F.62    Correspondence: Print Int.Documents&lt;/P&gt;&lt;P&gt;F.63    Correspondence: Delete Requests &lt;/P&gt;&lt;P&gt;F.64    Correspondence: Maintain Requests &lt;/P&gt;&lt;P&gt;F.65    Correspondence: Print Letters (Cust)&lt;/P&gt;&lt;P&gt;F.66    Correspondence: Print Letters (Vend)&lt;/P&gt;&lt;P&gt;F.70    Bill/Exchange Pmnt Request Dunning &lt;/P&gt;&lt;P&gt;F.71    DME with Disk: B/Excha. Presentation&lt;/P&gt;&lt;P&gt;F.75    Extended Bill/Exchange Information &lt;/P&gt;&lt;P&gt;F.77    C FI Maintain Table T045D &lt;/P&gt;&lt;P&gt;F.78    C FI Maintain Table T045B &lt;/P&gt;&lt;P&gt;F.79    C FI Maintain Table T045G &lt;/P&gt;&lt;P&gt;F.80    Mass Reversal of Documents &lt;/P&gt;&lt;P&gt;F.81    Reverse Posting for Accr./Defer.Docs&lt;/P&gt;&lt;P&gt;F.90    C FI Maintain Table T045F &lt;/P&gt;&lt;P&gt;F.91    C FI Maintain Table T045L &lt;/P&gt;&lt;P&gt;F.92    C FI Maintain T012K (Bill/Exch.) &lt;/P&gt;&lt;P&gt;F.93    Maintain Bill Liability and Rem.Risk&lt;/P&gt;&lt;P&gt;F.97    General Ledger: Report Selection &lt;/P&gt;&lt;P&gt;F.98    Vendors: Report Selection &lt;/P&gt;&lt;P&gt;F.99    Customers: Report Selection &lt;/P&gt;&lt;P&gt;F/LA    Create Pricing Report &lt;/P&gt;&lt;P&gt;F/LB    Change pricing reports &lt;/P&gt;&lt;P&gt;F/LC    Display pricing reports &lt;/P&gt;&lt;P&gt;F/LD    Execute pricing reports &lt;/P&gt;&lt;P&gt;F00     SAPoffice: Short Message &lt;/P&gt;&lt;P&gt;F000    Accounting &lt;/P&gt;&lt;P&gt;F010    ABAP/4 Reporting: Fiscal Year Change&lt;/P&gt;&lt;P&gt;F01N    Debit position RA single reversal &lt;/P&gt;&lt;P&gt;F01O    Vacancy RU single reversal &lt;/P&gt;&lt;P&gt;F01P    Accruals/deferrals single reversal &lt;/P&gt;&lt;P&gt;F01Q    Debit position MC single reversal &lt;/P&gt;&lt;P&gt;F01R    MC settlement single reversal &lt;/P&gt;&lt;P&gt;F01S    Reverse Periodic Posting &lt;/P&gt;&lt;P&gt;F01T    Reverse Acc./Def. General Contract &lt;/P&gt;&lt;P&gt;F040    Reorganization &lt;/P&gt;&lt;P&gt;F041    Bank Master Data Archiving &lt;/P&gt;&lt;P&gt;F042    G/L Accounts Archiving &lt;/P&gt;&lt;P&gt;F043    Customer Archiving &lt;/P&gt;&lt;P&gt;F044    Vendor Archiving &lt;/P&gt;&lt;P&gt;F045    Document Archiving &lt;/P&gt;&lt;P&gt;F046    Transaction Figures Archiving &lt;/P&gt;&lt;P&gt;F101    ABAP/4 Reporting: Balance Sheet Adj.&lt;/P&gt;&lt;P&gt;F103    ABAP/4 Reporting: Transfer Receivbls&lt;/P&gt;&lt;P&gt;F104    ABAP/4 Reporting: Receivbls Provisn&lt;/P&gt;&lt;P&gt;F107    FI Valuation Run &lt;/P&gt;&lt;P&gt;F110    Parameters for Automatic Payment &lt;/P&gt;&lt;P&gt;F111    Parameters for Payment of PRequest &lt;/P&gt;&lt;P&gt;F13E    ABAP/4 Report: Automatic Clearing &lt;/P&gt;&lt;P&gt;F150    Dunning Run &lt;/P&gt;&lt;P&gt;F48A    Document Archiving &lt;/P&gt;&lt;P&gt;F53A    Archiving of G/L Accounts &lt;/P&gt;&lt;P&gt;F53V    Management of G/L Account Archives &lt;/P&gt;&lt;P&gt;F56A    Customer Archiving &lt;/P&gt;&lt;P&gt;F58A    Archiving of Vendors &lt;/P&gt;&lt;P&gt;F61A    Bank archiving &lt;/P&gt;&lt;P&gt;F64A    Transaction Figure Archiving &lt;/P&gt;&lt;P&gt;F66A    Archiving of Bank Data Storage &lt;/P&gt;&lt;P&gt;F8+0    Display FI Main Role Definition &lt;/P&gt;&lt;P&gt;F8+1    Maintain FI Main Role Definition &lt;/P&gt;&lt;P&gt;F8+2    Display FI Amount Groups &lt;/P&gt;&lt;P&gt;F8+3    Maintain FI Amount Groups &lt;/P&gt;&lt;P&gt;F8B4    C FI Maintain Table TBKDC &lt;/P&gt;&lt;P&gt;F8B6N   C FI Maintain Table TBKPV &lt;/P&gt;&lt;P&gt;F8BC    C FI Maintain Table TBKFK &lt;/P&gt;&lt;P&gt;F8BF    C FI Maintain Table T042Y &lt;/P&gt;&lt;P&gt;F8BG    Maintain Global Data for F111 &lt;/P&gt;&lt;P&gt;F8BH    Inconsistencies T042I and T042Y &lt;/P&gt;&lt;P&gt;F8BJ    Maintain Clearing Accts (Rec.Bank) &lt;/P&gt;&lt;P&gt;F8BK    Maintain ALE-Compatible Pmnt Methods&lt;/P&gt;&lt;P&gt;F8BM    Maintain numb.range: Payment request&lt;/P&gt;&lt;P&gt;F8BN    Corr.Acctg Documents Payment Block &lt;/P&gt;&lt;P&gt;F8BO    Payment request archiving &lt;/P&gt;&lt;P&gt;F8BR    Levels for Payment Requests &lt;/P&gt;&lt;P&gt;F8BS    Detail display of payment requests &lt;/P&gt;&lt;P&gt;F8BT    Display Payment Requests &lt;/P&gt;&lt;P&gt;F8BU    Create payment runs automatically &lt;/P&gt;&lt;P&gt;F8BV    Reversal of Bank-to-Bank Transfers &lt;/P&gt;&lt;P&gt;F8BW    Reset Cleared Items: Payt Requests &lt;/P&gt;&lt;P&gt;F8BZ    F111 Customizing &lt;/P&gt;&lt;P&gt;F8XX    Payment Request No. Ranges KI3-F8BM&lt;/P&gt;&lt;P&gt;FA39    Call up report with report variant &lt;/P&gt;&lt;P&gt;FAKA    Config.: Show Display Format &lt;/P&gt;&lt;P&gt;FAKP    Config.: Maintain Display Format &lt;/P&gt;&lt;P&gt;FAR1    S FI-ARI Maint. table T061A &lt;/P&gt;&lt;P&gt;FARA    S FI-ARI Maint. table T061P/Q &lt;/P&gt;&lt;P&gt;FARB    C FI-ARI Maint. table T061R &lt;/P&gt;&lt;P&gt;FARI    AR Interface: Third-party applicatns&lt;/P&gt;&lt;P&gt;FARY    Table T061S &lt;/P&gt;&lt;P&gt;FARZ    Table T061V &lt;/P&gt;&lt;P&gt;FAX1    BC sample SAP DE 2.1 &lt;/P&gt;&lt;P&gt;FAX2    BC sample 2 SAP DE 2.1 &lt;/P&gt;&lt;P&gt;FB00    Accounting Editing Options &lt;/P&gt;&lt;P&gt;FB01    Post Document &lt;/P&gt;&lt;P&gt;FB02    Change Document &lt;/P&gt;&lt;P&gt;FB03    Display Document &lt;/P&gt;&lt;P&gt;FB03Z   Display Document/Payment Usage &lt;/P&gt;&lt;P&gt;FB04    Document Changes &lt;/P&gt;&lt;P&gt;FB05    Post with Clearing &lt;/P&gt;&lt;P&gt;FB05_OLD Post with clearing &lt;/P&gt;&lt;P&gt;FB07    Control Totals &lt;/P&gt;&lt;P&gt;FB08    Reverse Document &lt;/P&gt;&lt;P&gt;FB09    Change Line Items &lt;/P&gt;&lt;P&gt;FB10    Invoice/Credit Fast Entry &lt;/P&gt;&lt;P&gt;FB11    Post Held Document &lt;/P&gt;&lt;P&gt;FB12    Request from Correspondence &lt;/P&gt;&lt;P&gt;FB13    Release for Payments &lt;/P&gt;&lt;P&gt;FB1D    Clear Customer &lt;/P&gt;&lt;P&gt;FB1K    Clear Vendor &lt;/P&gt;&lt;P&gt;FB1S    Clear G/L Account &lt;/P&gt;&lt;P&gt;FB21    Enter Statistical Posting &lt;/P&gt;&lt;P&gt;FB22    Reverse Statistical Posting &lt;/P&gt;&lt;P&gt;FB31    Enter Noted Item &lt;/P&gt;&lt;P&gt;FB41    Post Tax Payable &lt;/P&gt;&lt;P&gt;FB50    G/L Acct Pstg: Single Screen Trans.&lt;/P&gt;&lt;P&gt;FB60    Enter Incoming Invoices &lt;/P&gt;&lt;P&gt;FB65    Enter Incoming Credit Memos &lt;/P&gt;&lt;P&gt;FB70    Enter Outgoing Invoices &lt;/P&gt;&lt;P&gt;FB75    Enter Outgoing Credit Memos &lt;/P&gt;&lt;P&gt;FB99    Check if Documents can be Archived &lt;/P&gt;&lt;P&gt;FBA1    Customer Down Payment Request &lt;/P&gt;&lt;P&gt;FBA2    Post Customer Down Payment &lt;/P&gt;&lt;P&gt;FBA3    Clear Customer Down Payment &lt;/P&gt;&lt;P&gt;FBA6    Vendor Down Payment Request &lt;/P&gt;&lt;P&gt;FBA7    Post Vendor Down Payment &lt;/P&gt;&lt;P&gt;FBA7_OLD Post Vendor Down Payment &lt;/P&gt;&lt;P&gt;FBA8     Clear Vendor Down Payment &lt;/P&gt;&lt;P&gt;FBA8_OLD Clear Vendor Down Payment &lt;/P&gt;&lt;P&gt;FBB1    Post Foreign Currency Valn &lt;/P&gt;&lt;P&gt;FBBA    Display Acct Determination Config. &lt;/P&gt;&lt;P&gt;FBBP    Maintain Acct Determination Config.&lt;/P&gt;&lt;P&gt;FBCJ    Cash Journal &lt;/P&gt;&lt;P&gt;FBCJC0  C FI Maintain Tables TCJ_C_JOURNALS&lt;/P&gt;&lt;P&gt;FBCJC1  Cash Journal Document Number Range &lt;/P&gt;&lt;P&gt;FBCJC2  C FI Maint. Tables TCJ_TRANSACTIONS&lt;/P&gt;&lt;P&gt;FBCJC3  C FI Maintain Tables TCJ_PRINT &lt;/P&gt;&lt;P&gt;FBCOPY  Copy Function Module &lt;/P&gt;&lt;P&gt;FBD1    Enter Recurring Entry &lt;/P&gt;&lt;P&gt;FBD2    Change Recurring Entry &lt;/P&gt;&lt;P&gt;FBD3    Display Recurring Entry &lt;/P&gt;&lt;P&gt;FBD4    Display Recurring Entry Changes &lt;/P&gt;&lt;P&gt;FBD5    Realize Recurring Entry &lt;/P&gt;&lt;P&gt;FBD9    Enter Recurring Entry &lt;/P&gt;&lt;P&gt;FBDF    Menu Banque de France &lt;/P&gt;&lt;P&gt;FBE1    Create Payment Advice &lt;/P&gt;&lt;P&gt;FBE2    Change Payment Advice &lt;/P&gt;&lt;P&gt;FBE3    Display Payment Advice &lt;/P&gt;&lt;P&gt;FBE6    Delete Payment Advice &lt;/P&gt;&lt;P&gt;FBE7    Add to Payment Advice Account &lt;/P&gt;&lt;P&gt;FBF1    C80 Reporting Minus Sp.G/L Ind. &lt;/P&gt;&lt;P&gt;FBF2    Financial Transactions &lt;/P&gt;&lt;P&gt;FBF3    Control Report &lt;/P&gt;&lt;P&gt;FBF4    Download Documents &lt;/P&gt;&lt;P&gt;FBF5    Reports Minus Vendor Accounts &lt;/P&gt;&lt;P&gt;FBF6    Document Changes &lt;/P&gt;&lt;P&gt;FBF7    C80 Reports Minus Sp.G/L Ind. &lt;/P&gt;&lt;P&gt;FBF8    C84 Reports &lt;/P&gt;&lt;P&gt;FBFT    Customizing BDF &lt;/P&gt;&lt;P&gt;FBIPU   Maintain bank chains for partner &lt;/P&gt;&lt;P&gt;FBKA    Display Accounting Configuration &lt;/P&gt;&lt;P&gt;FBKF    FBKP/Carry Out Function (Internal) &lt;/P&gt;&lt;P&gt;FBKP    Maintain Accounting Configuration &lt;/P&gt;&lt;P&gt;FBL1    Display Vendor Line Items &lt;/P&gt;&lt;P&gt;FBL1N   Vendor Line Items &lt;/P&gt;&lt;P&gt;FBL2    Change Vendor Line Items &lt;/P&gt;&lt;P&gt;FBL2N   Vendor Line Items &lt;/P&gt;&lt;P&gt;FBL3    Display G/L Account Line Items &lt;/P&gt;&lt;P&gt;FBL3N   G/L Account Line Items &lt;/P&gt;&lt;P&gt;FBL4    Change G/L Account Line Items &lt;/P&gt;&lt;P&gt;FBL4N   G/L Account Line Items &lt;/P&gt;&lt;P&gt;FBL5    Display Customer Line Items &lt;/P&gt;&lt;P&gt;FBL5N   Customer Line Items &lt;/P&gt;&lt;P&gt;FBL6    Change Customer Line Items &lt;/P&gt;&lt;P&gt;FBL6N   Customer Line Items &lt;/P&gt;&lt;P&gt;FBM1    Enter Sample Document &lt;/P&gt;&lt;P&gt;FBM2    Change Sample Document &lt;/P&gt;&lt;P&gt;FBM3    Display Sample Document &lt;/P&gt;&lt;P&gt;FBM4    Display Sample Document Changes &lt;/P&gt;&lt;P&gt;FBMA    Display Dunning Procedure &lt;/P&gt;&lt;P&gt;FBME    Banks &lt;/P&gt;&lt;P&gt;FBMP    Maintain Dunning Procedure &lt;/P&gt;&lt;P&gt;FBN1    Accounting Document Number Ranges &lt;/P&gt;&lt;P&gt;FBN2    Number Range Maintenance: FI_PYORD &lt;/P&gt;&lt;P&gt;FBP1    Enter Payment Request &lt;/P&gt;&lt;P&gt;FBR1    Post with Reference Document &lt;/P&gt;&lt;P&gt;FBR2    Post Document &lt;/P&gt;&lt;P&gt;FBRA    Reset Cleared Items &lt;/P&gt;&lt;P&gt;FBRC    Reset Cleared Items (Payment Cards)&lt;/P&gt;&lt;P&gt;FBS1    Enter Accrual/Deferral Doc. &lt;/P&gt;&lt;P&gt;FBTA    Display Text Determin.Configuration&lt;/P&gt;&lt;P&gt;FBTP    Maintain Text Determin.Configuration&lt;/P&gt;&lt;P&gt;FBU2    Change Intercompany Document &lt;/P&gt;&lt;P&gt;FBU3    Display Intercompany Document &lt;/P&gt;&lt;P&gt;FBU8    Reverse Cross-Company Code Document&lt;/P&gt;&lt;P&gt;FBV0    Post Parked Document &lt;/P&gt;&lt;P&gt;FBV1    Park Document &lt;/P&gt;&lt;P&gt;FBV2    Change Parked Document &lt;/P&gt;&lt;P&gt;FBV3    Display Parked Document &lt;/P&gt;&lt;P&gt;FBV4    Change Parked Document (Header) &lt;/P&gt;&lt;P&gt;FBV5    Document Changes of Parked Documents&lt;/P&gt;&lt;P&gt;FBV6    Parked Document $ &lt;/P&gt;&lt;P&gt;FBVB    Post Parked Document &lt;/P&gt;&lt;P&gt;FBW1    Enter Bill of Exchange Pmnt Request&lt;/P&gt;&lt;P&gt;FBW2    Post Bill of Exch.acc.to Pmt Request&lt;/P&gt;&lt;P&gt;FBW3    Post Bill of Exchange Usage &lt;/P&gt;&lt;P&gt;FBW4    Reverse Bill Liability &lt;/P&gt;&lt;P&gt;FBW5    Customer Check/Bill of Exchange &lt;/P&gt;&lt;P&gt;FBW6    Vendor Check/Bill of Exchange &lt;/P&gt;&lt;P&gt;FBW7    Bank file to file system (for FBWD)&lt;/P&gt;&lt;P&gt;FBW8    File to Bank (for Transaction FBWD)&lt;/P&gt;&lt;P&gt;FBW9    C FI Maintain Table T045DTA &lt;/P&gt;&lt;P&gt;FBWA    C FI Maintain Table T046a &lt;/P&gt;&lt;P&gt;FBWD    Returned Bills of Exchange Payable &lt;/P&gt;&lt;P&gt;FBWD2   Parameter Transaction for FBWD &lt;/P&gt;&lt;P&gt;FBWE    Bill/Exch.Presentatn - International&lt;/P&gt;&lt;P&gt;FBWQ    C FI Maintain Table T045T &lt;/P&gt;&lt;P&gt;FBWR    C FI Maintain Table T045W &lt;/P&gt;&lt;P&gt;FBWS    C FI Maintain Table T046s &lt;/P&gt;&lt;P&gt;FBZ0    Display/Edit Payment Proposal &lt;/P&gt;&lt;P&gt;FBZ1    Post Incoming Payments &lt;/P&gt;&lt;P&gt;FBZ2    Post Outgoing Payments &lt;/P&gt;&lt;P&gt;FBZ3    Incoming Payments Fast Entry &lt;/P&gt;&lt;P&gt;FBZ4    Payment with Printout &lt;/P&gt;&lt;P&gt;FBZ5    Print Check For Payment Document &lt;/P&gt;&lt;P&gt;FBZ8    Display Payment Run &lt;/P&gt;&lt;P&gt;FBZA    Display Pmnt Program Configuration &lt;/P&gt;&lt;P&gt;FBZG    Failed Customer Payments &lt;/P&gt;&lt;P&gt;FBZP    Maintain Pmnt Program Configuration&lt;/P&gt;&lt;P&gt;FC10    Financial Statements Comparison &lt;/P&gt;&lt;P&gt;FC11    Data Extract for FI Transfer &lt;/P&gt;&lt;P&gt;FC80    Document C80 &lt;/P&gt;&lt;P&gt;FC82    Document C82 &lt;/P&gt;&lt;P&gt;FCAA    Check Archiving &lt;/P&gt;&lt;P&gt;FCC1    Payment Cards: Settlement &lt;/P&gt;&lt;P&gt;FCC2    Payment Cards: Repeat Settlement &lt;/P&gt;&lt;P&gt;FCC3    Payment Cards: Delete Logs &lt;/P&gt;&lt;P&gt;FCC4    Payment Cards: Display Logs &lt;/P&gt;&lt;P&gt;FCCR    Payment Card Evaluations &lt;/P&gt;&lt;P&gt;FCH1    Display Check Information &lt;/P&gt;&lt;P&gt;FCH2    Display Payment Document Checks &lt;/P&gt;&lt;P&gt;FCH3    Void Checks &lt;/P&gt;&lt;P&gt;FCH4    Renumber Checks &lt;/P&gt;&lt;P&gt;FCH5    Create Check Information &lt;/P&gt;&lt;P&gt;FCH6    Change Check Information/Cash Check&lt;/P&gt;&lt;P&gt;FCH7    Reprint Check &lt;/P&gt;&lt;P&gt;FCH8    Reverse Check Payment &lt;/P&gt;&lt;P&gt;FCH9    Void Issued Check &lt;/P&gt;&lt;P&gt;FCHA    Check archiving &lt;/P&gt;&lt;P&gt;FCHB    Check retrieval &lt;/P&gt;&lt;P&gt;FCHD    Delete Payment Run Check Information&lt;/P&gt;&lt;P&gt;FCHE    Delete Voided Checks &lt;/P&gt;&lt;P&gt;FCHF    Delete Manual Checks &lt;/P&gt;&lt;P&gt;FCHG    Delete cashing/extract data &lt;/P&gt;&lt;P&gt;FCHI    Check Lots &lt;/P&gt;&lt;P&gt;FCHK    Check Tracing Initial Menu &lt;/P&gt;&lt;P&gt;FCHN    Check Register &lt;/P&gt;&lt;P&gt;FCHR    Online Cashed Checks &lt;/P&gt;&lt;P&gt;FCHT    Change check/payment allocation &lt;/P&gt;&lt;P&gt;FCHU    Create Reference for Check &lt;/P&gt;&lt;P&gt;FCHV    C FI Maintain Table TVOID &lt;/P&gt;&lt;P&gt;FCHX    Check Extract - Creation &lt;/P&gt;&lt;P&gt;FCIWCU  BW Customizing for CS &lt;/P&gt;&lt;P&gt;FCIWD00 Download InfoObject text &lt;/P&gt;&lt;P&gt;FCIWD10 Download InfoObject hierarchies &lt;/P&gt;&lt;P&gt;FCKR    International cashed checks &lt;/P&gt;&lt;P&gt;FCMM    C FI Preparations for consolidation&lt;/P&gt;&lt;P&gt;FCMN    FI Initial Consolidation Menu &lt;/P&gt;&lt;P&gt;FCV1    Create A/R Summary &lt;/P&gt;&lt;P&gt;FCV2    Delete A/R Summary &lt;/P&gt;&lt;P&gt;FCV3    Early Warning List &lt;/P&gt;&lt;P&gt;FC_BW_BEX       Business Explorer Analyser &lt;/P&gt;&lt;P&gt;FC_BW_RSA1      BW Administrator Workbench &lt;/P&gt;&lt;P&gt;FC_BW_RSZDELETE Delete BW Query Objects &lt;/P&gt;&lt;P&gt;FC_BW_RSZV      Maintain BW Variables &lt;/P&gt;&lt;P&gt;FD-1    Number range maintenance: FVVD_RANL&lt;/P&gt;&lt;P&gt;FD01    Create Customer (Accounting) &lt;/P&gt;&lt;P&gt;FD02    Change Customer (Accounting) &lt;/P&gt;&lt;P&gt;FD02CORE Maintain customer &lt;/P&gt;&lt;P&gt;FD03    Display Customer (Accounting) &lt;/P&gt;&lt;P&gt;FD04    Customer Changes (Accounting) &lt;/P&gt;&lt;P&gt;FD05    Block Customer (Accounting) &lt;/P&gt;&lt;P&gt;FD06    Mark Customer for Deletion (Acctng)&lt;/P&gt;&lt;P&gt;FD08    Confirm Customer Individually(Actng)&lt;/P&gt;&lt;P&gt;FD09    Confirm Customer List (Accounting) &lt;/P&gt;&lt;P&gt;FD10    Customer Account Balance &lt;/P&gt;&lt;P&gt;FD10N   Customer Balance Display &lt;/P&gt;&lt;P&gt;FD10NA  Customer Bal. Display with Worklist&lt;/P&gt;&lt;P&gt;FD11    Customer Account Analysis &lt;/P&gt;&lt;P&gt;FD15    Transfer customer changes: send &lt;/P&gt;&lt;P&gt;FD16    Transfer customer changes: receive &lt;/P&gt;&lt;P&gt;FD24    Credit Limit Changes &lt;/P&gt;&lt;P&gt;FD32    Change Customer Credit Management &lt;/P&gt;&lt;P&gt;FD33    Display Customer Credit Management &lt;/P&gt;&lt;P&gt;FD37    Credit Management Mass Change &lt;/P&gt;&lt;P&gt;FDCU    Loans customizing menu &lt;/P&gt;&lt;P&gt;FDFD    Cash Management Implementation Tool&lt;/P&gt;&lt;P&gt;FDI0    Execute Report &lt;/P&gt;&lt;P&gt;FDI1    Create Report &lt;/P&gt;&lt;P&gt;FDI2    Change Report &lt;/P&gt;&lt;P&gt;FDI3    Display Report &lt;/P&gt;&lt;P&gt;FDI4    Create Form &lt;/P&gt;&lt;P&gt;FDI5    Change Form &lt;/P&gt;&lt;P&gt;FDI6    Display Form &lt;/P&gt;&lt;P&gt;FDIB    Background Processing &lt;/P&gt;&lt;P&gt;FDIC    Maintain Currency Translation Type &lt;/P&gt;&lt;P&gt;FDIK    Maintain Key Figures &lt;/P&gt;&lt;P&gt;FDIM    Report Monitor &lt;/P&gt;&lt;P&gt;FDIO    Transport Reports &lt;/P&gt;&lt;P&gt;FDIP    Transport Forms &lt;/P&gt;&lt;P&gt;FDIQ    Import Reports from Client 000 &lt;/P&gt;&lt;P&gt;FDIR    Import Forms from Client 000 &lt;/P&gt;&lt;P&gt;FDIT    Translation Tool - Drilldown Report&lt;/P&gt;&lt;P&gt;FDIV    Maintain Global Variable &lt;/P&gt;&lt;P&gt;FDIX    Reorganize Drilldown Reports &lt;/P&gt;&lt;P&gt;FDIY    Reorganize Report Data &lt;/P&gt;&lt;P&gt;FDIZ    Reorganize Forms &lt;/P&gt;&lt;P&gt;FDK43   Credit Management - Master Data List&lt;/P&gt;&lt;P&gt;FDMN    &lt;/P&gt;&lt;P&gt;FDOO    Borrower's notes order overview &lt;/P&gt;&lt;P&gt;FDTA    TemSe/REGUT Data Administration &lt;/P&gt;&lt;P&gt;FDTT    Treasury Data Medium Administration&lt;/P&gt;&lt;P&gt;FEBA    Postprocess Electronic Bank Statmt &lt;/P&gt;&lt;P&gt;FEBC    Generate Multicash format &lt;/P&gt;&lt;P&gt;FEBMSG  Display Internet Messages &lt;/P&gt;&lt;P&gt;FEBOAS  Request Account Statement via OFX &lt;/P&gt;&lt;P&gt;FEBOFX  OFX Functions &lt;/P&gt;&lt;P&gt;FEBP    Post Electronic Bank Statement &lt;/P&gt;&lt;P&gt;FEBSTS  Search String Search Simulation &lt;/P&gt;&lt;P&gt;FESR    Importing of POR File (Switzerland)&lt;/P&gt;&lt;P&gt;FEUB    Adjust VIBEPP after EURO conversion&lt;/P&gt;&lt;P&gt;FEUI    Real Estate Implementation Guide &lt;/P&gt;&lt;P&gt;FF$3    Send planning data to central system&lt;/P&gt;&lt;P&gt;FF$4    Retrieve planning data &lt;/P&gt;&lt;P&gt;FF$5    Retrieve transmission results &lt;/P&gt;&lt;P&gt;FF$6    Check settings &lt;/P&gt;&lt;P&gt;FF$7    Check all external systems &lt;/P&gt;&lt;P&gt;FF$A    Maintain TR-CM subsystems &lt;/P&gt;&lt;P&gt;FF$B    Convert Planning Group &lt;/P&gt;&lt;P&gt;FF$C    Convert planning level &lt;/P&gt;&lt;P&gt;FF$D    Convert business areas &lt;/P&gt;&lt;P&gt;FF$L    Display transmission information &lt;/P&gt;&lt;P&gt;FF$S    Display transmission information &lt;/P&gt;&lt;P&gt;FF$X    Configure the central TR-CM system &lt;/P&gt;&lt;P&gt;FF-1    Outstanding Checks &lt;/P&gt;&lt;P&gt;FF-2    Outstanding Bills of Exchange &lt;/P&gt;&lt;P&gt;FF-3    Cash Management Summary Records &lt;/P&gt;&lt;P&gt;FF-4    CMF Data In Accounting Documents &lt;/P&gt;&lt;P&gt;FF-5    CMF Records fr.Materials Management&lt;/P&gt;&lt;P&gt;FF-6    CMF Records from Sales &lt;/P&gt;&lt;P&gt;FF-7    Forecast Item Journal &lt;/P&gt;&lt;P&gt;FF-8    Payment Advice Journal &lt;/P&gt;&lt;P&gt;FF-9    Journal &lt;/P&gt;&lt;P&gt;FF.1    Standard G/L Account Interest Scale&lt;/P&gt;&lt;P&gt;FF.3    G/L Account Cashed Checks &lt;/P&gt;&lt;P&gt;FF.4    Vendor Cashed Checks &lt;/P&gt;&lt;P&gt;FF.5    Import Electronic Bank Statement &lt;/P&gt;&lt;P&gt;FF.6    Display Electronic Bank Statement &lt;/P&gt;&lt;P&gt;FF.7    Payment Advice Comparison &lt;/P&gt;&lt;P&gt;FF.8    Print Payment Orders &lt;/P&gt;&lt;P&gt;FF.9    Post Payment Orders &lt;/P&gt;&lt;P&gt;FF.D    Generate payt req. from advices &lt;/P&gt;&lt;P&gt;FF/1    Compare Bank Terms &lt;/P&gt;&lt;P&gt;FF/2    Compare value date &lt;/P&gt;&lt;P&gt;FF/3    Archive advices from bank statements&lt;/P&gt;&lt;P&gt;FF/4    Import electronic check deposit list&lt;/P&gt;&lt;P&gt;FF/5    Post electronic check deposit list &lt;/P&gt;&lt;P&gt;FF/6    Deposit/loan mgmt analysis/posting &lt;/P&gt;&lt;P&gt;FF/7    Deposit/loan management int accruals&lt;/P&gt;&lt;P&gt;FF/8    Import Bank Statement into Cash Mgmt&lt;/P&gt;&lt;P&gt;FF/9    Compare Advices with Bank Statement&lt;/P&gt;&lt;P&gt;FF63    Create Planning Memo Record &lt;/P&gt;&lt;P&gt;FF65    List of Cash Management Memo Records&lt;/P&gt;&lt;P&gt;FF67    Manual Bank Statement &lt;/P&gt;&lt;P&gt;FF68    Manual Check Deposit Transaction &lt;/P&gt;&lt;P&gt;FF6A    Edit Cash Mgmt Pos Payment Advices &lt;/P&gt;&lt;P&gt;FF6B    Edit liquidity forecast planned item&lt;/P&gt;&lt;P&gt;FF70    Cash Mgmt Posit./Liquidity Forecast&lt;/P&gt;&lt;P&gt;FF71    Cash Position &lt;/P&gt;&lt;P&gt;FF72    Liquidity forecast &lt;/P&gt;&lt;P&gt;FF73    Cash Concentration &lt;/P&gt;&lt;P&gt;FF74    Use Program to Access Cash Concntn &lt;/P&gt;&lt;P&gt;FF7A    Cash Position &lt;/P&gt;&lt;P&gt;FF7B    Liquidity forecast &lt;/P&gt;&lt;P&gt;FF:1    Maintain exchange rates &lt;/P&gt;&lt;P&gt;FFB4    Import electronic check deposit list&lt;/P&gt;&lt;P&gt;FFB5    Post electronic check deposit list &lt;/P&gt;&lt;P&gt;FFL_OLD Display Transmission Information &lt;/P&gt;&lt;P&gt;FFS_OLD Display Transmission Information &lt;/P&gt;&lt;P&gt;FFTL    Telephone list &lt;/P&gt;&lt;P&gt;FFW1    Wire Authorization &lt;/P&gt;&lt;P&gt;FFWR    Post Payment Requests from Advice &lt;/P&gt;&lt;P&gt;FFWR_REQUESTS   Create Payment Requests from Advice&lt;/P&gt;&lt;P&gt;FF_1    Standard G/L Account Interest Scale&lt;/P&gt;&lt;P&gt;FF_3    G/L Account Cashed Checks &lt;/P&gt;&lt;P&gt;FF_4    Vendor Cashed Checks &lt;/P&gt;&lt;P&gt;FF_5    Import Electronic Bank Statement &lt;/P&gt;&lt;P&gt;FF_6    Display Electronic Bank Statement[/code] &lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;&lt;/P&gt;&lt;P&gt;reward  points if it is usefull...&lt;/P&gt;&lt;P&gt;Girish&lt;/P&gt;&lt;/BODY&gt;&lt;/HTML&gt;</description>
      <pubDate>Wed, 11 Jul 2007 07:32:38 GMT</pubDate>
      <guid>https://community.sap.com/t5/application-development-and-automation-discussions/fi-flow/m-p/2527094#M572589</guid>
      <dc:creator>Former Member</dc:creator>
      <dc:date>2007-07-11T07:32:38Z</dc:date>
    </item>
  </channel>
</rss>

