Table 1 | General and Cross-Module Configuration Transaction Codes | |
Transaction Code | Description | |
SB09 | Process Flow View of the Business Navigator | |
SB10 | Component View of the Business Navigator | |
SE10 | Customizing Organizer | |
SPRO | Enter the IMG | |
SM30 | Table Maintenance | |
SM31 | Extended Table Maintenance | |
SE12 | Data Dictionary change and display | |
SE11 | Data Dictionary Display | |
SE16 | The DataBrowser | |
OSS1 | Log on to OSS | |
SU53 | Authorization Object Request | |
SE38 | Run/Change/Display a Programme | |
SA38 | Run a Programme | |
SM35 | Batch Input Session Overview | |
SE01 | View Transport Logs | |
GGB0 | Create / Change Validation | |
GGB1 | Create / Change Substitution | |
GGB4 | Activate Validations and Substitutions | |
SNR0 | Maintain Number Range Objects | |
Table 2 | General and Cross-Module Configuration Tables | |
Transaction Code | Description | |
E071 and E071K | Transport tables; displays all transports affecting a given object | |
V_GB01C | Customizing table for Boolean fields in substitutions and validations | |
GB01 | SAP Delivered table that lists all fields that can be used in substitutions and validations | |
SADR | Address data (which doesn't transport well) | |
Table 3 | General and Cross-Module Configuration Program | |
Transaction Code | Description | |
RGUGBR00 | Programme to regenerate sets, validations and substitutions | |
Table 4 | FI Enterprise Structure Transaction Codes | |
Transaction Code | Description | |
OBY7 | Copy Chart of Accounts | |
OB29 | Fiscal Year Variant | |
OBBO | Posting Period Variant | |
OX02 | Company Codes - Create Check and Delete | |
OBY6 | Company Code Global Parameters | |
EC01 | Copy Company code | |
OY01 | Country Definitions | |
OB22 | Parallel Currencies | |
OX03 | Business Areas | |
OKBD | Functional Areas | |
Table 4 | FI Enterprise Structure Transaction Codes (Continued) | |
Transaction Code | Description | |
OBBG | Assign Country to Tax Calculation Procedure | |
OBCO | Specify Structure for Tax Jurisdiction Codes | |
OBCP | Define Tax Jurisdiction Codes | |
FTXP | Maintain Tax Rates | |
OBCL | Set Tax Codes for Non-Taxable Transactions | |
Table 5 | General Ledger / Chart of Accounts Transaction Codes | |
Transaction Code | Description | |
OBD4 | Account Groups | |
OB53 | Retained Earnings Variant | |
OB15 | Sample Account Rule Types | |
FSK2 | Sample Account Data Transfer Rules | |
OB67 | Allocate a Company Code to a Sample Account Rule Type | |
OBY9 | Transport Chart of Accounts | |
OBY2 | Copy GL Accounts from the Chart to the Company Code | |
OBC4 | Field Status Variants | |
OB41 | Posting Keys | |
FBKP | Automatic Account Assignments | |
OB40 | Define Tax Accounts | |
OBYA | Cross Company Code Automatic Account Assignment | |
OBYC | MM Automatic Account Assignment | |
VKOA | SD Revenue Account Assignment | |
OB58 | Financial Statement Version | |
O7Z3 | Line Item Layouts | |
OBVU | Special Fields | |
O7S7 | Sort Variants | |
O7R1 | Totals Variants | |
OBA4 | Tolerance Groups | |
OB57 | Allocate Users to Tolerance Groups | |
FBN1 | GL Number Ranges | |
OBA7 | Document Types | |
OBU1 | Assign Default Posting Keys to Document Types | |
O7E6 | Fast Entry Screens | |
ORFB | Financial Accounting Configuration Menu | |
OBL1 | Automatic Postings Documentation | |
OB32 | Maintain Document Change Rules | |
Table 6 | General Ledger / Chart of Accounts Programms | |
Transaction Code | Description | |
RFBISA10 | ||
RFBISA20 | ||
RFTAXIMP | ||
Table 7 | General Ledger / Chart of Accounts Tables | |
Transaction Code | Description | |
BSEG | GL Document Line Item Table | |
TTXD | Tax Jurisdiction Code Structure Table | |
T030 | Automatic Account Assignments Table | |
TZUN | GL Account Sort Key (Allocation Field) Table | |
Table 8 | Accounts Payable Transaction Codes | |
Transaction Code | Description | |
FI12 | House Banks | |
FCHI | Check Lots | |
FCHV | Void Reason Codes | |
FBZP | Payment Programme | |
OBD3 | Vendor Groups | |
XKN1 | Create Number Ranges for Vendor Groups | |
OBAS | Assign Number Ranges to Vendor Account Groups | |
FK15 | Copy Vendor Master Records Creation Programme | |
FK16 | Copy Vendor Master Records Creation Programme | |
Table 9 | Accounts Receivable and Credit Management Transaction Codes | |
Transaction Code | Description | |
OBB8 | Terms of Payment AP and AR | |
OB46 | Interest Indicator | |
OB82 | Make Interest Indicator Available to the Interest Calculation Program | |
OBAC | Reference Interest Rates | |
OB81 | Assign Reference Interest Rates to Interest Indicators | |
OBV1 | Interest Calculation Automatic Account Assignment | |
OBBE | Reason Codes | |
OBCR | Reason Code Conversion Version | |
OBCS | Map External Reason Codes to Internal Reason Codes | |
OBXL | Assign GL Accounts to Reason Codes | |
OBXI | Cash Discount Amount | |
OBA3 | Customer Tolerance Groups | |
OB45 | Credit Control Areas | |
OB01 | Credit Risk Categories | |
OB02 | Credit Representative Groups | |
OB51 | Assign Employees to Credit Representative Groups | |
OB39 | Days in Arrears Calculation | |
OBD2 | Customer Groups | |
Table 10 | Treasury Transaction Codes | |
Transaction Code | Description | |
OB10 | Create Lockbox Accounts | |
OBAY | Define Lockbox Control Parameters | |
OBAX | Lockbox Posting Data | |
OT05 | Source Symbols | |
OT14 | Planning Levels | |
OT13 | Planning Groups | |
OT47 | Assign Logistics Transactions to Planning Levels | |
OT17 | Treasury Groupings | |
OT18 | Treasury Grouping Headers | |
OT16 | Cash Management Account Names | |
OT29 | Activate Company Code Treasury Updates | |
OBBY | Electronic Bank Statement Transaction Types | |
OT55 | Assign Transaction Types to House Banks | |
OT57 | Electronic Bank Statement Posting Rules | |
OT51 | Map External Transactions to Posting Rules | |
OT59 | Posting Rules Automatic Account Assignment | |
GCRF | Currency Translation Ratios | |
Table 11 | CO Enterprise Structure Transaction Codes | |
Transaction Code | Description | |
OX06 | Controlling Areas | |
OKKP | Activate CO Components for Controlling Areas | |
KANK | CO Document Number Ranges | |
KEP8 | Operating Concern Definition | |
OKEQ | Planning Versions | |
Table 12 | Cost Element Accounting Transaction Codes | |
Transaction Code | Description | |
OKB2 | Automatic Cost Element Creation | |
OKB3 | Create Batch Input Session for Automatic Cost Element Creation | |
KA06 | Create Secondary Cost Elements | |
KA01 | Create Primary Cost Elements | |
KSAZ | Overhead Costing Sheet | |
KALA | Activate Reconciliation Ledger | |
OBYB | Maintain Automatic Account Assignments for the Reconciliation Ledger | |
OK13 | Number Ranges for Reconciliation Ledger Activity | |
Table 13 | Cost Center Accounting Transaction Codes | |
Transaction Code | Description | |
KSH2 | Cost Center Standard Hirearchy | |
OKE5 | Profit Center Accounting Settings for the Controlling Area | |
KCH2 | Profit Center Standard Hierarchy | |
KE59 | Create Dummy Profit Center | |
OKA2 | Cost Center Categories | |
Table 13 | Cost Center Accounting Transaction Codes (Continued) | |
Transaction Code | Description | |
OKEG | Cost Center Time Dependency Fields | |
KS01 | Create Cost Center | |
KK01 | Statistical Key Figures | |
OKE1 | Activity Types Time Dependency Fields | |
KL01 | Activity Types | |
KCAU | Assessment Receiver Types | |
KSW1 | Periodic Repostings | |
KSV1 | Distributions | |
KSU1 | Assessments | |
KP97 | Copy Plan Data | |
KPU1 | Planning Revaluation | |
KP65 | Cost Planning Layout | |
KP34 | Planning Profiles | |
OKB9 | Cost Element Automatic Account Assignment | |
Table 14 | Internal Orders Transaction Code | |
Transaction Code | Description | |
OKO6 | Settlement Structure | |
OKEU | Origin Structure | |
OKO7 | Settlement Profile | |
SNUM | Settlement Document Number Ranges | |
OKOS | Internal Order Planning Profile | |
OKOB | Budget Profile | |
OKOC | Availability Control | |
OK14 | Budget Manager Maintenance | |
OPTK | Exempt Cost Elements for Availability Control | |
KANK | Planning Number Ranges | |
OK11 | Maintain Number Ranges for Planning and Budgeting Objects | |
KOT2 | Order Status Management | |
KOV2 | Transaction Groups | |
OK02 | Status Profile | |
BS52 | Authorization keys for Status Management | |
KOT2 | Order Types | |
Table 15 | Profitability Analysis Transaction Codes | |
Transaction Code | Description | |
KEA0 | Operating Concern Maintenance | |
KE4K | Derivation Table | |
KE04 | Create Derivation Structures | |
KE05 | Change Derivation Structures | |
KE07 | Create Derivation Rules | |
KE08 | Change Derivation Rules | |
KE41 | Assign Condition Types to Value Fields | |
KE4M | Map SD Quantity Fields to CO-PA Quantity Value Fields | |
KE4W | Reset (Zero out) Value Fields | |
KEI1 | CO-PA Settlement Structure | |
KEU1 | Create Cost Center to CO-PA Assessment | |
KEF1 | Planning Revaluations | |
KE14 | Create Planning Layouts | |
KP34 | Planning Profiles | |
KE4D | External Data Transfer Data Structures | |
KE4Z | External Data Transfer Assignment Groups | |
KE4E | Map External Data Transfer Fields to Characteristic and Value Fields | |
KEN2 | CO-PA Planning Number Ranges | |
KEKK | Assign Controlling Area to Operating Concern | |
KEN1 | CO-PA Actual Data Number Ranges | |
KER1 | Report Line Structures | |
KE34 | Create Forms | |
KE31 | Create Report | |
KE3I | Create Transports | |
Table 16 | Profit Center Accounting Transaction Codes | |
Transaction Code | Description | |
1KE1 | Analyze Basic Settings | |
0KE4 | Update Settings | |
ORK1 | Profit Center Time-Based Fields | |
1KEB | Fast Assignment | |
0KEM | Sales Order Substitution | |
OKEL | Activate Sales Order Substitution | |
1KE4 | Assignment Monitor | |
1KEF | Control Parameters for Actual Data Transfer | |
GCBX | Actual Document Types | |
GB02 | Number Range Assignments | |
OKB9 | Assign Revenue Elements | |
3KEH | Assign Additional Balance Sheet and P&L Accounts to PCA | |
2KET | Activate Balance Carry Forward for PCA | |
OKEQ | Maintain Versions | |
GCBA | Plan Document Types | |
GP41 | Plan Parameters | |
Table 17 | Profit Center Accounting Transaction Codes | |
Transaction Code | Description | |
OITA | Investment Profile | |
OIP1 | IM Plan Profile | |
OIB1 | Budget Profile | |
OIT8 | Budget Categories | |
OIT5 | Assign Actual Values to Budget Categories | |
OK11 | Number Ranges |
Source Link: https://www.sdn.sap.com/irj/scn/wiki?path=/display/ERPFI/FICO+Configuration+Transaction+Codes