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KL_AB_BASIS_EVALUATE - Evaluation of Calculation Basis

KL_AB_BFF_REP_EQUAL_CHECK - Determination Procedure - Check REP Parity (Active)

KL_AB_CURR_INITIAL_EQUAL_CHECK - Checks whether the currencies are the same, or if one or more is initial

KL_AB_DEAL_EVAL_FOR_AR_RFC - Use for Prototypes Only

KL_AB_DELETE_REP_AMOUNTS_COLS - Compares reps with anbetrout and collateral

KL_AB_FILL_FORMULA_VARIABLES - Fill Formaul Variables as per Variable Assignment Rule

KL_AB_FLAG_VARIABLES_CHECK - Check and Calculate Maximum of NPVS and Nominal Amounts

KL_AB_PARAMETERS_FOR_CALC_GET - Get All Factors Required for Calculation of Attributable Amount

KL_AB_RISK_CALC_COMPL_SINGLE - Calculate Attributable Amount and Create Log

KL_AB_RISK_CALC_SINGLE - Calculate Risks - Single Record Processing

KL_AB_RISK_SI_CALC_SINGLE - Calculate Attributable Amount and Include Collateral

KL_AB_SEC_CALC_SET_GET_CLEAR - Set, Get, Clear: Indicator: Attributable Amount for Collateral

KL_ASSIGN_OBJNR_EVFIL - Zuordnung Einzelgeschäft- Risikofilter für Tagesendeverarbeitung

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