| BKK_COND_AMOUNTLIM_CONVERT |
|
Converts "Amount From" to "Amount To" |
Condition |
| BKK_COND_AMOUNT_COND_MERGE |
|
Amount Based: Mix Standard and Individual Conditions |
Condition |
| BKK_COND_AMOUNT_CONV_TO_EXT |
|
Conversion of Currency Amount with 5 Decimal Places to External Layout |
Condition |
| BKK_COND_ASG_CD_KEY_CREATE |
|
Generation of Key for Change Documents for Condition Assignment |
Condition |
| BKK_COND_ASG_CD_LIST |
|
Display Change Documents for Condition Assignment |
Condition |
| BKK_COND_ASG_CHANGE_DOC_WRITE |
|
Writes Change Documents for Condition Assignment |
Condition |
| BKK_COND_ASSIGNED_GROUPS_LIST |
|
Display Conditions Assigned to a Condition |
Condition |
| BKK_COND_ASSIGNED_TO_GROUP |
|
Check if Condition is Assigned to a Condition Group |
Condition |
| BKK_COND_AUTHORITY_CHECK |
|
BCA: Authorization Check for Conditions |
Condition |
| BKK_COND_AUTHORITY_CHECK_BDC |
|
BCA: Authorization Check for Conditions |
Condition |
| BKK_COND_AVG_INT_RATE_CALC |
|
Find Average Interest Rate |
Condition |
| BKK_COND_BALANCE_DELETE_T |
|
Delete Transaction Figures (Table) |
Condition |
| BKK_COND_BALANCE_DET_POST_T |
X |
Find Posting Turnovers and Posting Balances |
Condition |
| BKK_COND_BALANCE_DET_POST_T_AD |
X |
Ermitteln Buchungsumsätze und Buchungssalden |
Condition |
| BKK_COND_BALANCE_DET_VAL_T |
X |
Find Value Date Turnovers and Value Date Balances |
Condition |
| BKK_COND_BALANCE_INSERT |
|
Insert a First Entry (Account Opening) |
Condition |
| BKK_COND_BALANCE_INSERT_T |
|
Insert Transaction Figures (Table) |
Condition |
| BKK_COND_BALANCE_PERIODS |
|
Find Account Type Periods |
Condition |
| BKK_COND_BALANCE_POSTDATE |
|
Posting Day Balance |
Condition |
| BKK_COND_BALANCE_READ |
|
Export Balances |
Condition |