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Customer Relationship Management

SAP Module

14,195 transaction codes

TBM2Treasury: Chg. Mast. Agreement
TBM3Treasury: Displ. Mast. Agreement
TBM4Treasury: Master Agreement Changes
TBM5Treasury: Assign Mast. Agreement
TBM6Treasury: Vol. Check for Master Agr.
TBM7Master Agreement: Maintain Memo IDs
TBR0Posting journal
TBT1Transaction Authorizat. for Traders
TBT1DDisplay Trans. Auth. for Traders
TBZ1Output Correspondence
TBZ13Printer Override Function
TBZ3Money Market: Incoming Confirmations
TBZ4Incoming Confirmations Forex Options
TBZ5List of Days Overdue Counterconf.
TBZ6Match Incoming SWIFT Confirmation
TBZ7Delete corr. planned records
TBZ8Correspondence - Overview
TC02Number range maint.: FTI_UGSART
TCMKFunds Management
TC_RFIDESM347_ESTRANSACTION CODE FOR RFIDESM347
TDMNCash management
TDMN_DISTDistribution of TR Cash Mgt Data
TERR_SMTerritory Subscription Maintenace
TESTIP1test for profile gen
TEST_TFTest time field class
TEST_TF2Test time field
TF00Collective Processing for Repos
TF01Create Forward Security Transaction
TF02Change Forward Securities Transactn
TF03Display Forward Securities Transactn
TF04Settle Forward Securities Transactn
TF05Deliver Forward Securities Transactn
TF06Reverse Forward Securities Transactn
TF08History of Forward Securities Trans.
TF10FST: Display Activity
TFBWDCustomizing Table TFBWD
TFBWECustomizing Table TFBWE
TFMNCash Flow
TI00Collective Processing for Futures
T_I1Activation of Condition Index
TI10Create Interest/Price Adjustment
TI11Change Interest Rate Adjustment
TI12Display Interest Rate Adjustment
T_I2Reorganize condition indexes
TI35Collect.Processing: Listed Options
TI37Reverse Interest Rate Adjustment
TI40Currency Option Fast Entry
TI49Change Currency Option
TI55Create Future Master Record
TI56Chg.Futures Master
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