SAP FI Transaction Code List 1

How can a cleared document be reversed?

The cleared document must be reversed by following the steps listed below.

1. Reset the document that has been cleared and flip it.

Path # Accounting –> cash accounting –> balance sheet –> document –> Cleared Items Reset – T. code: FBRA

Choose the Reset and Reverse radio button on this screen, enter 01 as the Reversal Reason, and save the changes.

*—— Maddipati

  • F-01 Enter Sample Document 
  • F-02 Enter G/L Account Posting
  •  F-03 Clear G/L Account 
  • F-04 Post with Clearing 
  • F-05 Post Foreign Currency Valuation
  •  F-06 Post Incoming Payments 
  • F-07 Post Outgoing Payments 
  • F-18 Payment with Printout 
  • F-19 Reverse Statistical Posting 
  • F-20 Reverse Bill Liability 
  • F-21 Enter Transfer Posting
  •  F-22 Enter Customer Invoice
  •  F-23 Return Bill of Exchange Pmt Request 
  • F-25 Reverse Check/Bill of Exch.
  •  F-26 Incoming Payments Fast Entry 
  • F-27 Enter Customer Credit Memo 
  • F-28 Post Incoming Payments 
  • F-29 Post Customer Down Payment
  •  F-30 Post with Clearing
  •  F-31 Post Outgoing Payments 
  • F-32 Clear Customer 
  • F-33 Post Bill of Exchange Usage 
  • F-34 Post Collection 
  • F-35 Post Forfaiting 
  • F-36 Bill of Exchange Payment
  •  F-37 Customer Down Payment Request
  •  F-38 Enter Statistical Posting
  •  F-39 Clear Customer Down Payment
  • F-41 Enter Vendor Credit Memo 
  • F-42 Enter Transfer Posting 
  • F-43 Enter Vendor Invoice 
  • F-44 Clear Vendor 
  • F-46 Reverse Refinancing Acceptance 
  • F-47 Down Payment Request 
  • F-48 Post Vendor Down Payment 
  • F-49 Customer Noted Item 
  • F-51 Post with Clearing 
  • F-52 Post Incoming Payments 
  • F-53 Post Outgoing Payments 
  • F-54 Clear Vendor Down Payment 
  • F-55 Enter Statistical Posting 
  • F-56 Reverse Statistical Posting 
  • F-57 Vendor Noted Item 
  • F-58 Payment with Printout 
  • F-59 Payment Request 
  • F-60 Maintain Table: Posting Periods 
  • F-62 Maintain Table: Exchange Rates 
  • F-63 Park Vendor Invoice 
  • F-64 Park Customer Invoice 
  • F-65 Preliminary Posting 
  • F-66 Park Vendor Credit Memo 
  • F-67 Park Customer Credit Memo 
  • F-90 Acquisition from purchase w. vendor
  • F-91 Asset acquis. to clearing account 
  • F-92 Asset Retire. frm Sale w/ Customer 
  • F.01 ABAP/4 Report: Balance Sheet 
  • F.02 Compact Journal 
  • F.03 Reconciliation 
  • F.04 G/L: Create Foreign Trade Report 
  • F.05 Foreign Currency Val.: Open Items 
  • F.06 Foreign Currency Valuation:G/L Assts
  • F.07 G/L: Balance Carried Forward 
  • F.08 G/L: Account Balances 
  • F.09 G/L: Account List 
  • F.0A G/L: FTR Report on Disk 
  • F.0B G/L: Create Z2 to Z4 
  • F.10 G/L: Chart of Accounts 
  • F.11 G/L: General Ledger from Doc.File 
  • F.12 Advance Tax Return 
  • F.13 ABAP/4 Report: Automatic Clearing 
  • F.14 ABAP/4 Report: Recurring Entries 
  • F.15 ABAP/4 Report: List Recurr.Entries 
  • F.16 ABAP/4 Report: G/L Bal.Carried Fwd 
  • F.17 ABAP/4 Report: Cust.Bal.Confirmation
  • F.18 ABAP/4 Report: Vend.Bal.Confirmation
  • F.19 G/L: Goods/Invoice Received Clearing
  • F.1A Customer/Vendor Statistics 
  • F.1B Head Office and Branch Index 
  • F.20 A/R: Account List 
  • F.21 A/R: Open Items 
  • F.22 A/R: Open Item Sorted List 
  • F.23 A/R: Account Balances 
  • F.24 A/R: Interest for Days Overdue 
  • F.25 Bill of Exchange List 
  • F.26 A/R: Balance Interest Calculation 
  • F.27 A/R: Periodic Account Statements 
  • F.28 Customers: Reset Credit Limit 
  • F.29 A/R: Set Up Info System 1 
  • F.2A Calc.cust.int.on arr.: Post (w/o OI)
  • F.2B Calc.cust.int.on arr.: Post(with OI)
  • F.2C Calc.cust.int.on arr.: w/o postings
  • F.2D Customrs: FI-SD mast.data comparison
  • F.2E Reconciliation Btwn Affiliated Comps
  • F.2F Management Acct Group Reconciliation
  • F.2G Create Account Group Reconcil. G/L 
  • F.30 A/R: Evaluate Info System 
  • F.31 Credit Management – Overview 
  • F.32 Credit Management – Missing Data 
  • F.33 Credit Management – Brief Overview 
  • F.34 Credit Management – Mass Change 
  • F.35 Credit Master Sheet 
  • F.36 Adv.Ret.on Sls/Pur.Form Printout(DE)
  • F.37 Adv.rept.tx sls/purch.form print (BE
  • F.38 Transfer Posting of Deferred Tax 
  • F.39 C FI Maint. table T042Z (BillExcTyp)
  • F.40 A/P: Account List 
  • F.41 A/P: Open Items 
  • F.42 A/P: Account Balances 
  • F.44 A/P: Balance Interest Calculation 
  • F.45 A/P: Set Up Info System 1 
  • F.46 A/P: Evaluate Info System 
  • F.47 Vendors: calc.of interest on arrears
  • F.48 Vendors: FI-MM mast.data comparison
  • F.4A Calc.vend.int.on arr.: Post (w/o OI)
  • F.4B Calc.vend.int.on arr.: Post(with OI)
  • F.4C Calc.vend.int.on arr.: w/o postings
  • F.50 G/L: Profitability Segment Adjustmnt
  • F.51 G/L: Open Items 
  • F.52 G/L: Acct Bal.Interest Calculation 
  • F.53 G/L: Account Assignment Manual 
  • F.54 G/L: Structured Account Balances 
  • F.56 Delete Recurring Document 
  • F.57 G/L: Delete Sample Documents 
  • F.58 OI Bal.Audit Trail: fr.Document File
  • F.59 Accum.Clas.Aud.Trail: Create Extract
  • F.5A Accum.Clas.Aud.Trail: Eval.Extract 
  • F.5B Accum.OI Aud.Trail: Create Extract 
  • F.5C Accum.OI Audit Trail: Display Extr.
  • F.5D G/L: Update Bal. Sheet Adjustment 
  • F.5E G/L: Post Balance Sheet Adjustment 
  • F.5F G/L: Balance Sheet Adjustment Log 
  • F.5G G/L: Subseq.Adjustment(BA/PC) Sp.ErA
  • F.5I G/L: Adv.Rep.f.Tx on Sls/Purch.w.Jur
  • F.61 Correspondence: Print Requests 
  • F.62 Correspondence: Print Int.Documents
  • F.63 Correspondence: Delete Requests 
  • F.64 Correspondence: Maintain Requests 
  • F.65 Correspondence: Print Letters (Cust)
  • F.66 Correspondence: Print Letters (Vend)
  • F.70 Bill/Exchange Pmnt Request Dunning 
  • F.71 DME with Disk: B/Excha. Presentation
  • F.75 Extended Bill/Exchange Information 
  • F.77 C FI Maintain Table T045D 
  • F.78 C FI Maintain Table T045B 
  • F.79 C FI Maintain Table T045G 
  • F.80 Mass Reversal of Documents 
  • F.81 Reverse Posting for Accr./Defer.Docs
  • F.90 C FI Maintain Table T045F 
  • F.91 C FI Maintain Table T045L 
  • F.92 C FI Maintain T012K (Bill/Exch.) 
  • F.93 Maintain Bill Liability and Rem.Risk
  • F.97 General Ledger: Report Selection 
  • F.98 Vendors: Report Selection 
  • F.99 Customers: Report Selection 
  • F/LA Create Pricing Report 
  • F/LB Change pricing reports 
  • F/LC Display pricing reports 
  • F/LD Execute pricing reports 
  • F00 SAPoffice: Short Message 
  • F000 Accounting 
  • F010 ABAP/4 Reporting: Fiscal Year Change
  • F01N Debit position RA single reversal 
  • F01O Vacancy RU single reversal 
  • F01P Accruals/deferrals single reversal 
  • F01Q Debit position MC single reversal 
  • F01R MC settlement single reversal 
  • F01S Reverse Periodic Posting 
  • F01T Reverse Acc./Def. General Contract 
  • F040 Reorganization 
  • F041 Bank Master Data Archiving 
  • F042 G/L Accounts Archiving 
  • F043 Customer Archiving 
  • F044 Vendor Archiving 
  • F045 Document Archiving 
  • F046 Transaction Figures Archiving 
  • F101 ABAP/4 Reporting: Balance Sheet Adj.
  • F103 ABAP/4 Reporting: Transfer Receivbls
  • F104 ABAP/4 Reporting: Receivbls Provisn
  • F107 FI Valuation Run 
  • F110 Parameters for Automatic Payment 
  • F111 Parameters for Payment of PRequest 
  • F13E ABAP/4 Report: Automatic Clearing 
  • F150 Dunning Run 
  • F48A Document Archiving 
  • F53A Archiving of G/L Accounts 
  • F53V Management of G/L Account Archives 
  • F56A Customer Archiving 
  • F58A Archiving of Vendors 
  • F61A Bank archiving 
  • F64A Transaction Figure Archiving 
  • F66A Archiving of Bank Data Storage 
  • F8+0 Display FI Main Role Definition 
  • F8+1 Maintain FI Main Role Definition 
  • F8+2 Display FI Amount Groups 
  • F8+3 Maintain FI Amount Groups 
  • F8B4 C FI Maintain Table TBKDC 
  • F8B6N   C FI Maintain Table TBKPV 
  • F8BC C FI Maintain Table TBKFK 
  • F8BF C FI Maintain Table T042Y 
  • F8BG Maintain Global Data for F111 
  • F8BH Inconsistencies T042I and T042Y 
  • F8BJ Maintain Clearing Accts (Rec.Bank) 
  • F8BK Maintain ALE-Compatible Pmnt Methods
  • F8BM Maintain numb.range: Payment request
  • F8BN Corr.Acctg Documents Payment Block 
  • F8BO Payment request archiving 
  • F8BR Levels for Payment Requests 
  • F8BS Detail display of payment requests 
  • F8BT Display Payment Requests 
  • F8BU Create payment runs automatically 
  • F8BV Reversal of Bank-to-Bank Transfers 
  • F8BW Reset Cleared Items: Payt Requests 
  • F8BZ F111 Customizing 
  • F8XX Payment Request No. Ranges KI3-F8BM
  • FA39 Call up report with report variant 
  • FAKA Config.: Show Display Format 
  • FAKP Config.: Maintain Display Format 
  • FAR1 S FI-ARI Maint. table T061A 
  • FARA S FI-ARI Maint. table T061P/Q 
  • FARB C FI-ARI Maint. table T061R 
  • FARI AR Interface: Third-party applicatns
  • FARY Table T061S 
  • FARZ Table T061V 
  • FAX1 BC sample SAP DE 2.1 
  • FAX2 BC sample 2 SAP DE 2.1 
  • FB00 Accounting Editing Options 
  • FB01 Post Document 
  • FB02 Change Document 
  • FB03 Display Document 
  • FB03Z   Display Document/Payment Usage 
  • FB04 Document Changes 
  • FB05 Post with Clearing 
  • FB05_OLD Post with clearing 
  • FB07 Control Totals 
  • FB08 Reverse Document 
  • FB09 Change Line Items 
  • FB10 Invoice/Credit Fast Entry 
  • FB11 Post Held Document 
  • FB12 Request from Correspondence 
  • FB13 Release for Payments 
  • FB1D Clear Customer 
  • FB1K Clear Vendor 
  • FB1S Clear G/L Account 
  • FB21 Enter Statistical Posting 
  • FB22 Reverse Statistical Posting 
  • FB31 Enter Noted Item 
  • FB41 Post Tax Payable 
  • FB50 G/L Acct Pstg: Single Screen Trans.
  • FB60 Enter Incoming Invoices 
  • FB65 Enter Incoming Credit Memos 
  • FB70 Enter Outgoing Invoices 
  • FB75 Enter Outgoing Credit Memos 
  • FB99 Check if Documents can be Archived 
  • FBA1 Customer Down Payment Request 
  • FBA2 Post Customer Down Payment 
  • FBA3 Clear Customer Down Payment 
  • FBA6 Vendor Down Payment Request 
  • FBA7 Post Vendor Down Payment 
  • FBA7_OLD Post Vendor Down Payment 
  • FBA8 Clear Vendor Down Payment 
  • FBA8_OLD Clear Vendor Down Payment 
  • FBB1 Post Foreign Currency Valn 
  • FBBA Display Acct Determination Config. 
  • FBBP Maintain Acct Determination Config.
  • FBCJ Cash Journal 
  • FBCJC0  C FI Maintain Tables TCJ_C_JOURNALS
  • FBCJC1  Cash Journal Document Number Range 
  • FBCJC2  C FI Maint. Tables TCJ_TRANSACTIONS
  • FBCJC3  C FI Maintain Tables TCJ_PRINT 
  • FBCOPY  Copy Function Module 
  • FBD1 Enter Recurring Entry 
  • FBD2 Change Recurring Entry 
  • FBD3 Display Recurring Entry 
  • FBD4 Display Recurring Entry Changes 
  • FBD5 Realize Recurring Entry 
  • FBD9 Enter Recurring Entry 
  • FBDF Menu Banque de France 
  • FBE1 Create Payment Advice 
  • FBE2 Change Payment Advice 
  • FBE3 Display Payment Advice 
  • FBE6 Delete Payment Advice 
  • FBE7 Add to Payment Advice Account 
  • FBF1 C80 Reporting Minus Sp.G/L Ind. 
  • FBF2 Financial Transactions 
  • FBF3 Control Report 
  • FBF4 Download Documents 
  • FBF5 Reports Minus Vendor Accounts 
  • FBF6 Document Changes 
  • FBF7 C80 Reports Minus Sp.G/L Ind. 
  • FBF8 C84 Reports 
  • FBFT Customizing BDF 
  • FBIPU   Maintain bank chains for partner 
  • FBKA Display Accounting Configuration 
  • FBKF FBKP/Carry Out Function (Internal) 
  • FBKP Maintain Accounting Configuration 
  • FBL1 Display Vendor Line Items 
  • FBL1N   Vendor Line Items 
  • FBL2 Change Vendor Line Items 
  • FBL2N   Vendor Line Items 
  • FBL3 Display G/L Account Line Items 
  • FBL3N   G/L Account Line Items 
  • FBL4 Change G/L Account Line Items 
  • FBL4N   G/L Account Line Items 
  • FBL5 Display Customer Line Items 
  • FBL5N   Customer Line Items 
  • FBL6 Change Customer Line Items 
  • FBL6N   Customer Line Items 
  • FBM1 Enter Sample Document 
  • FBM2 Change Sample Document 
  • FBM3 Display Sample Document 
  • FBM4 Display Sample Document Changes 
  • FBMA Display Dunning Procedure 
  • FBME Banks 
  • FBMP Maintain Dunning Procedure 
  • FBN1 Accounting Document Number Ranges 
  • FBN2 Number Range Maintenance: FI_PYORD 
  • FBP1 Enter Payment Request 
  • FBR1 Post with Reference Document 
  • FBR2 Post Document 
  • FBRA Reset Cleared Items 
  • FBRC Reset Cleared Items (Payment Cards)
  • FBS1 Enter Accrual/Deferral Doc. 
  • FBTA Display Text Determin.Configuration
  • FBTP Maintain Text Determin.Configuration
  • FBU2 Change Intercompany Document 
  • FBU3 Display Intercompany Document 
  • FBU8 Reverse Cross-Company Code Document
  • FBV0 Post Parked Document 
  • FBV1 Park Document 
  • FBV2 Change Parked Document 
  • FBV3 Display Parked Document 
  • FBV4 Change Parked Document (Header) 
  • FBV5 Document Changes of Parked Documents
  • FBV6 Parked Document $ 
  • FBVB Post Parked Document 
  • FBW1 Enter Bill of Exchange Pmnt Request
  • FBW2 Post Bill of Exch.acc.to Pmt Request
  • FBW3 Post Bill of Exchange Usage 
  • FBW4 Reverse Bill Liability 
  • FBW5 Customer Check/Bill of Exchange 
  • FBW6 Vendor Check/Bill of Exchange 
  • FBW7 Bank file to file system (for FBWD)
  • FBW8 File to Bank (for Transaction FBWD)
  • FBW9 C FI Maintain Table T045DTA 
  • FBWA C FI Maintain Table T046a 
  • FBWD Returned Bills of Exchange Payable 
  • FBWD2   Parameter Transaction for FBWD 
  • FBWE Bill/Exch.Presentatn – International
  • FBWQ C FI Maintain Table T045T 
  • FBWR C FI Maintain Table T045W 
  • FBWS C FI Maintain Table T046s 
  • FBZ0 Display/Edit Payment Proposal 
  • FBZ1 Post Incoming Payments 
  • FBZ2 Post Outgoing Payments 
  • FBZ3 Incoming Payments Fast Entry 
  • FBZ4 Payment with Printout 
  • FBZ5 Print Check For Payment Document 
  • FBZ8 Display Payment Run 
  • FBZA Display Pmnt Program Configuration 
  • FBZG Failed Customer Payments 
  • FBZP Maintain Pmnt Program Configuration
  • FC10 Financial Statements Comparison 
  • FC11 Data Extract for FI Transfer 
  • FC80 Document C80 
  • FC82 Document C82 
  • FCAA Check Archiving 
  • FCC1 Payment Cards: Settlement 
  • FCC2 Payment Cards: Repeat Settlement 
  • FCC3 Payment Cards: Delete Logs 
  • FCC4 Payment Cards: Display Logs 
  • FCCR Payment Card Evaluations 
  • FCH1 Display Check Information 
  • FCH2 Display Payment Document Checks 
  • FCH3 Void Checks 
  • FCH4 Renumber Checks 
  • FCH5 Create Check Information 
  • FCH6 Change Check Information/Cash Check
  • FCH7 Reprint Check 
  • FCH8 Reverse Check Payment 
  • FCH9 Void Issued Check 
  • FCHA Check archiving 
  • FCHB Check retrieval 
  • FCHD Delete Payment Run Check Information
  • FCHE Delete Voided Checks 
  • FCHF Delete Manual Checks 
  • FCHG Delete cashing/extract data 
  • FCHI Check Lots 
  • FCHK Check Tracing Initial Menu 
  • FCHN Check Register 
  • FCHR Online Cashed Checks 
  • FCHT Change check/payment allocation 
  • FCHU Create Reference for Check 
  • FCHV C FI Maintain Table TVOID 
  • FCHX Check Extract – Creation 
  • FCIWCU  BW Customizing for CS 
  • FCIWD00 Download InfoObject text 
  • FCIWD10 Download InfoObject hierarchies 
  • FCKR International cashed checks 
  • FCMM C FI Preparations for consolidation
  • FCMN FI Initial Consolidation Menu 
  • FCV1 Create A/R Summary 
  • FCV2 Delete A/R Summary 
  • FCV3 Early Warning List 
  • FC_BW_BEX   Business Explorer Analyser 
  • FC_BW_RSA1  BW Administrator Workbench 
  • FC_BW_RSZDELETE Delete BW Query Objects 
  • FC_BW_RSZV  Maintain BW Variables 
  • FD-1 Number range maintenance: FVVD_RANL
  • FD01 Create Customer (Accounting) 
  • FD02 Change Customer (Accounting) 
  • FD02CORE Maintain customer 
  • FD03 Display Customer (Accounting) 
  • FD04 Customer Changes (Accounting) 
  • FD05 Block Customer (Accounting) 
  • FD06 Mark Customer for Deletion (Acctng)
  • FD08 Confirm Customer Individually(Actng)
  • FD09 Confirm Customer List (Accounting) 
  • FD10 Customer Account Balance 
  • FD10N   Customer Balance Display 
  • FD10NA  Customer Bal. Display with Worklist
  • FD11 Customer Account Analysis 
  • FD15 Transfer customer changes: send 
  • FD16 Transfer customer changes: receive 
  • FD24 Credit Limit Changes 
  • FD32 Change Customer Credit Management 
  • FD33 Display Customer Credit Management 
  • FD37 Credit Management Mass Change 
  • FDCU Loans customizing menu 
  • FDFD Cash Management Implementation Tool
  • FDI0 Execute Report 
  • FDI1 Create Report 
  • FDI2 Change Report 
  • FDI3 Display Report 
  • FDI4 Create Form 
  • FDI5 Change Form 
  • FDI6 Display Form 
  • FDIB Background Processing 
  • FDIC Maintain Currency Translation Type 
  • FDIK Maintain Key Figures 
  • FDIM Report Monitor 
  • FDIO Transport Reports 
  • FDIP Transport Forms 
  • FDIQ Import Reports from Client 000 
  • FDIR Import Forms from Client 000 
  • FDIT Translation Tool – Drilldown Report
  • FDIV Maintain Global Variable 
  • FDIX Reorganize Drilldown Reports 
  • FDIY Reorganize Report Data 
  • FDIZ Reorganize Forms 
  • FDK43   Credit Management – Master Data List
  • FDMN    
  • FDOO Borrower’s notes order overview 
  • FDTA TemSe/REGUT Data Administration 
  • FDTT Treasury Data Medium Administration
  • FEBA Postprocess Electronic Bank Statmt 
  • FEBC Generate Multicash format 
  • FEBMSG  Display Internet Messages 
  • FEBOAS  Request Account Statement via OFX 
  • FEBOFX  OFX Functions 
  • FEBP Post Electronic Bank Statement 
  • FEBSTS  Search String Search Simulation 
  • FESR Importing of POR File (Switzerland)
  • FEUB Adjust VIBEPP after EURO conversion
  • FEUI Real Estate Implementation Guide 
  • FF$3 Send planning data to central system
  • FF$4 Retrieve planning data 
  • FF$5 Retrieve transmission results 
  • FF$6 Check settings 
  • FF$7 Check all external systems 
  • FF$A Maintain TR-CM subsystems 
  • FF$B Convert Planning Group 
  • FF$C Convert planning level 
  • FF$D Convert business areas 
  • FF$L Display transmission information 
  • FF$S Display transmission information 
  • FF$X Configure the central TR-CM system 
  • FF-1 Outstanding Checks 
  • FF-2 Outstanding Bills of Exchange 
  • FF-3 Cash Management Summary Records 
  • FF-4 CMF Data In Accounting Documents 
  • FF-5 CMF Records fr.Materials Management
  • FF-6 CMF Records from Sales 
  • FF-7 Forecast Item Journal 
  • FF-8 Payment Advice Journal 
  • FF-9 Journal 
  • FF.1 Standard G/L Account Interest Scale
  • FF.3 G/L Account Cashed Checks 
  • FF.4 Vendor Cashed Checks 
  • FF.5 Import Electronic Bank Statement 
  • FF.6 Display Electronic Bank Statement 
  • FF.7 Payment Advice Comparison 
  • FF.8 Print Payment Orders 
  • FF.9 Post Payment Orders 
  • FF.D Generate payt req. from advices 
  • FF/1 Compare Bank Terms 
  • FF/2 Compare value date 
  • FF/3 Archive advices from bank statements
  • FF/4 Import electronic check deposit list
  • FF/5 Post electronic check deposit list 
  • FF/6 Deposit/loan mgmt analysis/posting 
  • FF/7 Deposit/loan management int accruals
  • FF/8 Import Bank Statement into Cash Mgmt
  • FF/9 Compare Advices with Bank Statement
  • FF63 Create Planning Memo Record 
  • FF65 List of Cash Management Memo Records
  • FF67 Manual Bank Statement 
  • FF68 Manual Check Deposit Transaction 
  • FF6A Edit Cash Mgmt Pos Payment Advices 
  • FF6B Edit liquidity forecast planned item
  • FF70 Cash Mgmt Posit./Liquidity Forecast
  • FF71 Cash Position 
  • FF72 Liquidity forecast 
  • FF73 Cash Concentration 
  • FF74 Use Program to Access Cash Concntn 
  • FF7A Cash Position 
  • FF7B Liquidity forecast 
  • FF:1 Maintain exchange rates 
  • FFB4 Import electronic check deposit list
  • FFB5 Post electronic check deposit list 
  • FFL_OLD Display Transmission Information 
  • FFS_OLD Display Transmission Information 
  • FFTL Telephone list 
  • FFW1 Wire Authorization 
  • FFWR Post Payment Requests from Advice 
  • FFWR_REQUESTS   Create Payment Requests from Advice
  • FF_1 Standard G/L Account Interest Scale
  • FF_3 G/L Account Cashed Checks 
  • FF_4 Vendor Cashed Checks 
  • FF_5 Import Electronic Bank Statement 
  • FF_6 Display Electronic Bank Statement 

Let’s Web Dynpro. Part IV

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