0% found this document useful (0 votes)
377 views4 pages

SAP FI Important Tcode

This document lists important transaction codes related to SAP FI (Financial Accounting) modules including General Ledger, Cash & Bank, Account Payables, Account Receivables, Asset Accounting, and Controlling. It provides transaction codes for master data maintenance, document posting, period end closing, asset accounting functions, and cost center/profit center processing.

Uploaded by

salhum
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as DOC, PDF, TXT or read online on Scribd
0% found this document useful (0 votes)
377 views4 pages

SAP FI Important Tcode

This document lists important transaction codes related to SAP FI (Financial Accounting) modules including General Ledger, Cash & Bank, Account Payables, Account Receivables, Asset Accounting, and Controlling. It provides transaction codes for master data maintenance, document posting, period end closing, asset accounting functions, and cost center/profit center processing.

Uploaded by

salhum
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as DOC, PDF, TXT or read online on Scribd
You are on page 1/ 4

SAP FI Important T/Code List

The highlighted is master data


General Ledger
OB52 - Open and Close Posting Period
S_ALR_87003642 - Open and Close Posting Period
F-60 - Open and Close Posting Period
SCMA - Schedule Manager
FS00 - GL Master Creation
FS01 - GL Master Creation
FS02 - Change GL master
FSP0 - Master Record Maintenance in Chart of Accounts
FSP1 - Create Master Record in Chart of Accounts
FSP2 - Change Master Record in Chart of Accounts
FSP6 - Mark for deletion Master Record in Chart of Accounts
FSS0 - Master record maintenance in Company Code
FSS1 - Create Master Record in Company Code
FSS2 - Change Master record in Company Code
FS06 - Mark Master Record for Deletion
F-02 - Post to GL account
FB50 - Post to GL account
F-03 - Clear GL account
F-04 - Post with clearing
F-51 - Post with Clearing
FB05 - Post with Clearing
FB01 - Post GL document
FB02 - Change Document
FB09 - Change line items
FB13 - Release for Payments
FBL4 - Change GL account line items
FBL4N - Change GL account line items
FB10 - Invoice-Credit memo fast entry
OBA7 - Change FI document type
OMR6 - Tolerance level
FBV0 - Post Parked Document
FB08 - Reverse Document
F.80 - Mass Reversal of GL Documents
FBN1 - Accounting document number ranges
FBS1 - Enter accrual-deferral documents
F.81 - Reverse accruals
F.13 - ABAP4 report automatic clearing
F.16 - Carry forward balances
FBRA - Reset Cleared Items
OB08 - Enter Exchange Rates
S_BCE_68000174 - Enter Translation Rates
S_B20_88000153 - Enter Currency Exchange Rates using a worklist
F-06 - Valuate foreign currency GL accounts
Cash & Bank
FF67 - Manual Bank Statement
FCH3 - Void unused checks
FCH4 - Renumber checks
FCH5 - Create manual checks
FCH6 - Change check information cash check
FCH7 - Reprint checks
FBZ5 - Print Check For Payment Document
FCHI - Check Lots
FCHR - Online Cashed Checks
FCHT - Change check/payment allocation
FCHX - Check Extract Creation
FCH8 - Reverse check payment
FCH9 - Void issued checks

FCHE - Delete voided checks


FCHF - Delete manual checks
FCHG - Delete reset data
Account Payables
FK01 - Creating Vendor Master data in (Financial Accounting)
XK01 - Creating Vendor Master Data (Centrally)
MK01 - Creating Vendor Master Data (Purchasing)
M-01 - Create vendor
M-02 - Create goods vendor
M-03 - Create payment recipient
M-04 - Create invoicing party
M-05 - Create carrier
M-07 - Create one-time vendor
M-51 - Create vendor
M-52 - Create goods vendor
M-53 - Create payment recipient
M-54 - Create invoicing party
M-55 - Create carrier
M-57 - Create one-time vendor
FK02 - Changing existing Vendor Master data in (Financial Accounting)
XK02 - Changing existing Vendor Master data (Centrally)
MK02 - Changing existing Vendor Master data (Purchasing)
FK05 - Blocking or Unblocking Vendor Master in (Financial Accounting)
XK05 - Blocking or Unblocking Vendor Master (Centrally)
MK05 - Blocking or Unblocking Vendor Master (Purchasing)
FK06 - Mark Vendor Master for Deletion in (Financial Accounting)
XK06 - Mark Vendor Master for Deletion (Centrally)
MK06 - Mark Vendor Master for Deletion (Purchasing)
MASS - Mass change to Vendor Master
XK99 - Vendor Mass Changes
FB60 - Enter Vendor Invoice
FB65 - Enter Vendor Invoice
F-43 - Enter Vendor invoices
F-44 - Clear Vendor account
FBL2 - Change vendor line items
FBL2N - Change vendor line items
F-63 - Park vendor invoice
F-53 - Process Outgoing payments
F-07 - Posting outgoing payments
FBZ2 - Post Outgoing Payments
F110 - Parameters for automatic payment runs
F111 - Parameters for Payment of PRequest
FCHD - Delete payment run
F-58 - Payment with printout
FBZ4 - Payment with printout
F-18 - Payment without printout
Account Receivables
FD01 - Creating Customer Master (Financial Accounting)
XD01 - Creating Customer Master (Centrally)
VD01 - Creating Customer Master (Sales)
FD02 - Changing existing Customer Master data
XD02 - Changing Customer Master (Centrally)
VD02 - Changing Customer Master (Sales)
FD05 - Blocking or Unblocking Customer Master (Financial accounting)
XD05 - Blocking or Unblocking Customer Master (Centrally)
VD05 - Blocking or Unblocking Customer Master (Sales)
FD06 - Delete Customer Master (Financial accounting)
XD06 - Delete Customer Master (Centrally)
VD06 - Delete Customer Master (Sales)
FB70 - Customer Invoice
F-22 - Enter customer invoices
F-27 - Enter customer credit memo
FBL6 - Change customer line items
FBL6N - Change customer line items

F-28 - Process Incoming Payment


F-30 - Payment processing Post with clearing
F-31 - Payment processing Post outgoing payments
F-32 - Clear customer
BD87 - Status Monitor for ALE Messages
Asset Accounting
AS01 - Create Asset
AS11 - Create Asset Subnumber
AS21 - Create Group Asset
AS22 - Change Group Asset
AS24 - Create Group Asset Subnumber
AS02 - Change Asset
AS05 - Block Asset Master Record
AS06 - Delete Asset
AS26 - Mark group asset for deletion
F-90 - Asset Acquisition
F-91 - Asset acquisition to clearing account
ABZP - Acquisition from affiliated company
AB08 - Reverse other asset document
ABMW - Reverse asset trans. using doc. no.
ABAA - Unplanned Depreciation
AFAB - Post Depreciation
ABMA - Manual Depreciation Posting of Assets
ABMR - Manual transfer to reserves
ASKB - Period asset posting
AYLS - Fixed assets current settings
AJAB - Year-End Closing
AJRW - Fiscal year change
OAAQ - Reverse Fiscal Year Close
OA02 - Substitution bulk asset changes
OAAR - Change asset management year end closing by closing
ABNA - Post-capitalization
ABNAN - Post-capitalization
ABNC - Enter post-capitalization
ABZU - Write-up
ABT1 - Intercompany Asset Transfer
ABT1N - Intercompany Asset Transfer
ABUB - Transfer between areas
ABUM - Transfer within Company Code
ABUMN - Transfer within Company Code
F-92 - Asset Sale with Customer
ABAO - Asset Sale Without Customer
ABAON - Asset Sale Without Customer
ABAD - Asset Retire. frm Sale w/ Customer
ABZON - Asset acquisition automatic offset posting
ABGF - Credit Memo in Year after Invoice
ABGL - Enter Credit Memo in Year of Invoice
ABF1 - Post Document
ABAV - Asset Retirement by Scrapping
ABAVN - Asset Retirement by Scrapping

Controlling
KS01 - Create Cost Center
KS02 - Change Cost Center
KS04 - Delete Cost Center
KCH4 - Create Profit Center standard hierarchy
KCH5 - Change profit Center Standard Hierarchy
KCH5N - Change Standard Hierarchy
1KE0 - Transfer plan data to PCA
2KES - Profit center balance carry forward
7KEX - Upload plan data for Excel
KSU1 - Create Actual Assessment
KSU2 - Change Actual Assessment
KSU2N - Change Actual Assessment

KSU4 - Delete Actual Assessment


KSV1 - Create Actual Distribution
KSV2 - Change Actual Distribution
KSW1 - Create periodic reposting
KSU5 - Assessment Cycle
KSV5 - Distribution Cycle
KB11 - Enter Reposting of Primary Costs
KB11N - Enter Manual Repostings of Costs
KB14 - Reverse Reposting of Primary Costs
KB14N - Reverse Manual Repostings of Costs
KB41 - Enter Reposting of Revenues
KB44 - Reverse Reposting of Revenues
KB61 - Enter Reposting of CO Line Items
KB64 - Reverse Reposting of CO Line Items
KO01 - Create Internal Order
K088 - Actual settlement orders
KO8G - Actual settlement orders
KK87 - Settlement individual processing
KOB5 - Maintain Line Item Settlement

You might also like