|
Master Data: G/L--01.1 | |
| Creating / maintain a G/L Account | FS01 |
| Displaying a G/L Account | FS03 |
| Mark a G/L Account for Deletion | FS06 |
|
General Ledger: Posting--01.2 | |
| Display G/L Account Balances | FS10 |
| Display G/L Account Line Items | FBL3 |
| Updating G/L Posting Periods | F-60 |
| Posting to a G/L Account | F-02 |
| Process recurring documents | F.14 |
|
Intercompany Process--01.3 | |
| Clearing Intercompany Receivables | FBZ1 |
| Clearing Intercompany Payables | FBZ2 |
|
Month-End Close Activity--02.1 | |
| Month end accruals | FBS1 |
| Creating Sample Document Transactions | FBR2 |
|
Preparing Data--02.3 | |
| Generating the Compact Journal Report | F.02 |
| Posting/Reversing assesment | KSU5 |
| Revaluing Open Items | F.05 |
| Revaluing FC Managed Accounts | F.06 |
| Maintaining Currency Rates | SM30 |
|
Finance Reporting/Verification--02.4 | |
| Reconciling FI-GLX | GCAC |
| Working with the Income Statement | GR55 |
| Working with the Balance Sheet | GR55 |
|
YEAR-END CLOSE--03 | |
| Maintaining Fiscal Calendars | 0B29 |
| Performing Asset Accounting Fiscal Year End Closing | AJAB |
| Performing Asset Accounting Fiscal Year End Change | AJRW |
| Carrying Forward Balances | F.07 |
| Carrying Forward G/L Account Balances | F.16 |
| Carrying Forward GLX Account Balances | FYTR |
|
ACCOUNTS PAYABLE--04 | |
|
Pre-Close A/P--04.1 | |
| Generate AP report | F.41 |
|
Non-PO Related Invoice--04.2 | |
| Handling vendor inquiries | FK10 |
| Processing an Invoice | F-43 |
| Displaying check register report | FCHN |
| Canceling Payment | FCH8 |
| Processing a Credit Memo | F-41 |
|
Non-Inventory Procurement--04.3 | |
| Posting Manual Payments | FBZ2 |
| Processing a Credit Memo | MRHG |
| Responding to Mail from Purchasing | S001 |
| Releasing Blocked Invoices Automatically | MR02 |
|
ASSET MANAGEMENT--05 | |
|
Master Data--05.1 | |
| Creating an Asset Master | AS01 |
| Maintaining an Asset Master | AS02 |
| Displaying an Asset Master | AS03 |
| Creating the Distribution for Asset Settlement | AIAB |
| Displaying Asset Values | AW01 |
| Blocking or Deleting an Asset | AS05/AS06 |
| Displaying Asset Master Changes | AS04 |
|
Capital Asset Retirement--05.2 | ABA0 |
|
Acquire Fixed Asset--05.3 | |
| Acquisition Posting | ABZO |
| Posting an Intercompany Asset Acquisition | AB01 |
| Posting: Reversing Settlement of AUC | AIST |
|
Maintain Fixed Asset Control Data--05.4 | |
| Asset Transfer | ABUM |
|
Periodic Processing--05.5 | |
| Posting Depreciation | AFAB |
|
COST CENTER ACCOUNTING--07 | |
|
Cost Centers: Master Data--07.1 | |
| Displaying Standard Hierarchy | OKEO |
| Creating/Maintaining Cost Center Group | KSH1/KSH2 |
| Displaying a Cost Center Group or Alternate Hierarchy | KSH3 |
| Creating a Cost Center | KS01 |
| Deleting a Cost Center | KS04 |
| Creating/Maintaining Automatic Account Assignments | OKB9 |
| Generating the Cost Center Master Data Report | OKW8 |
|
Cost Elements: Master Data--07.2 | |
| Create/ maintain cost elements | KA01 |
| Creating/Maintaining Cost Element Groups | KAH1/KAH2 |
|
Cost Centers: Allocations--07.3 | |
| Create/Maintain an Assessment Cycle, Segment & Tracing Factor | KSU1 |
|
Cost Centers: Reporting--07.4 | |
| Displaying Cost Center Actual Line Items | KSB1 |
| Displaying Cost Center Commitment Line Items | KSB2 |
| Displaying CO Document: Single-Line Item | KSB5 |
| Displaying CO Document: Selection | KALR |
|
INTERNAL ORDERS--08 | |
| Creating an Internal Order | K001 |
| Creating Internal Order Groups | K0H1 |
| Running a Report from Report Selection Menu: Orders | KOC2 |
source url :https://www.sdn.sap.com/irj/scn/wiki?path=/display/ERPFI/FI+Transaction+Codes
本文档汇总了SAP财务模块中的关键交易代码,包括总账会计、应付账款、资产管理、成本中心会计及内部订单等核心业务流程的操作指令。通过这些交易代码,用户可以进行诸如创建维护科目、过账凭证、月末结账活动、应付账款预结等财务管理操作。
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