SAP Function Module search on TB_A



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TB_ACCDEF_TRD_TRANS_CREATE - Generate Accrual/Deferral Business Transactions

TB_ACCDEF_TRD_TRANS_REVERSE - Cancel Accrual/Deferral Business Transactions

TB_ACCOUNTINGREFERENCE_CHECK - Check Account Assignment Reference

TB_ACCOUNTINGREF_GET_TEXT - Text Description of Account Assignment Reference

TB_ACCOUNTREFERENCE_VALUES - Input Help for Account Assignment Reference

TB_ACCOUNT_DETERMINE - Determine Account for Credit/Debit Posting

TB_ACCOUNT_DOCUMENT_TYPE_CHECK - Check Document Type in Combination with Posting Category

TB_ACCOUNT_POSTING_KEY_CHECK - Check Posting Key in Combination with Posting Category

TB_ACCOUNT_SYMBOL_REPLACE - Replace Account Symbol with Account Defined in Account Determination

TB_ACCRUAL_DEFERRAL_FOR_DEAL - Generate Accrual/Deferral Flows for a Transaction

TB_ACCRUED_INTEREST_SIM - Simulated Interest Accrual/Deferral - Get Amount (MMT, Forex, Derivatives)

TB_ACCR_DEFR_ACCU_FOR_FLOW - Calculate Accrual/Deferral Amount for Accumulation Procedure for a Flow

TB_ACCR_DEFR_ACCU_FOR_FLOWS - Generate Accrual/Deferral Flow for Accumulation Proc. for Multiple Flows

TB_ACCR_DEFR_DIFF_FOR_FLOWS - Generate Accrual/Deferral Flow for Difference Proc. for Multiple Flows

TB_ACONDITIONS_SEPARAT - Extract Alternative Conditions from a Set of Conditions

TB_ACTIVITY_UPDATE_ONLY - Change Activity w/o Updating Change Document or 'Changed by'

TB_ADD_BANKCHAIN_DATA_TO_PAYRQ - Adds the provided bank chain data to a payment request

TB_ALLOCATION_LIST - Interactive List of Hedges Returning Flagged Hedge (Exactly 1)

TB_ALLOCATION_LIST_AND_GET - Interactive List of Hedges Returning Flagged Hedge (Exactly 1)

TB_ALLOC_UPDATE_OLD - Update Hedges, Hedge Allocations

TB_API_CONDITION_CHANGE - API: Change Condition

TB_API_CONDITION_CREATE - API: Create Condition with Reference

TB_API_CONDITION_CROSSCHECK - API: Cross Check Condition

TB_API_CONDITION_DELETE - API: Delete Condition

TB_API_CONDITION_GETLIST - API: Format Conditions

TB_API_CONDITION_KEY_BUILD - API: build condition key

TB_API_CONDITION_KEY_DEBUILD - API: Break Down Condition Key(s)

TB_ASSIGNMENTS_CHECK - Check Validity of Additional Account Assignments of a Transaction

TB_AT01_VALUES - Entries for Transaction Category in Accordance with Product Category

TB_AT02_VALUES - Input Help for Activity Category

TB_AT06_VALUES - Activity Categories of a Processing Category

TB_AT10_VALUES - Entries for Transaction Types Acc. to Product Type/Category or Trans. Cat.

TB_AT10_VALUES_FX - Entries for Transaction Types Acc. to Product Type/Category or Forex Cat.

TB_AT11_CHECK - Check Condition Type According to Transaction Type and Condition Category

TB_AT11_SELECT - Table of Cond. Types Accord. to Assignm. to Trans. Type and Cond. Categ.

TB_AT11_VALUES - Entries for Cond. Types Accord. to Assignm. to Trans. Type and Cond. Categ

TB_AT13_CHECK - Check Flow Type w/regard to Assignment to Trans. Type and Flow Category

TB_AT13_GET_VALUES - Check Flow Type w/regard to Assignment to Trans. Type and Flow Category

TB_AT13_SELECT - Table of Flow Types Accord. to Assignm. to Trans. Type and Cond. Category

TB_AT13_VALUES - Entries for Flow Types Accord. to Assignm. to Trans. Type and Cond. Categ.

TB_AT19_GET_VALUES - Read Flow Type Supplements Table AT19

TB_AT19_VALUES - Entries for Flow Types According to Class and Categories for an Applic.

TB_AT90_GET_TEXT - Text Description of Type of Manual Reversal of Posted Flows in TR

TB_AUTHORIZATION_GROUP_CHECK - Check Authorization Group

TB_AUTHORIZATION_GRP_GET_TEXT - Text Description of Authorization Group

TB_AUTH_ALLOCATION_DETERMIN - Determine Current Authorization SI

TB_AUTH_ALLOCATION_READ - Import Authorization SI for Business Partner in Company Code

TB_AUTH_ALLOCATION_SELECT - Select Authorization Standing Instructions (Screen)

TB_AUTH_ALLOCATION_UPDATE - Update Authorization Standing Instruction

TB_AUT_RESUBDATE - Calculate New Resubmission Date

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