SAP Function Module search on TPM_
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TPMO_GET_RECORDS - Read TPMO statistics (RFC)
TPMO_GET_TARGET_LANGUAGES - Read TPMO Target Languages (RFC)
TPMO_STORE_STATS - Store translation performance record
TPMO_UNDO_VERSION - Cumulate translation performance data
TPMO_V0_HEADER - Update header entry for version 0
TPM_ADJ_DISPLAY_PROTOCOL - Log Output
TPM_ADJ_PREPARE_PROTOCOL - Prepare Log
TPM_AD_ACCRUAL_DEFERRAL -
TPM_AD_ACCRUED_INT_OTC - Accrued Interest Calculation for OTC Transactions
TPM_AD_ACCR_DEF_REVERSE - Reversal of Accrual Deferreal
TPM_AD_CUST_MIGRATE_ENT2 - Data Migration Enterprise 1.0 -> 2.0: Accrual/Deferral Customizing
TPM_AD_CUST_MIGRATE_OTC - Data Migration: Accrual/Deferral Customizing for OTC Transactions
TPM_AD_CUST_UPDATE_DB - Update DB Changes
TPM_AD_LIST_REVERSAL_SHOW - Display Accrual/Deferral List
TPM_AD_LIST_SHOW - Display Accrual/Deferral List
TPM_AD_OTC_ACCDEF_MIGRATE - OTC Transactions: Migrate Existing Accruals/Deferrals
TPM_AD_OTC_INCEXP_MIGRATE - OTC Transactions: Enrich TRD for Accrual/Deferral-Relevant Flows
TPM_AD_SECURITIES_MIGRATE_EP2 - Migration of Securities Accruals/Deferrals CFM/EP1 --> EP2
TPM_AD_SELECT_FLOWTYPE_AD - Selection of updates types for AD
TPM_AD_SELECT_OTC_FHA - Selection of OTC Transactions with Parameters from VTBFHA
TPM_AD_SELECT_OTC_FHAZU - Selection of OTC Transactions with Parameters from VTBFHAZU
TPM_AD_SELECT_TRL_POSITIONS - Determine TRL Positions
TPM_AD_SH_FLOWTYPE_AD_EX - Search help for additional update type for AD
TPM_AD_UPDATE_DB - Update DB Changes
TPM_ARCHIVE_PROTOCOL_LINE_DTL - Display Archiving Protocol Details
TPM_ASSIGN_PL_TO_LOTS - Distribute Price/Rate Gains to Lots
TPM_ASSIGN_SIM_PL_TO_LOTS - Distribute Simulated Course/Rate Gains to Lots
TPM_CLASS_FLOWS_DEL_BUSTRANSID - Delete a Single Securities Account Position Change
TPM_CLOSE_MARGIN_DEDOC_FILL - Modify Migrated Close Margin Data
TPM_CLOSE_MARGIN_DEDOC_SET_MIG - Set Migration Flag
TPM_CLOSE_MARGIN_READ - Read Close Margin Data
TPM_CONDITION_TYPE_MIGRATE - Data Migration: Convert Condition Types
TPM_COND_FLOWS_CREATE - Generate New Condition-Based Flows
TPM_COND_FLOWS_CREATE_PAR - Convert Condition-Based Flows (Parallel Processing)
TPM_COND_FLOWS_MIGRATE - Build Business Transaction for Condition Flows
TPM_COND_FLOWS_MIGRATE_DELETE - Delete Securities Account Position Change Migration
TPM_COND_FLOWS_MIGRATE_SINGLE - Set Up Business Transaction for Manual Posting
TPM_CONV_PC_ADJUST_FLOW - Adjust TRLT_FLOW to Valuation Currency
TPM_CONV_PC_DERIVED_TRANS - Generate Derived Business Transaction after Conversion of Position Curr.
TPM_CONV_PC_UPDATE_DERIVFLOW - Change TRLT_DERIVFLOWS + Write Backup
TPM_CONV_PC_UPDATE_FLOW - Change TRLT_FLOW + Write Backup
TPM_CONV_PC_UPDATE_LOANFLOW - Change trlet_loan_flow + Write Backup
TPM_CONV_PC_UPDATE_POSITION - Change TRLT_POSITION + Write Backup
TPM_CONV_PC_UPDATE_VALFLOW - Change tlvt_val_flow + Write Backup
TPM_CONV_POS_CURR - Convert Issue/Contract/Transaction Currency
TPM_CONV_TO_LOCAL_CURRENCY - ***obsolete*** Translate foreign currency amount to local currency
TPM_CUST_CREATE_CLEARING_ASSIG - Data Migration: Customizing of Table for Derivation of Incoming Payments
TPM_CUST_CREATE_TAX_ASSIG - Data Migration: Customizing of Table for Tax Calculation
TPM_CUST_CREATE_TRS_ATTRIBUTES - Data Migration from DE Document Position Management
TPM_CUST_POSITION_CHANGE_CAT - Convert Position Change Categories
TPM_CUST_VALUATION - Generate Customizing for Key Date Valuation and Realization
TPM_DEALFLOWTYPE_CONVERT - Generate Update Types from Business Transaction Types
TPM_DEAL_MIGRATION - Migrate Security Transactions
TPM_DEAL_MIGRATION_DE - Convert Futures Transactions
TPM_DEAL_MIGRATION_DELETE - Delete Securities Account Position Change Migration
TPM_DEAL_MIGRATION_DE_RESET - Convert Futures Transactions
TPM_DEAL_MIGRATION_VTB2TRD - Set Up Link Table VTB2TRD
TPM_DEDOC_HEADER_UPDATE_DB - Update Module for TPMT_DEDOC_HDR
TPM_DERIV_MIGR_OTC - Migrate Derived Flows for OTC Transactions
TPM_DERIV_MIGR_SEC - Migrate Derived Flows for Securities
TPM_DIFF_DB_UPDATE - Update Module for DIFT_POS_IDENT
TPM_DIF_SHLP_EXIT_LOT_ATTR - Search Help Exit for Lot Information
TPM_DIF_SHLP_EXIT_TERM_ID - Search Help Exit for Differentiation Criteria
TPM_DTIL_DEAL_INFO_FOR_HM -
TPM_DTIL_GET_OCI_PER_DERI - Treasury: Read All OCI Amounts for a Derivative
TPM_DTIL_GET_OCI_PER_HR -
TPM_DTIL_RECLASSIFICATION - Reclassification (TRIL)
TPM_DTIL_RECLASSIFICATION_REV -
TPM_DTIL_REP_FLOW - TRIL Reporting for Flows
TPM_DTIL_REP_POS - TRIL Reporting for Positions
TPM_DTIL_REP_POS2 - TRIL Reporting for Positions
TPM_FLOWTYPE_CLASS_CONVERT - Generate Update Types from Business Transaction Types
TPM_FLOWTYPE_CONVERT - Generate Update Types from Position Flow Types
TPM_FVW4_CHECK_NEW_MBS_LOGIC - check if new ABS/MBS logic is active
TPM_GENERATE_DERIVED_TRANS - Generate Derived Business Transactions
TPM_GET_CURRENCY_SWAP_AMOUNTS - Determine Currency Swap Amounts for a Position
TPM_GET_TRL_POSITION - Return TRL Position for Transaction
TPM_INIT_LOTS_MIGRATE - Migrate Lot Initializations
TPM_INIT_LOTS_MIGRATE_SINGLE - Migrate Lot Initializations
TPM_INIT_LOTS_UPDATE - Update Module for TRQT_INIT_LOT
TPM_INIT_LOTS_UPDATE_COLLECT - Attach Data to Global Memory
TPM_INIT_LOTS_UPDATE_GET_FLOWS - Get Data from Global Memory
TPM_INSERT_TRET_PROTOCOL - Update TRET_PROTOCOL
TPM_MANUAL_POSTING_MIGRATE - Set Up Business Transaction for Manual Posting
TPM_MANUAL_POSTING_MIG_DELETE - Delete Securities Account Position Change Migration
TPM_MANUAL_POST_MIG_SINGLE - Set Up Business Transaction for Manual Posting
TPM_MIGC_COM_VALCLS_READ - Read Conversion Customizing for a Company Code
TPM_MIGC_COM_VALCLS_UPDATE - Update Module for Conversion Customizing
TPM_MIGPS_FILL_DEALS - Fill PS Account Assignments in Transactions
TPM_MIGPS_FILL_OTC_POSITIONS - OTC: Adjust Operative Data
TPM_MIGPS_FILL_OTC_SLD_TRANS - OTC: Adjust Operative Data
TPM_MIGPS_FILL_SEC_POSITIONS - OTC: Adjust Operative Data
TPM_MIGPS_FILL_SEC_SLD_TRANS - OTC: Adjust Operative Data
TPM_MIGPS_PROCESS_FILL_TRD - Fill PS Account Assignments in TRD Business Transactions
TPM_MIGPS_SLDT_FLOW_UPDATE - Update Module for SLDT_FLOW
TPM_MIGPS_TRD_FILL - Fill PS Account Assignments in TRD Business Transactions
TPM_MIGPS_TRD_FILL_OTC - Fill PS Account Assignments in TRD Business Transactions
TPM_MIGPS_TRD_FILL_SEC - OTC: Adjust Operative Data
TPM_MIGRCFM10_UPDATE - Update Module for VWBEVI and VWBEPP
TPM_MIGR_ACCDEF_OTC - Migration: Valuation of OTC Transactions
TPM_MIGR_UPDATE_DEALFLOWTYPE - DB Update of Update Types for Transaction
TPM_MIGR_UPDATE_DFTSOURCASS - DB Update of Assignment of Update Types
TPM_MIGR_UPDATE_DFT_PMC - DB Update of Assignment of Update Type to Position Change Category
TPM_MIGR_UPDATE_FLOWTYPE - DB Update of Update Types for Position
TPM_MIGR_UPDATE_TLVC_DFT_ASSGN - Database Update for TLVC_DFT_ASSGN
TPM_MIGR_UPDATE_TRSC_SECACCTRA - Update Table TRSC_SECACCTRANS
TPM_MIG_ACCOUNT_GROUPS - Copy Template: Company Code-Dependent Migration Step
TPM_MIG_ACCOUNT_GROUPS_MD - Copy Template: Company Code-Dependent Migration Step
TPM_MIG_AD_EXTRACT_OTC - Extraction of OTC Transactions for Accrual/Deferral
TPM_MIG_AD_EXTRACT_OTC_PAR - Remote: Processing a Package
TPM_MIG_AD_EXTRACT_OTC_SINGLE - Extraction of OTC Transactions for Accrual/Deferral
TPM_MIG_CHECK_DEALS - Checks in Transaction Management
TPM_MIG_CHECK_POSITIONS - Copy Template: Company Code-Dependent Migration Step
TPM_MIG_COMPARE_OTC - Comparison of HAPO and TRL Flows for OTCs
TPM_MIG_COM_VALCLS - Read General Valuation Class
TPM_MIG_COM_VALCLS_1 - Set Up Conversion Customizing for General Valuation Class
TPM_MIG_COND_FLOWS - Convert Flows Based on Conditions
TPM_MIG_CUSTOMIZE_FLOWTYPES - Set Up Securities Update Types for Migration to EP 2.0
TPM_MIG_CUSTOMIZE_FLOWTYPE_GDD - Set Up Update Types for Money Market Trading, ForEx, Derivatives
TPM_MIG_CUST_CM_FLAG - Set Up Flag: Cash Management Relevant
TPM_MIG_CUST_CM_FLAG_DB - Set Up Flag: Cash Management Relevant, Database Operations
TPM_MIG_CUST_FLAGS - Set Up Flags in Customizing
TPM_MIG_CUST_PAY_FLAG_DB - Set Up Table for Payment Relevance, Database Operations
TPM_MIG_CUST_POS_MAN_PROC_OTC - Set Up Parallel Position Management Procedures for OTC Transactions
TPM_MIG_CUST_POS_MAN_PROC_POST - Set Up Parallel Position Management Procedures (Update)
TPM_MIG_CUST_POS_MAN_PROC_RFC - Set Up Parallel Position Management Procedures (Update via RFC)
TPM_MIG_CUST_POS_MAN_PROC_RFC1 - Set Up Parallel Position Management Procedures: Read TRGT_MIGR_PMP via RFC
TPM_MIG_CUST_POS_MAN_PROC_SEC - Set Up Parallel Position Management Procedures for Securities
TPM_MIG_DELETE_RFDT - Delete an Entry from Table RFDT
TPM_MIG_DELETE_SECACCGRP - Delete Securities Account Groups in the Customizing Table
TPM_MIG_DELETE_VTBFHAPO_MIGR - Delete Flows from VTBFHAPO_MIGR
TPM_MIG_DETERMINE_DERIV_CAT - Determine Operative Position Management Procedure
TPM_MIG_DISFLOWTYPES_READ - Return Table of All Used Update Types for Derived BusTrans and Valuations
TPM_MIG_DISPLAY_COMPARISON_OTC - Show Result of Comparison for OTCs
TPM_MIG_DISPLAY_UNKNOWN_FLOWS - Output Flows That Could Not Be Identified
TPM_MIG_DISTRIBUTE - Transfer Flows
TPM_MIG_DISTRIBUTE_PAR - Set Up Securities Account Management and Quantity Positions in Parallel
TPM_MIG_DISTRIBUTE_TRS_TRQ - Set Up Securities Account Management and Quantity Positions (SWITCH)
TPM_MIG_DISTRIBUTION - Enrichment of Parallel Valuation Areas
TPM_MIG_DISTRIBUTION_001 - Setup of Parallel Valuation Area 001
TPM_MIG_DISTRIBUTION_001_PAR - Setup of Parallel Valuation Area 001 (Parallel Processing)
TPM_MIG_DISTRIBUTION_FUT - Enrichment of Parallel Valuation Areas: Futures
TPM_MIG_DISTRIBUTION_LOA - Enrichment of Parallel Valuation Areas: Loans
TPM_MIG_DISTRIBUTION_OTC - Enrichment of Parallel Valuation Areas: OTC
TPM_MIG_DISTRIBUTION_OTC_001 - Enrichment of Parallel Valuation Area 001: OTC
TPM_MIG_DISTRIBUTION_PAR - Enrichment of Parallel Valuation Areas (Parallel Processing)
TPM_MIG_DISTRIBUTION_SEC - Enrichment of Parallel Valuation Areas: Securities
TPM_MIG_DISTRIBUTION_SEC_001 - Enrichment of Parallel Valuation Area 001: Securities
TPM_MIG_EXTRACTION - Transfer Flows
TPM_MIG_EXTRACTION_GDD - Extract Operative GDD Business Transactions with Valuation-Dependent Flows
TPM_MIG_EXTRACTION_GDD_PAR - Parallel Processing of Transfer of Transactions in TRD Business Transact.
TPM_MIG_EXTRACTION_OTC_TRANS - Extract Operative GDD Business Transactions with Valuation-Dependent Flows
TPM_MIG_EXTRACTION_PAR - Enrichment of Parallel Valuation Areas (Parallel Processing)
TPM_MIG_EXTRACTION_RFC - Asynchronous Call to Process a Package (Extraction)
TPM_MIG_EXTRACTION_SEC - Extract Operative Securities Bus. Trans. with Valuation-Dependent Flows
TPM_MIG_EXTRACTION_SEC_PAR - Parallel Processing of Extracted Securities
TPM_MIG_EXTRACTION_SWITCH - Setup of Parallel Valuation Area 001
TPM_MIG_FILL_FLOW_STATE - Fill Undefined Posting Status for OTC Flows
TPM_MIG_FILL_TRD_FLOW - Fill Local Currency Amount of Fixed OTC Transactions
TPM_MIG_FLOWS_POS_COMPARE_OTC - Compare Money Market Positions/OTC Flows 'Old' vs. 'New'
TPM_MIG_FLOWTYPE_READ - Read Update Type for Migration
TPM_MIG_GET_PMP_OTC - Return a Position Management Procedure for OTCs
TPM_MIG_INIT_TRANSACTIONS - Copy Template: Company Code-Dependent Migration Step
TPM_MIG_INSERT_VTBFHAPO_MIGR - Set Up HAPO_MIGR
TPM_MIG_MAP_VARIANTS_TPM12 - Map ALV Variants of TPM12 to New Structures
TPM_MIG_MIGRATE_TRD - Fill Certain Fields in TRD/TRL Business Transactions
TPM_MIG_MIGRATE_TRD_FUT - Securities: Fill Certain Fields in TRD/TRL Business Transactions
TPM_MIG_MIGRATE_TRD_LOA - Securities: Fill Certain Fields in TRD/TRL Business Transactions
TPM_MIG_MIGRATE_TRD_OTC - OTC: Fill Certain Fields in TRD/TRL Business Transactions
TPM_MIG_MIGRATE_TRD_SEC - Securities: Fill Certain Fields in TRD/TRL Business Transactions
TPM_MIG_MODIFY_TRD - Update: Change or Add Enriched TRD Business Transactions
TPM_MIG_MODIFY_VTBFHAPO_MIGR - Update: Change/Add Flows in VTBFHAPO_MIGR
TPM_MIG_OTC_DATA_REPAIR - OTC: Adjust Operative Data
TPM_MIG_OTC_DATA_REPAIR_NEW - OTC: Adjust Operative Data
TPM_MIG_PIN_OTC - Set Up Position Indicators for OTC
TPM_MIG_PIN_OTC_PAR - Parallel Processing: Set Up Position Indicators for OTC
TPM_MIG_PIN_SEC - Set Up Position Indicators for Securities
TPM_MIG_PIN_SEC_DISPATCH - Set Up Position Indicators for Securities - Dispatcher
TPM_MIG_PIN_SEC_PAR - Set Up Position Indicators for Securities (Parallel Processing)
TPM_MIG_PIN_SEC_POST - Set Up Position Indicators (Update)
TPM_MIG_PIN_SEC_RFC - Set Up Position Indicators for Securities - RFC
TPM_MIG_POSITIONS_COMPARE - Copy Template: Company Code-Dependent Migration Step
TPM_MIG_POSITIONS_COMPARE_PAR - Securities: Parallel Comparison of 'Old' vs. 'New' Securities Positions
TPM_MIG_POSITIONS_COMPARE_RFC - Securities: Compare 'Old' vs. 'New' Securities Positions
TPM_MIG_POS_COMP_DISPATCH - WP: Dispatcher to Compare 'Old' vs. 'New' Securities Positions
TPM_MIG_PREPARE_INIT_SE - Copy Template: Company Code-Dependent Migration Step
TPM_MIG_PROCESS_DIST_PACK_PAR - Asynchronous Call to Process a Package (Set Up TRS, TRQ)
TPM_MIG_PROCESS_OTC_REPAIR - Perform Data Corrections for OTC Transactions
TPM_MIG_PROCESS_OTC_TRQ - Transfer OTC Transactions to Quantity Ledger
TPM_MIG_PROCESS_PACKAGE001_PAR - Asynchronous Call to Process a Package
TPM_MIG_PROCESS_PACKAGE_PAR - Asynchronous Call to Process a Package
TPM_MIG_PROCESS_VCL_ADJUST - Delete General Valuation Class for OTC Transactions
TPM_MIG_PROD_CAT_CVCL - Return Product Categories That Must Be Migrated for Valuation Class Transf
TPM_MIG_READ_RFDT - Get Entry from Table RFDT
TPM_MIG_SET_COM_VALCLS - Set General Valuation Class for Conversion
TPM_MIG_TRQ_OTC - Set Up Position Indicators for OTC
TPM_MIG_UPDATE_ATFTA_MIGR - Update ATFTA_MIGR (Migration FT for Money, ForEx, Derivatives)
TPM_MIG_UPDATE_BEPP - Update VWBEVI and VWBEPP
TPM_MIG_UPDATE_BTACT - Update Management Table TRGT_MIG_BTACT
TPM_MIG_UPDATE_TRD_TRL - Update Enriched TRD and TRL Business Transactions
TPM_MIG_UPDATE_TRLC_DFT_ASSGN - Enter Update Types for Expired Financial Transactions
TPM_MIG_UPDATE_TWD01 - Enter Securities Account Groups in the Securities Account Master Data
TPM_MIG_UPDATE_VTBFHAPO_MIGR - Update: Change Flows in VTBFHAPO_MIGR
TPM_MIG_UPDATE_VTBFHA_MIGR - Change Single Fields in VTBFHA
TPM_MIG_VALCLASS_ADJUST - Delete General Valuation Class from OTC Business Transactions
TPM_MIG_VALUATION_LOCK - Securities: Generate Locks for Valuations
TPM_MIG_VALUATION_LOCKS_PAR - Asynchronous Call to Process a Package
TPM_MIG_VALUATION_LOCK_OTC - OTC: Generate Locks for Valuations
TPM_MIG_VALUATION_LOCK_PAR - Generate Locks for Valuations (Parallel Processing)
TPM_MIG_VALUATION_LOCK_SEC - Securities: Generate Locks for Valuations
TPM_MIG_WRITE_INIT_SE - Copy Template: Company Code-Dependent Migration Step
TPM_MIG_WRITE_RFDT - Write Entry to Table RFDT
TPM_PA_SELECT_FLOWS - Selection of Flows from TRL for Profit Analyzer
TPM_PFL_POST_SINGLE_TRANS - Post single PFL transaction
TPM_PIN_BAV - Obsolete: Goto Reporting
TPM_PIN_CHANGE - Change Position Indicator
TPM_PIN_CHECK_DATA - Maintain Position Indicator
TPM_PIN_CHECK_SELECTION - Check Selection Parameters for Consistency
TPM_PIN_CREATE - Create Position Indicator
TPM_PIN_DELETE - Delete Position Indicator
TPM_PIN_DISPLAY - Display Position Indicator
TPM_PIN_MAINTAINANCE - Maintain Position Indicator
TPM_PIN_REPLACE_TEMP_DEALNUM - Replace Temporary Financial Transaction Number in PIN
TPM_PIN_SELECTION - Selection Screen
TPM_PIN_SIMULATE - Simulate the creation of positions
TPM_PIN_STOCK_EXCHANGE_READ - Read Exchange for Each Company Code and Class
TPM_PIN_TRF_READ - Read Futures Account Position Indicator
TPM_PIN_TRL_READ - Read Subledger Position Indicator
TPM_PIN_TRS_CREATE_CHANGE_DOC - Generate TRS Change Document
TPM_PIN_TRS_READ - Read Securities Account Position Indicator
TPM_PIN_TRS_WRITE_DOCUMENT - CHDO TPM_PIN_TRS => Gen. by RSSCD000
TPM_PIN_VALUE_REQUEST - Input Help
TPM_PIN_VALUE_REQUEST_GEN - F4 Help for TRL Positions
TPM_PIN_VALUE_REQUEST_POS - F4 Help for Positions for Futures and Listed Options
TPM_PIN_VALUE_REQUEST_SEC - F4 Help for Securities Positions
TPM_POSGUARD_UPGRADE - Data Migration: Restraints on Disposal of Securities Account Positions
TPM_PROCESS_COND_FLOWS_PAR - Asynchronous Call for Processing a Package (Condition-Based Flow)
TPM_PULL_POSITION_VALUES - get position values (parallel)
TPM_QTY_SHLP_EXIT_CSP_BUSTRANS - Search Help Exit for Business Transaction Information
TPM_REVERSE_PC_CONV - Reversal: Issue/Contract/Transaction Currency Conversion
TPM_REVERSE_PC_CONV_POST - Post Reversal of Issue/Contract/Transaction Currency Conversion
TPM_SAT_DELETE - Delete Business Transactions for Securities Account Transfers
TPM_SAT_FLOWTYPE_CONVERT - Generate Update Types for Securities Account Transfer
TPM_SAT_UPGRADE - Generate New Securities Account Transfers from Data in VWBE* Tables
TPM_SAT_UPGRADE_UNDO - Generate New Securities Account Transfers from Data in VWBE* Tables
TPM_SECACCGUARD_UPGRADE - Data Migration: Securities Account Locks
TPM_SEC_ACC_POS_CHANGE_DEL_DB - Delete Securities Account Position Change from Database
TPM_SEC_ACC_POS_CHANGE_MIGRATE - Migrate Carryforward Balances
TPM_SEC_ACC_POS_CHANGE_REVERSE - Cancel Securities Account Position Change
TPM_SEC_ACC_POS_CHG_DEL_SINGLE - Delete a Single Securities Account Position Change
TPM_SEC_ACC_POS_CHG_MIG_DELETE - Delete Securities Account Position Change Migration
TPM_SEC_ACC_POS_CHG_MIG_SINGLE - Migrate Securities Account Position Changes
TPM_SEC_BEPP_UPDATE - Update VWBEPP/VWBEPI
TPM_SEC_BEPP_UPDATE_COLLECT - Update VWBEPP/VWBEPI
TPM_SEC_BEPP_UPDATE_GET_FLOWS - Update VWBEPP/VWBEPI
TPM_SEC_BEPP_UPDATE_INITIALIZE - Update VWBEPP/VWBEPI
TPM_SEC_VWVORTR_MIGRATE - Migrate Carryforward Balances
TPM_SEC_VWVORTR_MIGRATE_SINGLE - Migrate a Single Balance Carryforward
TPM_SEC_VWVORTR_MIGR_DELETE - Delete Balance Carryforward Migration
TPM_SIMULATED_PL - Simulate Price Gains
TPM_SIMULATE_VALUATION - Simulate Valuation
TPM_SIMULATE_VALUATION_OTC_TMP - Simulate Valuation
TPM_SLA_DATA_DELETE - Delete TRL and TRAC Data
TPM_SLD_ASYNCH_DIST - Asynchr. Distribution SLD
TPM_SLD_ASYNCH_DIST_RFC - Asynchr. Distribution SLD
TPM_SLD_ASYNC_POSTING - Asynchronous Posting
TPM_SLD_ASYNC_POST_DISPLAY - Display Business Transactions to be Posted Asynchronously
TPM_SLD_POS_CURR_CHANGE - Perform Issue Currency Changeover
TPM_SLD_POS_CURR_CHANGE_DB_UPD - Update Module: Issue Currency Changeover
TPM_SLD_POS_CURR_CHANGE_REV - Reverse Emission Currency Changeover
TPM_THA_FORM_DETERMINE_CUST - Hedge Documentation: Determine Form
TPM_THXE_CREATE_EFFTEST - Create one eff test (retro or prosp)
TPM_THXE_CREATE_EFFTESTS - Create both eff test (retro and prosp)
TPM_THXE_ET_DISPLAY - Display sinlge hedge effectiveness test results
TPM_THXE_ET_DISPLAY_ALL - Display both hedge effectiveness test results
TPM_THXE_ET_LOG_DISPLAY - Effectiveness test log display
TPM_THXE_HDOC_ET_CHECK_REL - Checks if Doc is already in release
TPM_THXE_HDOC_ET_DEL_LOC - Del et hdoc locally
TPM_THXE_HDOC_ET_FILL_ALV - To fill hdoc list
TPM_THXE_HDOC_ET_READ_REL_CUST - Reads release customizing and returns relevant attrib.
TPM_THXE_HDOC_ET_RELEASE - Release/Send to release Doc
TPM_THXE_HDOC_ET_SAVE_LOC - Save et hdoc locally
TPM_THXE_HDOC_ET_USER_COM - user command docu screen
TPM_THXE_RUN_EFFTEST - TPM100: Run Effectiveness test
TPM_THXE_UPDATE_DERIV_TRANS - updates derived business transaction using ET-results
TPM_THX_ADD_MY_HREL - Add my hrel
TPM_THX_API_TRM_HMD_BUTTON_CB - Callback for modifying buttons during release
TPM_THX_API_TRM_HMD_DISPLAY_CB - Callback for displaying Documentation
TPM_THX_API_TRM_HMD_GET_TXT_CB - Get the text for the workitem
TPM_THX_API_TRM_HMD_LOCK_CB - Callback for locking Documentation
TPM_THX_API_TRM_HMD_REJECT_CB - Callback for rejecting Documentation
TPM_THX_API_TRM_HMD_RELEASE_CB - Callback for releasing Documentation
TPM_THX_API_TRM_HMD_RETURN_CB - Callback for returning Documentation
TPM_THX_API_TRM_HMD_RET_CB - Callback for workitem return Doc
TPM_THX_API_TRM_HME_BUTTON_CB - Callback for modifying buttons during release
TPM_THX_API_TRM_HME_DISPLAY_CB - Callback for displaying Documentation
TPM_THX_API_TRM_HME_GET_TXT_CB - Get the text for the workitem
TPM_THX_API_TRM_HME_LOCK_CB - Callback for locking Documentation
TPM_THX_API_TRM_HME_REJECT_CB - Callback for rejecting Documentation
TPM_THX_API_TRM_HME_RELEASE_CB - Callback for releasing Documentation
TPM_THX_API_TRM_HME_RETURN_CB - Callback for returning Documentation
TPM_THX_API_TRM_HME_RET_CB - Callback for workitem return Doc
TPM_THX_API_TRM_HM_BUTTON_CB - Callback for modifying buttons during release
TPM_THX_API_TRM_HM_DISPLAY_CB - Callback for displaying Designation / De-designation
TPM_THX_API_TRM_HM_GET_INFO - Get hrel-trans infos
TPM_THX_API_TRM_HM_GET_TXT_CB - Get the text for the workitem
TPM_THX_API_TRM_HM_LOCK_CB - Callback for locking Designation / De-designation
TPM_THX_API_TRM_HM_REJECT_CB - Callback for rejecting Designation / De-designation
TPM_THX_API_TRM_HM_RELEASE_CB - Callback for releasing Designation / De-designation
TPM_THX_API_TRM_HM_RETURN_CB - Callback for returning Designation / De-designation
TPM_THX_API_TRM_HM_RET_CB - Callback for workitem return Designation / Dedesignation
TPM_THX_APPL_AUTH_CHECK - P-Hedge Accounting Authorization Check
TPM_THX_APPL_CHECK_DUPL_POS - NOT USED
TPM_THX_APPL_CHECK_HREL - OBSOLETE
TPM_THX_APPL_CHECK_HREL_INIT - Check if hrel is not copied yet (initialization new val area)
TPM_THX_APPL_CHECK_LDC_DATA - Check data coming from legacy data conversion
TPM_THX_APPL_CHECK_POS_MGT - Checks the pos.mgmt procedure with risk type
TPM_THX_APPL_CREATE_HREL - Create Hedging Relationships
TPM_THX_APPL_CREATE_TESTPLAN - Calculates Effectiveness Test Plan
TPM_THX_APPL_DEDESIGNATE - OBSOLETE
TPM_THX_APPL_DESIGNATE - Handles Designate / Dedesignate / Rollover of Business Transaction
TPM_THX_APPL_GET_CSPREAD - Read latest credit spread value for securities / OTC / Loans
TPM_THX_APPL_GET_DES_FLOWS - Gets the information about the subposition
TPM_THX_APPL_GET_DES_FLOWS_TES - OBSOLETE
TPM_THX_APPL_GET_HREL - Reads Details of Hedging Relationship
TPM_THX_APPL_GET_HREL_SEARCH - OBSOLETE
TPM_THX_APPL_GET_HR_STATE - Get the HR status
TPM_THX_APPL_GET_INIT_MAPPING - get mapping information of initialization
TPM_THX_APPL_GET_NUMBER - Gets the number for HR entities
TPM_THX_APPL_GET_POS_MAN_PROC - Get pos.Mgmt procedure for a subposition
TPM_THX_APPL_GET_SUBPOS - Gets the information about the subposition
TPM_THX_APPL_GET_TRANS_FLOWS - Gets all Trans. / Flows for a Hedge Rel + Keydate
TPM_THX_APPL_GET_TRL_FLOWS - Get all TRL Flows for Hedge Item / Instrument / Relationship
TPM_THX_APPL_HDOC_AUTO - Creation of PDF in the DMS
TPM_THX_APPL_HDOC_DELETE - OBSOLETE
TPM_THX_APPL_READ_DV_MRKT_DATA - read market data container
TPM_THX_APPL_RELEASE - Handles Release of Business Transaction
TPM_THX_APPL_REVERSE - Handles Reversal of Business Transactions
TPM_THX_APPL_ROLLOVER - OBSOLETE
TPM_THX_APPL_SEARCH_BY_ATTR - Search Hedge Relation by Attributes
TPM_THX_APPL_SEARCH_BY_HINST - Search Hedge Relation by Hedging Instrument
TPM_THX_APPL_SEARCH_BY_HITEM - Search Hedge Relation by Hedge Item
TPM_THX_APPL_SEARCH_BY_SECID - OBSOLETE
TPM_THX_APPL_SEARCH_HRELS - OBSOLETE
TPM_THX_APPL_STRING_TO_BINARY - Converts the String to Binary
TPM_THX_APPL_UPDATE_HDOC - OBSOLETE
TPM_THX_APPL_UPDATE_HREL - Updates the Hedging Relationship
TPM_THX_APPL_UPDATE_HREL_ST - Updates the Hedging Relationship
TPM_THX_APPL_VALIDATE_DATES - Validation of the different dates
TPM_THX_BUSTRANS_CHECK_REL - To display hedge documentation
TPM_THX_BUSTRANS_DISP - Displays a Designated / Dedesignated Transaction
TPM_THX_BUSTRANS_READ_REL_CUST - Reads release customizing and returns relevant attrib.
TPM_THX_BUSTRANS_RELEASE - Release/Send to release Bus.Tr.
TPM_THX_CALL_DEDESIGNATE_FV - Misused name! Display reference for cylinder options
TPM_THX_CALL_DESIGNATE_FV - Designate / Dedesignate / Rollover
TPM_THX_CALL_FLOWS - Display all flows contained in a hrel
TPM_THX_CALL_HREL_INIT_SCREEN - Call screen for Hrel copy within Init
TPM_THX_CALL_HREL_SCREEN - Call display only TPM100
TPM_THX_CALL_POP_UP_CHG_D_DATE - Call change des/dedes date pop up
TPM_THX_CALL_POP_UP_DEDESIGN - Call dedesignate pop up
TPM_THX_CALL_POP_UP_DESIGN - Call designate pop up
TPM_THX_CALL_POP_UP_DISP_DATE - Call display date pop up
TPM_THX_CALL_POP_UP_EFFTEST - Call eff test choice pop up
TPM_THX_CALL_POP_UP_HD - Displays the Hypothetical Derivative in Pop up
TPM_THX_CALL_POP_UP_PERC - Call calculating percentage pop up
TPM_THX_CALL_POP_UP_RELEASE - Call release pop up
TPM_THX_CALL_POP_UP_REVERSE - Call reverse pop up
TPM_THX_CALL_POP_UP_ROLLOVER - Call rollover pop up
TPM_THX_CALL_POP_UP_SEL - Call product selection pop up
TPM_THX_CALL_POP_UP_SEL_HRELS - Misused to display swapped Hedging relationship
TPM_THX_CALL_POP_UP_US_GRAPH - Call Graphical User Settings Pop Up
TPM_THX_CALL_POP_UP_VAL_INIT - Call val area initialization pop up
TPM_THX_CALL_POP_UP_WORK_AREA - Used to display hedging area & exposure item
TPM_THX_CALL_REFRESH - Call refresh
TPM_THX_CALL_REVERSE - Reverse flows
TPM_THX_CALL_ROLLOVER_FV - To display our DMS Screen
TPM_THX_CALL_SCREEN_1100 - Call Screen 1100
TPM_THX_CHK_POS_MGT - OBSOLETE
TPM_THX_CLASS_LOG_CALC - Calculate Classification Log
TPM_THX_CLASS_PROCESS - processes the classification
TPM_THX_CLASS_PROCESS_PAR - Processes the hedge classification parallel
TPM_THX_DETER_HEDGE_RELEV - Determines if the position is already in Old Hedge
TPM_THX_DISP_CHANGE_DOCS - Change document cal from menu bar
TPM_THX_DISP_LOT_PROP - Call screen to display lot properties
TPM_THX_DISP_PIN - Display Pin
TPM_THX_DISP_POS - Display position
TPM_THX_DISP_PROFILE_DETAIL - Display all Profile relevant settings
TPM_THX_DISP_SEC - Display security
TPM_THX_DISP_TRANS - Display OTC
TPM_THX_DISP_TREE - To display tree structure
TPM_THX_DOC_NOTE_CHECK_SAVE - Check Notes
TPM_THX_DOC_NOTE_CLOSE - Call Close Notes
TPM_THX_DOC_NOTE_OPEN - Call Notes Popup
TPM_THX_DOC_NOTE_SAVE - Save Notes
TPM_THX_DOUBLE_CL_HI_HRELS - Double click on history hrels list
TPM_THX_DOUBLE_CL_HRELS - Display Hrel in Display mode
TPM_THX_DOUBLE_CL_MY_HRELS - Double click on my hrels list
TPM_THX_EFFTEST_PLAN_CHECK_CHG - Check Changes to Effectiveness Test Plan
TPM_THX_EFFTEST_RUN - Run Eff Test
TPM_THX_EFFTEST_USER_COM - user command eff test screen
TPM_THX_F4_GROUPING1 - F4 help for grouping 1
TPM_THX_F4_GROUPING2 - F4 help for grouping 2
TPM_THX_FILL_ALV_D - To display list for des, dedes & rol
TPM_THX_FILL_DED_ALV - To fill dedesignate list
TPM_THX_FILL_DES_ALV - To fill designate list
TPM_THX_FILL_EFFTEST_ALV - To fill eff test list
TPM_THX_FILL_EFFTEST_PLAN_ALV - To fill eff test plan list
TPM_THX_FILL_HDOC_ALV - To fill hdoc list
TPM_THX_FILL_HINST_ALV - To fill hinst list
TPM_THX_FILL_HITEM_ALV - To fill hitem list
TPM_THX_FILL_HREL_ALV - To fill hrel list (HITLIST)
TPM_THX_FILL_REV_ALV - To fill reverse list
TPM_THX_FILL_ROL_ALV - To fill rollover list
TPM_THX_GET_BOND_TYPE - Determines whether a bond is fixed rate or variable rate
TPM_THX_GET_CMM_SWAP_DATA - Get swap data
TPM_THX_GET_EXP_DATA - gets attributes of an exposure item
TPM_THX_GET_GRPCUST - Fetch the Group Customizing
TPM_THX_GET_HREL_STATUS_DATE - Display Log: Determination of Calculation Rule for Cost of Hedging Reserve
TPM_THX_GET_HRES_CALC_RULE - Get OCI Components and Cost of Hedging Reserve
TPM_THX_GET_LOANS_DATA - Gets attributes of a loan contract acting in hedging
TPM_THX_GET_NOTE - Get the note for the hedge item or instr.
TPM_THX_GET_OTC_DATA - gets attributes of an OTC in hedging
TPM_THX_GET_OTC_DETAILS - gets attributes of an OTC acting for Critical Terms Match
TPM_THX_GET_SCREEN_DATA - To get all screen data
TPM_THX_GET_SECURITY_DATA - gets attributes of a security ID
TPM_THX_GET_SEL_DATA - To get all selection data
TPM_THX_GET_TRANS_FOR_REV - Gets all Transactions for reversal
TPM_THX_GET_TRL_FLOWS - Get all TRL designated / dedesignated flows
TPM_THX_HDOC_AUTOMATIC - Hedge Documentation PDF form
TPM_THX_HDOC_CHECK_REL - Checks if Doc is already in release
TPM_THX_HDOC_READ_REL_CUST - Reads release customizing and returns relevant attrib.
TPM_THX_HDOC_RELEASE - Release/Send to release Doc
TPM_THX_HDOC_SAVE_LOC - Save hdoc
TPM_THX_HDOC_USER_COM - user command docu screen
TPM_THX_HITEM_HINST_ADD - Add a hitem/hinst (local save)
TPM_THX_HITEM_HINST_ADD_D - Add a hitem/hinst (local save) (for des,dedes & roll)
TPM_THX_HITEM_HINST_CALL_FLOWS - Display flows
TPM_THX_HITEM_HINST_CHECK_DEL - Check if delete is possible
TPM_THX_HITEM_HINST_CHECK_POS - Check existence
TPM_THX_HITEM_HINST_DEL - Delete from the list
TPM_THX_HITEM_HINST_DISP_PMP - Display Position management Procedure
TPM_THX_HITEM_HINST_INS - Add to list
TPM_THX_HITEM_HINST_SET_SUB - Set subscreen
TPM_THX_HITEM_HINST_USER_COM - user command hitem/hinst screen
TPM_THX_HREL_RELEASE_PAR - Processes the release of hedging business transaction parallel
TPM_THX_HREL_WRITE_CHG_DOC - Not used!
TPM_THX_MD_CALCULATE_PV - Calculate present value
TPM_THX_MD_CALL_CONTAINER - prepare for maintenance of market data
TPM_THX_MD_CALL_POP_UP - Call market data pop up
TPM_THX_MD_DELETE - save current market data
TPM_THX_MD_DETERMINE_DEFAULT - Determine market data to be enabled for maintenance
TPM_THX_MD_FILL_ACC_KF_ALV - To fill Accounting Key Figures for market data screen
TPM_THX_MD_FILL_HREL_ALV - To fill sec list for market data screen
TPM_THX_MD_FILL_NPV_ALV - To fill npv list for market data screen
TPM_THX_MD_FILL_SEC_ALV - To fill sec list for market data screen
TPM_THX_MD_FILL_YIRCURVE_ALV - To fill sec list for market data
TPM_THX_MD_FILL_YIR_ALV - To fill sec list for market data screen
TPM_THX_MD_GET_BUSTRANS_INFO - get information about business transaction ID
TPM_THX_MD_GET_SINGLE - get market data complete for a certain bustransID
TPM_THX_MD_GET_TRL_POSITION - derive TRL-positions by means of bustrans ID
TPM_THX_MD_GET_TRL_POS_FOR_HR - derive TRL-positions by means of bustrans ID
TPM_THX_MD_PV_GET - Get market data present value for business transaction
TPM_THX_MD_RECONCILE - reconcile already existing market data with proposal
TPM_THX_MD_RESET_DATA - reset tables
TPM_THX_MD_SAVE - save current market data
TPM_THX_MD_SEC_GET - get market data securities price
TPM_THX_NUMBER_GET_INFO - Buffered Access to Number Range Information
TPM_THX_PDF_EXIST_CHECK - checks if the PDF form given exists or not
TPM_THX_RESET_DATA - To reset all screen data
TPM_THX_RESET_SEL - To control product pop up
TPM_THX_RESET_SEL_DATA - To reset all screen data
TPM_THX_REVERSE_HDOC_EFFTEST - Change Documentation and Eff test on reverse
TPM_THX_SET_FCODE_TAB - To set function codes Hedge relationship tabs
TPM_THX_SET_HIST_DAYS - Set hrel history on/off
TPM_THX_SET_HIST_ON_OFF - Set hrel history on/off
TPM_THX_SET_HIST_TEXT - Set History on/off text
TPM_THX_SET_HREL_DATA - Get All Hedging Relationship Data
TPM_THX_SET_SEL_DATA - To set selection data
TPM_THX_UI_ACTIVITY_SET - To set the activity
TPM_THX_UI_HDG_DISPATCH - Dispatch
TPM_THX_UI_HDG_SEARCH - Start Searching
TPM_THX_UI_HDG_START - Start of application
TPM_THX_UPDATE_WORKINGLIST - Add hrel to hrel history
TPM_THX_USER_PARAMETER_GET - To get user parameter for workarea
TPM_THX_USER_PARAMETER_SET - To set user parameter for workarea
TPM_THX_WORKAREA_SUBSCREEN_SET - To call workarea pop up
TPM_TLV_AMORT_LOG_CALC - Calculate and Display Amortization Log
TPM_TLV_DISP_VALU_FLOWS - Treasury: Display Flows for a Valuation
TPM_TLV_DISP_VALU_POSITIONS - Treasury: Display Positions to Valuate
TPM_TLV_DISP_VALU_PROTOCOL - Treasury: Display Valuation Log
TPM_TLV_DISP_VALU_PROTOCOL_REV - Treasury: Display Valuation Log for Reversal
TPM_TLV_IMPAIRMENT_CHECK - Check Release of Impairment Functions
TPM_TLV_MIGR_OTC - Migration: Valuation of OTC Transactions
TPM_TLV_MIGR_SE - Migration: Valuation of Securities
TPM_TLV_PROCESS_PACKAGE - Valuates a Package of Positions
TPM_TLV_VARIANT_CHECK - Check if an ALV Variant Exists
TPM_TLV_VARIANT_VALUES - F4 Help for ALV Variant
TPM_TPMT_DEDOC_HDR_UPDATE - Update Close Margin DEDOCs
TPM_TPMT_DEDOC_HDR_UPDATE_DB - Update Close Margin DEDOCs
TPM_TRAC_AAR_CHECK_UNUSED_PC - Set Runtime Status of TRAC Positions
TPM_TRAC_ACCSYMGLCUST_UPDATE - Update Module for account determination
TPM_TRAC_ACC_PRINCIPLE_DETAIL - Detailed Information for Accounting Principle
TPM_TRAC_AUTHORITY_CHECK - Authorization Check for Selection Criteria
TPM_TRAC_AWKEY_HIDE - Perform HIDE for an AWKEY
TPM_TRAC_CHECK_ACCSYMBREP - Check Account Symbol Against Account
TPM_TRAC_CHECK_BANK_POST - Check Account Determination for Bank Postings
TPM_TRAC_CHECK_CUSTOMER_POST - Check Account Determination for Postings to Customer Account
TPM_TRAC_CHECK_GLSL_CUST - Check Customizing for Special Ledgers
TPM_TRAC_CHECK_PAYMENT_POST - Check Account Determination for Payment-Relevant Postings in New G/L
TPM_TRAC_DATABASE_DELETE - Update Module
TPM_TRAC_DATABASE_DELETE_GUID - Update Module
TPM_TRAC_DATA_DELETE - Delete Data for Accounting Adapter
TPM_TRAC_DB_AA_REF - DB Operations for Migration of Account Assignment References
TPM_TRAC_DB_AA_REF_DETERMIN - DB Operations for Migrating Account Assignment Reference Determination
TPM_TRAC_DB_ACCOUNT_DETERMIN - DB Operations for Migration of Account Determination
TPM_TRAC_DB_POSCONTEXT - DB Operations for Position Contexts
TPM_TRAC_DB_TRACC_DFT_REL - DB Operations on TRACC_DFT_REL
TPM_TRAC_DB_UPDATE - Database Update of TRAC Tables
TPM_TRAC_DETERMINE_NEW_AA_REF - Return New Account Assignment Reference for Several Old Ones
TPM_TRAC_DISPLAY_PROTOCOL - Display Migration Log
TPM_TRAC_DISP_AAR_LIST - Manual Editing of Account Assignment References
TPM_TRAC_DISP_INC_DETAIL - Displays Details for a Inconsisitency
TPM_TRAC_DISP_PP_ALL - Treasury: Posting Log - Display All Business Transactions
TPM_TRAC_DISP_PP_FAILED - Treasury: Posting Log - Display Business Transactions with Errors
TPM_TRAC_DISP_PP_POSTED - Treasury: Posting Log - Display Posted Business Transactions
TPM_TRAC_DISP_RP_ALL - Treasury: Reversal Log - Display All Business Transactions
TPM_TRAC_DISP_RP_FAILED - Treasury: Reversal Log - Display Business Transactions with Errors
TPM_TRAC_DISP_RP_REVERSED - Treasury: Reversal Log - Display Posted Business Transactions
TPM_TRAC_F4_INDUSTRY_SECTOR - F4 Help for Industry Sector
TPM_TRAC_GET_IDENTIFIERS - Return Identifier for Derivation Tool
TPM_TRAC_GET_NEW_AA_REF - Return a New Account Assignment Reference for an Old One
TPM_TRAC_GET_NEW_AA_REF_TABLE - Return Table of New Account Assignment References for an Old One
TPM_TRAC_GET_OLD_AA_REF - Return Old Account Assignment Reference for a New One
TPM_TRAC_MESSAGE_HIDE - Perform HIDE for a Message
TPM_TRAC_MIG_AA_REF - Migration of Account Assignment Reference
TPM_TRAC_MIG_AA_REF_DETERMIN - Migration of Account Assignment Reference Determination
TPM_TRAC_MIG_AA_REF_TOTAL - Migration of AA Reference Determin. and Company Code Position Indicator
TPM_TRAC_MIG_ACCOUNT_DETERMIN - Migration of Account Determination
TPM_TRAC_MIG_ACCREL_FLOWTYPE - Migration of Posting-Relevant Update Types
TPM_TRAC_MIG_CC_POS_INDICATOR - Migration of Company Code Position Indicator
TPM_TRAC_MIG_GET_FI_DATA - Enrich Documents with FI Data and Master Data
TPM_TRAC_MIG_GET_FI_DATA_FUT - Enrich Futures Documents with FI Data and Master Data
TPM_TRAC_MIG_GET_FI_DATA_LOAN - Enrich Loan Documents with FI Data and Master Data
TPM_TRAC_MIG_GET_FI_DATA_OTC - Enrich OTC Transaction Documents with FI Data and Master Data
TPM_TRAC_MIG_GET_FI_DATA_PAR - Parallel Enrichment of Documents with FI Data and Master Data
TPM_TRAC_MIG_GET_FI_DATA_SEC - Enrich Securities Documents with FI Data and Master Data
TPM_TRAC_MIG_PROCESS_FI_DATA - Enrich TRAC Documents with FI Data
TPM_TRAC_MIG_TRANSFER_POST - Balance Sheet Account Transfers Due to Migration
TPM_TRAC_PJ_DISPLAY - Display Posting Journal
TPM_TRAC_PJ_DISPLAY_BY_BT_ID - Select Posting Journal Data by Business Transaction ID
TPM_TRAC_PJ_GET_DATA_FOR_FLOW - Posting Information for a Flow
TPM_TRAC_PJ_GET_DATA_FOR_POS - Posting Information for a Position
TPM_TRAC_PJ_SELECT - Select Posting Journal Data
TPM_TRAC_PJ_SELECT_BY_AWKEY - Select Posting Journal Data by AWKEY
TPM_TRAC_PJ_SELECT_BY_BT_ID - Select Posting Journal Data by Business Transaction ID
TPM_TRAC_PJ_SELECT_ID_BY_POST - Select Business Transactions by Posting Date
TPM_TRAC_POS_CURR_CHANGE - Perform Issue Currency Changeover
TPM_TRAC_POS_CURR_CHANGE_DBUPD - Update Module: Issue Currency Changeover
TPM_TRAC_POS_CURR_CHANGE_REV - Reverse Emission Currency Changeover
TPM_TRAC_PRQKEY_HIDE - Perform HIDE for Key of a Payment Request
TPM_TRAC_PRT_BUFFER - TPM/TRAC: protocol - buffer data
TPM_TRAC_PRT_DISPLAY - TRM/TRAC: Protocol - Display
TPM_TRAC_QUEUE_CREATE_TRD_TR - Generate TRD Business Transactions
TPM_TRAC_QUEUE_DISTRIBUTE - Distribute Business Transactions in TRAC
TPM_TRAC_QUEUE_GET_DATA - Read Any Specified CRM Reason for Reversal
TPM_TRAC_QUEUE_SAVE - Update Resubmission
TPM_TRAC_QUEUE_SELECT - Read Resubmission
TPM_TRAC_QUEUE_SET_DATA - Set Any Specified CFM Reason for Reversal
TPM_TRAC_REPAIR_POST - Trigger Subsequent Posting
TPM_TRAC_REPAIR_REVERSE - Trigger Subsequent Reversal
TPM_TRAC_TEST_AA_REF_DETERMIN - General Valuation Class Determination Test
TPM_TRAC_TEST_ACCKEYFIG_DETERM - Accounting relevant Keyfig . Determination Test
TPM_TRAD_TRANSACTION_SHOW - Display Dialog Box for Accrual/Deferral Data
TPM_TRANS_GET_FLOWS - Determine Flows for a Transaction
TPM_TRAT_DISPLAY_TRANSFER_POS - Display Positions to be Transferred
TPM_TRAT_GET_DATA_FOR_AART - Set Data for Account Assignment Reference Transfer Posting for Reporting
TPM_TRAT_GET_DATA_FOR_AART_OLD - Set Data for Account Assignment Reference Transfer Posting for Reporting
TPM_TRAT_MIGR - Acct Assignment Ref. Transfer Migration
TPM_TRCO_CHECK_OBLIG_CREATE - Check obligatory fields
TPM_TRCO_CHECK_TABLES_CREATE - Check obligatory fields for exchanges
TPM_TRCO_CHECK_VALUES_CHANGE - Check if specified values are allowed
TPM_TRCO_CHECK_VALUES_CREATE - Check if specified values are allowed
TPM_TRCO_COMMODITY_MAINTAIN - Maintain commodity master data
TPM_TRCO_CTY_DB_UPDATE - Update module
TPM_TRCO_CTY_DELETE_POSSIBLE - Check if a commodity can be deleted
TPM_TRCO_CTY_WRITE_LOCK - Apply write lock on Commodity master data
TPM_TRCO_CTY_WRITE_UNLOCK - Unlock Commodity master data
TPM_TRCO_DCSMD_MAINTAIN - Maintain Futures Market Data
TPM_TRCO_GET_DCSMIC - Returns DCS and MICs for real commodity
TPM_TRCO_GET_EXCHNG_DETAILS - Returns details for Commodity and Exchange
TPM_TRCO_MDATA_CTY_DELETE - Delete Commodity master data
TPM_TRCO_MDATA_CTY_DISPLAY - Retrieve relevant info of a particluar commodity
TPM_TRCO_MDATA_CTY_MODIFY - Create/update Commodity master data
TPM_TRCO_SHLP_EXIT_CTY_DCS_MIC - Search help exit for DCS/MIC based on Commodity ID
TPM_TRCO_SHLP_EXIT_F4_CTY_ID_C - Search help exit for commodity ID (collective)
TPM_TRCO_SHLP_EXIT_F4_CTY_ID_D - Search help exit for commodity ID based on DCS/MIC
TPM_TRCO_SHLP_EXIT_F4_CTY_ID_F - Search help exit for commodity ID (fuzzy search)
TPM_TRC_FDW1_CLEAR - Tabelle FDW1 leeren
TPM_TRC_FDW1_DB_DELETE - Löschbaustein
TPM_TRC_MIG_CUST_CM_FLAG - Set Up Flag: Cash Management Relevant
TPM_TRDT_ADMIN_GET - Legacy Data Transfer: Read Administration Entries
TPM_TRDT_ADMIN_POST - Legacy Data Transfer: Update Administration Tables
TPM_TRDT_BUSTRANSID_SELECT - Abhängige BusTransID zur Des.BusTransID selektieren
TPM_TRDT_DATA - Legacy Data Transfer: Process Data
TPM_TRDT_DATA_CHECK_SECURITIES - Check Security Data Entries
TPM_TRDT_DATA_CREATE_FLOWS - Legacy Data Transfer: Generate Flows
TPM_TRDT_DATA_ENRICH_LOT - Legacy Data Transfer: Determination of Lot ID
TPM_TRDT_DATA_IMPORT - Legacy Data Transfer: Import ext. data
TPM_TRDT_DATA_OUTPUT - Legacy Data Transfer: Log Output
TPM_TRDT_DATA_PROCESS - Legacy Data Transfer: Process Data
TPM_TRDT_DATA_PROCESS_PACKAGE - Legacy Data Transfer: Process RFC Package
TPM_TRDT_DATA_PROCESS_PARALLEL - Legacy Data Transfer: Parallel Processing
TPM_TRDT_DATA_SUBPOS - Legacy Data Transfer: Process Data
TPM_TRDT_DATA_SUBPOS_OID_DET - Determine Subposition OID
TPM_TRDT_DATA_SUBPOS_OUTPUT - Legacy Data Transfer: Log Output
TPM_TRDT_DATA_SUBPOS_PROCESS - Legacy Data Transfer: Process Data
TPM_TRDT_FLOWTYPE_GET - Legacy Data Transfer: Read Update Types
TPM_TRDT_GET - Legacy Data Transfer: Read Legacy Data Table
TPM_TRDT_GET_SUBPOS - Legacy Data Transfer: Read Legacy Data Table
TPM_TRDT_POS - Legacy Data Transfer Positions
TPM_TRDT_POST - Legacy Data Transfer: Update Legacy Data Tables
TPM_TRDT_POST_IMPORT - Legacy Data Transfer: Import Legacy Data Tables
TPM_TRDT_POS_OUTPUT - Legacy Data Transfer: Output Log for Positions
TPM_TRDT_POS_PROCESS - Legacy Data Transfer: Process Positions
TPM_TRDT_POS_PROCESS_PACKAGE - Legacy Data Transfer: Package Processing
TPM_TRDT_POS_PROCESS_PARALLEL - Legacy Data Transfer: Parallel Processing of Positions
TPM_TRD_DELETE - Delete Migration Data in Distributor
TPM_TRD_DELETE_POST - Update Module for TPM_TRD_DELETE
TPM_TRD_DISPLAY_BUSTRANS - Display Distributor Business Transaction
TPM_TRD_DISTRIBUTE_QUEUED_BT - Distribute Business Transactions from Resubmission
TPM_TRD_DISTRIBUTE_SAVE_COMMIT - Distribution, Save, and Commit Handling
TPM_TRD_FLOW_POST - Update Module TRDT_FLOW
TPM_TRD_GET_DEALS_FOR_COMPCODE - Return All Transaction Numbers in the Distributor for a Company Code
TPM_TRD_GET_TRANS_AFTER_DATE - Read Business Transaction IDs by Key Date for OTC Transactions
TPM_TRD_PACKAGE_BUILDER - Bundling for TRD Business Transactions
TPM_TRD_PFL_PROCESS - PFL processing
TPM_TRD_POS_CURR_CHANGE - Perform Issue Currency Changeover
TPM_TRD_POS_CURR_CHANGE_DB_UPD - Update Module: Issue Currency Changeover
TPM_TRD_POS_CURR_CHANGE_REV - Reverse Emission Currency Changeover
TPM_TRD_SELECT_BT_FROM_QUEUE - Select Business Transactions for Resubmission
TPM_TREA_ACCEPT_CLEARING - Accept Clearing
TPM_TREA_CALL_POP_UP_ACCEPT - Accept clearing
TPM_TREA_CALL_POP_UP_ACC_CAN - Cancel accept clearing
TPM_TREA_CALL_POP_UP_CHG - Change novation partner
TPM_TREA_CALL_POP_UP_CHG_CAN - Cancel change novation partner
TPM_TREA_CALL_POP_UP_REJECT - Reject
TPM_TREA_CALL_POP_UP_REJ_CAN - Cancel reject clearing
TPM_TREA_CANCEL_CLEARING - Cancel accepted/rejected/changed clearing
TPM_TREA_CF_STATEMENT_START - Start Maintainnance of CashFlow Statement
TPM_TREA_CF_STAT_IMPORT_BAPI - BAPI: import of CF in SAP Specific format
TPM_TREA_CF_STAT_UP_CALL_UI - Calls the UI for the Statement Excel Upload
TPM_TREA_CHANGE_CLEARING - Change Clearing Partner
TPM_TREA_DISPLAY_EXT_ACCOUNT - Display Ext. Account
TPM_TREA_DISPLAY_ICON_LIST - Display Icon legend
TPM_TREA_DISPLAY_PARTNER - Display Partner
TPM_TREA_EXT_ACCOUNT_START - Maintainance of External Account
TPM_TREA_FILL_FLOWS_ALV - Fill Flows ALV
TPM_TREA_FILL_HISTORY_ALV - Fill History ALV
TPM_TREA_FILL_LIST_ALV - Fill HITLIST
TPM_TREA_FILL_PAYDET_ALV - Fill Payment Details ALV
TPM_TREA_FLOW_PROTOCOL - TREA. Flow Protocol
TPM_TREA_GET_SCREEN_DATA - Get scren data
TPM_TREA_GET_SEL_DATA - To get all selection data
TPM_TREA_MLM_CALC_RUN_DISPLAY - Displays all calc run information for given data
TPM_TREA_MLM_GET_DATA - Margin Limit Positions - Get Output Data
TPM_TREA_MLM_PAYMENT_START - Start creation of MLM payment
TPM_TREA_MLM_POSITIONS - Margin Limit Positions - Periodic View
TPM_TREA_MLM_VALIDATION - Check CA MLM validation
TPM_TREA_NET_PAYMENT_START - Start Creation of Net Payment
TPM_TREA_NOVATION_REPORT_START - Novation History Report
TPM_TREA_REJECT_CLEARING - Reject Clearing
TPM_TREA_RESET_SCREEN_DATA - To reset all screen data
TPM_TREA_RESET_SEL_DATA - To reset all selection data
TPM_TREA_SET_FCODE_TAB - To set function codes Hedge relationship tabs
TPM_TREA_SET_SEL_DATA - To set selection data
TPM_TREA_SHOW_KEY_FIGURE - Shows EA objects and subsequents for TREAT_KEY_FIGURE
TPM_TREA_STATEM_RELEASE_DISP - Display Statement Items for Release
TPM_TREA_UI_ACTIVITY_SET - To set the activity
TPM_TREA_UI_CCP_DISPATCH - Dispatch
TPM_TREA_UI_CCP_SEARCH - Start Searching
TPM_TREA_UI_CCP_START - Start of application
TPM_TREA_UI_SET_WORKAREA - Set workarea on UI
TPM_TREA_WORKAREA_SUBSCREENSET - To call workarea pop up
TPM_TRE_CHECK_POOL4ENDOWMENT - Check if Pool Is Allowed for Endowment
TPM_TRE_ENDOWMENTS_GET - Return Endowments for Selection Conditions
TPM_TRE_ENDOWMENT_CHECK_DELETE - Checks Whether an Endowment Can Be Deleted
TPM_TRE_ENDOWMENT_CONVERT - Convert Keys of Endowments to SY Variables
TPM_TRE_ENDOWMENT_DATA_GET - Read Master Data for Endowment
TPM_TRE_POOLS_GET - Return Pools for Selection Conditions
TPM_TRE_POOL_CHECK_DELETE - Check Whether a Pool Can Be Deleted
TPM_TRE_POOL_DATA_GET - Read Master Data for Endowment
TPM_TRE_POOL_GET_DATA - Return Data for an Endowment Pool
TPM_TRF_CALC_POS_COLLECT_ALL - Prepare Calculation Futures Display
TPM_TRF_CALC_POS_DISPLAY_ALL - Prepare Calculation Futures Display
TPM_TRF_CALC_POS_LIST_DISPLAY - Prepare Calculation Futures Display
TPM_TRF_CASHFLOW_DISPLAY - Prepare Calculation Futures Display
TPM_TRF_CASHFLOW_DISPLAY_INIT - Cash Flow Display: Initial Screen
TPM_TRF_CASHFLOW_DISP_CLASSPOS - Prepare Calculation Futures Display
TPM_TRF_CF_FOR_CLASS_POS - Prepare Calculation Futures Display
TPM_TRF_CLASS_POS_LIST_DISPLAY - Prepare Calculation Futures Display
TPM_TRF_DATA_DELETE - Deletion Module for Migration
TPM_TRF_DISTRIBUTION_RESET - Cancel Business Transaction Distribution
TPM_TRF_F4_CASHFLOW_DISPLAY - F4 Help to Display Cash Flow of Futures/Options
TPM_TRF_FLOWS_READ - Read Flows for Calculation Positions
TPM_TRF_FLOW_MAINTAIN - TRTMPM: Enter or Process a Single Flow
TPM_TRF_GET_MATCH_PROPOSAL - Matching Proposal
TPM_TRF_MAN_POST_DISPLAY - Enter Data for Manual Posting
TPM_TRF_MAN_POST_MAINTAIN - Enter Data for Manual Posting
TPM_TRF_MAN_POST_REVERSE - Enter Data for Manual Posting
TPM_TRF_MAN_POST_SAVE - Save Manual Posting
TPM_TRF_MAN_POST_SAVE_REVERSE - Save Manual Posting
TPM_TRF_MAN_POST_START - Start Manual Posting
TPM_TRF_MAN_POST_UPDATE_DB - Update Module
TPM_TRF_MASTER_DATA_READ_OF_BF - Read Buffered Master Data for Options/Futures
TPM_TRF_MATCH_TRANS_DISPLAY - Overview of Matching Business Transactions
TPM_TRF_MATCH_TRANS_OVERVIEW - Overview of Matching Business Transactions
TPM_TRF_MATCH_TRANS_REVERSE - Overview of Matching Business Transactions
TPM_TRF_OPEN_MATCH_BCKG - Create Matching Business Transaction based on Matching Proposal
TPM_TRF_OPEN_MATCH_DIAL - Matching UI
TPM_TRF_PACC_BANK_CHECK - Check Consistency of Data Structure
TPM_TRF_PACC_BANK_UPDATE - Update module
TPM_TRF_POS_ACCOUNT_READ - Read Futures Account Master Data
TPM_TRF_POS_ACCOUNT_READ_RFC - Read Futures Account Master Data
TPM_TRF_PROTOCOL_DISPLAY - Display Flow Log
TPM_TRF_PROTOCOL_PREPARE - Flow Log for TRF
TPM_TRF_QUANTITY_CHECK - Check Module
TPM_TRF_TRANSACTION_DISPLAY - Display TRF Business Transaction
TPM_TRF_VALUES_DISPLAY - Display Position Values
TPM_TRGC_TAX_UPDATE - Update Module: trgc_tax
TPM_TRG_ACCDEF_CALCULATE - Determine Key Figures for TRL Position
TPM_TRG_ACCOUNT_GROUPS - Form and Check Securities Account Groups
TPM_TRG_ACC_INTEREST_GET - Determine Key Figures for TRL Position
TPM_TRG_AD_OTC_IS_MIGRATED - Can new accrual/deferral run start?
TPM_TRG_AQUISITION_VALUE_GET - Determine Acquisition Value
TPM_TRG_AUDIT - Treasury: Function for system audit
TPM_TRG_AUDIT_COMM_PRTYPE - get producttypes for commodities
TPM_TRG_AUTHORITY_CHECK - Check Authorization for a Position
TPM_TRG_AUTH_CHECK_FUND - Check Authorization for Funds
TPM_TRG_AUTH_CHECK_GRANT - Check Authorization for Funds
TPM_TRG_BATCH_INITIALIZATION - Initialize Parallel Valuation Areas
TPM_TRG_BATCH_MIGRATION - Execute Migration in Batch Run
TPM_TRG_CASHFLOW_FOR_POSITION - Calculate Effective Interest Rate for TRL Item
TPM_TRG_CCEXIT_REMOTE - Exit for Remote Client Copy (Treasury, CO-PA Derivation Tool)
TPM_TRG_CCEXIT_TRANS_CD - Exit for Client Transp. w/o Client-Indep. Obj. (Treasury, CO-PA Der. Tool)
TPM_TRG_CCEXIT_TRANS_CI - Exit for Client Transport w/Client-Indep. Obj. (Treasury, CO-PA Der. Tool)
TPM_TRG_CHECK_MIGR_20 - Check if Migration to Enterprise 2.0 Is Needed
TPM_TRG_CHECK_MIGR_CAT - Check if Conversion Type Is Set
TPM_TRG_CHECK_MIG_CONTROL_DB - Check if Database Update Is Needed
TPM_TRG_CHECK_POS_VALUES - Check Module for Position Values
TPM_TRG_CHECK_PS_AND_BLOCK - Check if PS Integration Is Active and Raise Error Message if Necessary
TPM_TRG_CREATE_RANGES - Generate Ranges from Differentiation Structure
TPM_TRG_CURRENT_MODULE - x
TPM_TRG_CUST_MESSAGE - Output Configurable Message
TPM_TRG_DB_RESET - Reset Update Data
TPM_TRG_DB_SAVE - Update
TPM_TRG_DELETE_CASH_FLOWS - Delete Cash Flows
TPM_TRG_DE_MIGRATE - Data Migration from DE Document Position Management
TPM_TRG_DE_MIGRATION - Data Migration from DE Document Position Management
TPM_TRG_DE_MIGRATION_DELETE - Delete Data Migration
TPM_TRG_DE_MIG_SINGLE_DELETE - Delete Data Migration
TPM_TRG_DE_MIG_SINGLE_POS - Data Migration from DE Document Position Management
TPM_TRG_DE_MIG_STEP1 - Data Migration from DE Document Position Management
TPM_TRG_DE_MIG_STEP3 - Data Migration from DE Document Position Management
TPM_TRG_DISPLAY_CASH_FLOWS - Display Cash Flows
TPM_TRG_EA_SELECTION - Select External Accounts
TPM_TRG_EXECREV_STEPS_DELE - Delete Executed and Canceled Migration Steps from the DB
TPM_TRG_EXECREV_STEPS_DELE1 - Delete Executed and Canceled Migration Steps (TRGT_MIGR1)
TPM_TRG_EXECREV_STEPS_READ - Read Executed and Canceled Migration Steps
TPM_TRG_EXECREV_STEPS_READ1 - Read Executed and Canceled Migration Steps (TRGT_MIGR1)
TPM_TRG_EXECREV_STEPS_SAVE - Save Executed and Canceled Migration Steps
TPM_TRG_EXECREV_STEPS_SAVE1 - Save Executed and Canceled Migration Steps (TRGT_MIGR1)
TPM_TRG_EXEREV_INIT_STEP_DELE - Delete Executed and Canceled Initialization Steps from the DB
TPM_TRG_EXEREV_INIT_STEP_READ - Read Executed and Canceled Initialization Steps
TPM_TRG_EXEREV_INIT_STEP_SAVE - Save Executed and Canceled Initialization Steps
TPM_TRG_F4_FUND - F4 Help for Funds
TPM_TRG_FAST_INITIALIZATION - Initialize Parallel Valuation Areas
TPM_TRG_FILL_VAL_CLASS - Fill valuation class?
TPM_TRG_FILTER_BY_AUTHORITY - Filter Transferred Table by Authorization for Position
TPM_TRG_FST_OUTGOING_NPV_CALC - NPV for delivered units of FST
TPM_TRG_FUND_CHECK - Check Existence of a Fund
TPM_TRG_FUND_GET_DATA - Return Data for Fund
TPM_TRG_GET_FIKRS_BY_BUKRS - Return FM Area of a Company Code (Buffered)
TPM_TRG_GET_INIT_DATE - Read Initialization Date
TPM_TRG_GET_MIGR_CUST - Read Customizing for Conversion
TPM_TRG_GET_MIGR_CUST_REQUEST - Read Customizing Request
TPM_TRG_GET_PARAM - Return Parameters and Parameter Values
TPM_TRG_GET_PRODUCT_GROUP - Determine Product Group Based on Product Type
TPM_TRG_GET_PROD_CAT_RANGES - Generate Selection Ranges for Various Product Groups
TPM_TRG_GET_PROD_TYPE_RANGES - Read Ranges for Product Types
TPM_TRG_GET_REPAYMENT_DATE - Return Date for Final Repayment for a Bond
TPM_TRG_GET_SOURCE_NAME - Determine Long Text for Origin
TPM_TRG_GRANT_CHECK - Check Existence of a Grant
TPM_TRG_GRANT_GET_DATA - Return Data for Grant
TPM_TRG_HI_SELECTION - Select Hedged Items
TPM_TRG_INIT_DB_MASS_OPERATION - Save Executed and Canceled Initialization Steps
TPM_TRG_INIT_DISTRIBUTION - Initialization of Par. Val. Area Dist. of Bus. Trans. (Obs. Since SP 01)
TPM_TRG_INIT_DISTRIBUTION_NEW - Initialization of Parallel Val. Area Distribution of Business Transactions
TPM_TRG_INIT_DISTRIBUTION_POST - Update Module: Initialization of Par. Val. Area Distrib. of Bus. Trans.
TPM_TRG_INIT_EXECUTE - Initialize Parallel Valuation Areas
TPM_TRG_INIT_LOCKS - Generate and Delete Locks for Initial Business Transactions
TPM_TRG_INIT_RULES_READ - Read Rules for Individual Initialization Steps
TPM_TRG_INIT_STEP_PATTERN - Copy Template: Initialization Step of Parallel Valuation Areas
TPM_TRG_INIT_STEP_READ - Read System Data for Initialization Steps
TPM_TRG_INIT_TRANS_FIXING - Initialization of Parallel Val. Area Distribution of Business Transactions
TPM_TRG_INIT_TRANS_FIXING_POST - Update Module: Initialize Par. Valuation Area Post/Fix Business Trans.
TPM_TRG_INIT_TRD_BT_DELETE - Delete Initialization Business Transactions in Distributor
TPM_TRG_INIT_TRD_BT_DEL_POST - Delete Update Module TRD Initialization Business Transaction
TPM_TRG_INTERNAL_ERROR - Output Message 'Internal error in form/method...'
TPM_TRG_IS_MIGRATED - Check if Migration Can Be Executed
TPM_TRG_MIGRATE_PATTERN - Copy Template: Company Code-Independent Migration Step
TPM_TRG_MIGRATE_PATTERN1 - Copy Template: Company Code-Dependent Migration Step
TPM_TRG_MIGRATE_POS_ACCOUNT - Build Futures Accounts, Convert Transactions, Generate Futures
TPM_TRG_MIGRATE_VAL_AREA_001 - Set Up Parallel Valuation Area 001
TPM_TRG_MIGRATE_VAL_AREA_001DB - Update Database Tables
TPM_TRG_MIGRATION_EXECUTE - Migrate
TPM_TRG_MIGR_FUT_CHECK - Migration Futures: Checks; First Step Before All Others
TPM_TRG_MIGR_FUT_CHECK2 - Migration Futures: Checks; First Step Before All Others
TPM_TRG_MIGR_FUT_DISTRIBUTE1 - Copy Template: Company Code-Dependent Migration Step
TPM_TRG_MIGR_FUT_DISTRIBUTE2 - Copy Template: Company Code-Dependent Migration Step
TPM_TRG_MIGR_RULES_READ - Read Rules for Individual Migration Steps
TPM_TRG_MIGR_SAVE_OPTIONS - Save User Options for Conversion
TPM_TRG_MIGR_STEPS_RULES - Read Steps and Rules for Migration
TPM_TRG_MIGR_STEP_READ - Read System Data for Migration Steps
TPM_TRG_MIG_CONVERT_MODE - Convert Mode to Indicator
TPM_TRG_MISS_DIFF_TERM_TEXT - Format Additional Parameters for Messages
TPM_TRG_OBSOLETE_TRANSACTIONS - Dialog Box for Calling Obsolete Transactions
TPM_TRG_OTC_SELECTION - Return Range of Selected OTC Transactions
TPM_TRG_PAR_SHLP_HOST - Search Help Exit to Find Server
TPM_TRG_PAYMENT_CHECK - Maintain Payment Information (Detail Display)
TPM_TRG_PAYMENT_F4_PAY_METHOD - F4 Help for Payment Method
TPM_TRG_PAYMENT_MAINTAIN - Maintain Payment Information (Detail Display)
TPM_TRG_PERF_INDICATORS_GET - Determine Key Figures for TRL Position
TPM_TRG_POS_MAN_PROC_DISPLAY - Display Position Management Procedures
TPM_TRG_PREPARE_MESSAGE_TEXT - Format Additional Parameters for Messages
TPM_TRG_PS_ACTIVE - Check Which Account Assignments Are Active for PS
TPM_TRG_PS_DATA_MAINTAIN - Edit PS Account Assignment Elements
TPM_TRG_QUANTITY_GET - Determine Quantities for Item
TPM_TRG_READ_TABLE - Read Any Table
TPM_TRG_READ_TABLE_RFC - Read Table and Table Description via RFC
TPM_TRG_SAVE_TO_DATABASE - General Update Module
TPM_TRG_SHLPEXIT_EXT_REF - Search Help Exit for External Reference
TPM_TRG_SHOW_ACCOUNTS_OF_GROUP - Shows Accounts of Account Group
TPM_TRG_SPLIT_STRING_INTO_VX - Break Down String into Message Variables
TPM_TRG_STEP_INTERN_EXTERN - Determine Internal Step from External Step and Vice Versa
TPM_TRG_STEP_PROC_DISPLAY - Display Valuation Procedures
TPM_TRG_SY2TABLE - Add Message of SY Fields to a Table
TPM_TRG_UPDATE_MIG_CC_PT - Update Task for TRGT_MIG_CC_PT
TPM_TRG_UUID_CREATE - Generate GUID (Globally Unique ID)
TPM_TRG_VALUES_DISPLAY - Display Inventory Values
TPM_TRG_VALUES_DISPLAY_SEC - Display Inventory Values
TPM_TRG_VAL_AREA_INITIALIZED - Read Executed and Canceled Initialization Steps
TPM_TRG_VAL_AREA_INITIALIZED2 - Read Executed and Canceled Initialization Steps (Only for CATT)
TPM_TRG_VTBFHA_DB_UPDATE - Update Module for VTBFHA
TPM_TRIG_CHECK_FOR_IGT - Check for Intragroup Transactions
TPM_TRIG_CONS_INCOME_DISPLAY - Show consolidated income per component
TPM_TRIG_PROCESS_IGT - Process IGTs with and w/o value transfer
TPM_TRIG_READ_PURCHASE_VALUES - Read values of a closed IGT purchase
TPM_TRIG_READ_SALE_VALUES - Read the outgoing values of a position due to a sale
TPM_TRIG_REVERSE_IGT - Reverse IGTs from the work list
TPM_TRIL_LOG_SET_LOG_TABLES - Temporary Saving of HM Log Tables
TPM_TRIL_MIGR - Migration Hedge Accounting
TPM_TRLIT_AD_MIGRATE_UPDATE - Update DB Changes to Table trlit_ad_migrate
TPM_TRLPOS_GET_FLOWS_OF_CAT - Determine Flows of a Specific Type
TPM_TRLPOS_GET_INTERESTS - Determine Interest Payments
TPM_TRLPOS_GET_PURCH_AND_SALE - Determine Purchases and Sales from TRS
TPM_TRLPOS_GET_REPAYMENTS - Determine Repayments from Bonds
TPM_TRL_ACCRUAL_DEFERRAL -
TPM_TRL_ADJUSTMENT - Determine Reconciliation Flows for Currency Conversions
TPM_TRL_ADJUSTMENT_FD - Determine Reconciliation Flows for Currency Conversions
TPM_TRL_AMORTIZE - Amortization for Position Changes
TPM_TRL_AMORTIZE_FORWARD_DEAL - Put Margin Accrual/Deferral on Books for Forward Close
TPM_TRL_AMORTIZE_FX_DEAL - Put Swap Accrual/Deferral on Books for Forward Exchange Transactions
TPM_TRL_AMORT_ADJUSTMENT - Adjustment Flows for Split Balance Sheet Accounts for Pos./Neg. Amort.
TPM_TRL_AMORT_LOG_PROTOCOL - Amortization Log
TPM_TRL_AMORT_LOG_PROTOCOL2 - Amortization Log
TPM_TRL_BOOK_VALUES_SECURITIES - Book Values of Securities
TPM_TRL_BUSTRANSCAT_RANGES - Get Ranges of Business Transaction Categories
TPM_TRL_BW_EXTRACT - Data Extraction for SAP Business Information Warehouse
TPM_TRL_BW_PULL_DATA - Get Data for TPM BI Extractor
TPM_TRL_CCHK_ACCOUNTING_SETUP - TRL Customizing Check: FI/CO Update
TPM_TRL_CCHK_ACC_DETERMINE - Check Account Determination in TRAC
TPM_TRL_CCHK_EXCL_PROD - TRL Customizing Check: Valuation Area Definition
TPM_TRL_CCHK_MESSAGE_LOG - Manage Messages
TPM_TRL_CCHK_POS_MAN_PROC - TRL Customizing Check: Position Management Procedure
TPM_TRL_CCHK_SEC_ACC_MGMNT - Checks for Customizing of Securities Management
TPM_TRL_CCHK_TRM_ACC_CODE - TRL Customizing Check: Accounting Codes
TPM_TRL_CCHK_UPDATE_TYPES - Check Assigned Update Types
TPM_TRL_CCHK_VAL_AREA - TRL Customizing Check: Valuation Area Definition
TPM_TRL_CCHK_VAL_CLASS - TRL Customizing Check: Valuation Class Customizing
TPM_TRL_CHANGE_INIT_VAL_FU - Futures: Change Initial Values
TPM_TRL_CHANGE_INIT_VAL_LO - LO: Change Initial Values
TPM_TRL_CHANGE_INIT_VAL_OTC - SE: Change Initial Values
TPM_TRL_CHANGE_INIT_VAL_SE - SE: Change Initial Values
TPM_TRL_CHANGE_POS_MAN_PROC - Maintain Account Assignment References and Position Management Procedures
TPM_TRL_CLASSIFIER_TRANSFER - Determine Transfer Flows for classifier transfer
TPM_TRL_CLEAR - Set Clearing Component to Zero
TPM_TRL_CMM_CLASSIFICATION - Classification of the 'To be Assigned' Component
TPM_TRL_CMM_RECLASSIFICATION - Classification of the 'To be Assigned' Component
TPM_TRL_CONTRACT_MODIFICATION - Create delta flows for contract modification
TPM_TRL_CREATE_POS_BY_TRANS - Generate TRL Positions via TRD Business Transactions
TPM_TRL_CURRENCY_CONVERSION - Generate Currency Swap Flows
TPM_TRL_DATA_DELETE - Delete TRL Data
TPM_TRL_DATA_DELETE_POST - Update of TRL Data to Delete
TPM_TRL_DELETE_INIT_VALUES - Update Module Securities Account Groups, Securities Initialization Values
TPM_TRL_DELETE_POS_BY_RANGE - Delete TRL Items via Selection
TPM_TRL_DERIV_TRANS_PROTOCOL - Log of Derived Business Transactions
TPM_TRL_DERIV_TRANS_PROT_GET - Get Log of Derived Business Transactions
TPM_TRL_DERIV_TRANS_PROT_SET - Set Log of Derived Business Transactions
TPM_TRL_DISPLAY_POS_ALV - Display Positions from the Result Database
TPM_TRL_DISP_YIELD - Displays the effective Interest rate(from TPM12)
TPM_TRL_DIVIDEND_THX - Generate Dividend Transfer Flows Between Subpositions
TPM_TRL_EVALUATE - Valuation of Position Changes
TPM_TRL_EVALUATE_MARKET - Derivation Method for Valuation of Positions
TPM_TRL_F4_SHLP_EXIT_PT_LOT - Example for a search help exit
TPM_TRL_FIXINGSUM_CREATE - Generate Totals Records
TPM_TRL_FIXINGSUM_DELETE - Generate Totals Records
TPM_TRL_FIXINGSUM_PROTOCOL - Display Totals Records for TRL Positions
TPM_TRL_FIXINGSUM_REFRESH - Refresh Totals Records
TPM_TRL_FIX_TRANS_PROTOCOL - Display Positions with Derived Business Transactions for Fixing
TPM_TRL_FLOWS_BY_BUSTRANSID - Get Flows for BUSTRANSID and BUSTRANSCAT
TPM_TRL_FLOW_BACKPACKS_THX - Amortization for Position Changes
TPM_TRL_FLOW_BACKPACK_THX_INIT - Amortization for Position Changes
TPM_TRL_FLOW_PROTOCOL - Display Flows in Treasury Ledger
TPM_TRL_FST_EVALUATE - Derivation Method for Valuation of Positions
TPM_TRL_GENERATE_DBT_WRAPPER - Wrapper for generation of Derived Business Transactions
TPM_TRL_GET_BUSTRANSIDS - Return Bus. Trans. IDs for PRoduct Group, Company Code, Valuation Area
TPM_TRL_GET_BUS_TRANS_FLOWS - Determine Flows of a Business Transaction
TPM_TRL_GET_DEAL_NUMBERS - Determine Numbers of Active OTC Transactions
TPM_TRL_GET_FUTURE_POS - Determine Futures Items
TPM_TRL_GET_KEY_DATE_BEGIN - Set Begin Key in Case of Non-Working Day
TPM_TRL_GET_OPTION_POS - Determine Options Items
TPM_TRL_GET_OTC_OPTION_POS - Determine Futures Items
TPM_TRL_GET_OTC_OPTION_TMP_POS - Determine Futures Items
TPM_TRL_GET_POST_FLOWS_4_TRANS - Get Posting Flows for a List of Business Transactions
TPM_TRL_GET_SETTL_TRADING_POS - Determine Trading Positions and TRL Positions
TPM_TRL_HEDGE_AMORT_THX - Determine Hedge Amortized Cost
TPM_TRL_HREL_CLASSIFICATION - Classification of the 'To be Assigned' Component
TPM_TRL_HREL_EVALUATE - Derivation Method for Valuation of Positions
TPM_TRL_HREL_TRANSFERS - Determine HREL Transfer Flows
TPM_TRL_INCREASE_POSITION - Determine Derived Flows for Position Inflows
TPM_TRL_INCREASE_POSITION_CAI - Determine Derived Flows for Position Inflows
TPM_TRL_INCR_POS_ADJUSTMENT - Adjustment Flows for Accruals/Deferrals
TPM_TRL_INIT_CHECK_SUBPOS - Check Subposition Values
TPM_TRL_INIT_DERIVED_TRANS - Generate Derived Business Transactions for Initializing Business Trans.
TPM_TRL_INIT_DERIVED_TRANSOTC1 - Generate Derived Business Transactions for Initializing Business Trans.
TPM_TRL_INIT_DERIVED_TRANS_OTC - Generate Derived Business Transactions for Initializing Business Trans.
TPM_TRL_INIT_HREL_ADMIN_GET - Read Admin. Data for Hedging Relationships
TPM_TRL_INIT_HREL_ADMIN_POST - Initialization of Hedging Relationship: Update Tables
TPM_TRL_INIT_HREL_BUSTRANS_SEL - Abhängige BusTransID zur Des.BusTransID selektieren
TPM_TRL_INIT_HREL_DESIGNATION - Initialize Designation of Hedging Relationship
TPM_TRL_INIT_HREL_DES_PREPARE - Prepare: Designation of Hedging Relationship
TPM_TRL_INIT_HREL_DES_PROCESS - Post Designation
TPM_TRL_INIT_HREL_GET - Select Hedging Relationship for Initialization
TPM_TRL_INIT_HREL_START - Start Initialization of Hedging Relationship
TPM_TRL_INIT_HREL_SUBPOS_GET - Read Subpositions for Hedging Relationships
TPM_TRL_INIT_OTC_FLOWTYPE_CONV - OTC: Check and Generate Update Types (Only for Migration!)
TPM_TRL_INIT_OTC_TRANS - Money Market/ForEx/OTC Derivatives: Transfer Transactions to TRD Bus.Trans
TPM_TRL_INIT_OTC_TRANS_PAR - Parallel Processing of Transfer of Transactions in TRD Business Transact.
TPM_TRL_INIT_POSITIONS - Generate and Delete TRL Positions (Obsolete since SP 01)
TPM_TRL_INIT_POSITIONS_POST - Update Module: Management Data for INIT POSITIONS
TPM_TRL_INIT_PROCESS_PACKAGE - Processing of single package
TPM_TRL_INIT_TRANSACTIONS - Generate Initializing Business Transactions
TPM_TRL_INIT_VAL_SUBPOS_POST - Update Subpositions
TPM_TRL_INTEREST - Generate Flow to Take Accrued Interest Compensation Account Off the Books
TPM_TRL_INTEREST_INCOME - Split Incoming Cash Flow into Repayment and Interest Part
TPM_TRL_INTEREST_THX - Generate Interest Transfer Flows Between Subpositions
TPM_TRL_INTRAGROUP - Adjust Intragroup Purchase
TPM_TRL_INTRAGROUP_ADJUSTMENTS - Adjust Intragroup Purchase
TPM_TRL_KEY_DATE_VALUATION - Valuation of Position Changes
TPM_TRL_LOANS_POSITION_MGT - Subledger Position Management for Loans
TPM_TRL_MAINTAIN_BOOK_VAL_FU - Futures: Change Book Value Components (Dynamic Call)
TPM_TRL_MAINTAIN_BOOK_VAL_LO - LO: Change Book Value Components (Dynamic Call)
TPM_TRL_MAINTAIN_BOOK_VAL_OTC - SE: Change Book Value Components (Dynamic Call)
TPM_TRL_MAINTAIN_BOOK_VAL_SE - SE: Change Book Value Components (Dynamic Call)
TPM_TRL_MAINT_ASSIGNMENT - Assign Securities Account Groups to Securities Accounts
TPM_TRL_MAINT_FROM_VORAB_LO - LO: Deduct Book Values from Pre-Buyout
TPM_TRL_MAINT_FROM_VORAB_SE - SE: Deduct Book Values from Pre-Buyout
TPM_TRL_MANIPULATE - Manipulation of Previously Generated Derived Flows
TPM_TRL_MESSAGES - Messages for Business Transactions That Affect Collateral Relationships
TPM_TRL_MIGRATE_OPERATIVE_PL - Generate Derived Business Transaction with Migrated Price Gains
TPM_TRL_MISC_ADJUST_SALE - ###Adjustment of Hedge Volumes for a Partial Sale
TPM_TRL_MODIFY_INIT_VALUES - Update Module Securities Account Groups, Securities Initialization Values
TPM_TRL_MODIFY_POSITION - Maintain Acct Assignment Ref. & Position Mgmt Procedure
TPM_TRL_OCI_CORRECTION - Adjustment Flows for OCI Accounts of Target Position
TPM_TRL_OVER_PERIOD - Return TRL Data for a Period to Drilldown Reporting
TPM_TRL_PAY_OUT - Generate Payment Flow for Stock Swap
TPM_TRL_PL_FUTURES_MIGRATION - Determine Price Gains/Losses
TPM_TRL_PL_SECURITY - Realized Profit and Loss for Securities
TPM_TRL_POCI_CHANGE - Create delta flows for POCI change
TPM_TRL_POSITION_PROTOCOL - Position List
TPM_TRL_POSITION_TO_STRING - Write Differentiation Criteria to String
TPM_TRL_POSITION_USER_SELECT - Select Single Items
TPM_TRL_POS_RELEVANT_FEE_TAX - Derived Business Transactions for Position-Relevant Fees/Taxes
TPM_TRL_PREPARE_INIT_HREL - Generate Control Table for Mapping of Hedging Relationships
TPM_TRL_PREPARE_INIT_OTC - Prepare init values for OTC: no schedule transactions before key date?
TPM_TRL_PREPARE_INIT_OTC_POS - Prepare init values for OTC: determine source balances
TPM_TRL_PREPARE_INIT_SE - SE: Checks, Generate Securities Account Groups
TPM_TRL_PREP_DERIV_TRANS_PROT - Data Preparation Log: Derived Flows
TPM_TRL_PRICE_ADJ_THX - Generate Price Adjustment Transfer Flows Between Subpositions
TPM_TRL_PROFIT_AND_LOSS - Determine Price Gains/Losses
TPM_TRL_PROFIT_AND_LOSS_INDEX - 3-Stage Price Gain Determination for Index-Linked Bonds
TPM_TRL_PROFIT_AND_LOSS_THX - Determine Price Gains/Losses for Hedge Accounting
TPM_TRL_PROFIT_LOSS_2STEP_PAY - PFL: P/L due to payment differences
TPM_TRL_PROFIT_LOSS_CTY_DEAL - Price Gains from Commodity Transactions
TPM_TRL_PROFIT_LOSS_FORWARD - Price Gains to Close Forwards
TPM_TRL_PROFIT_LOSS_FUTURE - Price Gains for Futures
TPM_TRL_PROFIT_LOSS_FX_DEAL - Price Gains from Forward Exchange Transactions
TPM_TRL_PROFIT_LOSS_INCOM_PAY - profit and loss (incoming payment)
TPM_TRL_RECLASSIFICATION_THX - Process HACC Components during Automatic Reclassification
TPM_TRL_RECLASS_RESET_THX - Process HACC Components during Automatic Reclassification
TPM_TRL_REGISTER_INIT_TRANS - Registration of Initializing Business Transactions
TPM_TRL_REPLACE_AMOUNT_CATS - Replacement of Position Change Categories
TPM_TRL_REPLACE_FLOWTYPES - Replacement of Update Types
TPM_TRL_REPLACE_FLOWTYPES_THX - Replacement of Update Types for Hedge Accounting
TPM_TRL_REPORTING_DISPLAY - Reporting Display
TPM_TRL_REPORTING_READ - Read Reporting Data
TPM_TRL_REP_TRANS_DISPLAY - Display Business Transactions
TPM_TRL_RETREIVE_POSITIONS - Determine 'Settled' and 'Unsettled' Positions
TPM_TRL_REV_VAL_CLASS_TRANSFER - Reversal of Valuation Class Transfer
TPM_TRL_SALES_COMMISSION - Taking Sales Expenses Off the Books
TPM_TRL_SAVED_AMORT_PROTOCOL - Display Saved Amortization Protocol
TPM_TRL_SAVE_OPTIONS - Save User Options
TPM_TRL_SET_INIT_DATE_HREL - Set Initialization Date for Hedging Relationships
TPM_TRL_SHOW_SUBPOS_MASTER - Display Master Data of Subpositions
TPM_TRL_SHOW_SUBPOS_VALS - Display Subpositions from the Position List
TPM_TRL_SHOW_VAL_CLASS_TRANS - Display Valuation Class Transfer Transaction
TPM_TRL_SUBPOS_TRANSFERS_THX - Generate Transfer Flows Between Subpositions
TPM_TRL_TRANSFERS - Determine Transfer Flows
TPM_TRL_TRANSFER_ADJUSTMENT - Adjustment Flows in Target Position of a Transfer Posting
TPM_TRL_TRANSFER_EXCEPTIONS - Transfer Posting Exceptions
TPM_TRL_TRANSLATIONS - Proportional Clearing on Allocation Component
TPM_TRL_TRANSLATIONS_CAI - Proportional Clearing on Allocation Component
TPM_TRL_TRANSLATIONS_FUTURE - Translation Flows for Futures
TPM_TRL_TRANSLATIONS_OTC - Translations for OTC Transactions w/o Transfer Posting to Underlying
TPM_TRL_TRANSLATIONS_SHORT - Proportional Clearing to/from Alloc. Comp. for Short-Long/Long-Short Swap
TPM_TRL_TRANSLATIONS_SHORT_CAI - Proportional Clearing to/from Alloc. Comp. for Short-Long/Long-Short Swap
TPM_TRL_TRANSLATIONS_THX - Handling of Hedge Accounting Components (Esp. Dedesignation)
TPM_TRL_TRANS_DELETE - Delete TRL Business Transactions and Flows
TPM_TRL_TRANS_FLOWS_PROTOCOL - Log for Displaying Flows of a Business Transaction
TPM_TRL_TRPA_REPLACE_FLOWTYPES - Replacement of Update Types
TPM_TRL_TURN_VAL_CAT - Determine Counterparty for a Valuation Flow Category
TPM_TRL_UPDATE_INIT_TAB - Set TRANS_FLG in TRGT_INIT_VALUES
TPM_TRL_UPDATE_LA_AT_PURCHASE - Derivation Method for Valuation of Positions
TPM_TRL_UPDATE_LA_AT_VCL_TRANS - Derivation Method for Valuation of Positions
TPM_TRL_UPDATE_TRDT_INIT_FIX - Update of Table TRDT_INIT_FIX
TPM_TRL_UPDATE_VCL - Update Module for Table TRLT_VCL_FLOW
TPM_TRL_VAD_TRANSFER - Transfer Posting Flows between Gain and Loss Value Adjustment
TPM_TRL_VALUATION_PROTOCOL - Log for Displaying Valuation of a Business Transaction
TPM_TRL_VAL_CLASS_TRANSFER - Valuation Class Transfer
TPM_TRL_VORAB_POSVAL - Position Values from Backup Table for Advance Replacement
TPM_TRL_WRITE_INIT_VAL_FU - Futures: Write Initialization Table
TPM_TRL_WRITE_INIT_VAL_LO - LO: Write Initialization Table
TPM_TRL_WRITE_INIT_VAL_OTC - wrtie init val for OTC
TPM_TRL_WRITE_INIT_VAL_SE - SE: Write Initialization Table
TPM_TRMU_TRD_STEP2_PROCESS - Perform Step 2 of Quantity Ledger Migration
TPM_TRMU_TRD_STEP2_REVERSE - Reverse Step 1 of Quantity Ledger Migration
TPM_TRM_ACC_DEF - Migration of Interest Accrual/Deferral
TPM_TRM_TRD_SET_PLANNED_ACTION - Set Planned Action for Business Transactions of a Company Code
TPM_TRPA_AUDIT - Audit Functions for Classifier Transfer Flow
TPM_TRPA_CREATE_DEFAULT_DATA - Create New Entry for PD/LGD
TPM_TRPA_DISPLAY_BT - Display Data for Classifier Transfer
TPM_TRPA_DISPLAY_CLASSIFIER - Display the classifier history for a position
TPM_TRPA_DISPLAY_POS_FOR_TRANS - Display Detail Information of Stage Transfer
TPM_TRPA_GET_DEFAULT_DATA - Returns default data for given selection data from table
TPM_TRPA_POPUP_TO_DISPLAY_TEXT - Popup, um beliebigen Text anzuzeigen
TPM_TRPA_REPLACE_FLOWTYPES - Obsolete
TPM_TRPA_SELECTION - OBSOLETE - Selected Data saved - do not use!
TPM_TRPA_SELECT_POS_FOR_CO_MO - Allows for a given set of postions to select a subset
TPM_TRPA_SELECT_POS_FOR_TRANS - Allows for a given set of Pos to select a subset and enter their new stage
TPM_TRPA_STAGE_TRANSFER - Stage Transfer for Single Position
TPM_TRPR_DB_UPDATE - Database Update of Payment Partner Table
TPM_TRPR_GET_BY_AWKEY - Gets payment requests by AWKEY
TPM_TRPR_GET_BY_BT_ID - Gets payment requests by Business Transaction ID
TPM_TRPR_GET_PAYMENT_STATE - Gets the Status of a Payment
TPM_TRPR_PAYMENT_DISPLAY - Display a Payment
TPM_TRPR_PJ_SELECT - Select Payment Journal Data
TPM_TRPR_PROTOCOL_DISPLAY - Displays protocol
TPM_TRP_DISPLAY_PROTOCOLS - Display Log Selection
TPM_TRP_DISP_MESSAGES - ### Call Application Log to Display Messages
TPM_TRQ_ASSIGNMENT_EXPORT - Data Export Module
TPM_TRQ_ASSIGNMENT_IMPORT - Data Import Module
TPM_TRQ_ASSIGNMENT_MAINTAIN - Wrapper Module
TPM_TRQ_ASSIGNMENT_MODE_GET - Read Processing Mode for Lot Assignment
TPM_TRQ_ASSIGNMENT_MODE_SET - Set Processing Mode for Lot Assignment
TPM_TRQ_ASSIGNMENT_PROCESS - Processing Module
TPM_TRQ_ASSIGNMENT_PROPOSAL - Provides an assignment proposal based on customized category
TPM_TRQ_CALC_DATE_MIGRATION - TRQ migration to calculation date (remote enabled)
TPM_TRQ_CHECK_TOTAL_SALE - Quantity Display
TPM_TRQ_DATA_DELETE - Deletion Module for TRQ
TPM_TRQ_DATA_UPDATE - Update Module for TRQ
TPM_TRQ_DEALNUMBER_GET_FOR_LOT - Determine Transaction Numbers for Lots
TPM_TRQ_GET_ASSIGNMENT - Find Lot Assignment for Business Transaction ID
TPM_TRQ_GET_ITEMS_FROM_BUFFER - Read Assignmetn Rule from Buffer
TPM_TRQ_GET_LOT_ATTR - Read Lot Attributes Using Database View TRQV_LOT_ATTR
TPM_TRQ_GET_LOT_ATTR_ALL - ###Get All Lot Attributes
TPM_TRQ_GET_LOT_ATTR_SEC - Read Lot Attributes Using Database View TRQV_LOT_ATTR
TPM_TRQ_LOT_FIND - Find Lot ID for DE Document Lot
TPM_TRQ_LOT_HEADER_COLLECT - Update Lot Header with Lot ID
TPM_TRQ_LOT_HEADER_UPDATE - Query Updated Lot Header Data
TPM_TRQ_LOT_HEADER_UPDATE_DB - Update Lot Master Data in Database
TPM_TRQ_LOT_ID_FIND - Find Lot ID for DE Document Lot
TPM_TRQ_LOT_ID_SUPPLEMENT - Supplement Lot ID
TPM_TRQ_MIGRATE_TO_OTC_LOT_POS - Convert collective position to OTC lot position
TPM_TRQ_OTC_MIG_REVERSE - Undo Step 2 in TRQ
TPM_TRQ_POS_CURR_CHANGE - CFM: Position Currency Changeover
TPM_TRQ_POS_CURR_CHANGE_REV - CFM: Position Currency Changeover
TPM_TRQ_POS_CURR_DB_UPDATE - Update Module for Issue Currency Changeover
TPM_TRQ_QUANTITIES_DISPLAY - Quantity Display
TPM_TRQ_QUANTITIES_LIST - Quantity Display
TPM_TRQ_QUANTITY_LIST - Display Quantities
TPM_TRQ_STEP2_UNDO - Undo Step 2 in TRQ
TPM_TRQ_UPDATE_MIG_CC_PT - Update Task for TRQT_MIG_CC_PT
TPM_TRR_ASS_POS_FILL_VALUES - Determine Values for Assessable Position on Key Date
TPM_TRR_CHECK_PRODUCT - Check Product Category Against a Range
TPM_TRR_FRA_DEALDATA_READ - Read Data of a Forward Rate Agreement Transaction
TPM_TRR_GET_ACCOUNTS - Determine Accounts for: TRL Position, Update Type
TPM_TRR_GET_CA_CLASS_DATA - Get Currency Accounts
TPM_TRR_GET_CURRENCY_ACCOUNTS - Get Currency Accounts
TPM_TRR_GET_FX_FORWARD_POS - Get FX Forward Positions
TPM_TRR_GET_IRATE_POSTINGS - Select Flows for Single Transaction
TPM_TRR_GET_IRATE_TRANSACTIONS - Database Selection (Mass Select)
TPM_TRR_GET_PORTFOLIO - Function to Retreive Info from VTBFHAPO
TPM_TRR_GET_POS_IN_RDB_FORMAT - Get Positions in RDB Format
TPM_TRR_GET_SWAP_POSITIONS - Get FX Forward Positions
TPM_TRR_TRL_POS_GET_POSTINGS - Determine Realized Gain/Loss Flows
TPM_TRR_VTBFHAPO - Function to Retreive Info from VTBFHAPO
TPM_TRSC_CONDITION_UPDATE - Update Module for trsc_condition
TPM_TRSC_DFLOWTYPE_UPDATE - Update Module: Insert Lines
TPM_TRSC_REF_DISFLO_UPDATE - Update Module: Insert Lines
TPM_TRSC_SECACCTRANS_UPDATE - Update Module for Cust. Table trsc_secacctrans
TPM_TRST_CLASFLO_UPDATE - Update for Table trst_clasflo
TPM_TRS_ALV_DISPLAY_RECON_ENTS - Display Recon Entities Using the ALV
TPM_TRS_CFD_COND_DATE_FIND - Determine Date to Read Conditions
TPM_TRS_CFD_POSITION_DISPLAY - Display Class That Is Managed in a Securities Account
TPM_TRS_CFD_SECAC_DISPL - Display Securities Accounts in Which a Class Is Managed
TPM_TRS_CFD_SECID_DISPL - Display Class That Is Managed in a Securities Account
TPM_TRS_CFD_TRANSACTION_DISPL - Display Cash Flow - Tab_Flows Import
TPM_TRS_CFD_TRANS_DISPL - Display TR Unit
TPM_TRS_CFD_TRANS_DISPL_FO - Display Cash Flow - Financial Object Number Import
TPM_TRS_CFD_TRANS_SIM_DISPL - Display Cash Flow - Simulation in the Class Data
TPM_TRS_CFD_VARIANT_MAINTAIN - Manage Display Variant
TPM_TRS_COUNT_POSITIONS - Count Number of Pos. for Multiple Recon. Ent.
TPM_TRS_CUST_FLOWTYPE_GET - TRS: Determine Customizing Settings for Update Type
TPM_TRS_CUST_FUNCTION_ASSIGN - Conversion: Assignment to Subfunctions
TPM_TRS_DELETE_DISTRIB_TRANS - Deletion Function for tpm_trs_upgade_distrib_undo
TPM_TRS_DELETE_EDITOR_TEXT - Delete Text Lines from Text Editor
TPM_TRS_DELETE_POSITION - Delete One External Position
TPM_TRS_DELETE_RECON_ENTITY - Delete Recon. Entity and All Child Positions
TPM_TRS_DISPLAY_BUSTRANS_FLOW - Display All Flows for a Business Transaction ID
TPM_TRS_DISPLAY_CALC_BASE - Display Calculation Base
TPM_TRS_DISPLAY_EXT_SEC_ACC - Display Securities Accounts to Securities Account IDs as Tree
TPM_TRS_DISPLAY_RECON_ENTS - Display Reconciliation Entries
TPM_TRS_DISPLAY_RECON_ENTS2 - Display Reconciliation Entries from Recon. Report
TPM_TRS_DISPLAY_REFERENCE - Display References
TPM_TRS_DISPLAY_SAT - Display Data for Securities Account Transfer
TPM_TRS_F4_VALUE_REQUEST - F4 Value Request
TPM_TRS_GET_CLASPOS - Read TRST_CLASPOS
TPM_TRS_GET_CLASS_DATA - Get Class Data of a Security
TPM_TRS_GET_COMP_CODE_TEXT - Get Text of Company Code
TPM_TRS_GET_RECON_NUMBER - Get Unique Number for a Reconciliation Entity
TPM_TRS_GET_SEC_ID_FROM_INDEX - Get Security ID from a Secondary Index
TPM_TRS_GUARD_CHECK - Update Locks for Transaction
TPM_TRS_GUARD_MARK_AS_DELETED - Update Locks for Transaction
TPM_TRS_GUARD_UPDATE - Update Locks for Transaction
TPM_TRS_LEND_TRANS_DFTYPE_GET - Read Update Types for Transfer Posting for Securities Loan
TPM_TRS_LOT_ID_FILL - Fill BEPP/BEVI Flows with Lot ID
TPM_TRS_MAP_SECURITY_ACCOUNT - Map External Securities Account --> Internal Securities Account
TPM_TRS_MAP_SECURITY_ID - Map External Securities Index to Internal Security ID
TPM_TRS_MARKET_VALUE_CALC - Market Value of Securities in Local Currency
TPM_TRS_MIGPS_FILL_DEAL - OTC: Adjust Operative Data
TPM_TRS_MIG_CORRECT_SAT - Correct Securities Account Transfers for Single Positions if Necessary
TPM_TRS_MIG_DATA_REPAIR - OTC: Adjust Operative Data
TPM_TRS_MODIFY_EDITOR_TEXT - Modify Text Table for Editor Control
TPM_TRS_MODIFY_ONE_RECON_POS - Update One Recon. Position
TPM_TRS_MODIFY_RECON_ENTITY - Update Table: TRST_RECON_RCE
TPM_TRS_MODIFY_RECON_POS - Update Table: TRST_RECON_POS
TPM_TRS_NORDER_READ - Fill BEPP/BEVI Flows with Lot ID
TPM_TRS_POST_AUTO_RFC - RFC Enables Autom. Icomming Posting
TPM_TRS_POS_CURR_CHANGE - CFM: Position Currency Changeover
TPM_TRS_POS_CURR_CHANGE_REV - CFM: Position Currency Changeover
TPM_TRS_POS_CURR_DB_UPDATE - Update Module for Issue Currency Changeover
TPM_TRS_POS_GUARD_CREATE2 - Securities Account: Generate Restraint on Disposal
TPM_TRS_PROTOCOL_DISPLAY - Display Flow Log
TPM_TRS_PROTOCOL_PREPARE - Flow Log for TRS
TPM_TRS_QUANTITY_4_CC_SA_SI - Determine Position of a Security in a Securities Account
TPM_TRS_QUANTITY_4_CC_SECACC - Determine Position of Securities in a Securities Account in a Company Code
TPM_TRS_QUANTITY_4_CLASPOS - Output Position for Clas_Position
TPM_TRS_QUANTITY_FOR_POSITION - Quantity Display
TPM_TRS_QUANTITY_LIST - Quantity Display
TPM_TRS_QUANT_DISPLAY - Display Quantity for Position
TPM_TRS_READ_DRAWN_BONDS - Read Security IDs of Drawn Bonds
TPM_TRS_READ_ORIGINAL_BONDS - Read Security IDs of Drawn Bonds
TPM_TRS_READ_RECON_ENTITIES - Read Reconciliation Entities from the DB
TPM_TRS_READ_RECON_ENTITY - Read Reconciliation Entities from the DB
TPM_TRS_READ_RECON_POSITION - Read a Single External Position
TPM_TRS_READ_RECON_POSITIONS - Read Positions of a Reconciliation Entity
TPM_TRS_READ_RECON_STATUS - Read Status of Recon. Entity
TPM_TRS_READ_RECON_TEXT - Read Text Table for Editor
TPM_TRS_READ_RECORD_TEXTS - Read Record Descriptions from Cust. Table
TPM_TRS_READ_RECORD_TYPES - Read Record Types of Positions
TPM_TRS_RECONCILIATION - Display Reconciliation Entries
TPM_TRS_RECON_ALV_TOP_OF_PAGE - User Info for ALV Top-of-Page
TPM_TRS_REFRESH_RECON_ENTITIES - Read Reconciliation Entity from the DB
TPM_TRS_RISK_FO_DESCRIPTION - Refresh Descriptions for Financial Object
TPM_TRS_RISK_FO_SELECT - Selection of Securities Account Class Positions for Ranges
TPM_TRS_RISK_INFORMATION - Transfer Securities Account Management Data to Risk Management
TPM_TRS_RLDEPOS_OF_SEC_ACC_NO - Securities Accounts of a Securities Account Identification
TPM_TRS_SAT_CREATE - Generate Securities Account Transfer
TPM_TRS_SAT_CUSTOMIZING_GET - Return Update Types for Securities Account Transfer
TPM_TRS_SAT_CUST_MIGRATE_ENT2 - Data Migration Enterprise 1.0 -> 2.0: Customizing Securities Acct Transfer
TPM_TRS_SAT_REVERSE - Reverse Securities Account Transfer
TPM_TRS_SAT_SHLP_EXIT - Example for a search help exit
TPM_TRS_SECACCPOS_GUARD_CREATE - Securities Account: Generate Restraint on Disposal
TPM_TRS_SECACCPOS_GUARD_DELETE - Securities Account: Delete Restraint on Disposal
TPM_TRS_SECACCPOS_GUARD_DEL_ID - Securities Account: Delete Restraint on Disposal via ID
TPM_TRS_SECACCPOS_LOCKED_AMT - Determine Amount of Securities Account Position Blocked by Disposition
TPM_TRS_SECACCPOS_RULE1B_CHECK - Check Rule 1 for Securities Account Position
TPM_TRS_SECACCPOS_RULE1_CHECK - Check Rule 1 for Securities Account Position
TPM_TRS_SECACC_GUARD_CREATE - Securities Account: Create Securities Account Lock
TPM_TRS_SECACC_GUARD_DELETE - Securities Account: Delete Securities Account Lock
TPM_TRS_SEC_ACC_TRANS - Application Function with GUI: Create Securities Account Transfer
TPM_TRS_SEC_ACC_TRANS_REVERSE - Application Function with GUI: Reverse Securities Account Transfer
TPM_TRS_SET_USER_DATA - Set User Data
TPM_TRS_UPDATE - Update Module for Tables in Securities Account Management
TPM_TRS_UPDATE_CASH_FLOWS - Update Cash Flows
TPM_TRS_UPDATE_CASH_FLOWS_PAR - Update Cash Flows
TPM_TRS_UPDATE_CASH_FLOWS_RFC - Update Cash Flows (remote enabled)
TPM_TRS_UPDATE_RECON_TIME_DATE - Update Time and Date Fields of Recon. Entity
TPM_TRS_UPGRADE_DISTRIB_UNDO - Undo Distribution to TRS
TPM_TRS_VALIDATE_COMP_CODE - Make Sure Company Code Exists
TPM_TRS_VALIDATE_DEPOT_BANK - Validate Depository Bank
TPM_TRS_VALIDATE_POSISTION - Validate Position Data
TPM_TRS_VARIANT_CHECK - Check Variant of an ALV
TPM_TRS_VARIANT_VALUES - Values for ALV Variants
TPM_TRS_ZE_REVERSE - Debit Position - Reversal
TPM_TRTF_DISPLAY_PROTOCOL - Display Positions to Be Transferred
TPM_TRTF_DISPLAY_SELECTION - Display Positions to Be Transferred
TPM_TRTF_DISPLAY_TRANSFER - Display Transfer Posting
TPM_TRTF_DISPLAY_VCL_RELATION - Display Valuation Classes by Valuation Area
TPM_TRTF_SET_SELECTION - Set Selected Positions
TPM_TRTF_UPDATE_CONTROL_DB - Update Module for TRTFT_VCLCONTROL
TPM_TSV_PROCESS_PACKAGE - Process Package for Simulated Valuations
TPM_TUTL_DISP_APPROVERS - Displays list of relevant approvers
TPM_UPDATE_TRET_TRANSACTION - Update Module TRET_TRANSACTION
TPM_VAL_CHECK_ATTRIBUTES - Plausibility Checks for 'Special Security Valuation'
TPM_VAL_CHECK_POSITION - Check if Position Exists
TPM_VAL_READ_BOOK_VALUES - Read Recorded Book Values for a Position
TPM_VAL_READ_PRICE - Read Entered Special Security Prices
TPM_VAL_SP_VAL_GET - Read Information for Special Valuation
TPM_VAL_SP_VAL_POST - Update Information for Special Valuation
TPM_VARIATION_MARGIN_MIGRATE - Convert Variation Margins
TPM_VARIATION_MARGIN_READ - Read Variation Margin Lot Flows
TPM_VARMARGIN_MIGRATE - Convert Futures Transactions
TPM_VARMARGIN_MIGRATE_RESET - Convert Futures Transactions
TPM_VARMARGIN_MIGRATE_SINGLE - Convert Futures Transactions
TPM_VWBEVI_FIX_MANUAL_POSTING - Generate New Condition-Based Flows
TPM_VWBEVI_FIX_MISSING_DERF - Generate New Condition-Based Flows
TPM_VWBEVI_UPDATE - Update Module VWBEVI
TPM_VWVORTR_LOT_UPDATE - Update Module for TRQT_VWVORTR_LOT
Return Table index