SAP T-Code search on TPM_
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TPM1 - Run Valuation
TPM10 - Process Business Transactions
TPM100 - Hedge Accounting for Positions
TPM100_DISPLAY - Obsolete
TPM101 - Classification
TPM102 - Reverse Classification
TPM103 - Postprocess Business Transactions
TPM104 - Reprocess Financial Transactions
TPM10A - Distribute BT to Position Mgmt
TPM10A_SWITCH - Switch On/Off Asynchr. Distribution
TPM11 - Post Reversal/Recalculation
TPM110 - Execute Effectiveness Test
TPM112 - Display Effectiveness Test Results
TPM12 - Treasury Position Values - Classic
TPM120 - Release Designation
TPM121 - Reverse Release of Designation
TPM122 - Change Reclassification-Relev. Dates
TPM12H - Flexible Position List
TPM13 - Treasury Position Flows - Classic
TPM14 - Update Types - Valn Class Transfer
TPM15 - Valuation Class Transfer
TPM15M - Valuation Class Transfer
TPM15_CTRL - Control Table Val. Class Transfer
TPM16 - Reversal Valuation Class Transfer
TPM16M - Reversal of Valuation Class Transfer
TPM17 - Define Securites Account Groups
TPM18 - Post Derived Business Transactions
TPM19 - Status Change TRL Bus. Transactions
TPM2 - Reverse Valuation
TPM20 - Treasury Posting Journal - Classic
TPM20A - Payment Journal
TPM21 - Create Nominal Adjustment
TPM22 - Display Nominal Adjustment
TPM23 - Reverse Nominal Adjustment
TPM24 - Update Margin Flows
TPM25 - Post Margin Flows
TPM26 - Display quantity ledger positions
TPM27 - Update Derived Business Transactions
TPM28 - Transfer Acct Assignment Reference
TPM29 - Reverse Acct Assignmt Ref. Transfer
TPM3 - Assign Account Asst Reference
TPM30 - Define Determ. of Acct Assignmt Ref.
TPM31 - Def. Determ. of Acct Assgmt Ref.
TPM32 - Define Determ. of Acct Assignmt Ref.
TPM33 - Account Determination Overview
TPM34 - Def. Determ. of Acct Assgmt Ref.
TPM35 - Manual posting
TPM37 - AcctAssgmtRef. Determ. Exposure Item
TPM38 - AcctAssgmtRef. Determ. Hedged Item
TPM39 - Derivation for Financial Transaction
TPM39A - Derive Hedging Classification
TPM4 - Futures Account
TPM40 - Display Class Cash Flow for SecAcct
TPM40A - Display Sec.Acct Class Position List
TPM41 - Display Sec. Account Position List
TPM42 - Display Class List
TPM43 - Process Restraints On Drawing
TPM44 - Fin.Products Profit Accrual/Deferral
TPM45 - Reverse Accrual/Deferral of Income
TPM5 - Create Class Pos. in Futures Account
TPM50 - Change Position Mgmt Procedure
TPM51 - Periodic TRL Reporting
TPM52 - Maintain Update Type Reconciliation
TPM53 - Create Totals Records
TPM54 - Delete Totals Records
TPM55A - Generate Position ID (Securities)
TPM55B - Generate Position ID (Loans)
TPM55C - Create Position Indicator (OTC)
TPM55D - Generate Pos.ID (Listed Derivatives)
TPM55E - Generate Position ID (Ext. Accounts)
TPM55F - Create Pos. Indicator (Hedged Item)
TPM56A - Change Position ID (Securities)
TPM56B - Change Position ID (Loans)
TPM56C - Change Position ID (OTC Trans)
TPM56D - Change Pos. ID (Listed Derivatives)
TPM56E - Change Position ID (Ext. Accounts)
TPM56F - Change Pos. Indicator (Hedged Item)
TPM57A - Display Position ID (Securities)
TPM57B - Display Position ID (Loans)
TPM57C - Display Position ID (OTC Trans)
TPM57D - Display Pos. ID (Listed Derivatives)
TPM57E - Display Position ID (Ext. Accounts)
TPM57F - Display Pos. Indicator (Hedged Item)
TPM58A - Delete Position ID (Securities)
TPM58B - Delete Position ID (Loans)
TPM58D - Delete Pos. ID (Listed Derivatives)
TPM58E - Delete Position ID (Ext. Accounts)
TPM58F - Delete Pos. Indicator (Hedged Item)
TPM59 - Exchange per Company Code/Class
TPM6 - Change Class Pos. in Futures Account
TPM60 - Save NPVs
TPM60CVA - Determine NPVs Including CVA and DVA
TPM61 - Execute Data Transfer Positions
TPM61A - Position Information: Securities
TPM62 - Reverse Data Transfer Positions
TPM63 - Execute Data Transfer
TPM63A - Val. Area-Independ. Data: Securities
TPM63B - Val. Area-Dependent Data: Securities
TPM63C - Val.Area-Dep. Data: MM, FX, OTC Der.
TPM63D - Val. Area-Dependent Data: Futures
TPM64 - Reverse Data Transfer
TPM65 - P-HA: Execute Data Transfer
TPM65A - Data for Securities w. Subpositions
TPM65B - Data for OTC with Subpositions
TPM65C - Data for Futures with Subpositions
TPM66 - P-HA: Cancel Data Transfer
TPM7 - Display Class Pos. in Futures Acct
TPM70 - Record or Clear Impairment
TPM71 - Reverse Impairment
TPM72 - Maint. View Special Sec. Valuation
TPM73 - Special security valn
TPM74 - Enter Values for Manual Valuation
TPM75 - Reference Report for Impairment
TPM76 - Special Security Valuation
TPM8 - Display Futures Account Cash Flow
TPM80 - Account Assignment Transfer
TPM81 - Reverse Account Assignment Transfer
TPM82 - Portfolio Transfer
TPM83 - Reversal of Portfolio Transfer
TPM85 - Inv.Pool Participants: Edit Add.Data
TPM85A - Inv.Pool Participants: Disp.Add.Data
TPM86 - Generate Trans. f. Pool Participants
TPM87 - Reverse Inv. Pool Participant Trans.
TPM88 - Overview:Inv.Pool Participant Trans.
TPM89 - Edit Investment Pool Master Data
TPM89A - Display Investment Pool Master Data
TPM9 - Pos. List: Class Pos. in Futures A/c
TPM90 - Edit Investments
TPM90A - Display Investments
TPM91 - Matching for Futures/Options
TPM92 - Matching Overview w. Reversal Funct.
TPMCCP - Clearing Monitor
TPMD - Maintain HR Master Data
TPMEEM - Enter Expected Exposures
TPMM - Personnel Actions
TPMN_TRAC1 - Number Range Maint.: TPMN_TRAC1
TPMN_TRAC2 - Number Range Maintenance: TPMN_TRAC2
TPMN_TRPR - Number Range Maintenance: TPMN_TRPR
TPMN_TRS - Number Range Maint.: TPMN_TRS
TPMO - Translation Performance Monitor
TPMPFLPM - PFL: post multiple transactions
TPMPFLPS - PFL: post individual transaction
TPMPFLRM - PFL: reverse multiple transactions
TPMPFLRS - PFL: reverse individual Transaction
TPMPFLUP - PFL: recalculate planned flows
TPMS - Display HR Master Data
TPM_ACCSYMGL_UPLOAD - Assign G/L Accts to Acc. Sym. Upload
TPM_ADD_ACC_DATA - Maintain Additional Acct Assignments
TPM_ATTR_L - Maintain Values for Long Attribute
TPM_ATTR_M - Maintain Values for Medium Attrib.
TPM_ATTR_S - Maintain Values for Short Attribute
TPM_CCO_EXECUTE - Execute Currency Changeover
TPM_CCO_MANAGE - Manage Currency Changeovers
TPM_CCO_REVERSE - Reverse Currency Changeover
TPM_CTY11 - Commodity Overview
TPM_CTY_MASTER - Maintain Commodity Master Data
TPM_DERIVE_ACCNT - Derive Additonal Account Assignments
TPM_HREL_INIT - Initialize Hedging Relationships
TPM_HR_GROUP1 - Maintain HR Grouping 1
TPM_HR_GROUP2 - Maintain HR Grouping 2
TPM_INITIALIZE - Initialization of Parallel Val.Areas
TPM_INIT_HREL - Initialization Hedging Relationship
TPM_INIT_HREL_OTC - Init.Hedging Relationship:Subpos.OTC
TPM_INIT_HREL_REV - Reverse Initialization Hedging Rel.
TPM_INIT_HREL_SEC - Init.Hedging Rel.: Sec.Subpositions
TPM_LOCATION - Maintain Pricing Location
TPM_LOT_NO - Number Range Maintenance: TPM_LOT_NO
TPM_MIC_LOCATION - Assign Pricing Locations to MICs
TPM_MIGRATION - Conversion to ERP2007
TPM_MIGRATION_CAT - Conversion Type
TPM_MIGRATION_FUTURE - Conversion of Futures from Rel. 4.6
TPM_MIGRATION_PMP - Conversion: PosManProc. No.Assgmt
TPM_MIG_HEDGING_CLAS - Initialize Hedging Classification
TPM_MIG_TRADED_CURR - Initialize Traded Currency
TPM_NR_EXP_SUBITE_ID - Number Range Maintenance: TPMN_HID
TPM_NR_HD - Number range maintenance: TPMN_HD
TPM_NR_HINST - Number Range Maintenance: TPMN_HINST
TPM_NR_HITEM - Number Range Maintenance: TPMN_HITEM
TPM_NR_HREL - Number Range Maintenance: TPMN_HREL
TPM_NR_HREL_ID - Number Range Maintenance: TPMN_HRID
TPM_PAY_ASSIGN - Generation Payment Indicator
TPM_PL_ASSIGN - Generate Profit/Loss Indicators
TPM_POSTAUTREV - Reverse Automatic Debit Position Run
TPM_SIM_VAL - Simulate Period-End Closing
TPM_SIM_VAL_DEL - Delete Results Sim. Period-End Clos.
TPM_TRCO_DCSMD - Commodity Curve Contract Market Data
TPM_TRM_HMD_REL01 - Customizing for Docum. Release
TPM_TRM_HMD_REL02 - Customizing for Docum. Release: Rule
TPM_TRM_HME_REL01 - Customizing for Eff.Assmt. Release
TPM_TRM_HME_REL02 - Customizing for Eff.Assmt.Rel.: Rule
TPM_TRM_HM_REL01 - Customizing for Bus.Tr. Release
TPM_TRM_HM_REL02 - Customizing for Bus.Tr. Rel.: Rule
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