‎2008 Mar 29 4:20 AM
Hi
Please provide me report transaction codes in respect of General Ledger, Accounts Payable and Accounts Receivables.
Thanks & Regards
Naren
‎2008 Mar 29 4:22 AM
Hi Narayana,
SE38 it the transaction code to view the Reports of any application.
what do u exactly need.
reward if helpful
raam
‎2008 Mar 29 4:43 AM
Transaction code transaction text
FB03L (FB03) Displaying a Document
FBL5N/FBL1N/FBL3N Displaying and Changing Line Items
FD10N/FK10N/FAGLB03 Displaying Balances
FB08 Reversing a Document Individual Reversal
F.08 Reversing a Document Mass Reversal
FBD1 Processing a Recurring Entry Document
F.15 List of Recurring Entry Original Documents
F.14 Carrying Out Recurring Entries
F.13 Account Maintenance: Automatic Clearing
F-32 / F-44 / F-03 Account Maintenance: Manual Clearing
FB50L (FB50) Posting General Ledger Accounts Documents
FB50L (FB50) Posting General Ledger Accounts Documents with Segment Splitting
S_ALR_87012289 Displaying the Compact Document Journal
S_ALR_87012287 Displaying the Document Journal
FB70 Posting a Customer Invoice
F110 Payment Program - Executing the Payment Program
FF67 Entering and Posting a Manual Account Statement
FDTA Printing the Payment Media
FF_5 Import Electronic Bank Statement
FBCJ, Cash journal : Posting an Incoming Payment
FEBA/FEBAN Postprocessing an Account Statement
SM35 Running Batch Input Sessions
FBL5N Displaying and Changing Line Items
FD10N/FK10N/FAGLB03 Displaying Balances
F.13 Account Maintenance: Automatic Clearing
F-32 Account Maintenance: Manual Clearing
FD01 Creating a Customer Master Record
FD01/FK01 Creating a One-Time Account
F-37 Posting a Down Payment Request
F-29 Down Payment with Down Payment Request Clearing
F-39 Down Payment Clearing
FB75 Posting a Credit Memo with Reference to the Invoice
F.13 / F13E Clearing Bank Subaccounts Automatically
FF68 Depositing Checks
FB70 One-Time-Accounts Postings
FD32 Setting a Credit Limit
F.31 Credit Control Reporting
F150 Starting the Dunning Program
F.2B Starting the Interest Calculation Program
FB60 Posting Vendor Invoices
F110 Using the Payment Program
FBL1N Display/Change Line Items
FF67 Manual Bank Statement
SM35 Running Batch Input Sessions
FB03L (FB03) Displaying a Document
FBL1N Displaying and Changing Line Items
FD10N/FK10N Displaying Balances
FB08 Reversing a Document Individual Reversal
F.80 Reversing a Document Mass Reversal
FBD1 Processing a Recurring Entry Document
F.15 List of Recurring Entry Original Documents
F.14 Carrying Out Recurring Entries
F.13 Account Maintenance: Automatic Clearing
F-44 Account Maintenance: Manual Clearing
FK01 Creating a Vendor Master Record
F-47 Down Payment Request
F110 Posting Down Payments Using the Payment Program
F-54 Down Payment Clearing
FBL1N Posting Payments Using the Payment Program: Display/Change line items
FB65 Posting a Credit Memo
F.13 Clearing Bank Subaccounts Automatically (Bank Clearing Accounts)
FB70 Posting a Customer Invoice
FF67 Entering and Posting a Manual Account Statement
FEBA Postprocessing an Account Statement
F-32 Clearing the Customer Invoice