SAP T-Code search on IB
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IB01 - Create Equipment BOM
IB02 - Change Equipment BOM
IB03 - Display Equipment BOM
IB05 - Change Equipment BOM Group
IB06 - Display Equipment BOM Group
IB07 - Assign Equipment BOM to Plant
IB08 - Change Equipment BOM - Plant Alloc.
IB09 - Display Equipment BOM Plant Alloc.
IB11 - Create Functional Location BOM
IB12 - Change Functional Location BOM
IB13 - Display Functional Location BOM
IB15 - Change FunctLocation BOM Group
IB16 - Display FunctLocation BOM Group
IB17 - Create FunctLoc. BOM Plant Assignmnt
IB18 - Change FunctLoc. BOM Plant Alloc.
IB19 - Display FunctLoc. BOM Plant Alloc.
IB51 - Create IBase
IB52 - Change IBase
IB53 - Display IBase
IB54 - Change Two Installed Bases
IB55 - Display Two Installations
IB56 - Expand IBase
IB61 - Create Installed Base with Reference
IB80 - Change Documents for Equipment BOM
IB81 - FunctLocation BOM Change Documents
IB90 - Equipment BOM Number Ranges
IB91 - FunctLocation BOM Number Ranges
IBANMD - Generate IBAN
IBI2 - Plant Maintenance Batch Input
IBIP - PM: Batch Input Utility
IBIPA - Transaction for BAL of IBIP
IBNR - Processing IBNR Reserves
IBO_C_WF_TTAE - List of Allowed Actions per Task
IBO_V_WF_ACC - View for Action Definition
IBO_V_WF_APC - View for Action Properties
IBO_V_WF_CAC - View for Custom Attributes
IBO_V_WF_TAC - View for Inbox Tasks
IBO_V_WF_TAE - Inbox Tasks
IBO_V_WF_TTAC - Assignment of Actions to Task Types
IBR01 - Enter Broker Report
IBR02 - Broker Collections Acct Bal. Display
IBR03 - Broker Desktop
IBR04 - Clarify Broker Report
IBR05 - Display Broker Report History
IBR06 - Display Customers For Broker
IBR07 - Search/List Broker Report Items
IBR08 - Broker Report New Reconciliation Key
IBR09 - Broker Report Reversal
IBR10 - Number Range Maintenance: BRO_STMH
IBR11 - Define Insurance User
IBR12 - Web Broker: Maintain Forms
IBR13 - Display Broker for Customer
IBR23 - Broker Report Clearing Account
IBR24 - Interim Account Broker Report
IBR25 - Default Values Broker Report
IBR27 - Broker Summary Posting Default Vals
IBR28 - Configure Clarification Codes
IBR30 - Activities for Clarification Codes
IBR31 - Broker Hierarchy Selection
IBR32 - Assign Item Cat/Broker Report Cat
IBR33 - Clarif. Account for Clarif. Code
IBR34 - Broker Report Selection Categories
IBR35 - Customizing: Broker Report Grouping
IBR36 - Customizing: Account Det. Tolerance
IBR37 - Customizing: Prfx Reconciliation Key
IBR38 - Customizing: Released Reports
IBR39 - Derivation Clarif. Code Web Appl.
IBR40 - Create Broker Account Statement
IBR50 - Create Broker Report
IBR51 - Broker Report Transfer
IBR52 - Broker Report Transfer Error Proc.
IBR53 - Broker Report Transfer - File Change
IBR54 - Broker Report Transfer - File Gen.
IBR55 - BrokRepTransfer - Cust. Struct. Gen.
IBR60 - Request Broker Report
IBR70 - Create Broker Dunning Status
IBR75 - Dunning Status History
IBR80 - Auto. Broker Report Postprocessing
IBR81 - Specs for Auto. Brok. Rep. Postproc.
IBR85 - Post Broker Report After Inc. Payt
IBR90 - Create Broker Balance
IBRBAPITEST - Test Transaction BAPIs Broker Coll.
IBRO - Broker Collections Area Menu
IBSPI_RFCDEST - RFC Destination IBS-PI Functions
IBSSI_RFCDEST - RFC Destination for IBS Functions
IBSX_JP - Import Bank Statement(XML Format)
IBS_JP - Import Bank Statement
IB_COM_CUST_01 - IBase: Customizing IBase Category
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