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FI Config Basic

This document contains a list of transaction codes for the AIF (Application Interface Framework), ASU (Add-On Installation Tool), and ATL (Asset Accounting) components in SAP. There are over 150 transaction codes listed with descriptions of the main functions they control, such as defining interfaces, monitoring and error handling, customizing settings, and asset accounting processes. The transaction codes begin with the component code like /AIF/, /ASU/, or /ATL/ followed by additional numbers or letters to uniquely identify each transaction.

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0% found this document useful (0 votes)
623 views7 pages

FI Config Basic

This document contains a list of transaction codes for the AIF (Application Interface Framework), ASU (Add-On Installation Tool), and ATL (Asset Accounting) components in SAP. There are over 150 transaction codes listed with descriptions of the main functions they control, such as defining interfaces, monitoring and error handling, customizing settings, and asset accounting processes. The transaction codes begin with the component code like /AIF/, /ASU/, or /ATL/ followed by additional numbers or letters to uniquely identify each transaction.

Uploaded by

prasadsap1991
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as XLSX, PDF, TXT or read online on Scribd
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Language Transaction Code Transaction text

Key
EN /AIF/28000001 Define Namespace
EN /AIF/28000002 Define Actions
EN /AIF/28000003 Define Checks
EN /AIF/28000004 Define Recordtypes
EN /AIF/28000006 Define Fix Values
EN /AIF/28000007 Define Value Mappings
EN /AIF/28000008 Define Interface
EN /AIF/28000009 ALV Handles for DDIC Structures
EN /AIF/28000010 Define Structure Mapping
EN /AIF/28000011 Define Hash Tables
EN /AIF/98000053 Define Proxy Class
EN /AIF/98000061 Define Interface Variants
EN /AIF/98000062 Define Interface Key Fields
EN /AIF/98000063 Define Interface Variants
EN /AIF/98000064 Assign/Define Actions
EN /AIF/98000082 Define Business Systems
EN /AIF/BDC_GEN Batch Input Structure Generator
EN /AIF/CORRECTIONS Correction Report
EN /AIF/CUST Customizing
EN /AIF/CUST_COPY AIF Customizing Copy
EN /AIF/CUST_FUNC Define Custom Functions
EN /AIF/CUST_HINTS Define Custom Hints
EN /AIF/CUST_LINK Define Custom Data Links
EN /AIF/CUST_OVERVIEW Summary Report
EN /AIF/CUST_SMAP_COPY Copy customizing
EN /AIF/CUST_TEXT Define Custom Message Texts
EN /AIF/DEL_STRUC_CACHEDelete Structure Cache
EN /AIF/DISPMSGSNAP AIF Display Snapshot
EN /AIF/DOCU Interface Documentation Tool
EN /AIF/EDCHANGES Error Handling Changes Log
EN /AIF/ERR Monitoring and Error Handling
EN /AIF/ERR_BASE Error Handling Base
EN /AIF/GENMSGSNAP AIF Generate Snapshot
EN /AIF/IDOC_GEN IDoc Structure Generator
EN /AIF/IDOC_IMPORT AIF IDOC Import
EN /AIF/IDOC_MASS_GEN Mass IDoc Struc. and Intf. Generator
EN /AIF/IDOC_TEST Generate Test IDOCs
EN /AIF/IDXTBL Index Table Overview
EN /AIF/IFB Interface Builder
EN /AIF/IFMON Interface Monitor
EN /AIF/IFTEST Interface Test Tool
EN /AIF/IF_TRACE AIF Interface Trace Level
EN /AIF/LFA_CHECK_SEND Read Files from folder; Send to AIF
EN /AIF/LFA_UPLOAD_FILE Upload File to AIF
EN /AIF/LOG Interface Logs
EN /AIF/MSGNOTI Message overview notification
EN /AIF/MYRECIPIENTS Recipients of Current User
EN /AIF/MYTRANSPORTS AIF Transport Overview
EN /AIF/NEWDEVIDS AIF New Development IDs
EN /AIF/NEWDEVPRO AIF New Development Projects
EN /AIF/PERFORMANCE Performance Tracking
EN /AIF/PERS_CGR Runtime Configuration Group
EN /AIF/PERS_TEST Test Persistence with Flight Booking
EN /AIF/RECIPIENTS Recipients of a User
EN /AIF/REP_AC_ASGN AIF Reprocessing Action Assignment
EN /AIF/REP_AC_DEF AIF Reprocessing Action Definition
EN /AIF/RFC_FUNC_GEN RFC Function Generator
EN /AIF/RFC_MASS_GEN Mass RFC Function Generator
EN /AIF/SERIAL_INDEX Manual Change of External Index
EN /AIF/SETUP AIF Setup
EN /AIF/SHOW_BLOCK File Adapter Log
EN /AIF/TEST_BUPA Business Partner XML Test
EN /AIF/TEXT_HINTS Transport Text of Hints
EN /AIF/TJ_CONFIG Configure Data Transfer
EN /AIF/TOPICDEF AIF Topic Definition
EN /AIF/TOPICSTATUS Maintain Topic ID Status
EN /AIF/TOPICSTATUSH AIF Topic Status History
EN /AIF/TOPICSTATUSHALL AIF Topic Status Complete History
EN /AIF/TOPICSTATUSINIT AIF Initialize Topic Status
EN /AIF/TRANSFER Transfer into AIF persistence
EN /AIF/USERATTR Maintain User Attributes
EN /AIF/USERMGR Switch Topic ID (Topic ID View)
EN /AIF/USERMGR2 Switch Topic ID (User ID View)
EN /AIF/VMAP Value Mapping
EN /AIF/VMAP_BASE Base Transaction for Value Mappings
EN /AIF/VPN Maintain Validity Periods
EN /AIFX/ERR_WEB Monitoring and Error Handling (Web)
EN /AIFX/START_TRANSACT Start Transaction
EN /ASU/MAINTAIN Maintain ASU XML
EN /ASU/SHOW_NOTE Show SAP Note via Web-Browser
EN /ASU/SSM ASU Simple Schedule Manager
EN /ASU/START Start ASU Toolbox
EN /ASU/UPGRADE Start ASU Toolbox in Upgrade Mode
EN /ATL/6111_CODE Define Field Codes
EN /ATL/6111_CONV Convert FinKey/FuncArea to 6111 Code
EN /ATL/6111_HEADER Determine Fields for Form 6111 Hdr.
EN /ATL/A00 Asset Accounting Indexing
EN /ATL/A01 Maintain reval. dep. area
EN /ATL/A10 Investment Grant Report
EN /ATL/A15 Depreciation Convertion
EN /ATL/A16 Saving periodic values
EN /ATL/A17 Last Period Posted
EN /ATL/A20 Base Index Calculation
EN /ATL/AA_APR_DOC Investment center - Investment plan
EN /ATL/AA_ICR Investment center - Execution report
EN /ATL/ACCOUNTTYPE account type for uniform reporting
EN /ATL/ALLOWED_CHAR Allowed char.in daybook&check number
EN /ATL/ARDATE Takeover date definition
EN /ATL/BANK_PARM Check Bnk acc. parm.
EN /ATL/BOOKD Book depreciation report
EN /ATL/BOOKG Capital gain for book use
EN /ATL/CHCKUPD_RES Check&upd. residue for bank acc.num.
EN /ATL/CHECK_CCARD Check credit card numbers
EN /ATL/CHECK_DIGIT Add/Check digit
EN /ATL/CL Adds israeli public holydays
EN /ATL/CPY_VAR_1 Copy singel program varints to new p
EN /ATL/DCKP Check Payment Method for Bank Recon.
EN /ATL/DOCTYPE document's type SAP vs.Tax authority
EN /ATL/DQQ9 Reconciliation rules
EN /ATL/F6111_EXPORT Export 6111 File
EN /ATL/F6111_IMPORT Import G/L Amounts to Form 6111
EN /ATL/F6111_INPUT Upload 6111 File
EN /ATL/F6111_MANAGE Form 6111 Field Mapping
EN /ATL/FIBP Maintain FI/BP ind. for Bank Recon.
EN /ATL/FOREC Foreclosures Maintenance
EN /ATL/FORGD Foreclosures Global Data
EN /ATL/FORUPD Foreclosure - payment amount update
EN /ATL/GL01 Index Master
EN /ATL/GL02 Calculation Method
EN /ATL/GL03 Calculation Version Assignment
EN /ATL/GL04 Calculation Version
EN /ATL/GL99 Direct posting to Extended GL
EN /ATL/GLR Calculation Rules
EN /ATL/GLSETCUST For table /ATL/GLSETCUST
EN /ATL/GLV Index Values
EN /ATL/GLVA Import Index Value
EN /ATL/HEB_DATE Change Gregorian date to Hebrew date
EN /ATL/IC_CLASS Asset classification
EN /ATL/IC_PAR Investment programs
EN /ATL/ILS_LEDGER ILS Ledger per Company code
EN /ATL/KP02 Return pmnt to customer
EN /ATL/KP03 Return cheque from bank
EN /ATL/KP04 General cashier table
EN /ATL/KP05 Allowed pmnt metods for transfer
EN /ATL/KP06 Subject table for cashier
EN /ATL/KP07 Cashier Balances Report
EN /ATL/KP08 Declaring cashier amounts
EN /ATL/KP09 Cheque report
EN /ATL/KP10 Credit Card report
EN /ATL/KP11 Table of credit card companies
EN /ATL/KP12 Cashier physical location table
EN /ATL/KP13 Table of credit types
EN /ATL/KP14 Table of credit cards deal types
EN /ATL/KP15 Print incoming payment receipt
EN /ATL/KP16 Addition info to house bank table
EN /ATL/KP17 Transfer of cash payments
EN /ATL/KP18 Bank deposit of cash payments
EN /ATL/KP19 Transfer defered cheque to regular
EN /ATL/KP20 Cashing defered cheque
EN /ATL/KP22 Create files to the bank
EN /ATL/KP23 Transfer of payment
EN /ATL/KP24 Bank Deposit of defered cheque
EN /ATL/KP25 Deposit of Credit Card
EN /ATL/KP26 Report of transfer/bank deposit pmnt
EN /ATL/KP27 Update reference of bank deposit pmt
EN /ATL/KP28 Incoming payment entry
EN /ATL/KP30 Manual maintenance
EN /ATL/KP31 Create restrick account table
EN /ATL/KP32 Update restrick account table
EN /ATL/KP33 Cheque control against acc. restrict
EN /ATL/KP34 Delete restrick account table
EN /ATL/KP35 Chasier System Parameters
EN /ATL/KP36 Cashier payment methods table
EN /ATL/KP38 Cashier statement
EN /ATL/KP39 Cashier Balances and transactions
EN /ATL/KP40 Table of incoming pymt entry type
EN /ATL/KP41 Bank deposit of cheque payment
EN /ATL/KP42 Cashier Transactions Report
EN /ATL/KP43 Restore a receipt
EN /ATL/KP44 Reverse bank deposit cheque payment
EN /ATL/KP45 Request & Answer files
EN /ATL/KP46 Request & Answer files structures
EN /ATL/KP47 Credit card interface messages
EN /ATL/KP48 Credit card interface log
EN /ATL/KP49 SHVA currency type
EN /ATL/LBNKA_LOAD Loading BNKA
EN /ATL/LCHK_VBNKA Residue & account length maintain.
EN /ATL/MAT_MTYPE Classification of movement type
EN /ATL/NOADJ Adjusted year Y/N
EN /ATL/PCN874 New VAT file
EN /ATL/PNCH Positive/negative changes report
EN /ATL/REV Revaluation
EN /ATL/REVIN Initialization - Revaluation
EN /ATL/RGRJBG00 Mass Generate: sets & report group
EN /ATL/RGUGBR00 Build Validations/Substitutions/Rule
EN /ATL/RSTXCPAG Define: Code page
EN /ATL/SD_DOCUMENT Customizing table for SD documents.
EN /ATL/SPELL_AMOUNT Spell amount example
EN /ATL/SUPD Supplementary depreciaiton report
EN /ATL/TAXD Tax depreciation report
EN /ATL/TAXG Capital gain for tax use
EN /ATL/TAXU Tax reserves (US$)
EN /ATL/TAX_PER Tax percentage
EN /ATL/TEKEN_19 Tax reserve report - Teken 19
EN /ATL/TKN12_AA teken 12 - assets
EN /ATL/TKN12_MM teken 12 - material values
EN /ATL/TKN12_REP2 teken12_repair - $ ratio
EN /ATL/TRAN_TYPE Transactions type
EN /ATL/TRES Tax reserves report
EN /ATL/UNIFILES UNIFILES
EN /ATL/UNIFILES_UTIL Transfer unifiles server => cliient.
EN /ATL/UPD_SHAAM First entry date in /atl/shaam
EN /ATL/UPLOAD_CUSTTAB Upload data into customizing tables
EN /ATL/UVBN SD - Set invoice number range
EN /ATL/VATPERC Defining the 100% VAT percents
EN /ATL/VATRECT1 NewVAT-classification of record type
EN /ATL/VATRECT2 NewVAT-classification of record type
EN /ATL/VATRECT3 NewVAT-classification of record type
EN /ATL/VAT_TRANKEY Vat transaction keys maintenance
EN /ATL/VBLOCK Explanation : block vendors process
EN /ATL/VERSION About
EN /ATL/VK01_46 Create Wihholding tax file
EN /ATL/VK02 Mass update: Vendors Master Data
EN /ATL/VK03 Update WT in open invoices
EN /ATL/VK04 Update Ex.WT in open invoices
EN /ATL/VQ22 Send File with Vendors to Shaam
EN /ATL/VQ23 Receive File with percent from Shaam
EN /ATL/VQZ10 Withholding Tax Return parameters
EN /ATL/VQZ11 Withholding Tax Returns - Invoice
EN /ATL/VQZ12 Classical WT:Update to previous code
EN /ATL/VQZ2 Classical WT:Update expired tax code
EN /ATL/VQZ4 Maintain WT recipient type
EN /ATL/VQZ5 Extended WT:Update exemption rate
EN /ATL/VQZ6 Maintain secondary currency
EN /ATL/VQZ7 Maintain Shaam % for Ex.WT type&code
EN /ATL/VQZ9 Tools for VAT file & Wthd.Tax File
EN /ATL/WT_REPORT_2008 Create Wihholding tax file for 2008
EN /BA1/F4_15_IR_REL01 Customizing for Release Procedure
EN /BA1/F4_ARC_SEL_DATE Date Values for Access to Archive
EN /BA1/F4_CSCEN_SHOW Versions of Combined Scenarios
EN /BA1/F4_FXV02 Edit Exchange Rate Volatility
EN /BA1/F4_FXV03 Display Exchange Rate Volatility
EN /BA1/F4_FX_02 Edit Exchange Rates
EN /BA1/F4_FX_03 Display Exchange Rates
EN /BA1/F4_FX_DISPLAY Display Extended Exchange Rates
EN /BA1/F4_IRS02 Edit Interest Rate Spreads
EN /BA1/F4_IRS03 Display Interest Rate Spreads
EN /BA1/F4_IRV02 Edit Interest Rate Volatility
EN /BA1/F4_IRV03 Display Interest Rate Volatility
EN /BA1/F4_IR_02 Edit Reference Interest Rates
EN /BA1/F4_IR_03 Display Reference Interest Rates
EN /BA1/F4_MD0001 Market Data: Applications
EN /BA1/F4_MD0002 Market Data: Field Groups
EN /BA1/F4_MD0003 Market Data: Views
EN /BA1/F4_MD0004 Market Data: Sections
EN /BA1/F4_MD0005 Market Data: Screens
EN /BA1/F4_MD0006 Market Data: Screen Sequences
EN /BA1/F4_MD0007 Market Data: Events
EN /BA1/F4_MD0008 Market Data: GUI Standard Functions
EN /BA1/F4_MD0009 Market Data GUI Additional Functions
EN /BA1/F4_MD0011 Market Data: Assign Screen->DB Field
EN /BA1/F4_MD0012 Market Data: Field Modif. Criteria
EN /BA1/F4_MD0013 Market Data: Product Categories
EN /BA1/F4_MD0015 Market Data: Application Transaction
EN /BA1/F4_MD0016 Market Data: Tables
EN /BA1/F4_MD0018 Market Data: Activities
EN /BA1/F4_MD0019 Market Data: Fld Modif. Per Activity
EN /BA1/F4_MD0023 Data Sets
EN /BA1/F4_SEC02 Edit Prices for Fin. Instruments
EN /BA1/F4_SEC03 Display Prices for Fin. Instruments
EN /BA1/F4_SEV02 Edit Volatilities
EN /BA1/F4_SEV03 Display Volatilities
EN /BA1/F4_VOLA_TEST Test Volatility
EN /BA1/F4_YC_02 Edit Yield Curves
EN /BA1/F4_YC_03 Display Yield Curves
EN /BA1/F4_YC_SHOW Display Yld Curves and Spread Curves
EN /BCV/AUTH_CHECK Perform Authorization Check
EN /BCV/AUTH_HOLDER Where-Used List of User Group in ACL
EN /BCV/CONS_CHECK Perform Consistency Check
EN /BCV/DEL_PERS Delete Personalization and User Data
EN /BCV/DEL_SSHOT Delete Snapshots
EN /BCV/GRPING Define Groupings for BCV Objects
EN /BCV/IMG Business Context Viewer Customizing
EN /BCV/MEANING Define Meanings
EN /BCV/MIGRATION Data migration from PCV to BCV
EN /BCV/QCACHE Maintain Query Cache
EN /BCV/QCACHE_DELETE Delete query cache
EN /BCV/QDISPATCHER Maintain Query Dispatcher Settings
EN /BCV/QSTAT Display BCV Query Statistics
EN /BCV/QUERY Define BCV Queries
EN /BCV/SINC Define Search Connectors
EN /BCV/SSHOTS Define Snapshot Parameter
EN /BCV/SSTAT Display Search Connector Statistics
EN /BCV/TEST_QUERY Test BCV Query
EN /BCV/TEST_SEARCHCONSearch Connector Test
EN /BCV/UDASH Define Dashboards
EN /BCV/UGRP Define Query View Hierarchies
EN /BCV/UPRINT Define Printing Parameters
EN /BCV/UPRVW Define Overviews
EN /BCV/UQVIEW Define Query Views
EN /BDL/SDCC Service Data Control Center
EN /BEV1/91000082 Material Sorting 1
EN /BEV1/91000083 Material Sorting 2
EN /BEV1/91000084 Material Sorting 3
EN /BEV1/91000085 Material Sorting 4
EN /BEV1/91000086 Material Sorting 5
EN /BEV1/91000098 Billing Types w/o Empties Update
EN /BEV1/91000099 Valid Empties Fields
EN /BEV1/91000100 Partner Role in Empties

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