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Customer Relationship Management
SAP Module
14,195 transaction codes
TBM2Treasury: Chg. Mast. AgreementTBM3Treasury: Displ. Mast. AgreementTBM4Treasury: Master Agreement ChangesTBM5Treasury: Assign Mast. AgreementTBM6Treasury: Vol. Check for Master Agr.TBM7Master Agreement: Maintain Memo IDsTBR0Posting journalTBT1Transaction Authorizat. for TradersTBT1DDisplay Trans. Auth. for TradersTBZ1Output CorrespondenceTBZ13Printer Override FunctionTBZ3Money Market: Incoming ConfirmationsTBZ4Incoming Confirmations Forex OptionsTBZ5List of Days Overdue Counterconf.TBZ6Match Incoming SWIFT ConfirmationTBZ7Delete corr. planned recordsTBZ8Correspondence - OverviewTC02Number range maint.: FTI_UGSARTTCMKFunds ManagementTC_RFIDESM347_ESTRANSACTION CODE FOR RFIDESM347TDMNCash managementTDMN_DISTDistribution of TR Cash Mgt DataTERR_SMTerritory Subscription MaintenaceTESTIP1test for profile genTEST_TFTest time field classTEST_TF2Test time fieldTF00Collective Processing for ReposTF01Create Forward Security TransactionTF02Change Forward Securities TransactnTF03Display Forward Securities TransactnTF04Settle Forward Securities TransactnTF05Deliver Forward Securities TransactnTF06Reverse Forward Securities TransactnTF08History of Forward Securities Trans.TF10FST: Display ActivityTFBWDCustomizing Table TFBWDTFBWECustomizing Table TFBWETFMNCash FlowTI00Collective Processing for FuturesT_I1Activation of Condition IndexTI10Create Interest/Price AdjustmentTI11Change Interest Rate AdjustmentTI12Display Interest Rate AdjustmentT_I2Reorganize condition indexesTI35Collect.Processing: Listed OptionsTI37Reverse Interest Rate AdjustmentTI40Currency Option Fast EntryTI49Change Currency OptionTI55Create Future Master RecordTI56Chg.Futures Master