SAP Function Module search on FWT
Search FMs
FWTR_ACTIVITY_DATA_READ - Read Transaction Data for Given Activity Categories
FWTR_AMOUNTS_CALCULATE_ACC_INT - Currency Conversion for Other Flows from Security Transaction Management
FWTR_AMOUNTS_CALCULATE_ADD - Currency Conversion for Other Flows from Security Transaction Management
FWTR_AMOUNTS_CALCULATE_MAIN - Currency Conversion for Main Flow from Order
FWTR_AMOUNTS_CALC_MAIN_REPO - Currency Conversion for Main Flow from Order
FWTR_AMOUNTS_CHECK_MAIN - Check if Implied Exchange Rate Between Two Amounts Is Allowed (EURO)
FWTR_AMOUNTS_FIELD_MOD_MAIN - Modify Screen Fields for Securities Order (Amount Fields, Price Fields)
FWTR_AMOUNT_CALCULATE - Currency Conversion for Main Flow from Order
FWTR_AT10_CONVERT - Data Conversion for Conversion Step AT10
FWTR_COM_VAL_CLASS_DERIVE - Determine General Valuation Class
FWTR_CORRES_FORWARDS_CREATE - Data Selection for Security Transaction
FWTR_CORRES_FUTURES_CREATE - Data Selection for Security Transaction
FWTR_CORRES_REPOS_CREATE - Data Selection for Repo Transaction
FWTR_CORRES_SECURITIES_CREATE - Data Selection for Security Transaction
FWTR_CORRES_SL_CREATE - Data Selection for Repo Transaction
FWTR_CURRENT_FACE_CALCULATE - Determine Current Nominal
FWTR_DATE_RULE_APPLY - Read Data for Date Rule
FWTR_DATE_RULE_DATA_READ - Read Data for Date Rule
FWTR_DATE_RULE_SHIFT_DAYS - Perform Date Shift
FWTR_DEFAULT_DEPOT - Return Default Securities Account
FWTR_DIS_FLOW_TYPE_CONVERT - Determine Update Type for Transaction Flow Type
FWTR_DIS_FLOW_TYPE_RECONVERT - Determine Transaction Flow Type for Update Type
FWTR_EXAMPLE_ADD_FLOW - Example of Event after Cash Flow Calculation
FWTR_EXAMPLE_CASHFLOW_AFTER - Example of Event after Cash Flow Calculation
FWTR_EXAMPLE_CASHFLOW_BEFORE - Example of Event before Cash Flow Calculation
FWTR_EXAMPLE_CHECK_DATA - Example of Check Run Event
FWTR_EXAMPLE_DATA_EXPORT - Example of Data Export Event
FWTR_EXAMPLE_DATA_IMPORT - Example of Data Import Event
FWTR_EXAMPLE_UPDATE_DATA - Example of Update Event
FWTR_FLOWS_MATCH - Find Matching VWBEVI Flows for VTBFHAPO Flows
FWTR_FLOW_CAT_CONVERS_CHECK - Check Flow Category Assignment
FWTR_FLOW_TYPES_CONVERT_TO_SEC - Type Conversion Flow Type: TR Transaction --> Security
FWTR_FLOW_TYPES_READ_ALLOWED - Determine Allowed Flow Types for a Transaction Type
FWTR_FLOW_TYPES_RECNV_FROM_SEC - Reconvert Flow Type: TR Transaction --> Security
FWTR_FUNCTION_CONTROL_READ - Read Event Control
FWTR_FUTURES_CHANGE - Change Securities Transaction via GUI (with Initial Screen)
FWTR_FUTURES_CREATE - Create Securities Transaction Using GUI (with Initial Screen)
FWTR_FUTURES_DISPLAY - Display Securities Transaction (with Initial Screen)
FWTR_FUTURES_DISPLAY_ACTIVITY - Display a Transaction
FWTR_FUTURES_EXECUTE - Execute Securities Order Using GUI (with Initial Screen)
FWTR_FUTURES_EXPIRE - Let Securities Order Expire Using GUI (with Initial Screen)
FWTR_FUTURES_HISTORY - Display Securities Transaction (with Initial Screen)
FWTR_FUTURES_REVERSE - Cancel Securities Transaction Using GUI (with Initial Screen)
FWTR_FUTURES_SETTLE - Settle Securities Contract Using GUI (with Initial Screen)
FWTR_FUT_INIT_FOR_BAPI - Initialization of Function Group for BAPI Call
FWTR_FUT_PRICE_CALCULATE - Calculate Price from Price and Quantity/Nominal
FWTR_GET_PM_DIS_FLOW_TYPES - Read Update Types for Position Update
FWTR_INIT - Initialization for Conversion
FWTR_INIT_WHILE - Initialization Within the Loop for Conversion
FWTR_INT_CHECK_FOR_BAPI - Check Run in BAPI Mode
FWTR_INT_CREATE_FOR_BAPI - Process Securities Transaction via Interface
FWTR_INT_GET_DATA_FOR_BAPI - Transfer Input Data from BAPI
FWTR_INT_GET_GUI_FLOWS - Return Flow Objects
FWTR_INT_INIT_FOR_BAPI - Process Securities Transaction via Interface
FWTR_INT_SAVE_FOR_BAPI - Save in BAPI Mode
FWTR_JOURNAL_DATA_READ - Prepare Data for Transaction Journal
FWTR_JOURNAL_DATA_READ_TAB - Prepare Data for Transaction Journal
FWTR_JOURNAL_DATA_READ_TAB_FWD - Prepare Data for Transaction Journal: Product Category Forward Bond (740)
FWTR_JOURNAL_DATA_READ_TAB_RPO - Prepare Data for Transaction Journal: Product Category Repo (730)
FWTR_JOURNAL_DATA_READ_TAB_SL - Prepare Data for Transaction Journal: Product Category Repo (730)
FWTR_LOCAL_AMT_CALCULATE - Currency Conversion for Main Flow from Order
FWTR_MAINTAIN_DEFAULT_DEPOT_VC - Maintain Default Securities Account via View Cluster
FWTR_OTC_INT_TRANS_MAINTAIN - Call Transaction Depending on Transactoin Type and Activity Category
FWTR_PARAMETERS_IMPORT - Data Import for Conversion
FWTR_POSITION_ACCUMULATE - Determine Position by Key Date
FWTR_POSITION_CHECK_INCOME - Check if Posted Revenue Flows Already Exist
FWTR_POSITION_CHECK_INIT - Dummy - Do Not Delete
FWTR_POSITION_CHECK_SHORT - Dummy - Do Not Delete
FWTR_POS_NUMBER_ASSIGN_READ - Read Security Position Number for Transaction Number
FWTR_POS_NUMBER_ASSIGN_UPDATE - Update Assignment of Securities Position Number to Transaction Number
FWTR_PRICE_CALCULATE - Calculate Price from Price and Quantity/Nominal
FWTR_REPO_DEALS_GET - Read Data for Repo Transactions
FWTR_SAVE - Save Data for Conversion (Global)
FWTR_SAVE_WHILE - Save Data Package Within Loop
FWTR_SEC_INIT_FOR_BAPI - Initialization of Function Group for BAPI Call
FWTR_SEC_TRANS_CHANGE_GUI_WIS - Change Securities Transaction via GUI (with Initial Screen)
FWTR_SEC_TRANS_CREATE_GUI_FST - Create Security Transaction as Underlying Using GUI (w/o Initial Screen)
FWTR_SEC_TRANS_CREATE_GUI_UL - Create Security Transaction as Underlying Using GUI (w/o Initial Screen)
FWTR_SEC_TRANS_CREATE_GUI_WIS - Create Securities Transaction Using GUI (with Initial Screen)
FWTR_SEC_TRANS_DISPLAY_GUI_WIS - Display Securities Transaction (with Initial Screen)
FWTR_SEC_TRANS_EXECUTE_GUI_WIS - Execute Securities Order Using GUI (with Initial Screen)
FWTR_SEC_TRANS_EXPIRE_GUI_WIS - Let Securities Order Expire Using GUI (with Initial Screen)
FWTR_SEC_TRANS_FIX_GUI_WIS - Settle Securities Contract Using GUI (with Initial Screen)
FWTR_SEC_TRANS_HISTORY_GUI_WIS - Display Securities Transaction (with Initial Screen)
FWTR_SEC_TRANS_MAINTAIN - Display/Change/History/Reverse Security Transaction
FWTR_SEC_TRANS_MAINTAIN_GUI - Change Securities Transaction Using GUI (w/o Initial Screen)
FWTR_SEC_TRANS_REVERSE_GUI_WIS - Cancel Securities Transaction Using GUI (with Initial Screen)
FWTR_SEC_TRANS_SETTLE_GUI_WIS - Settle Securities Contract Using GUI (with Initial Screen)
FWTR_SEC_UNDERLYING_INIT - Create Security Transaction as Underlying
FWTR_SEC_UNDERLYING_OKCODE - OK_Code Processing for Securities Transaction as Underlying
FWTR_SEC_UNDERLYING_SAVE - Get Data for Underlying
FWTR_SPOT_PRICE_DATA_READ - Read Data for Spot Price
FWTR_T033X_CONVERT - TR-TM-SE: CONVERT Account Determination for Securities Transaction (Event)
FWTR_T036V_CONVERT - Data Conversion for Conversion Step T036V
FWTR_TOTAL_AMOUNT_CALCULATE - Calculation of Payment Amount
FWTR_TRANSACTION_ASSIGN_READ - Read Assignment of Transaction Number to Security Position Number
FWTR_TRANSACTION_READ_SE - Dummy - Do Not Delete
FWTR_TR_FLOW_TYPE_READ - Read Data for Flow Type
FWTR_TZB0A_CONVERT - Conversion Step: Price/Rate Gain Determination
FWTR_VTBFHA_CONVERT - Data Conversion for Conversion Step VTBFHA
FWTR_VTBFHA_CONVERT_SINGLE - Data Conversion for Conversion Step VTBFHA
Return Table index