Friday, June 10, 2011

SAP FICO Configuration Tips and Transaction Codes


Table 1
General and Cross-Module Configuration Transaction Codes

Transaction Code
Description

SB09
Process Flow View of the Business Navigator

SB10
Component View of the Business Navigator

SE10
Customizing Organizer

SPRO
Enter the IMG

SM30
Table Maintenance

SM31
Extended Table Maintenance

SE12
Data Dictionary change and display

SE11
Data Dictionary Display

SE16
The DataBrowser

OSS1
Log on to OSS

SU53
Authorization Object Request

SE38
Run/Change/Display a Programme

SA38
Run a Programme

SM35
Batch Input Session Overview

SE01
View Transport Logs

GGB0
Create / Change Validation

GGB1
Create / Change Substitution

GGB4
Activate Validations and Substitutions

SNRO
Maintain Number Range Objects



Table 2
General and Cross-Module Configuration Tables

Transaction Code
Description

E071 and E071K
Transport tables; displays all transports affecting a given object

V_GB01C
Customizing table for Boolean fields in substitutions and validations

GB01
SAP Delivered table that lists all fields that can be used in substitutions and validations

SADR
Address data (which doesn't transport well)



Table 3
General and Cross-Module Configuration Program

Transaction Code
Description

RGUGBR00
Programme to regenerate sets, validations and substitutions



Table 4
FI Enterprise Structure Transaction Codes

Transaction Code
Description

OBY7
Copy Chart of Accounts

OB29
Fiscal Year Variant

OBBO
Posting Period Variant

OX02
Company Codes - Create Check and Delete

OBY6
Company Code Global Parameters

EC01
Copy Company code

OY01
Country Definitions

OB22
Parallel Currencies

OX03
Business Areas

OKBD
Functional Areas



Table 4
FI Enterprise Structure Transaction Codes (Continued)

Transaction Code
Description

OBBG
Assign Country to Tax Calculation Procedure

OBCO
Specify Structure for Tax Jurisdiction Codes

OBCP
Define Tax Jurisdiction Codes

FTXP
Maintain Tax Rates

OBCL
Set Tax Codes for Non-Taxable Transactions



Table 5
General Ledger / Chart of Accounts Transaction Codes

Transaction Code
Description

OBD4
Account Groups

OB53
Retained Earnings Variant

OB15
Sample Account Rule Types

FSK2
Sample Account Data Transfer Rules

OB67
Allocate a Company Code to a Sample Account Rule Type

OBY9
Transport Chart of Accounts

OBY2
Copy GL Accounts from the Chart to the Company Code

OBC4
Field Status Variants

OB41
Posting Keys

FBKP
Automatic Account Assignments

OB40
Define Tax Accounts

OBYA
Cross Company Code Automatic Account Assignment

OBYC
MM Automatic Account Assignment

VKOA
SD Revenue Account Assignment

OB58
Financial Statement Version

O7Z3
Line Item Layouts

OBVU
Special Fields

O7S7
Sort Variants

O7R1
Totals Variants

OBA4
Tolerance Groups

OB57
Allocate Users to Tolerance Groups

FBN1
GL Number Ranges

OBA7
Document Types

OBU1
Assign Default Posting Keys to Document Types

O7E6
Fast Entry Screens

ORFB
Financial Accounting Configuration Menu

OBL1
Automatic Postings Documentation

OB32
Maintain Document Change Rules



Table 6
General Ledger / Chart of Accounts Programms

Transaction Code
Description

RFBISA10


RFBISA20


RFTAXIMP







Table 7
General Ledger / Chart of Accounts Tables

Transaction Code
Description

BSEG
GL Document Line Item Table

TTXD
Tax Jurisdiction Code Structure Table

T030
Automatic Account Assignments Table

TZUN
GL Account Sort Key (Allocation Field) Table



Table 8
Accounts Payable Transaction Codes

Transaction Code
Description

FI12
House Banks

FCHI
Check Lots

FCHV
Void Reason Codes

FBZP
Payment Programme

OBD3
Vendor Groups

XKN1
Create Number Ranges for Vendor Groups

OBAS
Assign Number Ranges to Vendor Account Groups

FK15
Copy Vendor Master Records Creation Programme

FK16
Copy Vendor Master Records Creation Programme



Table 9
Accounts Receivable and Credit Management Transaction Codes

Transaction Code
Description

OBB8
Terms of Payment AP and AR

OB46
Interest Indicator

OB82
Make Interest Indicator Available to the Interest Calculation Program

OBAC
Reference Interest Rates

OB81
Assign Reference Interest Rates to Interest Indicators

OBV1
Interest Calculation Automatic Account Assignment

OBBE
Reason Codes

OBCR
Reason Code Conversion Version

OBCS
Map External Reason Codes to Internal Reason Codes

OBXL
Assign GL Accounts to Reason Codes

OBXI
Cash Discount Amount

OBA3
Customer Tolerance Groups

OB45
Credit Control Areas

OB01
Credit Risk Categories

OB02
Credit Representative Groups

OB51
Assign Employees to Credit Representative Groups

OB39
Days in Arrears Calculation

OBD2
Customer Groups



Table 10
Treasury Transaction Codes

Transaction Code
Description

OB10
Create Lockbox Accounts

OBAY
Define Lockbox Control Parameters

OBAX
Lockbox Posting Data

OT05
Source Symbols

OT14
Planning Levels

OT13
Planning Groups

OT47
Assign Logistics Transactions to Planning Levels

OT17
Treasury Groupings

OT18
Treasury Grouping Headers

OT16
Cash Management Account Names

OT29
Activate Company Code Treasury Updates

OBBY
Electronic Bank Statement Transaction Types

OT55
Assign Transaction Types to House Banks

OT57
Electronic Bank Statement Posting Rules

OT51
Map External Transactions to Posting Rules

OT59
Posting Rules Automatic Account Assignment

GCRF
Currency Translation Ratios



Table 11
CO Enterprise Structure Transaction Codes

Transaction Code
Description

OX06
Controlling Areas

OKKP
Activate CO Components for Controlling Areas

KANK
CO Document Number Ranges

KEP8
Operating Concern Definition

OKEQ
Planning Versions



Table 12
Cost Element Accounting Transaction Codes

Transaction Code
Description

OKB2
Automatic Cost Element Creation

OKB3
Create Batch Input Session for Automatic Cost Element Creation

KA06
Create Secondary Cost Elements

KA01
Create Primary Cost Elements

KSAZ
Overhead Costing Sheet

KALA
Activate Reconciliation Ledger

OBYB
Maintain Automatic Account Assignments for the Reconciliation Ledger

OK13
Number Ranges for Reconciliation Ledger Activity



Table 13
Cost Center Accounting Transaction Codes

Transaction Code
Description

KSH2
Cost Center Standard Hirearchy

OKE5
Profit Center Accounting Settings for the Controlling Area

KCH2
Profit Center Standard Hierarchy

KE59
Create Dummy Profit Center

OKA2
Cost Center Categories
Table 13
Cost Center Accounting Transaction Codes (Continued)

Transaction Code
Description

OKEG
Cost Center Time Dependency Fields

KS01
Create Cost Center

KK01
Statistical Key Figures

OKE1
Activity Types Time Dependency Fields

KL01
Activity Types

KCAU
Assessment Receiver Types

KSW1
Periodic Repostings

KSV1
Distributions

KSU1
Assessments

KP97
Copy Plan Data

KPU1
Planning Revaluation

KP65
Cost Planning Layout

KP34
Planning Profiles

OKB9
Cost Element Automatic Account Assignment



Table 14
Internal Orders Transaction Code

Transaction Code
Description

OKO6
Settlement Structure

OKEU
Origin Structure

OKO7
Settlement Profile

SNUM
Settlement Document Number Ranges

OKOS
Internal Order Planning Profile

OKOB
Budget Profile

OKOC
Availability Control

OK14
Budget Manager Maintenance

OPTK
Exempt Cost Elements for Availability Control

KANK
Planning Number Ranges

OK11
Maintain Number Ranges for Planning and Budgeting Objects

KOT2
Order Status Management

KOV2
Transaction Groups

OK02
Status Profile

BS52
Authorization keys for Status Management

KOT2
Order Types



Table 15
Profitability Analysis Transaction Codes

Transaction Code
Description

KEA0
Operating Concern Maintenance

KE4K
Derivation Table

KE04
Create Derivation Structures

KE05
Change Derivation Structures

KE07
Create Derivation Rules

KE08
Change Derivation Rules

KE41
Assign Condition Types to Value Fields

KE4M
Map SD Quantity Fields to CO-PA Quantity Value Fields

KE4W
Reset (Zero out) Value Fields

KEI1
CO-PA Settlement Structure

KEU1
Create Cost Center to CO-PA Assessment

KEF1
Planning Revaluations

KE14
Create Planning Layouts

KP34
Planning Profiles

KE4D
External Data Transfer Data Structures

KE4Z
External Data Transfer Assignment Groups

KE4E
Map External Data Transfer Fields to Characteristic and Value Fields

KEN2
CO-PA Planning Number Ranges

KEKK
Assign Controlling Area to Operating Concern

KEN1
CO-PA Actual Data Number Ranges

KER1
Report Line Structures

KE34
Create Forms

KE31
Create Report

KE3I
Create Transports



Table 16
Profit Center Accounting Transaction Codes

Transaction Code
Description

1KE1
Analyze Basic Settings

0KE4
Update Settings

ORK1
Profit Center Time-Based Fields

1KEB
Fast Assignment

0KEM
Sales Order Substitution

OKEL
Activate Sales Order Substitution

1KE4
Assignment Monitor

1KEF
Control Parameters for Actual Data Transfer

GCBX
Actual Document Types

GB02
Number Range Assignments

OKB9
Assign Revenue Elements

3KEH
Assign Additional Balance Sheet and P&L Accounts to PCA

2KET
Activate Balance Carry Forward for PCA

OKEQ
Maintain Versions

GCBA
Plan Document Types

GP41
Plan Parameters



Table 17
Profit Center Accounting Transaction Codes

Transaction Code
Description

OITA
Investment Profile

OIP1
IM Plan Profile

OIB1
Budget Profile

OIT8
Budget Categories

OIT5
Assign Actual Values to Budget Categories

OK11
Number Ranges



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