SAP RM_SE_FX_MODIFY_FOR_KL Function Module for RM: Foreign Exchange/Money Market - Credit Limit Modification









RM_SE_FX_MODIFY_FOR_KL is a standard rm se fx modify for kl SAP function module available within SAP R/3 or S/4 Hana systems, depending on your version and release level. It is used for RM: Foreign Exchange/Money Market - Credit Limit Modification processing and below is the pattern details for this FM, showing its interface including any import and export parameters, exceptions etc. there is also a full "cut and paste" ABAP pattern code example, along with implementation ABAP coding, documentation and contribution comments specific to this or related objects.


See here to view full function module documentation and code listing for rm se fx modify for kl FM, simply by entering the name RM_SE_FX_MODIFY_FOR_KL into the relevant SAP transaction such as SE37 or SE38.

Function Group: JBDSEL_MODIFY_FOR_KL
Program Name: SAPLJBDSEL_MODIFY_FOR_KL
Main Program: SAPLJBDSEL_MODIFY_FOR_KL
Appliation area: F
Release date: N/A
Mode(Normal, Remote etc): Normal Function Module
Update:



Function RM_SE_FX_MODIFY_FOR_KL pattern details

In-order to call this FM within your sap programs, simply using the below ABAP pattern details to trigger the function call...or see the full ABAP code listing at the end of this article. You can simply cut and paste this code into your ABAP progrom as it is, including variable declarations.
CALL FUNCTION 'RM_SE_FX_MODIFY_FOR_KL'"RM: Foreign Exchange/Money Market - Credit Limit Modification
EXPORTING
* I_STICHTAG = SY-DATUM "Date and Time, Current (Application Server) Date

CHANGING
C_FX_TAB = "Transactions in Extended TR Structure

TABLES
* E_BAPIERR = "OR: Structure of Error Handling
.



IMPORTING Parameters details for RM_SE_FX_MODIFY_FOR_KL

I_STICHTAG - Date and Time, Current (Application Server) Date

Data type: SY-DATUM
Default: SY-DATUM
Optional: Yes
Call by Reference: Yes

CHANGING Parameters details for RM_SE_FX_MODIFY_FOR_KL

C_FX_TAB - Transactions in Extended TR Structure

Data type: JBSEL_FX_MM_TAB
Optional: No
Call by Reference: Yes

TABLES Parameters details for RM_SE_FX_MODIFY_FOR_KL

E_BAPIERR - OR: Structure of Error Handling

Data type: BAPIERR
Optional: Yes
Call by Reference: No ( called with pass by value option)

Copy and paste ABAP code example for RM_SE_FX_MODIFY_FOR_KL Function Module

The ABAP code below is a full code listing to execute function module POPUP_TO_CONFIRM including all data declarations. The code uses the original data declarations rather than the latest in-line data DECLARATION SYNTAX but I have included an ABAP code snippet at the end to show how declarations would look using the newer method of declaring data variables on the fly. This will allow you to compare and fully understand the new inline method. Please note some of the newer syntax such as the @DATA is not available until a later 4.70 service pack (SP8), which i why i have stuck to the origianl for this example.

DATA:
lv_c_fx_tab  TYPE JBSEL_FX_MM_TAB, "   
lt_e_bapierr  TYPE STANDARD TABLE OF BAPIERR, "   
lv_i_stichtag  TYPE SY-DATUM. "   SY-DATUM

  CALL FUNCTION 'RM_SE_FX_MODIFY_FOR_KL'  "RM: Foreign Exchange/Money Market - Credit Limit Modification
    EXPORTING
         I_STICHTAG = lv_i_stichtag
    CHANGING
         C_FX_TAB = lv_c_fx_tab
    TABLES
         E_BAPIERR = lt_e_bapierr
. " RM_SE_FX_MODIFY_FOR_KL




ABAP code using 7.40 inline data declarations to call FM RM_SE_FX_MODIFY_FOR_KL

The below ABAP code uses the newer in-line data declarations. This allows you to see the coding differences/benefits of the later inline syntax. Please note some of the newer syntax below, such as the @DATA is not available until 4.70 EHP 8.

 
 
"SELECT single DATUM FROM SY INTO @DATA(ld_i_stichtag).
DATA(ld_i_stichtag) = SY-DATUM.
 


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