SAP Ebooks

SAP T Code List T

List of ALL SAP T Code

SAP T CODE : Description (Program)


T$GS : Number range maintenance: T_TEST (SAPMSNUM)
T108 : Change tactical standard planning ()
T109 : Change tactical spring/summer plng ()
T110 : Change tactical fall/winter planning ()
T111 : Change operational standard planning ()
T112 : Change oper. spring/summer planning ()
T113 : Change operational fall/winter plng ()
T114 : Change OTB ()
T115 : Promotion planning ()
T123 : Number Range Maintenance: TT123 (SAPMSNUM)
TAANA : Table Analysis (SAPLARCH_ANA_ADMIN)
TAANA_AV : Table Analysis: Analysis Variants (SAPLARCH_ANA_ADMIN)
TAANA_VF : Table Analysis: Virtual Fields (SAPLARCH_ANA_ADMIN)
TABLE_SCANNER : Search Several Tables (TABLE_SCANNER)
TABR : Settle (FTR_STAV_SET_STATUS)
TAC1 : Number range maintenance: FTA_GSART ()
TAC2 : Number range maintenance: FTA_KLAMMR (SAPMSNUM)
TAC3 : Number range maintenance: FTR_REFNR (SAPMSNUM)
TAC4 : Number Range Maintenance: FTA_MAID (SAPMSNUM)
TAC5 : Number Range Maintenance: FTA_AWKEY (SAPMSNUM)
TACD : Trader: Change Documents (RFTBTRA2)
TAISC0 : Company Code Customizing ()
TAISC1 : Product Type Customizing ()
TAISC2 : Transaction Types Customizing ()
TAISC3 : Acct Assignment Reference Customizg ()
TAISC5 : Update Type Customizing ()
TAISC6 : Valuation Class Customizing ()
TAISC7 : Valuation Class Customizing ()
TAISC8 : Valuation Class Customizing ()
TAV1 : Fix Average Rate (RFTBRF00)
TAV2 : Reset Average Rate Fixing (RFTBRF01)
TA_FITV_IMG_VIEWSAVE : Transaction Called to Save View Data ()
TB.5 : FC valuation of hedged documents (SAPF109)
TB01 : Create forex hedge (SAPMF70D)
TB02 : Change forex hedge (SAPMF70D)
TB03 : Display forex hedge (SAPMF70D)
TB04 : Delete forex hedge (SAPMF70D)
TB0A : TR: Maintenance view swap rates ()
TB10 : Process hedge requests (RFTBSI00)
TB11 : Create Object Hedge (SAPMF70D)
TB12 : Change object hedge (SAPMF70D)
TB13 : Display object hedge (SAPMF70D)
TB14 : Reverse object hedge (SAPMF70D)
TB18 : Hedged underlyings (RFTBSI18)
TB19 : Forex Hedges – Collective Processing (RFTBSI10)
TB20 : Unallocated forex transactions (RFTBSI20)
TB21 : Allocated forex transactions (RFTBSI25)
TB30 : List of open items FI (RFTBSI30)
TB35 : Reconciliation of cleared items (RFTBSI35)
TB60 : List of processed hedge requests (RFTBSI60)
TBA1 : TR:Maint. Change trans. category ()
TBA2 : TR:Maint. Change processing cat. ()
TBA3 : TR: Maint. Change TCODES Menu TIMN ()
TBA4 : TR:Maint. Change processing cat. ()
TBA5 : TR:Maint.Chnge Alloc.Proc.cat/act.ct ()
TBA6 : TR: Maint. Change flow/cond. cat. ()
TBA7 : TR:Maint.ChngeAlloc.App./Flw.CondCat ()
TBA8 : TR: Maint. Change act.proc/def. ()
TBB1 : Execute postings (RFTBBB00)
TBB1_LC : Flag Flows as Posted (RFTBBB00_LEGACY_CONVERSION)
TBB1_LC_OP_ONLY : Flag flows as posted (before migr.) (RFTBBB00_OP_ONLY_LEGACY_CONV)
TBB1_OP_ONLY : Perform postings (before migration) (RFTBBB00_OP_ONLY)
TBB2 : Reverse postings (RFTBBS00)
TBB2_OP_ONLY : Reverse postings (RFTBBS00)
TBB3 : Flag Flows as Reversed (RFTBBS01)
TBB3_OP_ONLY : Flag flows as reversed (before migr) (RFTBBS01_OP_ONLY)
TBB4 : Accrual/deferral (RFTBAB00)
TBB5 : Reverse accrual/deferral (RFTBAB01)
TBB6 : Realized Gains/Losses (RFTBBE00)
TBB7 : Run Key Date Valuation (RFTBBE01)
TBB8 : Reverse Key Date Valuation (RFTBBE02)
TBC0 : TR: Maintain manual reversal type ()
TBC1 : Datafeed: Define variants (SAPMS38E)
TBC2 : Datafeed: adjust workflow ()
TBC3 : Define standard role ()
TBC5 : Define standard role ()
TBC6 : Transaction Release: Adjust Workflow ()
TBCA : Index Definition ()
TBCB : Maintain Index Rate Type ()
TBCC : Exchanges ()
TBCD : Treasury: Change Docs Transactions (RFTBCD00)
TBCF : Exchange rate volatilities ()
TBCI : View Master data G/L account ()
TBCJ : Maint.Planning Types for Trans.Types ()
TBCK : Check account determination (RFTBBP00)
TBCL : Maintenance View Hedge-Relev. Curr. ()
TBCM : Maintenance View Unit Types ()
TBCN : Maintenance: Note for Transaction ()
TBCO : Security price type ()
TBCP : Retransfer of activity transition ()
TBCQ : Alloc. ValuationFlowTypes-Transactn ()
TBCR : TR: Maintain fixing attributes FX ()
TBCS : Automatic fixing processing (RFTX70SO)
TBCU : Check Account Determination: Forex ()
TBCV : Check Acct Determination: Money Mkt ()
TBCW : Check Acct Determination:Derivatives ()
TBCX : Maintain Acct Determination: Forex (RFTBBC00)
TBCY : Maintain Acct Determination: MM (RFTBBC00)
TBCZ : Maintain Acct Determination: DE (RFTBBC00)
TBD0 : Datafeed: Adminster Archives ()
TBD1 : Datafeed: Table structure VTB_DFCU (RFTBDF03)
TBD2 : Datafeed: Datafeed Customizing (RFTBDF05)
TBD3 : Datafeed: Market data administration (RFTBDF00)
TBD4 : Datafeed: Updated market data (RFTBDF07)
TBD5 : Datafeed: Import market data file (RFTBDF06)
TBD6 : Datafeed: Log file administration (RFTBDF02)
TBD7 : Datafeed: Check Customizing (RFTBDF08)
TBD8 : Datafeed: Archive ()
TBD9 : Datafeed: Reload archives ()
TBDA : Datafeed: Real-Time Initialization (RFTBDF14)
TBDB : Datafeed: Read archives (RFTBDF10)
TBDC : Datafeed: Real-Time monitor (RFTBDF15)
TBDD : Datafeed: Feed/Mode/Destination ()
TBDE : Datafeed:Text tables operating modes ()
TBDF : Datafeed: View permitted feeds ()
TBDG : Datafeed: Text table feeds ()
TBDH : Datafeed: Text table instr.classes ()
TBDI : Datafeed: View Classes Allowed ()
TBDJ : Datafeed: Historical Market Data (RFTBDF04)
TBDK : Datafeed: Code Conversion Program (RFTBDF01)
TBDM : Market Data File Interface INPUT (RFTBFF00)
TBDN : Market Data File Interface – OUTPUT (RFTBFF01)
TBDO : Market Data File: Code Conversion (RFTBFF03)
TBEX : Spreadsheet for Market Data (RFTBDF_OLE)
TBI1 : Standg instrns Maintain pmnt details (RFTBST01)
TBI1D : Display SI Payment Details (RFTBST01)
TBI2 : Standing instns Alloc. pmnt details (RFTBST02)
TBI5 : Maintain Correspondence SI (RFTBST01)
TBI5D : Display SI Correspondence (RFTBST01)
TBI5_COPY : Copy Standing Instruct. for Corresp. (RFTBCOSI2)
TBI5_DELE : Delete Standing Instr. for Corresp. (RFTBCOSI2_DEL)
TBI6 : Authorization – maintain SI (RFTBST01)
TBI6D : Authorization – display SI (RFTBST01)
TBI6_COPY : Copy SI for Transaction Authorizat. (RFTBCOSI3)
TBI6_DELE : Delete SI for Trans. Authorization (RFTBCOSI3_DEL)
TBI7 : SI Maintain Derived Flows (RFTBST01)
TBI7D : Display SI Derived Flows (RFTBST01)
TBI7_COPY : Copy SI for Derived Flows (RFTBCOSI4)
TBI7_DELE : Delete SI for Derived Flows (RFTBCOSI4_DEL)
TBI8 : Standing Instructions: Evaluations (RFTBSTR1)
TBIR : Mass Release of Interim Limits (RFTBLMR2)
TBK1 : TR: Cust. loan acct assignment ref. ()
TBK2 : TR: Cust. Acc.Ass.Ref. Securities ()
TBK4 : TR: Cust. Acc.Ass.Ref. Forex ()
TBK5 : TR: Cust. Acc.Ass.Ref. Money Market ()
TBK6 : TR: Cust. Acc.Ass.Ref. Derivatives ()
TBL1 : Limits: Change/Display (RFTBLV01)
TBL10 : Treasury: Delete Limits (RFTBLD03)
TBL2 : Limits: Change Documents (RFTBLR02)
TBL3 : Limits: Overview (RFTBLL01)
TBL4 : Limit Utilization: Overview (RFTBLE01)
TBL6 : Limit Utilization: Delete (RFTBLD01)
TBL7 : Limit Type: Delete Data (RFTBLD02)
TBL8 : Reorganize STC Logs (RFTBREOP)
TBL9 : Display STC Logs (RFTBLP01)
TBLA : TR: Limit Maintenance for VC_ATLA ()
TBLARC : Archiving: Limits and Utilizations ()
TBLA_BANKING : TR: Limit Maint. VC_ATLA_BANKING ()
TBLA_CFM : TR: Limit Maint. VC_ATLA_CFM ()
TBLB : Limit Utilization: Overview (RFTBLE02)
TBLC : Lock/Unlock Limits (RFTBLPA2)
TBLC01 : Check of Determination Procedure (RFTBLC01)
TBLD : Lock/Unlock Countries (RFTBLPA2)
TBLE : Limit Management: Lock Entries (RFTBLENQ)
TBLM : Flow List (RFTBLE03)
TBLPECC : Change Posting Deadline ()
TBLP_CANC : Cancel Transfer/Loan (TBLP_CANCEL_LIST)
TBLP_COST : Cost Transfer/Loan (TBLP_COSTING_LIST)
TBLP_CUST : Customizing Transfer/Borrow/Loan ()
TBLP_INFO : Transfer/Loan/Payback Info-Report (TBLP_ANALYZE_REP)
TBLP_M2M : Create Mat. to Mat. Group Transfer (TBLP_MAT2MAT)
TBLP_PBCK : Pay Back Loan (TBLP_PAYBACK_LIST)
TBLP_TRLO : Create Transfer/Loan (TBLP_STOCK_LIST)
TBLR : Release Limits (RFTBLMR1)
TBLT01 : Limit: Generate Table for Lim. Types (RFTBLT01)
TBLT02 : Limit: Move Data to Generated Table (RFTBLT02)
TBLT03 : Limit: Delete Generated Table (RFTBLT03)
TBLT04 : Limit: Reorganiz. of Analysis Char. (RFTBLT04)
TBLT05 : Limit: Check Analysis Characterist. (RFTBLT05)
TBLT06 : Check/Correct Consist. of Gen.Tables (RFTBLT06)
TBLW1 : Review: Send (RFTBLRSM)
TBLW2 : Review: Change Review Recipient (RFTBLCHR)
TBM1 : Treasury: Create Mast.Agreement (RFTBMA00)
TBM2 : Treasury: Chg. Mast. Agreement (RFTBMA00)
TBM3 : Treasury: Displ. Mast. Agreement (RFTBMA00)
TBM4 : Treasury: Master Agreement Changes (RFTBMA01)
TBM5 : Treasury: Assign Mast. Agreement (SAPMF70Z)
TBM6 : Treasury: Vol. Check for Master Agr. (RFTBMA02)
TBM7 : Master Agreement: Maintain Memo IDs ()
TBMN : Currency Hedges (MENUTBMN)
TBR0 : Posting journal (RFTBBB01)
TBR1 : Treasury: Create netting (RFTBCM00)
TBR2 : Treasury: Change netting (RFTBCM00)
TBR3 : Treasury: Display netting (RFTBCM00)
TBR4 : Treasury: Reverse netting (RFTBCM00)
TBR5 : Treasury: Netting proposal list (RFTBCM10)
TBR6 : Treasury: Create reference (RFTBCM00)
TBR7 : Treasury: Change reference (RFTBCM00)
TBR8 : Treasury: Display reference (RFTBCM00)
TBR9 : Treasury: Reverse Reference (RFTBCM00)
TBRL : Treasury: Coll. proc. references (RFTBCM20)
TBRULESET_CD : FTR Rule Management: Change Documnts (RFTBRULESET01)
TBSI_TOOLS : Tools for Standing Instructions (RFTBCOSI)
TBT1 : Transaction Authorizat. for Traders (RFTBTRA1)
TBT1D : Display Trans. Auth. for Traders (RFTBTRA1)
TBX2 : Conversion of SEC Corresp. Customiz. (RFTBCO_TRANS_SE)
TBZ1 : Output Correspondence (RFTBCO00)
TBZ11 : Correspondence Monitor (RFTBCO20_MONITOR)
TBZ12 : Overview of Reset Counterconfirmatn (RFTBCO_CHECK02)
TBZ13 : Printer Override Function (RFTBCO32)
TBZ14 : Exception Processing IDoc (Inbound) (RFTBCO_IDOC02)
TBZ15 : Status Monitor – IDoc Confirmations (RFTBCO_IDOC01)
TBZ16 : Maintain IDoc FTRCON Postprocessor ()
TBZ17 : SWIFT Code -> Partner – Assignment ()
TBZ2 : Incoming Confirmations Forex (RFTBCI01)
TBZ3 : Money Market: Incoming Confirmations (RFTBCI01)
TBZ3A : Money Market: Incoming Confirmations (RFTBCI01)
TBZ4 : Incoming Confirmations Forex Options (RFTBCI01)
TBZ5 : List of Days Overdue Counterconf. (RFTBCO10)
TBZ6 : Match Incoming SWIFT Confirmation (RFTXI300)
TBZ7 : Delete corr. planned records (RFTBCO_DEL)
TBZ8 : Correspondence – Overview (RFTBCO20)
TC02 : Number range maint.: FTI_UGSART (SAPMSNUM)
TCL1 : Define Lines of Credit ()
TCL2 : Display Lines of Credit ()
TCLSVERS : Default Values Logistic Switch ()
TCMK : Funds Management (MENUTCMK)
TCMN : Funds Management (MENUTCMN)
TCO : Start a TR in Parameter TCX (SAPLDSYS)
TCOM : Evaluate offers (FTR_COMPBID00)
TCURMNT : Maintain Exchange Rates (SAPMCURR)
TDMN : Cash management (MENUTDMN)
TDMN_DIST : Distribution of TR Cash Mgt Data (MENUTDMN_DIST)
TEM1 : Master Data Exposure Plng Profile (EXPOSURE_PLANPROFILE_START_UI)
TEM10 : Display and Maint. of Raw Exposures (RTEM_RAW_EXPOSURE_MAINTAIN)
TEM11 : Display Raw Exposures (RTEM_RAW_EXPOSURE_DISPLAY)
TEM15 : Generate Version (RTEM_VERSION_CREATE)
TEM19 : Versions Display (RTEM_VERSION_DISPLAY)
TEM20 : Exposure Analysis (RTEM_ANALYZE)
TEM30 : Delete Last Version (RTEM_VERSION_DELETE)
TEMN_EXPOS : Number Range Maintenance: TEMN_EXPOS (SAPMSNUM)
TER1 : SAPterm: Changing Status of Terms (FS000100)
TEST0002 : Test 0002 (RFTBUAU1)
TEST6999 : Number range maintenance: TEST38 (SAPMSNUM)
TEST999 : Test 9999 (RFTBUAU1)
TEST_ALEXANDER : Number Range Maintenance: Test (SAPMSNUM)
TEST_CLEAR : Test API Data Cleansing (COM_CLEAR_CASE_TEST)
TEST_SOFT_MOD : Test “Soft” Modifications (RJBR_TEST_SOFT_MODIFICATIONS)
TEST_TEXTEDIT : Test for TextEdit Wrapper (SAPMSTEXTEDIT_TEST)
TEST_TEXTEDITOR : Test Program for TextEditor (SAPTEXTEDITOR_TEST_1)
TF00 : Collective Processing for Repos (RFTR_COLL_PROC_REPO_FORWARDS)
TF01 : Create Forward Contract (RFTB_FORWARD_01)
TF02 : Change Forward Contract (RFTB_FORWARD_01)
TF03 : Display Forward Contract (RFTB_FORWARD_01)
TF04 : Settle Forward Contract (RFTB_FORWARD_01)
TF05 : Forward Contract Due Date (RFTB_FORWARD_01)
TF06 : Reverse Forward Contract (RFTB_FORWARD_01)
TF08 : History (RFTB_FORWARD_01)
TF10 : Display Forward Contract (RFTB_FORWARD_01)
TFBWD : Customizing Table TFBWD ()
TFBWE : Customizing Table TFBWE ()
TFMN : Cash Flow (MENUTFMN)
TFSCD_ACTIVATE_OPORD : Classification Key and Direct Input (FSCD_ACTIVATE_OPORD)
TFWB : Maintain Mini-Templates (SAPLTFWB_BASE_UI)
TF_01 : Create Forward (SAPMF73E)
TF_02 : Change Forward (SAPMF73E)
TF_03 : Display Forward (SAPMF73E)
TF_04 : Reverse Forward (SAPMF73E)
TF_05 : Settle Forward (SAPMF70M)
TF_06 : Fixing Forward (SAPMF73E)
TF_07 : Fixing Settle Forward (SAPMF73E)
TF_08 : Terminate Forward (SAPMF73E)
TF_09 : Settle Termination Forward (SAPMF73E)
TF_10 : History Forward (SAPMF70M)
TF_10H : History Forward (SAPMF73E)
TF_15 : Settle Contract Forward (SAPMF73E)
TF_76 : Forward – History (SAPMF70M)
TF_WS453012160001 : Query About a Flight Booking ()
TF_WS700004380001 : AbsenceRequestCreate ()
TF_WS770001350001 : Leave request ()
TGANL : Create Separation Allowance (SAPMP56PS_TRG)
TGANZ : Display Separation Allowance Event (SAPMP56PS_TRG)
TGMOD : Change Separation Allowance (SAPMP56PS_TRG)
TGPER : Edit Separation Allowance (SAPMP56T)
THIPAA : For checking past certificates (SAPMPHIPAA1)
THM10 : Exposure Expiration (RTHMHR_EXPOSURE_EXPIRY)
THM11 : Reverse Exposure Expiration (RTHMHR_REVERSE_EXPOS_EXPIRE)
THM12 : Hedge Plan Expiration (RTHMHR_PLANNER_EXPIRE)
THM14 : Hedging Relationship Dedesignation (RTHMHR_HR_SETTLEMENT)
THM15 : Reverse HR dedesignations (RTHMHR_REVERSE_HR_DEDES)
THM30 : Define NPVs on Inception Date (RTHMHR_NPV_ON_INCEP_DATE)
THM35 : Adjustment of the interest rates (RTHM_ADJUST_INT_TRANSACTIONS)
THM50 : Transfer Prospect. Effect.Assessment (RTHMHR_PROSP_ASSESSMENT)
THM51 : Reverse Trans. Prospect.Eff.Assess. (RTHMHR_REVERSE_PROSP)
THM52 : Retrospective  Assessment (RTHMHR_DISSOLVE_WHEN_INEFF)
THM53 : Reverse Retrospective Eff. Ass. (RTHMHR_REVERSE_RETRO)
THM54 : Manual OCI Reclassification (RTHMHR_MANUAL_OCI_RECLASS)
THM55 : Reverse Manual OCI Reclassification (RTHMHR_MANUAL_OCI_RECLASS_REV)
THM56 : Fair value changes to be posted (RTHMHR_POST_FAIR_VALUE_CHG)
THM57 : Reverse FV Changes to be Posted (RTHMHR_REVERSE_FV_CHANGES)
THM58 : Automatic EC Reclassification (RTHMHR_AUTO_EQU_RECLASS)
THM59 : Reversal of Automatic EC Reclass. (RTHMHR_AUTO_EQU_RECLASS_REV)
THM80 : Effectiveness test (RTHMHR_EFFECTIVENESS_TEST)
THM81 : OCI per hedging relationship (RTPM_DTIL_OCI_POSTINGS)
THM82 : Hedge plan overview (RTHMHR_OVERVIEW_PLANNER)
THM83 : Hedging Relationships per Derivative (RTHMHR_HRPER_DER)
THM84 : Prematurely Reclassified OCI (RTHMHR_EXCEPTION)
THM85 : Change documents for Hedge Managemnt (RTHMHR_CHANGE_DOCUMENT)
THM86 : Hedge Relationship Documentation (RTHMHR_SELECT_HR_DOCU)
THMEX : Hedge Management: Application (RTHMEX_FRONTEND)
THMFLOWT_DER : FX_Flowtypes Hedge Management ()
THMFLOWT_FX : DER_Flowtypes Hedge Management ()
THMMM : Exposure Upload from Money Market (RTHMEX_INTF_MM2FAS133)
THMR1 : Reverse single HR dedesignation (RTHMHR_REVERSE_DEDESIGNATION)
THMR2 : Reverse single HR dissolve (RTHMHR_REVERSE_DISSOLVE)
THMRO : Exposure Upload From External Source (RTHM_UPDATE_EX_VIA_RO)
THMST : Hedging Relationship Status Overview (RTHMHR_HR_STATUS)
THM_COCO_SETTING : Number range for hedges ()
THM_COCO_SETTING1 : Number range for hedging rel.ships ()
THM_COCO_SETTING2 : Comp.-code settings for hedge mgmt ()
THM_NR_HEDGE : Define number ranges for hedges ()
THM_NR_HR : Define number ranges for HR ()
THM_NR_PLAN : Number range maintenance: THM_PLAN (SAPMSNUM)
THM_NR_TRANS : Number range maintenance: THM_TRANS (SAPMSNUM)
TI-3 : Display Currency Option (SAPMF73F)
TI00 : Collective Processing for Futures (RFTR_COLL_PROC_FUTURES)
TI10 : Create Interest Rate Adjustment (TRIA_MANUAL_FIXING)
TI11 : Change Interest Rate Adjustment (TRIA_MANUAL_FIXING)
TI12 : Display Interest Rate Adjustment (TRIA_MANUAL_FIXING)
TI35 : Collect.Processing: Listed Options (RFTIJL02)
TI37 : Reverse Interest Rate Adjustment (TRIA_MANUAL_FIXING)
TI40 : Currency Option Fast Entry (SAPMF73F)
TI49 : Change Currency Option (SAPMF73F)
TI4A : Forex Fast Entry (SAPMF73F)
TI4B : Currency Option Entry – Spread (SAPMF73F)
TI55 : Create Future Master Record (RFTBOF01)
TI56 : Chg.Futures Master (RFTBOF01)
TI57 : Displ.Futures Master (RFTBOF01)
TI5AN : Options/Futures: Create Transaction (RFTB_FUTURES_01)
TI5BN : Options/Futures: Change Transaction (RFTB_FUTURES_01)
TI5CN : Options/Futures: Display Transaction (RFTB_FUTURES_01)
TI5DN : Options/Futures: Execute Order (RFTB_FUTURES_01)
TI5EN : Options/Futures: Order Expiration (RFTB_FUTURES_01)
TI5FN : Options/Futures: Settle Contract (RFTB_FUTURES_01)
TI5GN : Options/Futures: Reverse (RFTB_FUTURES_01)
TI5HN : Options/Futures: Display History (RFTB_FUTURES_01)
TI5W : Display Option Master (RFTBOF02)
TI5X : Create Option Master (RFTBOF02)
TI5Y : Change Option Master (RFTBOF02)
TI70 : Create Order (SAPMF70M)
TI71 : Create OTC Option (SAPMF70M)
TI72 : Change Transaction (SAPMF70M)
TI73 : Display Transaction (SAPMF70M)
TI74 : Reverse Contract (SAPMF70M)
TI75 : Settle Contract (SAPMF70M)
TI76 : OTC Transaction: History (SAPMF70M)
TI77 : Terminate Transaction (SAPMF70M)
TI78 : Execute Own Offer (SAPMF70M)
TI79 : Settle Termination (SAPMF70M)
TI7A : Order Expiration (SAPMF70M)
TI7B : Display Interest Settlements (SAPMF70M)
TI80 : Create OTC Option (SAPMF73E)
TI81 : Change OTC Option (SAPMF73E)
TI82 : OTC option: Display (SAPMF73E)
TI83 : OTC Option: Create Contract (SAPMF73E)
TI84 : OTC Option: Execute Offer (SAPMF73E)
TI85 : OTC Option: Settle Contract (SAPMF73E)
TI86 : Exercise OTC Option (SAPMF73E)
TI87 : OTC Option: Settle Exercise (SAPMF73E)
TI88 : OTC Option: Expired (SAPMF73E)
TI89 : OTC Option: Settle Expiration (SAPMF73E)
TI8A : OTC Option: Reverse Activity (SAPMF73E)
TI8B : OTC Option: Order Expiry (SAPMF73E)
TI8C : OTC Option: Display Activity (SAPMF73E)
TI8D : Terminate OTC Option (SAPMF73E)
TI8E : OTC Option: Settle Termination (SAPMF73E)
TI8F : OTC Option Knock-In (SAPMF73E)
TI8G : OTC Option Knock-Out (SAPMF73E)
TI8H : Settle OTC Knock-Out Option (SAPMF73E)
TI8I : Settle OTC Knock-In Option (SAPMF73E)
TI90 : Posting Release (RFTBBF01_VERSION2)
TI91 : Collective Processing OTC Options (RFTBJL02)
TI91_MS : OTC Options (RFTBJL02_NEW)
TI92 : Collect.Processing-Int.Rate Instrum. (RFTBJL03)
TI93 : Manual Posting Block (RFTBBF01_VERSION2)
TI94 : Collective Monitoring of Options (RFTBJL04)
TIC1 : Number Range Maintenance: FTI_OPTFUT (SAPMSNUM)
TIDX1 : Simulate Price Index (SAPLFVW8)
TIMECUST : Profile for Time Functions ()
TIMECUSTEV : Symbolic Names for Dates ()
TIMEPROF : Profile for Time Functions ()
TIMN :  (MENUTIMN)
TIS1 : Overview – Positions ()
TIS20 : Analysis: Int.-Bearing Instruments (RFTI_REP_INT_INSTR_ANALYSIS)
TIS50 : Issue Position ()
TJ01 : Journal of transactions (RFTBJL00)
TJ02 : Collective editing of options (RFTBJL02)
TJ04 : Payment Plan (RFTBFL02)
TJ05 : Automatic Interest Rate Adjustment (TRIA_AUTO_FIXING)
TJ05_REV : Reverse Automatic Int. Rate Adjust. (TRIA_AUTO_FIXING)
TJ06 : Option Expiration (RFTBFL03)
TJ07 : Interest Rate Adjustment Schedule (TRIA_ADJUSTMENT_LISTING)
TJ08 : Transaction Release: Work Item List (RFTR_RELEASE_WRKITEM_DEAL_LIST)
TJ09 : Update Planned Records (TRIA_AUTO_FIXING)
TJ10 : Summary Journal Fin. Transctions (RFTBJL10)
TJ11 : Display Single Transaction (RFTBTIS2)
TJ12 : Journal: Transactions w. Cash Flows (RFTBCF00)
TK11 : Create condition (shipment costs) (SAPMV13A)
TK12 : Change condition (shipment costs) (SAPMV13A)
TK13 : Display condition (shipment costs) (SAPMV13A)
TK14 : Create condition with ref. (SAPMV13A)
TKCS : Start transaction sender programs (SAPMKCIS)
TKLFZ01MD : Facilities: Master Data Reporting (RKLFZMD01)
TKLFZDT01 : Detail Reporting for Facilities (RKLFZDT01)
TL3M : List of curr. supported field names (RTRFIENM)
TL3P : Maintain Variant Group (RKDBATV3)
TL3Q : Maintain Variants (RKDBAT02)
TL3R : Schedule Variant Groups (RKDBATV4)
TL3S : Define Variant Groups (RKDBATV5)
TLL1 : Limit: Create Limit Transfer (RFTBLL_MASS)
TLL2 : Limit: Change Limit Transfer (RFTBLL_MASS)
TLL3 : Limit: Display Limit Transfer (RFTBLL_MASS)
TLL4 : Limit Transfer: Change Documents (RFTBLL_CDOC)
TLL5 : Limit Transfer: Collective Process. (RFTBLL_MASS)
TLM0 : Execute Report (SAPMKCEE)
TLM1 : Create Report (SAPMKCEE)
TLM2 : Change Report (SAPMKCEE)
TLM3 : Display Report (SAPMKCEE)
TLM4 : Create Form (SAPMKES1)
TLM5 : Change Form (SAPMKES1)
TLM6 : Display Form (SAPMKES1)
TLM7 : Maintain authorization obj. present. (SAPMKEFB)
TLM8 : Display authorization obj.presentatn (SAPMKEFB)
TLMA : Access Report Tree (RKKBRPTR)
TLMB : Maintain Batch Variants (RKDBAT02)
TLMC : Limit Management: Manage Comments (SAPMKCIC)
TLMD : Split Report (RKDREPDV)
TLMG : Limit Management: Character. Groups (RKE_CALL_VC_TKEP7)
TLMH : Maintain hierarchy (SAPMKXHI)
TLMJ : Maintain Hierarchy Nodes (RKCHINOD)
TLMK : Maintain Key Figures (RKDMKCIK)
TLMM : Limit Mgmt: Drilldown Test Monitor (SAPMKCB9)
TLMO : Transport Reports (RKCOBTR2)
TLMP : Transport Forms (RKCOBTR4)
TLMQ : Import Reports from Client 000 (RKCOBTR3)
TLMR : Import Forms from Client 000 (RKCOBTR5)
TLMS : Display Structure (RKDSTRUC)
TLMT : Translation Tool – Drilldown Report. (RKCTRTX1)
TLMU : Convert drilldown reports (SAPMKCB9)
TLMV : Maintain Global Variable (RKES0101)
TLMW : Maintain Crcy Translation Type TLM (SAPMKCC0)
TLMX : Reorganize Drilldown Reports (RKDREOBE)
TLMY : Reorganize Report Data (RKDREODA)
TLMZ : Reorganize Forms (RKDREOFO)
TLR0 :  (SAPMSNUM)
TLR1 : Limit: Create Reservation (RFTBLRS0)
TLR2 : Limit: Change Reservation (RFTBLRS0)
TLR3 : Limit: Display Reservation (RFTBLRS0)
TLR4 : Reservations: Mass Processing (RFTBLRE1)
TLR5 : Reservations: Change Documents (RFTBLRE2)
TLR6 : Reservations: Reorganization (RFTBLRE3)
TLR7 : Limit: Copy Reservation (RFTBLRS0)
TLTA : Access Report Tree (RKKBRPTR)
TM00 : Money Market: Collective processing (RFTMWRK1)
TM01 : Create Fixed-Term Deposit (SAPLTM00)
TM02 : Change Fixed-Term Deposit (SAPLTM00)
TM03 : Display Fixed-Term Deposit (SAPLTM00)
TM04 : Roll Over Fixed-Term Deposit (SAPLTM00)
TM06 : Settle Fixed-Term Deposit (SAPLTM00)
TM07 : Reverse Fixed-Term Deposit (SAPLTM00)
TM09 : Fixed-Term Deposit History (SAPLTM00)
TM0F : Fxd Term Dep. Fast Entry (SAPLTM00)
TM11 : Create Deposit at Notice (SAPLTM00)
TM12 : Change Deposit at Notice (SAPLTM00)
TM13 : Display Deposit at Notice (SAPLTM00)
TM14 : Roll Over Deposit at Notice (SAPLTM00)
TM15 : Give Notice on Deposit at Notice (SAPLTM00)
TM16 : Settle Deposit at Notice (SAPLTM00)
TM17 : Reverse Deposit at Notice (SAPLTM00)
TM19 : Deposit at Notice History (SAPLTM00)
TM1F : Deposit at Notice Fast Entry (SAPLTM00)
TM20 : Money Market: Collective Processing (RFTMSB00)
TM21 : Deposit at Notice Cash Flow Update (RFTMKGF0)
TM22 : Check Dates against Calendar (SAPMF740)
TM30 : Commercial Paper: NPV Calculator (SAPMF740)
TM31 : Create Commercial Paper (SAPLTM00)
TM32 : Change Commercial Paper (SAPLTM00)
TM33 : Display Commercial Paper (SAPLTM00)
TM35 : Give Notice on Commercial Paper (SAPLTM00)
TM36 : Settle Commercial Paper (SAPLTM00)
TM37 : Reverse Commercial Paper (SAPLTM00)
TM39 : Commercial Paper History (SAPLTM00)
TM3F : Commercial Paper Fast Entry (SAPLTM00)
TM41 : Create Cash Flow Transaction (SAPLTM00)
TM42 : Change Cash Flow Transaction (SAPLTM00)
TM43 : Display Cash Flow Transaction (SAPLTM00)
TM46 : Settle Cash Flow Transaction (SAPLTM00)
TM47 : Reverse Cash Flow Transaction (SAPLTM00)
TM49 : Cash Flow Transaction History (SAPLTM00)
TMA5 : Edit characteristics (RKCMKCGD)
TMA6 : Edit Value Fields (RJBRKFIG)
TMB1 : Premium reserve fund lists (RFVZBAV0)
TMB2 : Statements (RFVZBAV0)
TMBA : BAV Information (SAPMF69N)
TMBU : BAV Transfers (SAPMF69N)
TMCA : Create fixed-term deposit offer (FTR_FX_COMPBID)
TMCB : Execute fixed-term deposit offer (FTR_FX_COMPBID)
TMCC : Display fixed-term deposit offer (FTR_FX_COMPBID)
TMDFX : IMG activity: SIMG_CFMENUORFBOB08 (SAPLS_CUS_IMG_ACTIVITY)
TMDIDX : IMG Activity: INDEX_INPUT (SAPLS_CUS_IMG_ACTIVITY)
TMDNPV : IMG Activity: BARWERT_OTC (SAPLS_CUS_IMG_ACTIVITY)
TMDSE : Maintain Security Price (SAPMF64P)
TMEZ : Money Market: Effective Int. Calc. (RFTMEZ00)
TMFM : Money Market: Generate Cash Flow (RFTMFIMA)
TMMN : Money Market (MENUTMMN)
TMR0 : Money Market: Position list (RFTMBL00)
TMR1 : Money Market: Flexible Position List (RFTMBL01)
TMRMB : Reporting Tree for MRM ()
TMSA : Create fixed-term deposit simulation (FTR_SIMU00)
TMSB : Change/execute fixed-term dep.simuln (FTR_SIMU00)
TMSC : Display fixed-term deposit simulatn (FTR_SIMU00)
TMSD : Delete fixed-term deposit simulation (FTR_SIMU00)
TMS_IACOR_EDIT : TMS IACOR Destination Maintenance ()
TMS_IACOR_SHOW : TMS IACOR Destination Maintenance ()
TMV1 : IMG Activity: STOCK_PRICES_INPUT (SAPLS_CUS_IMG_ACTIVITY)
TMV11 : IMG: Change Price Index Values (SAPLS_CUS_IMG_ACTIVITY)
TMV2 : IMG activity: SIMG_CFMENUORFBOB08 (SAPLS_CUS_IMG_ACTIVITY)
TMV3 : IMG Activity: SWAP_RATE_INPUT (SAPLS_CUS_IMG_ACTIVITY)
TMV4 : IMG activity: BARWERT_OTC (SAPLS_CUS_IMG_ACTIVITY)
TMV5 : IMG Activity: BETAFAK_PFLEGEN (SAPLS_CUS_IMG_ACTIVITY)
TMV6 : IMG Activity: INDEX_INPUT (SAPLS_CUS_IMG_ACTIVITY)
TMV7 : IMG: Change Price Index Values (SAPLS_CUS_IMG_ACTIVITY)
TMV9 : IMG Activity: SIMG_ZINSWERTE (SAPLS_CUS_IMG_ACTIVITY)
TM_51 : Create Interest Rate Instrument (RFTR_IRATE_LAUNCHER)
TM_52 : Change Interest Rate Instrument (RFTR_IRATE_LAUNCHER)
TM_53 : Display Interest Rate Instrument (RFTR_IRATE_LAUNCHER)
TM_54 : Settle Interest Rate Instrument (RFTR_IRATE_LAUNCHER)
TM_55 : Reverse Interest Rate Instrument (RFTR_IRATE_LAUNCHER)
TM_59 : History of Interest Rate Instrument (RFTR_IRATE_LAUNCHER)
TM_60 : Line of Credit and Utilization (RFTR_FAC_COMMITM)
TM_60A : Lines of Credit, Drawings, Fees (RFTR_FAC_COMM_DRAW_FEE)
TM_61 : Create Facility (RFTR_FC_LAUNCHER)
TM_62 : Change Facility (RFTR_FC_LAUNCHER)
TM_63 : Display Facility (RFTR_FC_LAUNCHER)
TM_64 : Settle Facility (RFTR_FC_LAUNCHER)
TM_65 : Reverse Facility (RFTR_FC_LAUNCHER)
TM_69 : History of Facility (RFTR_FC_LAUNCHER)
TNWCHTARGRP :  ()
TO01 : Create OTC Interest Rate Instrument (RFTR_TB4E_OTC)
TO02 : Change OTC Interest Rate Instrument (RFTR_TB4E_OTC)
TO03 : Display OTC Interest Rate Instrument (RFTR_TB4E_OTC)
TO04 : Settle OTC Interest Rate Instrument (RFTR_TB4E_OTC)
TO05 : Reverse OTC Interest Rate Instrument (RFTR_TB4E_OTC)
TO06 : Give Notice on OTC Int. Rate Instr. (RFTR_TB4E_OTC)
TO07 : OTC Int. Rate Inst.: Display History (RFTR_TB4E_OTC)
TO08 : Execute OTC Int.Rate Instr. Order (RFTR_TB4E_OTC)
TOK8 : Condition exclusion proc. assig. F ()
TOM0 : Clearing (SAPLFKCC)
TOOL10 : Transaction for TTOOL01 ()
TOOL11 : Call VC_FAKNEU ()
TP00 : Travel Management: Travel Planning (MENUTP00)
TP01 : Planning Manager (SAPMFITP)
TP02 : Travel Planning (End User) (SAPMFITP)
TP02_EWT : Travel Planning (End User) (SAPMFITP)
TP03 : Planning Manager (Expert) (SAPMFITP)
TP04 : Travel Request (End User) (SAPMFITP)
TP04_EWT : Travel Request (End User) (SAPMFITP)
TP10 : Travel Plan Synchronization (AIR) (RFARHTP10)
TP12 : Travel Plan Synchronization (Manual) (RFARHTP12)
TP14 : Travel Plan Synchronization (Queue) (RFARHTP14)
TP20 : Create Travel Plan (SAPMFITP)
TP30 : Display Travel Planning report tree (RFTP_INFO_DISP_REPORTING_TREE)
TP31 : Queries for Travel Planning (RFTP_INFO_AD_HOC_QUERY)
TP40 : Maintain Routings (MAINTAIN_CUSTOMIZING)
TP41 : Initial Screen via IMG (MAINTAIN_CUSTOMIZING)
TP50 : Global flight availability (SAPMFLIGHT)
TP60 : Synchronization of Hotel Catalog (RFAPS_HTL_CTLG_API)
TPC2 : User for Authorization Check ()
TPC4 : Programs for Authorization Check ()
TPC6 : Periods for Authorization Check ()
TPCP : Travel Planning Customizing (RFTP_CUST_COPY)
TPCT : Current settings (RPRMENU1)
TPDA_CALL_EDITOR : Start Editor (TPDA_EDITOR_START)
TPDA_SE37_TEST : TPDA: SE37 Test Framework Init (RSTPDA_SE37_TEST_FRAMEWORK)
TPDA_START : Start Master of TPDA Debugger (RSTPDASTART)
TPDA_START_VERI : Start the TPDA Debugger (VeriMode) (RSTPDASTART_VERI)
TPED : Maintain HR Master Data (ESS) (SAPMP50A)
TPES : Display HR Master Data (ESS) (SAPMP50A)
TPLOG : Short cut for TPLOG (TPLOG)
TPLP : Create/Change LPs for SABRE (RFTP_LP_EDIT)
TPM1 : Execute Valuation (RTPM_TRL_VALUATION)
TPM10 : Fix. post or reverse transactions (RTPM_SLD_ASYNC_POST)
TPM100 : Transaction for Hedge Management ()
TPM101 : Classification (RTPM_THX_CLASSIFY)
TPM102 : Reverse Classification (RTPM_THX_CLASSIFY_REV)
TPM11 : Post Reversal/Recalculation (RTPM_TRAC_QUEUE)
TPM12 : Treasury Ledger: Position List (RTPM_TRL_SHOW_POSITION_VALUES)
TPM13 : Treasury Ledger: Flow List (RTPM_TRL_SHOW_FLOWS)
TPM14 : Update Types – Valn Class Transfer ()
TPM15 : Valuation Class Transfer (RTPM_VALUATION_CLASS_TRANSFER)
TPM15M : Valuation Class Transfer (RTPM_TRTF_VALCL_TRANSFER)
TPM16 : Reversal Valuation Class Transfer (RTPM_REVERSE_VAL_CLASS_TRANS)
TPM16M : Reversal of Valuation Class Transfer (RTPM_TRTF_VALCL_TRANS_REVERSAL)
TPM17 : Define Securites Account Groups ()
TPM18 : Fix/Post Derived Business Transact. (RTPM_TRL_TRANS_FIX)
TPM19 : Status Change TRL Bus. Transactions (RTPM_TRL_CHANGE_TRANS_STATE)
TPM2 : Reverse Valuation (RTPM_TRL_VALUATION_REVERSAL)
TPM20 : Posting Journal (RTPM_TRAC_POSTING_JOURNAL)
TPM21 : Create Nominal Adjustment (RTPM_NOMINAL_CORR)
TPM22 : Display Nominal Adjustment (RTPM_NOMINAL_CORR)
TPM23 : Reverse Nominal Adjustment (RTPM_NOMINAL_CORR)
TPM24 : Update Margin Flows (RTPM_TRF_RECALCULATE_MARGIN)
TPM25 : Post Margin Flows (RTPM_TRF_POST_MARGIN)
TPM26 : Display quantity ledger positions (RTPM_TRQ_SHOW_POSITIONS)
TPM27 : Generate Derived Flows (RTPM_TRL_DERIVE_TRANSACTIONS)
TPM28 : Transfer Acct Assignment Reference (RTPM_TRAT_TRANSFER)
TPM29 : Reverse Acct Assignm. Ref. Transfer (RTPM_TRAT_TRANSFER_REVERSAL)
TPM3 : Account Asst Reference Allocations (RTPM_TRAC_LIST_AA_REF)
TPM30 : Def. Determ. of Acct Assgmt Ref. ()
TPM31 : Def. Determ. of Acct Assgmt Ref. ()
TPM32 : Def. Determ. of Acct Assgmt Ref. ()
TPM33 : Account Determination Overview (RTPM_TRAC_DFTACCREP)
TPM35 : Manual posting (RTPM_TRF_MANUAL_POSTING)
TPM4 : Futures Account (RTPM_POSITION_ACCOUNT_MAINTAIN)
TPM40 : Display Class Cash Flow for SecAcct (TRS_TRANS_DISPLAY)
TPM40A : Display SecAcct Class Position List (TRS_QUANTITY_DISPLAY)
TPM41 : Display Sec. Account Position List (TRS_QUANTITY_4_CC_SA)
TPM42 : Display Class List (TRS_QUANTITY_4_CC_SI)
TPM43 : Process Restraints On Drawing (TRS_DISPLAY_POS_GUARD)
TPM44 : Fin.Products Profit Accrual/Deferral (RTPM_ACCRUAL_DEFERRAL)
TPM45 : Reverse Accrual/Deferral of Income (RTPM_ACCRUAL_DEFERRAL_REVERSE)
TPM5 : Create Class Pos. in Futures Account (RTPM_CLASS_POSITION_MAINTAIN)
TPM50 : Change Position Mgmt Procedure (RTPM_TRL_POSITION_MGNT_PROC)
TPM51 : Periodic TRL Reporting (RTPM_TRL_PERIODIC_REPORT)
TPM52 : Maintain Update Type Reconciliation ()
TPM53 : Create Totals Records (RTPM_TRL_CREATE_FIXINGSUMS)
TPM54 : Delete Totals Records (RTPM_TRL_DELETE_FIXINGSUMS)
TPM55A : Generate Position ID (Securities) (RTPM_PIN_CREATE)
TPM55B : Generate Position ID (Loans) (RTPM_PIN_CREATE)
TPM55C : Create Position Indicator (OTC) (RTPM_PIN_CREATE)
TPM55D : Generate Pos.ID (Listed Derivatives) (RTPM_PIN_CREATE)
TPM56A : Change Position ID (Securities) (RTPM_PIN_CHANGE)
TPM56B : Change Position ID (Loans) (RTPM_PIN_CHANGE)
TPM56C : Change PositionID (OTC Transactions) (RTPM_PIN_CHANGE)
TPM56D : Change Pos. ID (Listed Derivatives) (RTPM_PIN_CHANGE)
TPM57A : Display Position ID (Securities) (RTPM_PIN_DISPLAY)
TPM57B : Display Position ID (Loans) (RTPM_PIN_DISPLAY)
TPM57C : Display Pos. ID (OTC Transactions) (RTPM_PIN_DISPLAY)
TPM57D : Display Pos. ID (Listed Derivatives) (RTPM_PIN_DISPLAY)
TPM58A : Delete Position ID (Securities) (RTPM_PIN_DELETE)
TPM58B : Delete Position ID (Loans) (RTPM_PIN_DELETE)
TPM58D : Delete Pos. ID (Listed Derivatives) (RTPM_PIN_DELETE)
TPM59 : Exchange per Company Code/Class (RTPM_PIN_STOCKEX)
TPM6 : Change Class Pos. in Futures Account (RTPM_CLASS_POSITION_MAINTAIN)
TPM60 : Save NPVs (RTPM_GET_NPVS_FOR_VTVBAR)
TPM61 : Execute Data Transfer Positions (RTPM_TRDT_POS_EXEC)
TPM61A : Position Information: Securities ()
TPM62 : Reverse Data Transfer Positions (RTPM_TRDT_POS_REV)
TPM63 : Execute Data Transfer (RTPM_TRDT_DATA_EXEC)
TPM63A : Val. Area-Independ. Data: Securities ()
TPM63B : Val. Area-Dependent Data: Securities ()
TPM63C : Val.Area-Dep. Data: MM, FX, OTC Der. ()
TPM63D : Val. Area-Dependent Data: Futures ()
TPM64 : Reverse Data Transfer (RTPM_TRDT_DATA_REV)
TPM7 : Display Class Pos. in Futures Acct (RTPM_CLASS_POSITION_MAINTAIN)
TPM70 : Record or Clear Impairment (RTPM_TRL_IMPAIRMENT)
TPM71 : Reverse Impairment (RTPM_TRL_IMPAIRMENT_REVERSAL)
TPM72 : Maint. View Special Sec. Valuation ()
TPM73 : Special security valn (RTPM_VAL_SP_VAL)
TPM74 : Enter Values for Manual Valuation ()
TPM75 : Reference Report for Impairment (RFTI_CHECK_IMPAIRMENT)
TPM8 : Display Futures Account Cash Flow (RTPM_TRF_CASHFLOW_DISPLAY)
TPM80 : Fund Transfer (RTPM_TRTF_FUND_TRANSFER)
TPM81 : Reversal of Fund Transfer (RTPM_TRTF_FUND_TRANS_REVERSAL)
TPM82 : Portfolio Transfer (RTPM_TRTF_PORTFOLIO_TRANSFER)
TPM83 : Reversal of Portfolio Transfer (RTPM_TRTF_PORTF_TRANS_REVERSAL)
TPM85 : Inv.Pool Participants: Edit Add.Data ()
TPM85A : Inv.Pool Participants: Disp.Add.Data ()
TPM86 : Generate Trans. f. Pool Participants (RTPM_TRE_TRANSACTIONS_GENERATE)
TPM87 : Reverse Inv. Pool Participant Trans. (RTPM_TRE_TRANSACTIONS_REVERSE)
TPM88 : Overview:Inv.Pool Participant Trans. (RTPM_TRE_TRANSACTIONS_DISPLAY)
TPM89 : Edit Investment Pool Master Data ()
TPM89A : Display Investment Pool Master Data ()
TPM9 : Pos. List-Class Pos. in Futures Acct (RTPM_TRF_POSITIONS_DISPLAY)
TPM90 : Edit Investments ()
TPM90A : Display Investments ()
TPM91 : Matching for Futures/Options (RTPM_TRF_MATCHING)
TPM92 : Matching Overview w. Reversal Funct. (RTPM_TRF_MATCHING_LIST)
TPMD : Maintain HR Master Data (SAPMP50A)
TPMM : Personnel Actions (SAPMP50A)
TPMN_TRAC1 : Number Range Maint.: TPMN_TRAC1 (SAPMSNUM)
TPMN_TRAC2 : Number Range Maintenance: TPMN_TRAC2 (SAPMSNUM)
TPMN_TRPR : Number Range Maintenance: TPMN_TRPR (SAPMSNUM)
TPMN_TRS : Number Range Maint.: TPMN_TRS (SAPMSNUM)
TPMO : Translation Performance Monitor (RS_LXE_TPMO_ANALYSIS)
TPMS : Display HR Master Data (SAPMP50A)
TPM_CTY11 : Commodity Overview (RTPM_TRCO_CTY_OVERVIEW)
TPM_CTY_MASTER : Maintain commodity master data (RTPM_TRCO_MAINTAIN_COMMODITY)
TPM_HR_GROUP1 : Maintain HR Grouping 1 ()
TPM_HR_GROUP2 : Maintain HR Grouping 2 ()
TPM_INITIALIZE : Initialization of Parallel Val.Areas (SAPLTPM_TRG_INITIALIZE)
TPM_MIGRATION : Conversion to ERP2007 (SAPLTPM_TRG_MIGRATION)
TPM_MIGRATION_CAT : Conversion Type ()
TPM_MIGRATION_FUTURE : Conversion of Futures from Rel. 4.6 (SAPLTPM_TRG_MIGRATION)
TPM_MIGRATION_PMP : Conversion: PosManProc. No.Assgmt ()
TPM_NR_HINST : Number range maintenance: TPMN_HINST (SAPMSNUM)
TPM_NR_HITEM : Number range maintenance: TPMN_HITEM (SAPMSNUM)
TPM_NR_HREL : Number range maintenance: TPMN_HREL (SAPMSNUM)
TPM_PAY_ASSIGN : Generation Payment Indicator (RTPM_PAY_ASSIGN)
TPM_PL_ASSIGN : Generate Profit/Loss Indicators (RTPM_PL_ASSIGN)
TPM_POSTAUTREV : Reverse Automatic Debit Position Run (RTPM_TRS_REVERSE_AUTOMATICALLY)
TPPF_D : Display Entry V_TA23PF by Key ()
TPPR : Travel Profile Display (RFTPPROF)
TPQ0 : Quicktrip Manager (SAPMFIQT)
TP_LOG : Log: Calls of GDS Functions (RFTP_GDS_LOG)
TR02 : Change strategic planning ()
TR3M : List of curr. supported field names (RTRFIENM)
TR3P : Maintain variant groups (RKDBATV3)
TR3Q : Maintain Variants (RKDBAT02)
TR3R : Schedule Variant Group (RKDBATV4)
TR3S : Define Variant Group (RKDBATV5)
TR3T : Reorganization of variant groups (RKDREOVG)
TRACE : Program Trace (KOTR_TRACE)
TRANSFER : Transfer/Borrow-Loan-Payback Menu (MENUTRANSFER)
TRBS : Automatic Postings Loans: Activities (RBSDTRLO)
TRC0 : Client Copy Customizing ()
TRC1 : Client Copy Customizing ()
TRC2 : Client Copy Customizing ()
TRC3 : Client Copy Customizing ()
TRC4 : Client Copy Customizing ()
TRC5 : Client Copy Customizing ()
TRC6 : Client Copy Customizing ()
TRC7 : Client Copy Customizing ()
TRC8 : Client Copy Customizing ()
TRC9 : Client Copy Customizing ()
TRCA : Client Copy Customizing ()
TRCB : Client Copy Customizing ()
TRCC : Client Copy Customizing ()
TRCD : C FI Maintain Table TBKSP ()
TRCE : Client Copy Customizing ()
TRCMB : Report Tree: Cash Management ()
TRCV_UPDATE_TYPE : Update Type ()
TRD1 : Run Data Mining Report (SAPMKCEE)
TRD2 : Create Data Mining Report (SAPMKCEE)
TRD3 : Change Data Mining Report (SAPMKCEE)
TRD4 : Display Data Mining Report (SAPMKCEE)
TRD5 : Data Mining: Create Form (SAPMKES1)
TRD6 : Data Mining: Change Form (SAPMKES1)
TRD7 : Data Mining: Display Form (SAPMKES1)
TRD8 : Display Results of Data Mining (RKCDUMDM)
TRDEB : Report Tree: Derivatives ()
TRED : Treasury: Curr. Settings Derivatives ()
TREXADMIN : TREX Administration Tool (TREX_ADMIN_TOOL)
TRFMB : Report Tree: Cash Budget Management ()
TRFXB : Report Tree: Foreign Exchange ()
TRF_CLASSPOS_NR : Number Range Maintenance: FTR_TRF_CL (SAPMSNUM)
TRF_REV : Reverse Margin Flows (RTPM_TRF_REVERSE_MARGIN)
TRIG_IGT : Tcode for IGT processing (RTPM_TRIG_IGT_WORKLIST)
TRIP : Travel Manager (SAPMP56T)
TRIP_EWT : Travel Manager (SAPMP56T)
TRISB : Report Tree: Information System ()
TRLCCHK : TRL Customizing Check (RTPM_TRL_CUSTOMIZING_CHECK)
TRLM : Treasury Management Basic Functions (MENUTRLM)
TRLOB : Report Tree: Loans ()
TRLO_KORRES_VERWTBST : Where-Used for CML Texts (RFVDTXBA)
TRLO_TBSCOPY : Copy Texts Between Clients ()
TRM0 : Execute Report (SAPMKCEE)
TRM0_NEW : Execute Report (CFM) ()
TRM1 : Create Report (SAPMKCEE)
TRM1_NEW : Create Report (CFM) ()
TRM2 : Change Report (SAPMKCEE)
TRM2_NEW : Change Report (CFM) ()
TRM3 : Display Report (SAPMKCEE)
TRM3_NEW : Display Report (CFM) ()
TRM4 : Create Form (SAPMKES1)
TRM4_NEW : Create Form ()
TRM5 : Change Form (SAPMKES1)
TRM5_NEW : Change Form ()
TRM6 : Display Form (SAPMKES1)
TRM6_NEW : Display Form ()
TRM7 : Maintain Auth.Object Presentation (SAPMKEFB)
TRM8 : Display Auth.Object Presentation (SAPMKEFB)
TRMA : Access Report Tree (RKKBRPTR)
TRMB : Maintain Batch Variants (RKDBAT02)
TRMC : Comments Management: Treasury (SAPMKCIC)
TRMD : Distribute Report (RKDREPDV)
TRME : Create Report (SAPMKCEE)
TRMF_FLDS_DEACTIVATE : Deactivate Fields (For All Users) ()
TRMF_USER_D_MAINTAIN : Maintain Dependencies: Cust. Char. ()
TRMF_USER_K_MAINTAIN : Maintain Fld Catalog: Cust.Key.Fig. ()
TRMF_USER_M_MAINTAIN : Maintain Field Catalog: Cust. Char. ()
TRMG : Characteristic Groups for TR Reports (RKE_CALL_VC_TKEP7)
TRMG_KFG_CREATE : Create Key Figure Group ()
TRMG_KFG_MAINTAIN : Maintain Key Figure Group ()
TRMH : Maintain hierarchy (SAPMKXHI)
TRMJ : Maintain Hierarchy Nodes (RKCHINOD)
TRMK : Maintain Key Figures (RKDMKCIK)
TRMM : Treasury Drill Down Rptng Testmonit. (SAPMKCB9)
TRMMB : Report Tree: Money Market ()
TRMO : Transport reports (RKCOBTR2)
TRMP : Transport forms (RKCOBTR4)
TRMP_PERFORMANCE_BP : Reorganize Business Partner Texts ()
TRMP_PERFORMANCE_MV : Reorganize Risk Key Figures ()
TRMP_PERFORMANCE_MVT : Reorganize Risk Key Figures ()
TRMP_PERFORMANCE_ST : Set Buffer Table Parameters ()
TRMQ : Import reports from client 000 (RKCOBTR3)
TRMR : Import forms from client 000 (RKCOBTR5)
TRMS : Display Structure (RKDSTRUC)
TRMS_ALL : Display Structures (RKDAGGFI)
TRMS_DEACTIVATE : Deactivate Structures ()
TRMS_EXTENDED : Display Structure (RFTISTRUC)
TRMS_SINGLE : Display Structures (RKDAGGFI)
TRMS_USER_DEACTIVATE : Deactivate Structures: User-Depend. ()
TRMT : Translation Tool – Drilldown Report. (RKCTRTX1)
TRMT_TEXTS_GENERATE : Generates the Text Reader (RFTI_TEXTS_GENERATE)
TRMU : Convert drilldown reports (SAPMKCB9)
TRMU_FLDS_DEACTIVATE : Deactivate Fields: User-Dependent ()
TRMV : Maintain Global Variable (RKES0101)
TRMW : Maintain currency exchange type TRM (SAPMKCC0)
TRMX : Reorganize Drilldown Reports (RKDREOBE)
TRMY : Reorganize report data (RKDREODA)
TRMZ : Reorganize Forms (RKDREOFO)
TRM_GENERATE : Generates Dependent Programs (RFTIGEN)
TRN0 : Number range: Land register no. (SAPMSNUM)
TRN1 : N.Range: FVVD_BO Business Operation ()
TRN2 : No. Range: FVVD_KINT Loans Inquiry (SAPMSNUM)
TRN3 : No.range: FVV_OBJNR(address obj.no.) (SAPMSNUM)
TRN7 : Number range: FVVD_KOBJ Object key (SAPMSNUM)
TRN8 : Number range: Loan collateral no. (SAPMSNUM)
TRN9 : No. range: FVVD_RBLNR coll.value no. (SAPMSNUM)
TRNA : No.range: FVVD_KSON special arrangmt (SAPMSNUM)
TRNB : Number range: FVVD_BEKI doc. number (SAPMSNUM)
TRNC : No.range: FVVD_RPNSP Gen.daybook no. (SAPMSNUM)
TRND : No.Range: FVV_VORG Release Procedure (SAPMSNUM)
TRP01 : Create Repo Contract (RFTB_REPOS_01)
TRP02 : Change Repo Contract (RFTB_REPOS_01)
TRP03 : Display Repo Contract (RFTB_REPOS_01)
TRP04 : Settle Repo (RFTB_REPOS_01)
TRP06 : Reverse Repo Contract (RFTB_REPOS_01)
TRP08 : History (RFTB_REPOS_01)
TRP10 : Display Repo Contract (RFTB_REPOS_01)
TRR_RDB_TEST : Test Program for TRR Reporting (RTPM_TRR_TOTAL_RDB_TEST)
TRSA : S-API Debugger (TRIGSAPI)
TRSEB : Report Tree: Securities ()
TRSR : Single Financial Object Calculation (FTI_SINGLE_RISK_KF)
TRS_NOMCORR_NR : Number Range Maintenance: FTR_TRS_NC (SAPMSNUM)
TRS_SEC_ACC : Securities account master data (FVW_SECURITY_ACCOUNT_START)
TRTC : Access Report Tree (RKKBRPTR)
TRTD : Access Report Tree (RKKBRPTR)
TRTG : Access Report Tree (RKKBRPTR)
TRTK : Access Report Tree (RKKBRPTR)
TRTM : Access Report Tree (RKKBRPTR)
TRTM_CHECK_CORR : Check Correspondence Customizing (RFTBCO_CHECK00)
TRTM_CHECK_CORR_DE : Check Corr. Customizing Derivatives ()
TRTM_CHECK_CORR_FX : Check Correspond. Customizing Forex ()
TRTM_CHECK_CORR_MM : Check Corr. Customizing Money Market ()
TRTM_CHECK_CORR_SE : Check Corr. Customizing Securities ()
TRTM_CHECK_CORR_SI : Check Standing Instr. Correspondence (RFTBCO_CHECK01)
TRTM_TBSCOPY : Copy text module confirmations ()
TRTM_TBSTRAN : Transport Standard Texts (RFTBCO_TEXT_TRANS)
TRTM_TBSWRK : Standard Text Maintenance CFM (RFTBTXBA)
TRTR : Access Report Tree (RKKBRPTR)
TRTV : Access Report Tree (RKKBRPTR)
TRTW : Access Report Tree (RKKBRPTR)
TS00 : Collective Processing (RFVWTR00)
TS01 : Create Securities Transaction (RFVWTR01)
TS02 : Change Securities Transaction (RFVWTR01)
TS03 : Execute Securities Order (RFVWTR01)
TS04 : Settle Securities Contract (RFVWTR01)
TS05 : Sec. Transaction: Order Expiration (RFVWTR01)
TS06 : Display Securities Transaction (RFVWTR01)
TS07 : Reverse Securities Transaction (RFVWTR01)
TS08 : Securities Transaction: History (RFVWTR01)
TS09 : Default Value Securities Account ()
TS10 : Display Securities Transaction (RFVWTR01)
TSCUST : Table Search: Customizing (TSWUSL_CUST)
TSE39 : Old version of splitscreen editor (SAPMSCMP)
TSL00 : Securities Lending: Coll. Processing (RFTR_SL_COLL_PROC)
TSL01 : Create Securities Lending (RFTR_SL_LAUNCHER)
TSL02 : Change Securities Lending (RFTR_SL_LAUNCHER)
TSL03 : Display Securities Lending (RFTR_SL_LAUNCHER)
TSL04 : Roll Over Securities Lending (RFTR_SL_LAUNCHER)
TSL05 : Give Notice on Securities Lending (RFTR_SL_LAUNCHER)
TSL06 : Settle Securities Lending (RFTR_SL_LAUNCHER)
TSL07 : Reverse Securities Lending (RFTR_SL_LAUNCHER)
TSL09 : Securities Lending History (RFTR_SL_LAUNCHER)
TSL10 : Sec. Lending, Collateral, Revenues (RFTR_SL_LEND_SEC_YIELD)
TSL21 : Securities Lending Cash Flow Update (RFSLCFF0)
TSMN : Internal SAP IMG for Treasury ()
TSRUN : Table Search: Start Screen (TSWUSL_RUN)
TST_RELEASE_TOOL : Test Appl. for the Release Tool (RBCA_TST_RELEASE)
TSW1 : SWIFT Generation MT300 (RFTXM300)
TSW2 : SWIFT Generation MT320 (RFTXM320)
TS_CONVERT : Securities Transaction: Conversion (RFTBUAU1)
TS_TS20000256H : Transaction for task TS20000256 (SWU5TS20000256H)
TS_TS20000780H : Transaction for Task TS20000780 (SAPMTS20000780H)
TS_WS01200170H : ESS Notification of Marriage (SAPMWS01200170H)
TS_WS20000102H : Transaction for task WS20000102 (SWU5WS20000102H)
TS_WS200001040100 : Transaction to Task WS20000104 (SAPMWS20000104)
TS_WS200003771000 : Transaction for Task WS20000377 (SAPMWS20000377)
TS_WS401000051000 : Transaction for Task WS40100005 (SAPMWS40100005)
TS_WS456000041000 : Transaction for Task WS45600004 (SAPMWS45600004)
TTEC_BUSPRTYP : Maintain Business Process Type ()
TTEC_CACS : Pricing / TTE: Access Sequences ()
TTEC_CNTY : TTE Maintain Tax Location [obsolete] (SAPMCA_TTE_CUST_LOCATION)
TTEC_COMMUNITY : Maintain Community ()
TTEC_COND : Maintain Tax Rates and Exemptions (SAPMCA_TTE_ADMIN_COND)
TTEC_COND_WT : Withholding  Tax Rates (SAPMCA_TTE_ADMIN_COND)
TTEC_CPRP : Pricing / TTE: Calculation Procedure ()
TTEC_CTCT : Pricing / TTE: Condition Tables ()
TTEC_CTFC : Pricing / TTE: Field Catalog ()
TTEC_CTYP : Pricing / TTE: Condition Types ()
TTEC_CUST_PRICING : Generic call of pricing customizing (TTE_TRAN_PRICING_CUSTOMIZE)
TTEC_DCTR : Decision Tree Maintenance (SAPMTTE_DT_MAINT_UI)
TTEC_DEDREAS : Maintain Deductability Reason ()
TTEC_DT : Decision Tree for Tax Determination ()
TTEC_DT_FISCO : Decision Tree for Tax Determination ()
TTEC_EXCC : Condition Exclusion Group ()
TTEC_EXCL_PROC : Generic call of pricing customizing (TTE_EXCL_GRP_PROC)
TTEC_EXCP : Condition Exclusion: Procedure assig ()
TTEC_EXCZ : Condition Exclusion: Procedure assig ()
TTEC_EXPIND : Maintain Export Indicator ()
TTEC_FISCCODE : Maintain Fiscal Code ()
TTEC_INCOTERMS : Maintain Tax Incoterms ()
TTEC_ORIGIN : Maintain Origin ()
TTEC_PATXGRP : Maintain Partner Taxability Group ()
TTEC_PATXTYP : Maintain Partner Taxability Type ()
TTEC_PRC_TAX_MAP : Maintain Mapping bet.  Proc. and Tax ()
TTEC_PROCED : Tax Procedure ()
TTEC_PROCEDURE : Maintain Pricing Procedure ()
TTEC_PROCMODE : Maintain Process Mode ()
TTEC_ROLE : Maintain Partner Role ()
TTEC_TAXCAT : Maintain Tax Category ()
TTEC_TAXCOMP : Maintain Tax Component ()
TTEC_TAXTYP : Maintain Tax Type ()
TTEC_TAX_REG : maintain Tax Region ()
TTEC_TAX_TCODE : Maintain Tax Tariff Code ()
TTEC_THRSHIND : Maintain Threshold Indicator ()
TTEC_TRACEMOD : Maintain Trace Mode ()
TTEC_TRACE_STAT : Maintain Trace Status ()
TTEC_USAGE : Maintain Usage ()
TTE_CLIENT_COPY : Copy TTE customizing across clients (RTTE_CLIENT_COPY)
TTE_COPY_COUNTRY : Copy all country specific settings (RTTE_COUNTRY_COPY)
TTE_CUST_CHECK : Check Customizing (TTE_CUST_CHECK)
TTE_CUST_IMPORT_FROM : Import Customizing (TTE_CUST_IMPORT_FROM)
TTE_CUS_IMPORT_FROM : Customizing Import from (TTE_CUST_IMPORT_FROM)
TTE_DELETE_COUNTRY : Delete country specific settings (RTTE_COUNTRY_DELETE)
TTE_DT_COUNTRY_COPY : Copy decision tree to other country (RTTE_DT_COUNTRY_COPY)
TTE_REFRESH : Immediate Refresh Customizing (TTE_REFRESH_CUSTOMIZING)
TTE_SIMULATION : Transaction Tax Engine Simulation (SAPLCA_TTE_SIMU)
TTE_WT_CUST_CHECK : Check Customizing (TTE_WT_CUST_CHECK)
TU02 : Parameter changes (RSTU0000)
TUTT : Workbench Tutorial (TUTPROG)
TV20 : Create Scenario (SAPMF7C1)
TV21 : Change Scenario (SAPMF7C1)
TV22 : Display Scenario (SAPMF7C1)
TV24 : Conditions: V_T681F for A F ()
TV25 : V-T681F: Index Field Catalog ()
TV28 : Scenario Progression ()
TV35 : Effective Rate/NPV Underlying (RFTVSK20)
TV36 : Currency exposure (RFTVEX00)
TV38 : Position Evaluation (RFTVBW00)
TV39 : Global Evaluation of Cash Flow (RFTVCF00)
TV40 : Effective Rate Evaluation FX General (RFTVSK21)
TV42 : Interest exposure (RFTVZX00)
TV43 : Global IRR (RFTVIRR1)
TV44 : P/L Evaluation (RFTVPL00)
TV45 : Matrix Evaluations (RFTVBW11)
TV46 : Bond price calc. (RFTVBW29)
TV48 : Historical Simulation (RFTVVAR4)
TV49 : Variance/Covariance (RFTVVAR3)
TV50 : Save OTC NPVs (RFTVBW50)
TVDT : Import DTB Derivatives Prices (RFTBFF30)
TVM1 : Market Risk and Analysis (MENUTVM1)
TVMD : Transfer Mkt Data (RFTBFF20)
TVS1 : Statistics calculator (RFTVST00)
TWGDS_CLASSIF_LOADER : Classification Loader (RWGDS_CLASSIF_LOADER)
TWGDS_CONFIRMATION : Confirmation report (RWGDS_CONFIRMATION)
TWGDS_SUBSCRIPTION : Subscription UI (RWGDS_SUBSCRIPTION_UI)
TX-2 : Maturity schedule for fwd exch.trans (RFTX77SO)
TX-3 : Posting overview (RFTX76SO)
TX-5 : Settle forex transaction (SAPMF77A)
TX.1 : Forex fast entry – spot (SAPMF77A)
TX.3 : Display Forex Transaction (SAPMF77A)
TX.5 : Execute forex order (SAPMF77A)
TX/5 : Forex order expiry (SAPMF77A)
TX01 : Spot/Forward Transaction Entry (SAPMF77A)
TX02 : Change Forex Transaction (SAPMF77A)
TX03 : Display Forex Transaction (SAPMF77A)
TX04 : Reverse Activity (SAPMF77A)
TX05 : Spot/Forward Trans.: Add Activity (SAPMF77A)
TX06 : Forex: Collective processing (RFTXJL02)
TX10 : Create Forex Swap (SAPMF77A)
TX11 : Rollover on previous basis (SAPMF77A)
TX12 : Premature Settlement (SAPMF77A)
TX13 : Create Foreign Exchange Offer (FTR_FX_COMPBID)
TX14 : Execute foreign exchange offer (FTR_FX_COMPBID)
TX21 : Create Forex Transaction (SAPMF77A)
TX22 : Display foreign exchange offer (FTR_FX_COMPBID)
TX23 : Create foreign exchange simulation (FTR_SIMU00)
TX24 : Change foreign exchange simulation (FTR_SIMU00)
TX25 : Display foreign exchange simulation (FTR_SIMU00)
TX26 : Delete foreign exchange simulation (FTR_SIMU00)
TX30 : Int. FX Transactions: Rate Overview (FTR_FX_INT_RATES)
TX31 : Create Internal Forex Transaction (RFTR_INTFX_LAUNCHER)
TX32 : Internal Forex Transactions Reserved (RFTR_INTFX_LAUNCHER)
TX33 : Internal Forex Transactions Reserved (RFTR_INTFX_LAUNCHER)
TX34 : Internal Forex Transactions Reserved (RFTR_INTFX_LAUNCHER)
TX35 : Internal Forex Transactions Reserved (RFTR_INTFX_LAUNCHER)
TX39 : Internal Forex Transactions Reserved (RFTR_INTFX_LAUNCHER)
TX76 : Forex Transaction History (SAPMF70M)
TX78 : Execute order – Forex (SAPMF70M)
TXA5 : Forex Order Processing (RFTX73SO)
TXAK : Calculation of option premiums (SAPMF7AK)
TXBA : Text Module Maintenance (RFVITXBA)
TXF5 : Execute Fixing Order (SAPMF77A)
TXMN :  (MENUTXMN)
TXV5 : Execute Fixing Transaction (SAPMF77A)
TXZI : Interest calculator (SAPMF7ZI)
TYMN : Treasury Information System (TIS) (MENUTYMN)
TZ10 : Dialog Programming: Data Transport (SAPMTZ10)
TZ20 : Dialog Programming: F Code Proc. (SAPMTZ20)
TZ30 : Dialog Programming: Input Check (SAPMTZ30)
TZ31 : Dialog Programming: Input Check (SAPMTZ31)
TZ40 : Dialog Programming: Screen Control (SAPMTZ40)
TZ50 : Dialog Programming: Screen Modif. (SAPMTZ50)
TZ60 : Dialog Programming: Tables TC (SAPMTZ60)
TZ61 : Dialog Programming: Tables SL (SAPMTZ61)
TZ70 : Dialog Programming: Tables SL (SAPMTZ70)
TZ80 : Dialog Programming: Authorizations (SAPMTZ80)
TZ90 : Dialog Programming: Locking (SAPMTZ90)
TZA0 : Dialog Programming: Asynch.Updates (SAPMTZA0)
TZB0 : Dialog Programming: Doc. and Help (SAPMTZB0)
T_03 : Cond.tab: Create (shipment costs) (SAPMV12A)
T_04 : CondTab: Change (shipment costs) (SAPMV12A)
T_05 : CondTab: Display (shipment costs) (SAPMV12A)
T_06 : Cond.types: Pricing shipment ()
T_07 : Maintain access (shipment costs) ()
T_08 : Conditions: Proc. for A F ()
T_09 : Condition table: Change Index (SAPMV12A)
T_31 : Maintain excl. group shipment ()
T_32 : Maintain CondTypes for ExclusionGrp ()
T_53 : Assign purchasing data ()
T_54 : Shipment cost relevance shipments ()
T_56 : Shipment cost types and item cats ()
T_57 : Shipment cost types and relevance ()
T_60 : Date determination: Define rules ()
T_70 : Maintain service agent group ()
T_71 : Maintain document procedure group ()
T_72 : Maintain shipping type group ()
T_73 : Maintain pricing procedure ()
T_74 : Maintain tariff zones ()
T_75 : Maintain tariff zone assignments ()
T_76 : Tariff zones and assignments ()
T_80 : Shipment Cost Information Profile ()
T_B2 : Upper and lower condition limits ()
T_I1 : Activation of Condition Index ()
T_I2 : Reorganize condition indexes (RV15F001)
T_LA : Create Pricing Report (SAPMV14A)
T_LB : Change pricing report (SAPMV14A)
T_LC : Display pricing report (SAPMV14A)
T_LD : Execute pricing report (SAPMV14A)
T_RSDOKU03 : Where-used List for Hypertext Docu. (RSDOKU03)
T_VB : Copying Rules for Conditions ()
T_VC : Copying Rule for Condition Types ()
T_VD : Conditions: Overviews (freight) ()
T_VE : Conditions: View seq. A, F, prices ()

This Post Has 2 Comments

  1. Trading Guides

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