Fonction | RFC | Description | Composant |
---|---|---|---|
BKK_GL_ACCNT_CHANGE_DB_INS | General Ledger:Update Changes to GL Fields in Acct for Balance Sheet Prep. | G/L transfer | |
BKK_GL_ACCNT_CHANGE_PREP_INS | General Ledger: Flag Changes to GL Fields in Acct for Balance Sheet Prep. | G/L transfer | |
BKK_GL_ACCNT_CHANGE_UPDATE | General Ledger: Transfer to Update for Change to GL Fields in Account | G/L transfer | |
BKK_GL_ACCNT_CHECK_REF_ACCNT | Checks if Direct Posting is Possible to Reference Acct for Two Bank Areas | G/L transfer | |
BKK_GL_ACTIVITY_CHECK | Check General Ledger Operation Customizing | G/L transfer | |
BKK_GL_ACTIVITY_CHECK_DEL | General Ledger Operation Deletion Permitted? | G/L transfer | |
BKK_GL_ACTIVITY_GET | Determine General Ledger Variant Customizing | G/L transfer | |
BKK_GL_ACTIVITY_GET_ALL | Determine General Ledger Variant Customizing | G/L transfer | |
BKK_GL_ASSIGN_CHECK | Check Customizing for General Ledger Account Assignment | G/L transfer | |
BKK_GL_ASSIGN_GET | Determine General Ledger Account Assignment | G/L transfer | |
BKK_GL_ASSIGN_GET_FOR_ITEM | Determines General Ledger Account Assignment for an Item | G/L transfer | |
BKK_GL_AT_GET_FIDATA | X | Read FI Data | G/L transfer |
BKK_GL_AUTH_LOSS | Authorization Management for Posting Loss on Receivables | G/L transfer | |
BKK_GL_AUTH_RECONCILIATION | Authorization Management for General Ledger Reconciliation and Verificatn | G/L transfer | |
BKK_GL_AUTH_VALUE_ADJ | Obsolete | G/L transfer | |
BKK_GL_AUTH_VALUE_ADJ_CHECK | Authorization Check for Individual Value Adjustment | G/L transfer | |
BKK_GL_AW_FIELDS_PUT | General Ledger: Split AW Fields into Bank Area/FI Key/Document No. | G/L transfer | |
BKK_GL_AW_FIELDS_SET | General Ledger: Determine AW Fields from FI Key etc. | G/L transfer | |
BKK_GL_BKKC10_GET_ALL_LAST | Determines Records with the Latest Posting Date from BKKC10 | G/L transfer | |
BKK_GL_BKKC10_GET_LAST | General Ledger: Read Newest BKKC10 Record for BCA Account, Return Date | G/L transfer |