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T.code SAP FI

This document contains transaction codes related to financial accounting in SAP. It includes transaction codes for common financial processes like displaying documents, displaying balances, account maintenance, clearing accounts, posting invoices, bank account management, accruals, closing processes, cash management and reporting. Data migration identifiers are also provided for migrating master data and financial data between systems.

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0% found this document useful (0 votes)
1K views4 pages

T.code SAP FI

This document contains transaction codes related to financial accounting in SAP. It includes transaction codes for common financial processes like displaying documents, displaying balances, account maintenance, clearing accounts, posting invoices, bank account management, accruals, closing processes, cash management and reporting. Data migration identifiers are also provided for migrating master data and financial data between systems.

Uploaded by

anad12
Copyright
© Attribution Non-Commercial (BY-NC)
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
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T.code description Fi T.

code
FB03L (FB03) Displaying a Document
FBL5N/FBL1N/FBL3N Displaying and Changing Line Items
FD10N/FK10N/FAGLB03 Displaying Balances
FB08 Reversing a Document – Individual Reversal
F.08 Reversing a Document – Mass Reversal
FBD1 Processing a Recurring Entry Document
F.15 List of Recurring Entry Original Documents
F.14 Carrying Out Recurring Entries
F.13 Account Maintenance: Automatic Clearing
F-32 / F-44 / F-03 Account Maintenance: Manual Clearing
FB50L (FB50) Posting General Ledger Accounts Documents
FB50L (FB50) Posting General Ledger Accounts Documents with Segment Splitting
S_ALR_87012289 Displaying the Compact Document Journal
S_ALR_87012287 Displaying the Document Journal
FB70 Posting a Customer Invoice
F110 Payment Program - Executing the Payment Program
FF67 Entering and Posting a Manual Account Statement
FEBAN Postprocessing an Account Statement
FB03 Displaying a Document
FBL5N Displaying and Changing Line Items
FD10N Displaying Balances
FB08 Reversing a Document – Individual Reversal
F.13 Account Maintenance: Automatic Clearing
F-32 Account Maintenance: Manual Clearing
FD01 Creating a Customer Master Record
FD01 Creating a One-Time Account
F-29 Down Payment with Down Payment Request Clearing
F-39 Down Payment Clearing
FB75 Posting a Credit Memo with Reference to the Invoice
F.13 / F13E Clearing Bank Subaccounts Automatically
FF68 Depositing Checks
FB70 One-Time-Accounts Postings
FD32 Setting a Credit Limit
F.31 Credit Control Reporting
F150 Starting the Dunning Program
F.2B Starting the Interest Calculation Program
FB60 Posting Vendor Invoices
F110 Using the Payment Program
FBL1N Display/Change Line Items
FF67 Manual Bank Statement
SM35 Running Batch Input Sessions
FB03L (FB03) Displaying a Document
FBL1N Displaying and Changing Line Items
FD10N Displaying Balances
FD08 Reversing a Document – Individual Reversal
F.80 Reversing a Document – Mass Reversal
FBD1 Processing a Recurring Entry Document
F.15 List of Recurring Entry Original Documents
F.14 Carrying Out Recurring Entries
F.13 Account Maintenance: Automatic Clearing
F-44 Account Maintenance: Manual Clearing
FK01 Creating a Vendor Master Record
F-54 Down Payment Clearing
FBL1N Posting Payments Using the Payment Program: Display/Change line items
F.13 Clearing Bank Subaccounts Automatically (Bank Clearing Accounts)
FB70 Posting a Customer Invoice
FF67 Entering and Posting a Manual Account Statement
FEBA Postprocessing an Account Statement
FBCJ Cash Journal Postings
FBCJ Posting an Incoming Payment
F-32 Clearing the Customer Invoice
FBCJ Document Split Postings in the Cash Journal
FBCJ Direct Postings to Tax Accounts
FBCJ Transferring Cash from Petty Cash to a House Bank Account
FBCJ Paying Cash to a Vendor, Followed by Reversal
FBCJ Printing the Cash Journal

Transaction code transaction text Asset Accounting/management.


AS01 General Master Data / Organizational Assignments
AW01N Asset Explorer (Asset Value Display)
F-90 Acquisition Integrated with Accounts Payable Accounting
ABZON Acquisition with Automatic Offsetting Entry
F-92 Retirement with Revenue and Customer
ABAON Retirement with Revenue Without Customer
ABAVN Retirement due to Scrapping
ABUMN Intercompany Transfers
AS01 Post-Capitalization: Creating an Asset Master Record
ABNAN Post the Post-Capitalization
ABMR Transfer of Reserves
ABAA Unplanned Depreciation
AIAB Settling Assets Under Construction
F-47 Down Payments for Assets Under Construction: Post the Down Payment Request
F-48 Posting the Down Payment
F-90 Posting the Final Settlement
F-54 Clearing the Down Payment
AFAR Periodic Processing: Recalculating Values
AFAB Depreciation Posting Runs
ASKB Posting Acquisition and Production Costs Values
S_ALR_87012936,
S_ALR_87099918 Depreciation Simulation/Primary Cost Planning
AJRW Fiscal Year Change
AJAB, OAAQ, OAAR Year-End Closing

Transaction code transaction text


FB03L (FB03) Display documents
FBL5N / FBL1N / FBL3N Displaying and Changing Line Items
FD10N / FK10N / FAGLB03 Displaying Balances
F.13 Account Maintenance: Automatic Clearing
F-32 / F-44 / F-03 Account Maintenance: Manual Clearing
SA38 Day-End Closing: Checklist
Current Assets and Other Asset Items: Preparing an Account Balance Interest
FS00, S_ALR_87002678; F.52 Calculation
S_ALR_87003642, F.16, F.07 Opening and closing posting periods
F.13 Regrouping GR/IR Accounts: Automatic Clearing of Open GR/IR Account Items
F.19 Regrouping GR/IR Clearing Accounts
F-21, F-30 Receivables / Payables: Flat-Rate Value Adjustment
FAGL_FC_VAL Valuating Foreign Currency Balance Sheet Accounts
FAGLF101 Regrouping Receivables / Payables
F.17 (Customers) or F.18 (Vendors) Balance Confirmations – Customers / Vendors
FBS1, FBL3N Entering Accrual / Deferral Postings
F.81 Reversing Accrual / Deferral Postings
ACACTREE01 Manual Accruals Create Accrual Objects
ACACTREE02 Displaying an Accrual Object
ACACTREE02 Changing an Accrual Object
ACACACT Periodic Accrual Runs
S_ALR_87012284 Closing Reports and Notifications: Balance Sheets and P&L Statements
FB41 Calculating Taxes on Sales / Purchases – Posting Tax Payable
S_ALR_87012357 Carrying out the Advance Return for Tax on Sales/Purchases

B46 Cash Management


Transaction code transaction text
FB70 Entering a Customer Invoice
FF67 Entering a Bank Statement Manually
FF7A Cash Position
 

  Reporting
   
  Standard Reports - Refer 'Accounting - Std Reports' tab
 

  Data Migration
ID ~ Generic Master Data Description
DC_G001 Vendor master
DC_G002 Customer Master
DC_G003 Material Master
  Bank Master
   

ID ~ Financials Description
DC_FI001 GL-account master - Chart of A/c level
  GL-account master - Company code level
DC_FI002 Asset Master
DC_FI003 Asset under construction
DC_FI004 Asset Balance - Current Year
  Asset Balance - Prior Year
DC_FI005 GL-account balances
DC_FI006 GL-account open items
DC_FI007 Vendor open items
DC_FI008 Customer open items
   

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