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CASH_ACCESS - Access fucntion for cash audit
CASH_AUDIT_S4 - Cash Audit Function for System Measurement
CASH_AUDIT_S4_PCE - Cash Audit Function for PCE on AOs
CASH_FLOW_CONSTRUCT - NOTRANSL: Baut den CASH-FLOW auf
CASH_FLOW_CONSTRUCT_2 - Constructs Cash Flow
CASH_FLOW_CONSTRUCT_LOAN - Intermediate Layer Loan/Financial Mathematics
CASH_FLOW_CONSTRUCT_LOAN_INT - Intermediate Layer Loan/Financial Mathematics
CASH_FLOW_CONSTRUCT_LOAN_INT_2 - Intermediate Layer Loan/New Financial Mathematics
CASH_FLOW_CONSTRUCT_LOAN_INT_3 - Intermediate Layer Installment Loan/New Financial Mathematics
CASH_FLOW_CONSTRUCT_LOAN_INT_4 - Interface to new FiMa for plan principle loans
CASH_FLOW_CONSTRUCT_SECURITY - Securities: Generate Condition-Based Flows
CASH_FLOW_FOR_ENTIRE_LOAN - Constructs Cash Flow for Loan, If Necessary Using Several Cond. Headers
CASH_FLOW_RANGE - Calculate End Date for Cash Flow
CASH_FLOW_TILL_ROLLOVER - Cash flow with all records for the old condition header
CASH_FORECAST_CFM_TM_OTC_CHECK - Verprobung CFM-TM für Finanzdispo-Fortschreibung: Geschäftsbewegungen
CASH_FORECAST_CFM_TM_OTC_POST - Fortschreibung CFM-TM in Finanzdispo: Geschäftsbewegungen
CASH_FORECAST_CFM_TM_WP_CHECK - Verprobung CFM-TM für Finanzdispo-Fortschreibung: Bestandsbewegungen
CASH_FORECAST_CFM_TM_WP_POST - Fortschreibung CFM-TM in Finanzdispo: Bestandsbewegungen
CASH_FORECAST_LOANS_CHECK - Check and Update Preparation
CASH_FORECAST_LOANS_POST - Update Loan in Cash Management and Forecast (Call Update)
CASH_FORECAST_LOANS_POST_2 - Update Loan in Cash Management and Forecast (Update)
CASH_FORECAST_MM_INIT - Delete the MM-relevant data in financial planning
CASH_FORECAST_MM_OPEN_ITEM - Determine Open Item Purchase Order
CASH_FORECAST_MM_OPEN_ITEM_NBR - Supply MM line item with document number and access update
CASH_FORECAST_MM_OPEN_ITEM_PR - Determine open item purchase requisition
CASH_FORECAST_MM_RECORD_UPD - Line item update in FDM1
CASH_FORECAST_MM_RECORD_UPD_PR - Line Item Update in FDM2 (Purchase Requisitions)
CASH_FORECAST_MM_RELEVANT - Decides whether the financial planning of MM should be updated
CASH_FORECAST_SD_ORDER_DUMMY - Cash forecast for sales orders (new CM)
CASH_FORECAST_SD_ORDER_INIT - Cash forecast for sales orders (new CM)
CASH_FORECAST_SD_ORDER_UPDATE - NOTRANSL: Fortschreibung der SD-Aufträge ( und Fakturen ) in die Finanzdis
CASH_FORECAST_SD_ORDER_UPD_2 - NOTRANSL: Fortschreibung der SD-Aufträge in die Finanzdispo (ab Release 4.
CASH_FORECAST_SD_ORDER_UPD_3 - NOTRANSL: Datenbankfortschreibung der Werte von CASH_FORECAST_SD_ORDER_UPD
CASH_FORECAST_SECURITIES_CHECK - Check Securities for Cash Management Update
CASH_FORECAST_SECURITIES_POST - Update Securities in Cash Management
CASH_FORECAST_SELECT_AND_COMPR - Cash management and forecast: Select and compress according to table 038
CASH_FORECAST_SEL_AND_COMPR_RE - Finanzdispo: Selektion und Verdichtung von Summensätzen für Recherche
CASH_FORECAST_TREASURY_CHECK - Check Forex, MMH, and Derivatives for Cash Management Update
CASH_FORECAST_TREASURY_POST - FD Update for Forex, Money Market Trading, Derivatives, Securities Trans.
CASH_FORECAST_TR_SELECT_ITEM_2 - Drilldown from CM for Treasury Management
CASL_ASYNCHRONOUS_RO_OBOM - NOTRANSL: Asynchrone CU51 mit Komplettauflösung per User-Exit
CASL_GET_BOM_EXPLOSION_DATE - NOTRANSL: ergebnisorientierte Auftragsstückliste: Berechnung Modellauflösu
CASL_GET_HEADER_AS_LIST - NOTRANSL: Gibt Subscreen als eine Liste zurück
CASL_HAS_EFFECTIVITY - NOTRANSL: Liefert bei neuer Effectivity die notwendige Information
CASL_HAS_OPTIONS - NOTRANSL: Liefert Informationen, die im Konfigurationseditor berücksichtig
CASL_HAS_ORDER - NOTRANSL: Liefert die Information über den aktuellen Kundenauftrag/Positio
CASL_SET_ORDER - NOTRANSL: Liefert die Information über den aktuellen Kundenauftrag/Positio
CASL_USER_EXIT_003 - NOTRANSL: Aufruf des User-Exits EXIT_SAPLCASL_003
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