| FF6A | 
							Edit Cash Mgmt Pos Payment Advices | 
					
					
							| FF6B | 
							Edit liquidity forecast planned item | 
					
					
							| FF70 | 
							Cash Mgmt Posit./Liquidity Forecast | 
					
					
							| FF71 | 
							Cash Position | 
					
					
							| FF72 | 
							Liquidity forecast | 
					
					
							| FF73 | 
							Cash Concentration | 
					
					
							| FF74 | 
							Use Program to Access Cash Concntn | 
					
					
							| FF7A | 
							Cash Position | 
					
					
							| FF7B | 
							Liquidity forecast | 
					
					
							| FF:1 | 
							Maintain exchange rates | 
					
					
							| FFA1 | 
							Compare Advices with Bk.Stmt Advices | 
					
					
							| FFB4 | 
							Import Electronic Check Deposit List | 
					
					
							| FFB5 | 
							Post electronic check deposit list | 
					
					
							| FFCD | 
							Cash deconcentration | 
					
					
							| FFL_OLD | 
							Display Transmission Information | 
					
					
							| FFS_OLD | 
							Display Transmission Information | 
					
					
							| FFTL | 
							Telephone list | 
					
					
							| FFW1 | 
							Wire Authorization | 
					
					
							| FFWR | 
							Post Payment Requests from Advice | 
					
					
							| FFWR_REQUESTS | 
							Create Payment Requests from Advice | 
					
					
							| FFZK | 
							C FI Maintainence Table T018Z | 
					
					
							| FF_1 | 
							Standard G/L Account Interest Scale | 
					
					
							| FF_3 | 
							G/L Account Cashed Checks | 
					
					
							| FF_4 | 
							Vendor Cashed Checks | 
					
					
							| FF_5 | 
							Import Electronic Bank Statement | 
					
					
							| FF_6 | 
							Display Electronic Bank Statement | 
					
					
							| FG99 | 
							Flexible G/L: Report Selection | 
					
					
							| FGI0 | 
							Execute Report | 
					
					
							| FGI1 | 
							Create Report | 
					
					
							| FGI2 | 
							Change Report | 
					
					
							| FGI3 | 
							Display Report | 
					
					
							| FGI4 | 
							Create Form | 
					
					
							| FGI5 | 
							Change Form | 
					
					
							| FGI6 | 
							Display Form | 
					
					
							| FGIB | 
							Background Processing | 
					
					
							| FGIC | 
							Maintain Currency Translation Type | 
					
					
							| FGIK | 
							Maintain Key Figures | 
					
					
							| FGIM | 
							Report Monitor | 
					
					
							| FGIO | 
							Transport Reports | 
					
					
							| FGIP | 
							Transport Forms | 
					
					
							| FGIQ | 
							Import Reports from Client 000 | 
					
					
							| FGIR | 
							Import Forms from Client 000 | 
					
					
							| FGIT | 
							Translation Tool - Drilldown Report. | 
					
					
							| FGIV | 
							Maintain Global Variable | 
					
					
							| FGIX | 
							Reorganize Drilldown Reports | 
					
					
							| FGIY | 
							Reorganize Report Data | 
					
					
							| FGIZ | 
							Reorganize Forms | 
					
					
							| FGL6 | 
							IRE: One Time Posting - Gen. Contr | 
					
					
							| FGM0 | 
							Special Purpose Ledger Menu | 
					
					
							| FGRP | 
							Report Painter | 
					
					
							| FGRW | 
							Report Writer Menu | 
					
					
							| FGSODN_IT1 | 
							Number range maintenance: FIN2_IT | 
					
					
							| FI01 | 
							Create Bank | 
					
					
							| FI02 | 
							Change Bank | 
					
					
							| FI03 | 
							Display Bank | 
					
					
							| FI04 | 
							Display Bank Changes | 
					
					
							| FI06 | 
							Set Flag to Delete Bank | 
					
					
							| FI07 | 
							Change Current Number Range Number | 
					
					
							| FI08 | 
							Distribution of the Bank Master Data | 
					
					
							| FI09 | 
							Distribution of IBANs | 
					
					
							| FI12 | 
							Change House Banks/Bank Accounts | 
					
					
							| FI12CORE | 
							Change House Banks/Bank Accounts | 
					
					
							| FI12_OLD | 
							Change House Banks/Bank Accounts | 
					
					
							| FI13 | 
							Display House Banks/Bank Accounts | 
					
					
							| FI13_OLD | 
							Display House Banks/Bank Accounts | 
					
					
							| FIAAHELP | 
							FI-AA Utility Programs | 
					
					
							| FIAAHELP_DARK | 
							FI-AA Utility Programs Dispatcher | 
					
					
							| FIAAIN_PO_TRACK | 
							Transaction Code for PO Tracking AA | 
					
					
							| FIAAPT_MAPAS | 
							Transaction code for Mapas Fiscais | 
					
					
							| FIAPPL_OVERDUE_INV | 
							Transaction code for Inv Reporting | 
					
					
							| FIAPPT_BAL | 
							Transaction code for FIAPPTV_BAL | 
					
					
							| FIAPPT_CBR | 
							Transaction code for CBR PT | 
					
					
							| FIBAN | 
							Maintain IBAN | 
					
					
							| FIBB | 
							Bank chain determination | 
					
					
							| FIBC | 
							Scenarios for Bank Chain Determin. | 
					
					
							| FIBD | 
							Allocation client | 
					
					
							| FIBF | 
							Maintenance transaction BTE | 
					
					
							| FIBHS | 
							Display bank chains for house banks | 
					
					
							| FIBHU | 
							Maintain bank chains for house banks | 
					
					
							| FIBL0 | 
							Origin Indicator Definition | 
					
					
							| FIBL1 | 
							Control Origin Indicator | 
					
					
							| FIBL2 | 
							Assign Origin | 
					
					
							| FIBL3 | 
							Group of House Bank Accounts | 
					
					
							| FIBL4 | 
							Bank Clearing Account for HR Payment | 
					
					
							| FIBLAPOP | 
							Vendors - Payment Request | 
					
					
							| FIBLAROP | 
							Customers - Payment Request | 
					
					
							| FIBLFFP | 
							Free Form Payment | 
					
					
							| FIBPS | 
							Display bank chians for partners | 
					
					
							| FIBPU | 
							Maintain bank chains for partner | 
					
					
							| FIBS | 
							Input House Bank in Payment Request | 
					
					
							| FIBTS | 
							Dis. bank chains for acct carry fwds | 
					
					
							| FIBTU | 
							Main. bank chains for acctCarry over | 
					
					
							| FICAAOLA | 
							Master Data Tab | 
					
					
							| FICAARCHBDT | 
							BDT Contract Account Archiving | 
					
					
							| FICADELE | 
							Contract Account Deletion | 
					
					
							| FICADELEBDT | 
							BDT Contract Account Deletion | 
					
					
							| FICAIMG | 
							IMG for Contract AR/AP | 
					
					
							| FICBR_REP_DMEE | 
							Trans for assigning DMEE to category | 
					
					
							| FICBR_REP_SEL_DOC | 
							Trans. For Selecting Documents | 
					
					
							| FICBR_REP_SUB_TYP | 
							Trans. For Reporting Sub Type View |