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Bei amazon.de ansehen →The package FTA (R/3 appl. development for Treasury money,forex,forward gen) is a standard package in SAP ERP. It belongs to the parent package EA-FINSERV.
Package | FTA |
Short Text | R/3 appl. development for Treasury money,forex,forward gen |
Parent Package | EA-FINSERV |
SAP Package FTA contains 93 function groups.
0TB3 | Internal system settings - Treasury |
---|---|
0TB4 | Internal system settings - Treasury |
0TBA | Internal system settings - Treasury |
0TBB | Customizing: Generate derived flows |
0TBB1 | Customizing: Der.Flow: Calculation Rules |
0TBN | Customizing: Memo IDs |
0TBP | Customizing: Handling of payments |
BOT1 | Object number: Loans |
BOT2 | Object number: Securities |
BOT4 | Object number: Foreign exchange |
BOT6 | Object number: Derivatives |
BOT7 | Object number: Payables/receivables |
FTR_2_TRD | Link Between Transactions and TRD |
FTR_CUSTOMIZING_READ_1 | Transaction Management: Read Customizing |
FTX1 | Forex transactions and rates |
TB00 | General Help Functions |
TB01_ADDON | Conversion Routines |
TB02 | Display date information |
TB03 | Treasury: General checks and names |
TB031 | CFM: General Checks and Description |
TB04 | Display and maintain user data |
TB05 | Access to financial transactions |
TB06 | Call financial mathematics |
TB07 | Tax tables: Input options/checks |
TB09 | Overview: Fill underlying |
TB10 | Calling up Treasury transactions |
TB12 | Detail screens: Conditions |
TB14 | Processing numbers |
TB15 | Generate derived flows |
TB16 | Treasury valuation modules |
TB17 | Customizing: Auxiliary functions |
TB18_CFM | Change Documents: Display (CFM Only) |
TB19 | CHDO VTBFHA => Gen. by RSSCD000 |
TB20 | Update financial transaction |
TB22 | Editing: Flows and conditions |
TB23 | Function log book |
TB24 | BDC control |
TB25 | Payment details: Maintenance |
TB27 | Payment details: Access standng instrct. |
TB28 | Maintain correspondence |
TB29 | Posting Interface: Adapter RW-IF |
TB30 | Posting interface: Customizing |
TB31 | Posting interface: Checks |
TB32 | Posting interface: Posting in FI |
TB32NEU | Posting ID: Posting via Position Mngmnt |
TB33 | Posting interface: Logging |
TB34 | Posting interface: Manual reversal |
TB35 | Memo book |
TB36 | Link to general accumulation/valuation |
TB38 | Treasury: Authorization check |
TB39 | Treasury: Link to drilldown reporting |
TB40 | Position management: Listed derivatives |
TB41 | Selection routines:Forex and Derivatives |
TB43 | Processing modules: Forex/derivatives |
TB44 | Treasury: General Calls (Business Obj.) |
TB45 | |
TB47 | Determining cash flows for transactions |
TB50 | Settlement for options/futures |
TB52 | Display options as underlyings |
TB54 | Update options on exercise |
TB60 | Accrual/deferral: Checks and aux.functns |
TB61 | Accrual/deferral: Calculate and generate |
TB62 | Accrual/Deferral: Link to Parallel Books |
TB71 | Hedges: Transfer forex transactions |
TB72 | **do not use!!**Hedges: Hedge requests |
TB79 | CFM-TM Message Handling |
TB7D | Hedging function module for forex |
TB81 | CHDO BP_SI_0001 => Gen. by RSSCD000 |
TB82 | CHDO BP_SI_0002 => Gen. by RSSCD000 |
TB83 | CHDO BP_SI_0003 => Gen. by RSSCD000 |
TB84 | CHDO BP_SI_0004 => Gen. by RSSCD000 |
TB85 | Correspondence MM, FX, DE, SE |
TB86 | Treasury: Payment advices |
TB87 | Transaction authorization for traders |
TB88 | CHDO TRA_AUTH => Gen. by RSSCD000 |
TB89 | Incoming Confirmations |
TBAF | CFM: Customizing Read Modules |
TBF4 | Treasury: General Possible Entries |
TBLI | Limit handling |
TBM1 | Treasury: Master agreements - edit |
TBM2 | CHDO VTBMA => Gen. by RSSCD000 |
TBM3 | Treasury: Master agreements & transactn |
TBMD | Control mirror transactions |
TBNR | Treasury: Number range functions |
TBOS | Update routines for options |
TBP1 | TR: dynamic transaction selection P/L |
TBPR | Treasury: Connection to payment request |
TBPS | Treasury: Access for Handling of Pmnts |
TBR0 | Treasury: Mass access to transactions |
TBSH | Treasury: Search help exits |
TI01 | Generate flows |
TI10 | Update options/futures |
TI43 | Prepare underlying data |
SAP Package FTA contains 161 transactions.
CASH | Branch to Cash Management |
---|---|
FDTT | Treasury Data Medium Administration |
FINA | Branch to Financial Accounting |
FZMN | Treasury Management basic functions |
GLOB | Branch to Global Settings |
OTC_CONV | CFM 1.0: Migration OTC Int.Rte Inst. |
S_ALR_87006910 | IMG Activity: OTMA |
S_ALR_87007899 | IMG Activity: TR_IMG_PRQ_VEK |
S_ALR_87007906 | IMG Activity: TR_IMG_PRQ_GED |
S_ALR_87007909 | IMG Activity: TR_IMG_PRQ_FKP |
S_ALR_87007913 | IMG Activity: TR_IMG_PRQ_KFD |
S_ALR_87007918 | IMG Activity: TR_IMG_PRQ_ALE |
S_ALR_87007923 | IMG Activity: TR_IMG_PRQ_FKW |
S_ALR_87007927 | IMG Activity: TR_IMG_PRQ_TDWD |
S_ALR_87007931 | IMG Activity: TR_IMG_PRQ_NKZA |
S_ALR_87007935 | IMG Activity: TR_IMG_PRQ_KBB |
S_ALR_87007938 | IMG Activity: TR_IMG_PRQ_VZA |
S_ALR_87007941 | IMG Activity: TR_PRQ_ZAHLBANK |
S_ALR_87008527 | IMG activity: STOCK_PRC_VOLA_INPUT |
S_ALR_87008528 | IMG activity: INTEREST_VOLA_INPUT |
S_ALR_87008535 | IMG Activity: SIMG_WAEHRUNGSPFLEGE |
S_ALR_87008536 | IMG Activity: STOCK_PRICES_INPUT |
S_ALR_87008537 | IMG Activity: SIMG_ZINSWERTE |
S_ALR_87008538 | IMG Activity: INDEX_INPUT |
S_ALR_87008539 | IMG Activity: SWAP_RATE_INPUT |
S_ALR_87014407 | Treasury:Journal of Financial Trans. |
S_ALR_87014408 | Treasury:Journal of Financial Trans. |
S_ALR_87014415 | Journal: Transactions w. Cash Flows |
S_ALR_87014416 | Journal: Transactions w. Cash Flows |
S_ALR_87014424 | Posting Journal |
S_ALR_87014425 | Posting Journal |
S_ALR_87014428 | Treasury: Payment Schedule |
S_ALR_87014429 | Treasury: Payment Schedule |
S_ALR_87014435 | Treasury:Journal of Financial Trans. |
S_ALR_87014436 | Treasury:Journal of Financial Trans. |
S_ALR_87014441 | Journal: Transactions w. Cash Flows |
S_ALR_87014442 | Journal: Transactions w. Cash Flows |
S_ALR_87014448 | Posting Journal |
S_ALR_87014449 | Posting Journal |
S_ALR_87014452 | Treasury: Payment Schedule |
S_ALR_87014453 | Treasury: Payment Schedule |
S_ALR_87014454 | Treasury:Journal of Financial Trans. |
S_ALR_87014455 | Treasury:Journal of Financial Trans. |
S_ALR_87014462 | Journal: Transactions w. Cash Flows |
S_ALR_87014463 | Journal: Transactions w. Cash Flows |
S_ALR_87014470 | Posting Journal |
S_ALR_87014471 | Posting Journal |
S_ALR_87014474 | Treasury: Payment Schedule |
S_ALR_87014475 | Treasury: Payment Schedule |
S_ALR_87014487 | Treasury: Payment Schedule |
S_ALR_87014488 | Treasury: Payment Schedule |
S_ALR_87015196 | Treasury:Journal of Financial Trans. |
S_ALR_87015197 | Treasury:Journal of Financial Trans. |
S_ALR_87015202 | Journal: Transactions w. Cash Flows |
S_ALR_87015203 | Journal: Transactions w. Cash Flows |
S_ALR_87015205 | Treasury: Payment Schedule |
S_ALR_87015206 | Treasury: Payment Schedule |
S_ALR_87015218 | Posting Journal |
S_ALR_87015219 | Posting Journal |
S_ALR_87015220 | Treasury:Journal of Financial Trans. |
S_ALR_87015221 | Treasury:Journal of Financial Trans. |
S_ALR_87015226 | Journal: Transactions w. Cash Flows |
S_ALR_87015227 | Journal: Transactions w. Cash Flows |
S_ALR_87015228 | Treasury: Payment Schedule |
S_ALR_87015229 | Treasury: Payment Schedule |
S_ALR_87015234 | Posting Journal |
S_ALR_87015235 | Posting Journal |
S_ALR_87015239 | Treasury:Journal of Financial Trans. |
S_ALR_87015240 | Treasury:Journal of Financial Trans. |
S_ALR_87015245 | Journal: Transactions w. Cash Flows |
S_ALR_87015246 | Journal: Transactions w. Cash Flows |
S_ALR_87015248 | Treasury: Payment Schedule |
S_ALR_87015249 | Treasury: Payment Schedule |
S_ALR_87015256 | Posting Journal |
S_ALR_87015257 | Posting Journal |
S_ALR_87015258 | Treasury:Journal of Financial Trans. |
S_ALR_87015259 | Treasury:Journal of Financial Trans. |
S_ALR_87015262 | Treasury: Payment Schedule |
S_ALR_87015263 | Treasury: Payment Schedule |
S_ALR_87015279 | Posting Journal |
S_ALR_87015280 | Posting Journal |
S_ALR_87100140 | Posting journal |
S_ALR_87100178 | Overdue List: Counterconfirmations |
S_ALR_87100179 | Overdue List: Counterconfirmations |
S_ALR_87100180 | Overdue List: Counterconfirmations |
S_ALR_87100181 | Overdue List: Counterconfirmations |
S_ALR_87100182 | Overdue List: Counterconfirmations |
S_KFM_86000182 | SAPLS_CUS_IMG_ACTIVITY |
TAC1 | Number range maintenance: FTA_GSART |
TAC4 | Number Range Maintenance: FTA_MAID |
TAC5 | Number Range Maintenance: FTA_AWKEY |
TACD | Trader: Change Documents |
TB01 | Create forex hedge |
TB02 | Change forex hedge |
TB03 | Display forex hedge |
TB04 | Delete forex hedge |
TB0A | TR: Maintenance view swap rates |
TB20 | Unallocated forex transactions |
TB21 | Allocated forex transactions |
TBB1 | Execute postings |
TBB1_LC | Flag Flows as Posted |
TBB1_LC_OP_ONLY | Flag flows as posted (before migr.) |
TBB1_OP_ONLY | Perform postings (before migration) |
TBB2 | Reverse postings |
TBB2_OP_ONLY | Reverse postings |
TBB3 | Flag Flows as Reversed |
TBB3_OP_ONLY | Flag flows as reversed (before migr) |
TBB4 | Accrual/deferral |
TBB5 | Reverse accrual/deferral |
TBB6 | Realized Gains/Losses |
TBB7 | Run Key Date Valuation |
TBB8 | Reverse Key Date Valuation |
TBC0 | TR: Maintain manual reversal type |
TBCD | Treasury: Change Docs Transactions |
TBCF | Exchange rate volatilities |
TBCI | View Master data G/L account |
TBCJ | Maint.Planning Types for Trans.Types |
TBCK | Check account determination |
TBCN | Maintenance: Note for Transaction |
TBCP | Retransfer of activity transition |
TBCQ | Alloc. ValuationFlowTypes-Transactn |
TBCR | TR: Maintain fixing attributes FX |
TBCS | Automatic fixing processing |
TBM1 | Treasury: Create Mast.Agreement |
TBM2 | Treasury: Chg. Mast. Agreement |
TBM3 | Treasury: Displ. Mast. Agreement |
TBM4 | Treasury: Master Agreement Changes |
TBM5 | Treasury: Assign Mast. Agreement |
TBM6 | Treasury: Vol. Check for Master Agr. |
TBM7 | Master Agreement: Maintain Memo IDs |
TBR0 | Posting journal |
TBT1 | Transaction Authorizat. for Traders |
TBT1D | Display Trans. Auth. for Traders |
TBZ1 | Output Correspondence |
TBZ13 | Printer Override Function |
TBZ3 | Money Market: Incoming Confirmations |
TBZ4 | Incoming Confirmations Forex Options |
TBZ5 | List of Days Overdue Counterconf. |
TBZ6 | Match Incoming SWIFT Confirmation |
TBZ7 | Delete corr. planned records |
TBZ8 | Correspondence - Overview |
TC02 | Number range maint.: FTI_UGSART |
TI8H | Settle OTC Knock-Out Option |
TI8I | Settle OTC Knock-In Option |
TI94 | Collective Monitoring of Options |
TIC1 | Number Range Maintenance: FTI_OPTFUT |
TJ01 | Journal of transactions |
TJ02 | Collective editing of options |
TJ04 | Payment Plan |
TJ06 | Option Expiration |
TJ07 | Interest Rate Adjustment Schedule |
TJ10 | Summary Journal Fin. Transctions |
TJ11 | Display Single Transaction |
TJ12 | Journal: Transactions w. Cash Flows |
TRGF | Market Data Current Setting |
TRTM_CHECK_CORR | Check Correspondence Customizing |
TSW2 | SWIFT Generation MT320 |
TX.5 | Execute forex order |
TX/5 | Forex order expiry |
TX-5 | Settle forex transaction |
TXAK | Calculation of option premiums |
SAP Package FTA contains 99 database tables.
AT01 | Transaction Category |
---|---|
AT01T | Name of Transaction Category |
AT02 | Transaction Activity Category |
AT02A | Transaction Code for Menu TIMN |
AT02T | Transaction Activity Category: Description |
AT03 | Diary Functions |
AT03T | Diary Function: Description |
AT05 | Processing Categories |
AT05T | Name: Processing Category |
AT06 | Allocation of Processing Categories to Activity Categories |
AT07 | Category of Flows and Conditions |
AT07T | Name of category for flows and conditions |
AT08 | Allocation: Application to Category of Flows and Conditions |
AT09 | Posting category |
AT09T | Posting type: Name |
AT10 | Transaction type |
AT100 | Treasury Additions to User Master |
AT10B | Treasury: Customizing for Valuation |
AT10S | Securities |
AT10T | Name of Transaction Type |
AT10X | Forex Attributes for Transaction Types |
AT11 | Allocation of Condition Types to Transaction Types |
AT13 | Allocation of Flow Types to Transaction Types |
AT13U | Flow types for transfer posting for activity transition |
AT14 | Status Transfers |
AT16 | Treasury: Fixing Settings for Forex Transactions |
AT18 | Treasury: Valid Formulas |
AT181 | Treasury: Subsequent Screen Control - Initial Item Groups |
AT181T | Treasury: Texts for Subsequent Screen Control Init.Pos.Group |
AT185 | Treasury: Starting Values for Subsequent Screen Control |
AT19 | Supplements to Flow Types |
AT20 | Supplements to Condition Types |
AT21 | Generate derived flows |
AT22 | Procedure to Generate Derived Flows |
AT22T | Procedure to Generate Derived Flows: Name |
AT23 | Procedure for Calculating Derived Flows |
AT23T | Procedure for Calculating Derived Flow: Name |
AT24 | Currency-Dependent Rules for Calculating Derived Flows |
AT25 | Amount-Dependent Rules for Calculating Derived Flows |
AT50 | Future/Option Groups |
AT50T | Description of Options/Futures Groups |
AT51 | Margin Types |
AT51T | Text Table for Margin Types |
AT52 | Expiry Date Type |
AT52T | Name of expiration date types |
AT53 | Due Date Category |
AT60 | Definition of Treasury Functions for Activity Processing |
AT60T | Description of Treasury Functions for Activity Editing |
AT80 | Treasury: Correspondence Control MM, FX, DE, SE |
AT80P | Replacement Table for Correspondence Printer |
AT81 | Correspondence type |
AT81T | Name of correspondence type |
AT90 | Type of manual reversal of posted flows |
AT90T | Name of manual reversal type for posted flows |
ATFTA | CFM: Assign Transaction Flow Type to Update Type |
ATMA | Type of Master Agreement |
ATMAT | Type of Master Agreement: Name |
ATO1 | Check Table for Option Categories |
ATO1T | Text Table for ATO1 |
ATOR | Table of Limit Types |
ATORT | Text Table for Limit Types |
ATPA | Treasury: Product Type Supplements |
ATQC | CFM: Assign Volume Change Category to Flow Category |
ATVC2 | Descriptions of calculation routines |
OTC_CONV_AFINKO | Backup Table for Fin. Transaction Alternative Conditions |
OTC_CONV_FHAPO | Backup Table for Financial Transaction Flows |
OTC_CONV_FHAZU | Backup Table for Financial Transaction Activities |
OTC_CONV_FINKO | Backup Table for Financial Transaction Conditions |
OTC_CONV_IAFINKO | Backup Table for Transaction Underlying Old Conditions |
OTC_CONV_IFHAPO | Backup Table for Underlying Transaction Flows |
OTC_CONV_IFINKO | Backup Table for Financial Transaction Underlying Conditions |
TCURL | Leading Currency |
TMODV | Field Selection: Assign Fields to Field Groups |
TRBRG | Authorization Group for Treasury Transactions |
VTB2TRD | Link Between Financial Transaction Flow and Distributor Flow |
VTBACCOUNT | TR: G/L account - Master Data Extensions Treasury |
VTBAFINKO | Alternative Conditions |
VTBFHA | Transaction |
VTBFHAPO | Transaction Flow |
VTBFHAPO_MIGR | Migrated Financial Flows |
VTBFHAPO_UNFIXED | Non-Fixed Financial Transaction Flows |
VTBFHAZU | Transaction Activity |
VTBFININ | Header Table for Financial Products |
VTBFINKO | Transaction Condition |
VTBFKTLOG | Treasury: Sequence of Functions for Activity Processing |
VTBKORES | Correspondence Data |
VTBKORTMS | Treasury: TemSe Administration Data for Confirmation Runs |
VTBMA | Master Agreement |
VTBMACR | M. Agreement: Permitted Currencies |
VTBMADT | Mast. Agreement: Permitted Trans. Types |
VTBMALE | Master Agreement: Permitted Co. Codes |
VTBMAPA | Master Agreement: Permitted Bus. Partners |
VTBPFHAPO | Treasury: Flow Shells |
VTBRATE | Rate for Activity |
VTBSIANF | **Caution! Do not use. Will be deleted!! |
VTBTEKAL | Treasury: Due Date Management |
VTBTRA1 | Transaction Authoriz. for Traders |
VTBZV | Payment Details for Transaction |
VTVSZCVO | Scenario database: exchange rate volatilities |
SAP Package FTA contains 36 views.
H_AT08 | Help view for allocation of applic.to cat.of flows and cond. |
---|---|
H_AT10 | Help View: Product Types/Transaction Types |
M_VTMAA | Generated view for matchcode ID VTMA -A |
V_AT01 | View of transaction categories |
V_AT02 | View of transaction status categories |
V_AT10 | View of transaction types |
V_AT10_1 | View of transaction types |
V_AT21_2 | Securities: Generate Derived Flows |
V_AT21_4 | Foreign Exchange: Generate Derived Flows |
V_AT21_5 | Money Market: Generate Derived Flows |
V_AT21_6 | Define Derivation Rules |
V_AT22 | Procedure to Generate Derived Flows |
V_AT23 | Procedure for Calculating Derived Flows |
V_AT24 | Currency-Dependent Rules for Calculating Derived Flows |
V_AT25 | Amount-Dependent Rules for Calculating Derived Flows |
V_AT80P | Printer Override Function for Correspondence Customizing |
V_AT90 | Manual Flow Types |
V_ATCVO | Exchange rate volatilities |
V_ATFTA | CFM: Assign Transaction Flow Type to Update Type |
V_ATMA | Type of Master Agreement |
V_ATPRA | Treasury: Clearing Account for Payment Requests |
V_ATYP | View of processing categories |
V_BKTYP | View Category of Flows and Conditions |
V_GTYP | View of transaction categories |
V_TRBRG | Maintain Authorization Group for Treasury Transactions |
V_TTXID_FTR | Memos for Financial Transaction |
V_TTXID_MA | Memos for Master Agreement |
V_TZPA | Old, Do Not Use: Product Types from Treasury View |
V_VORGBEA | View Treasury function for activity editing: Definition |
V_VORGTYP | View of transaction status categories |
V_VORGTYPA | View of fin. trans. status categories and transaction codes |
V_VTB2TRD | View of Transaction Flows and TRD Flows |
V_ZABK | View of application/category of flows and condns allocation |
V_ZAVTYP | View of processing category/activity category allocation |
VTBDEALACT | Treasury: Transaction + activity |
VTBDEALFLW | Treasury: Transaction + flows |
SAP Package FTA contains 149 structures.
ACCBELNR | Return Document No. from FI Interface |
---|---|
CATRAS | Extended ATRAS for update program (func.mod.ref.structure) |
CFTR_AVG_SCHEDULE | Change Document Structure, Generated by RSSCD000 |
CVTBAFINKO | Change Document Structure, Generated by RSSCD000 |
CVTBFHAPO | Change Document Structure, Generated by RSSCD000 |
CVTBFINKO | Change Document Structure, Generated by RSSCD000 |
CVTBKORES | Change Document Structure, Generated by RSSCD000 |
CVTBMACR | Change Document Structure: Generated by RSSCD000 |
CVTBMADT | Change Document Structure: Generated by RSSCD000 |
CVTBMALE | Change Document Structure: Generated by RSSCD000 |
CVTBMAPA | Change Document Structure: Generated by RSSCD000 |
CVTBRATING | Change Document Structure, Generated by RSSCD000 |
CVTBZV | Change Document Structure: Generated by RSSCD000 |
CVTIAFINKO | Change Document Structure, Generated by RSSCD000 |
CVTIFHA | Change Document Structure: Generated by RSSCD000 |
CVTIFHAPO | Change Document Structure: Generated by RSSCD000 |
CVTIFHAZU | Change Document Structure: Generated by RSSCD000 |
CVTIFINKO | Change Document Structure, Generated by RSSCD000 |
CVTIOFZU | Change Document Structure: Generated by RSSCD000 |
ERROR_TR | TR: Correspondence Structure for Error Tables |
FIN_RFTBJL04_02_ALV | Structure 2 for RFTBJL04 |
FIN_RFTBJL04_ALV | Structure RFTBJL04 |
FIN_RFTBMA02_ALV | Structure for ALV Output of Report RFTBMA02 |
FTR_RANGE_GSART | Range for Product Types |
FTR_REPO_DATA | Structure for Repo Data |
FTRS_VTBAFINKO | Structure for Alternative Conditions (Without Key) |
FTRS_VTBFHAPO | Structure for Financial Transaction Flows (Without Key) |
FTRS_VTBFINKO | Structure for Financial Transaction Conditions (Without Key) |
INCL_FK_SFHAART | Foreign Key for Field SFHAART |
KALKU | Structure for Calculation Module |
R2BEL | Structure for Doc. Table from R/2 |
R2ERROR | Structure for Error Table from R/2 |
RFTRPDOKU1 | Include the program-specific parameter documentation |
RPARTNER | General Treasury Partner Data |
RTKOP | Screen Fields Premium Condition Detail Screen |
RTKTZ | Fields in Detail Screen for Interest Terms |
RTKZA | Screen Fields Interest Adjustment Detail Screen |
SI_PAYRQ_TR | Incl. for Payment Requests (for example Fields from REGUP) |
STRUCTURE_TEST_STR | Structure for Testing |
TBCO_ALL | Output Structure for Correspondence: Overall Structure |
TBCO_BANKCHAIN | Bank chain multi-level payment methods for correspondence |
TBCO_BNKA | Confirmations: Bank structure - Copy BNKA without appends ! |
TBCO_BNOM | Output Structure of Further Main/Nominal Amount Flows |
TBCO_CF | Output structure of CAP and FLOOR |
TBCO_COND | Output structure for conditions |
TBCO_CP | Output Structure Commercial Paper Confirmations |
TBCO_ERR | Correspondence Error Messages - Forms |
TBCO_FAX | Correspondence options FAX |
TBCO_FR | Output structure of FRA confirmations |
TBCO_FX | Output Structure of Confirmations for Forex Transactions |
TBCO_INTST | Output Structure: Interest Flows |
TBCO_KNBK | Confirm.: Customer Master House Banks Copy KNBK +Field WAERS |
TBCO_OP | Output Structure of Confirmations for Options |
TBCO_PRINT | Correspondence options |
TBCO_RATE | Output structure interest fixing (interest rates) |
TBCO_REF | Display Structure for Netting Transctns |
TBCO_SEND_BANK | Ouptut structure: Authorized bank |
TBCO_STATE | Correspond. Status Fields |
TBCO_STATE_CON | Correspondence status fields (outgoing correspondence) |
TBCO_STATE_RECON | Correspondence status fields (Counterconfirmation) |
TBCO_SW | Output structure for SWAPs |
TBCO_T012K | Confirmations: House banks |
TBCO_TD | Output Struct. Fixed-Term Dep./Dep. at Notice Confirmations |
TBCO_ZS | Output Structure Confirmations Additional Flows |
TBS_POSTING_CONTROL | Treasury: Group Posting Control on Selection Screens |
TBS_PROTOCOL_BUSINESS_TRANS | Treasury: Interface Posting Log : Business Operation |
TBS_PROTOCOL_MESSAGE | Treasury: Interface Posting Log: Message |
TBS_PROTOCOL_POSTING_ITEM | Treasury: Interface Posting Log: Posting Item |
TBS_PROTOCOL_TRANSACTION_ITEM | Treasury: Interface Posting Log: Flag |
TDTA | Help fields Structure for Transaction 'DME Administration'TR |
TDTKEY | Help structure for other field DTKEY in table VTBKORTMS |
TRADRS | Test Structure for BP Conversion in Treasury |
TRMESG | TR messages |
TRSTRUC4PAYSC | TR: Structure for Display of Payment Plan |
VBAFINKO | Updating Structure for Alternative Terms |
VBFHA | Updating Table for Transaction |
VBFHAPO | Updating Table for Flow |
VBFHAZU | Updating Table for Activity |
VBFINKO | Updating Table for Terms |
VBRATE | Updating Structure for VTBRATE |
VBSIANF | **Caution! Do not use. Will be deleted!! |
VTAI10 | Transfer Structure for Entry of Additional Flow |
VTAI11 | Transfer Structure for Additional Flows |
VTB_APP1 | Append structure = VTB_TFKEY |
VTB_AUSUEB | Transfer Structure for Exercising an Option (physically) |
VTB_BEST | Transfer Structure for Confirmation Data |
VTB_CHANGE | Initial Screen for Changing Transaction |
VTB_DBEST | Transfer Structure for Holdings of Listed Derivatives |
VTB_DEALER | Range Structure for Traders |
VTB_HEADER | Header Structure |
VTB_KONTRH | Counterparty |
VTB_LIMIT | Limit Transfer Bar |
VTB_M_DATA | Transfer Structure Payment Advice Generation: Flow Data |
VTB_MEMO | Transfer Structure Payment Advices: Transaction Master Data |
VTB_POSTING_LOG | Treasury: Log Structure for Posting Interface (TBB1) |
VTB_PROL | Structure for rollover |
VTB_SBKTYP | Range Structure for Flow and Condition Categories |
VTB_SIANF | **Caution! Do not use. Will be deleted!! |
VTB_SIFX | Transaction in Hedge Allocations |
VTB_TFKEY | External key structure for VTBSIZU, field from TR-TM |
VTB_TR1 | Screen Structure Transaction Authoriz. for Traders |
VTB_TR1KEY | Key fields for Treasury 1 (Header: BUKRS, RFHA) |
VTB_TRA1_COPY | Structure for Copying Trader Authorizations |
VTB_TRH1 | Hierarchy Struct. Transact. Authoriz. for Traders (gen.) |
VTB_TRHI | Hierarchy Structure Transaction Authoriz. for Traders |
VTBACFL | Treasury - Transfer structure ACCUMULATION |
VTBAKKU | Accumulated View of a Transaction |
VTBANZHAPO | Structure for Displaying Cash Flow |
VTBAUTHA | Authorization fields for TREASURY application |
VTBAUTHA1 | Authorization Fields for TREASURY Application |
VTBBDC | Batch Input Control |
VTBCDOKU | Customizing documentation |
VTBDANPASS | List Fields for Interest Adjustment |
VTBDATES | Structure for date information |
VTBEFINKO | Extended Terms for Detail Screen Processing |
VTBGRKOND | Processing Info.for Terms Detail Screen |
VTBKORES_TEXT | Correspondence: VTBKORES + Text and Editing Fields |
VTBL0108TB | Fields for Interest Adjustment |
VTBL08TB | Screen Fields for Terms Detail |
VTBLDB | Treasury: Control parameters for logical databases |
VTBLTB13 | Field Definitions for SAPLTB13 |
VTBMA1 | M. Agreement: Screen Fields |
VTBMACR0 | Master Agreement: Permitted Currencies - Editing |
VTBMADT0 | Master Agreement: Permitted Transact. Types - Editing |
VTBMALE0 | Master Agreement: Permitted Company Codes - Editing |
VTBMAPA0 | Master Agreement: Permitted Business Partners - Editing |
VTBMSGPOST | Treasury: Error Messages for Posting Interface |
VTBNOTE | Structure for Memo Processing |
VTBPOSTING | Treasury: Control Structure for Posting Interface |
VTBPR | Interface: Treasury - Payment Request |
VTBSDOKU | Output Field Documentation for Specific Reports |
VTBSODOKU | Selection Option Documentation for Specific Reports |
VTBSUBSCR | Transfer of Control Fields to Subscreens |
VTBUHEADER | Header for Underlying |
VTBUSER | Transfer Structure for User Data |
VTBYIELD | Screen stucture for effective interest calculation |
VTBZIANP | Int.Rate Adjustment |
VTBZVERB | Payment Details: General Maintenance Structure |
VTBZVGLB | Payment Details: Global Data |
VTIDERI_CFM | Append Structure for VTIDERI |
VTIJOURNAL | TR: Displ.Struct. for Summary Journal |
VTS_DATE_INFO | Transfer Structure for Date Information |
VVTBSTA1 | Change Document Structure: Generated by RSSCD000 |
VVTBSTA2 | Change Document Structure: Generated by RSSCD000 |
VVTBSTA3 | Change Document Structure: Generated by RSSCD000 |
VVTBSTA4 | Change Document Structure: Generated by RSSCD000 |
VVTBSTC1 | Change Document Structure: Generated by RSSCD000 |
VVTBTRA1 | Change Document Structure: Generated by RSSCD000 |
VZTRIDAT | Underlying transaction data structure |
SAP Package FTA contains 65 programs.
RFTBAB00 | Treasury: Accrual/Deferral of Expenses and Revenues |
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RFTBAB01 | Treasury: Reverse Accrual/Deferral |
RFTBBB00 | Treasury: Post Flows |
RFTBBB00_LEGACY_CONVERSION | Treasury: Mark Flows as Posted (after legacy data transfer) |
RFTBBB00_OP_ONLY | Treasury: Posting Flows (Before Migration) |
RFTBBB00_OP_ONLY_LEGACY_CONV | Flag flows as posted (after legacy data transfer before migration) |
RFTBBB01 | Posting Journal |
RFTBBC00 | Treasury: Posting Customizing |
RFTBBE00 | Treasury: Realized Gains/Losses |
RFTBBE01 | Treasury: Run Key Date Valuation |
RFTBBE01MGT | Treasury: Key Date Valuation |
RFTBBE02 | Treasury: Reverse Key Date Valuation |
RFTBBEX0 | Treasury: Posting Interface - User Exits |
RFTBBF00 | Treasury : Posting Release |
RFTBBF01 | Treasury : Manual Posting Block |
RFTBBP00 | Checking Posting Interface - Posting Details |
RFTBBPG0 | Conversion - Treasury Transactions - Customer to Business Partner |
RFTBBS00 | Treasury: Reverse Posting Documents |
RFTBBS01 | Treasury: Manual Reversal of Posted Flows |
RFTBBS01_OP_ONLY | Flag flows as reversed (manual reversal before migration) |
RFTBCD00 | Treasury: Change Documents for Transaction |
RFTBCF00 | Journal: Transactions with Cash Flows |
RFTBCI01 | Money Market/Forex/OTC Options: Compare Incoming Confirmations |
RFTBCO_CHECK00 | CFM: Check for Correspondence Settings |
RFTBCO_DEL | Delete Correspondence Planned Records |
RFTBCO00 | Create Correspondence on Basis of Planned Records |
RFTBCO04 | Correspondence: Upgrade Report for Money Market, Forex, Derivatives |
RFTBCO10 | Overdue List for Counterconfirmations |
RFTBCO32 | Maintain Printer Override Function |
RFTBCOEX | Routines to Call up Customer Exits for Confirmations (not SWIFT) |
RFTBDE00 | Treasury: Generate a Description for Transactions |
RFTBFL02 | Treasury: Payment Schedule |
RFTBFL03 | Maturity Schedule OTC Options |
RFTBJL00 | Treasury: Journal of Financial Transactions |
RFTBJL02 | OTC Options: Collective Processing |
RFTBJL03 | OTC Interest Rate Instruments: Collective Processing |
RFTBJL04 | Collective Monitoring of Options: Expiry / Knock-In / Knock-Out |
RFTBJL10 | Treasury: Summary Journal for MM, Forex, Derivatives and Securities |
RFTBJL99 | Display Transactions |
RFTBMA00 | Treasury: Distribution List to Call up Master Agreements |
RFTBMA01 | Treasury: Changes to Master Agreements |
RFTBMA02 | Treasury: Utilization of Total Volume of Master Agreements |
RFTBSI20 | Unallocated Forex Transactions |
RFTBSI25 | Assigned Forex Transactions |
RFTBTRA1 | Transaction Authorization for Trader: Inital Editing Screen |
RFTBTRA2 | Transaction Authorization for Trader - Change Documents |
RFTBXP01 | Set posting release indicator in AT10 for money market/forex |
RFTBXP02 | Fill object number in Treasury transactions |
RFTBXP03 | Set rantyp in AT10 |
RFTBXP05 | Change Option Name Put/Call |
RFTBXP06 | Convert Back Office Processing Types for OTC and Forex Transactions |
RFTBXP07 | Conversion of TR Data from Regut to Vtbkortms |
RFTBXP08 | Insert VTIOF-SPUTCAL |
RFTBXP09 | Fill Start of Term Field for Foreign Exchange/OTC Options |
RFTBXP10 | Convert Processing Categories for Product Category 'Swap' |
RFTBXP11 | Treasury: Setting the volume utilization indicator in master agreement |
RTPM_ACCDEF_BUSTRANS_CREATE | Generate Bus. Transaction Distr. for Accr./Def. MM, OTC Derivatives |
RTPM_ACCDEF_EXTBUSTRANSID_SET | Change External BUSTRANSID for Accrual/Deferral Business Transactions |
RTPM_ACCDEF_REPAIR1 | Repair Program: Reversal Accrual/Deferral Bus. Transactions (MM, DE) |
SAPMF701 | Common Module Pool for Treasury |
SAPMF70A | General routines for OTC transactions |
SAPMF70E | Forex Hedging: Specific TR-TM Include Screens, Modules, Forms, .. |
SAPMF70M | General Initial Transactions for Derivative Financial Instruments |
SAPMF70Z | Treasury: Allocation of a Transaction to a Master Agreement |
SAPMFTDT | Administration for TemSe and VTBKORTMS Data TREASURY |
SAP Package FTA contains 22 search helps.
APP_AT02 | Append Search Help for AT02 |
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APP_AT10 | Append Search Help for AT10 |
H_AT02 | Help View for AT02 |
H_AT08 | Help view for allocation of applic.to cat.of flows and cond. |
H_AT10 | Help View for Transaction Types |
H_TZST | CFM Reasons for Reversal |
TR_CRUSER | Search help for person who entered details from VTBFHA |
VTBA_APPEND | Append for VTBA (Due to Decoupling) |
VTBAA | General transactions |
VTBAF | Transactions per Facility |
VTBAM | Transactions via master agreement |
VTBAP | Transactions per ID Number / Futures Account |
VTBAS | Search help for simulations |
VTBAU | Transactions per Activity Category |
VTBAV | Transactions per External Reference |
VTBAW | Transactions per ID number/securities account |
VTBAZ | Transactions via allocation |
VTBFHAPO_F4_EXIT_KHWKURS | Search help for local currency rate of a flow |
VTIO | Option master data |
VTIOA | General matchcode ID |
VTMA | Matchcode for master agreements |
VTMAA | General matchcode |
SAP Package FTA contains 2 message classes.
CONVERT_OTC | Umsetzung der OTC-Zinsgeschäfte |
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TI | Treasury: Allgemeine Nachrichten |
SAP Package FTA contains 10 authorization objects.
F_T_VTBMA | Master Agreement |
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T_DEAL_AG | Authorization for an Authorization group |
T_DEAL_DP | Authorization for Securities Account |
T_DEAL_PD | Authorization for Product/Transaction Types |
T_DEAL_PF | Portfolio Authorization |
T_DEPOT | Securities Account Position |
T_KAPM_1 | Corporate Actions I |
T_KAPM_2 | Corporate actions II |
T_STAM_GAT | Master Data: Class Category |
T_TRADER | Treasury: Trader Authorization |