SAP Function Module search on TB_P



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TBLP_AUX_DISPLAY_INTERNAL_TAB - Intern: Anzeige der Werte und Rückgabe von Tabellen der Werte und Indizes

TBLP_AUX_GET_SEL_FROM_LIST - Dialogfenster zur Auswahl/Anzeige von Einträgen einer Liste (incl. Funkt.)

TBLP_AUX_GET_SORT - TBLP Creates the sort routine for the input table

TBLP_AUX_PRICE_CHANGE - TBLP Change price of valuated project stock

TBLP_AUX_SET_SORT - TBLP Set the sort criteria for Pay back etc

TBLP_CHECK_COBL_HEADER - MMIM: Prüfen der Kontierung auf Kopfebene

TBLP_COST_POST_CREATE - Post the costs for a transfer/loan movement TBLP

TBLP_CREATE_RESERVATION - MMIM: Creating Manual Reservations

TBLP_CREATE_RESERVATION_DOC - MMIM: Generating the Tables to be Posted Containing Reservation Items

TBLP_CREATE_RESERVATION_DOC_UT - MMIM: Wegschreiben der manuellen Reservierungen auf die Platte

TBLP_CREATE_RESERVATION_HEADER - MMIM: Kopf der Reservierung prüfen

TBLP_CREATE_RESERVATION_POS - MMIM: Prüfen und hinzufügen der einzelnen Reservierungspositionen

TBLP_F4_TLIND - TBLP Search Help for TLIND

TBLP_GET_KALNR - Get the Product Costing details

TBLP_GET_RESERVATION_NUMBER - MMIM: Reservierung anlegen

TBLP_GET_SELECTION - Pulls the selected Kalnr data into gt_seltab

TBLP_GOODS_ISSUE - TBLP Goods Issue to corresponding Order Reservation

TBLP_INSERT_RECORD - TBLP inserts a record into the table TBLP

TBLP_LOAN_PAYBACK - Payback loan - goods movement and costing

TBLP_LOCK_TABLE - TBLP Function that locks the TBLP object

TBLP_LST_COST_LIST - Transfer/loan and payback costing list

TBLP_LST_LOAN_PAYBACK - Loans to be paid back list

TBLP_LST_MAT2MAT_TRANS_CREATE - Transfer/loan Reservation/WBS stock list

TBLP_LST_POPUP_1 - Popup box confirming the creation of a Transfer/Loan

TBLP_LST_POPUP_2 - Popup box confirming records to be cancelled/paid back

TBLP_LST_POPUP_3 - Popup box confirming the creation of a Transfer/Loan

TBLP_LST_SET_CONFIG - Get the customising settings

TBLP_LST_TRANSFER_LOAN_CANCEL - Transfer/loan Cancellation list

TBLP_LST_TRANSFER_LOAN_CREATE - Transfer/loan Reservation/WBS stock list

TBLP_MAT2MAT_TRAN_CREATE - Create a material to material movement

TBLP_POPUP_TO_DISPLAY_TEXT - Popup, um beliebigen Text anzuzeigen

TBLP_P_INSERT_RECORD - TBLP inserts a record into the table TBLP_p

TBLP_P_UPDATE_RECORD - TBLP updates a record in the table TBLP_P

TBLP_READ_CONFIG - TBLP

TBLP_REFRESH_RESERVATION - MMIM: Zurücksetzen der Daten beim anlegen von Reservierungen

TBLP_SET_KALNR - Set the Product Costing details for Cancel/Payback

TBLP_SIMPLE_AUTHORITY_CHECK - TBLP Simple authority check

TBLP_TRANSFER_LOAN_CANCEL - Cancel a transfer/loan movement and costing

TBLP_TRANSFER_LOAN_CREATE - Create a transfer/loan movement

TBLP_UNLOCK_TABLE - TBLP Dequeue the TBLP lock object

TBLP_UPDATE_RECORD - TBLP updates a record in the table TBLP

TB_PARTNER_BANKACCOUNT_CHECK - NOTRANSL: Prüfung des Banktyps eines Geschäftspartners

TB_PARTNER_BANKACCOUNT_VALUES - NOTRANSL: Eingabemöglichkeiten für den Banktyp eines Geschäftspartners

TB_PARTNER_BANK_TYPE_CHECK - Check Partner Bank Category for Partner or Alternative Payer

TB_PARTNER_CHECK - Check Business Partner

TB_PARTNER_RELATIONS_GET - Generation of Partner Relationships for Limit Management for Drilldown

TB_PARTNR_DIVERT_CHARACT - Determination of Derived Limit Characteristics for Business Partner

TB_PARTNR_DIVERT_CHARACT_FRAME - Parenthesis: Determination Derived Limit Characts/Partner + Cust. Characts

TB_PARTNR_DIVERT_CHARACT_TABLE - Determination of Derived Limit Characteristics for a Table of Partners

TB_PARTNR_F4_SHLP - Search Help Exit: Parner No.

TB_PAYMENT_ALLOCATION - Define All Assignments to Payment Details

TB_PAYMENT_ALLOCATION_DETERMIN - Define Current Payment Details as SI

TB_PAYMENT_ALLOCATION_UPDATE - Update Assignment of Payment Details as Standing Instruction

TB_PAYMENT_CHANGEDOCUMENT_UPD - Payment Details (Standing Instructions) - Change Documents

TB_PAYMENT_DATA_FROM_SI_FILL - Read Standing Instruction for Payment Details

TB_PAYMENT_DATA_MAINTAIN - Maintain Single Payment Details

TB_PAYMENT_METHODS_CHECK - NOTRANSL: Prüfung und Sortierung einer Menge von Zahlwegen

TB_PAYMENT_METHODS_VALUES - NOTRANSL: Eingabehilfe für eine Menge von Zahlwegen

TB_PAYMENT_METHOD_CHECK - NOTRANSL: Prüfung des Zahlwegs

TB_PAYMENT_METHOD_SUPPL_CHECK - NOTRANSL: Prüfung des Zahlwegzusatzes

TB_PAYMENT_REQUEST_BUILD - Generate and Check Payment Request

TB_PAYMENT_REQUEST_BUILD_GROUP - Set Up Grouping Field for Payment Request

TB_PAYMENT_REQUEST_BUILD_GRP2 - Structure of Grouping Field for Payment Request (from EA 2.0)

TB_PAYMENT_REQUEST_INSERT - Create Payment Request in the Database

TB_PAYMENT_REQUEST_REVERSE - Cancel a Payment Request

TB_PAYMENT_REQUEST_REV_CHECK - Perform Checks for Cancelling a Payment Request

TB_PAYMENT_SETTLEMENT_READ - Import Payment Details for Transaction

TB_PAYMENT_SETTLEMENT_SELECT - Select Payment Details for Definition or Assignment (Screen)

TB_PAYMENT_SETTLEMENT_UPDATE - Update Payment Details (Standing Instructions)

TB_PAYMENT_SETTLEM_ALLOC_READ - Import Assignments for Payment Details

TB_POPUP_FOR_BDC_CONTROL - Dialog Box to Enter Parameters for Batch Input or Call Transaction Using

TB_POPUP_FOR_CONDITIONS - Dialog Box to Enter Condition Item Fields

TB_POPUP_TO_CONF_NO_WRKDAY_MLT - Working Day Check for a Date with Dialog Box Regarding Multiple Calendars

TB_POPUP_TO_MAINTAIN_ROUNDING - Maintain Rounding Settings with Category and Unit

TB_PORTFOLIO_CHECK - Check Portfolio

TB_POSITION_PAYMENT_DATA_FILL - Transfer Payment Details in Flows

TB_POSTING_COLUMN_HEADER_WRITE - Output Column Headers for Posting Log

TB_POSTING_DEAL_INFO_WRITE - Output Information for a Transaction in One Line >= 155 Columns

TB_POSTING_DETAILS_DETERMINE - Determine Posting Scheme for a Flow

TB_POSTING_FLOW_INFO_WRITE - Output Information for a Posted Flow

TB_POSTING_MESSAGE_STORE - Flag Error Message in the Posting Interface

TB_POSTING_MESSAGE_WRITE - Output an Error Message in the Posting Interface

TB_PROCATEG_OTC_VALUES - Input Help for Product Categories: OTC Derivatives

TB_PRODUCTCATEGORY_VALUES - Input Help for Product Category

TB_PRODUCTTYPE_CHECK - Check Product Type (Existence, Product Category, Application)

TB_PRODUCTTYPE_VALUES - Input Help for Product Type

TB_PROGRESS_INDICATOR - NOTRANSL: Verallgemeinerter SAPGUI_PROGRESS_INDICATOR

TB_PROT_ADD_MESSAGE - Treasury Posting Log: Add Messages to Log

TB_PROT_ADD_SEC_TRANSACTION - Treasury Posting Log: Add Securities Business Transaction

TB_PROT_CREATE_PROTOCOL - Treasury Posting Log: Initialize Log

TB_PROT_DELETE_PROTOCOL - Treasury Posting Log: Initialize Log

TB_PROT_DISPLAY_ALL_TRANS - Treasury Posting Log: Display Complete Log

TB_PROT_DISPLAY_ALL_TR_WRITE - Output Log with Simple Write Statement

TB_PROT_DISPLAY_BATCH - Treasury Posting Log: Log Output in Batch

TB_PROT_DISPLAY_FAILED_TRANS - Treasury Posting Log: Display Business Transactions with Errors

TB_PROT_DISPLAY_POSTED_TRANS - Treasury Posting Log: Display Posted Business Transactions

TB_PROT_GET_NUMBER_OF_TRANS - Treasury Posting Log: Read Number of Business Transactions

TB_PROT_INIT - Treasury Posting Log: Initialize Log

TB_PR_ACCOUNTTYPE_DETERMINE - Determine Account Type for Payment Request

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