FICO Configuration Transaction Codes

 

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

评论
添加红包

请填写红包祝福语或标题

红包个数最小为10个

红包金额最低5元

当前余额3.43前往充值 >
需支付:10.00
成就一亿技术人!
领取后你会自动成为博主和红包主的粉丝 规则
hope_wisdom
发出的红包
实付
使用余额支付
点击重新获取
扫码支付
钱包余额 0

抵扣说明:

1.余额是钱包充值的虚拟货币,按照1:1的比例进行支付金额的抵扣。
2.余额无法直接购买下载,可以购买VIP、付费专栏及课程。

余额充值