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Index of SAP T-Codes Objects | Begining with f

FF$3 - Send planning data to central system

FF$4 - Retrieve planning data

FF$5 - Retrieve transmission results

FF$6 - Check settings

FF$7 - Check all external systems

FF$A - Maintain TR-CM subsystems

FF$B - Convert Planning Group

FF$C - Convert planning level

FF$D - Convert business areas

FF$L - Display transmission information

FF$S - Display transmission information

FF$X - Configure the central TR-CM system

FF-1 - Outstanding Checks

FF-2 - Outstanding Bills of Exchange

FF-3 - Cash Management Summary Records

FF-4 - CMF Data In Accounting Documents

FF-5 - CMF Records fr.Materials Management

FF-6 - CMF Records from Sales

FF-7 - Planned Item Journal

FF-8 - Payment Advice Journal

FF-9 - Journal

FF.1 - Standard G/L Account Interest Scale

FF.3 - G/L Account Cashed Checks

FF.4 - Vendor Cashed Checks

FF.5 - Import Electronic Bank Statement

FF.6 - Display Electronic Bank Statement

FF.7 - Compare Payment Advices

FF.8 - Print Payment Orders

FF.9 - Post Payment Orders

FF.D - Generate payt req. from advices

FF/1 - Compare Bank Terms

FF/2 - Compare value date

FF/3 - Archive advices from bank statements

FF/4 - Import Electronic Check Deposit List

FF/5 - Post electronic check deposit list

FF/6 - Deposit/loan mgmt analysis/posting

FF/7 - Deposit/loan management int accruals

FF/8 - Import Bank Statement into Cash Mgmt

FF/9 - Compare Advices with Bank Statement

FF63 - Create Planning Memo Record

FF63N - Create Planning Memo Record

FF65 - List of Cash Management Memo Records

FF65N - List of Cash Management Memo Records

FF67 - Manual Account Statement

FF68 - Manual Check Deposit Transaction

FF69 - Cash Mgmt: Totals Record Correction

FF6A - Edit Cash Mgmt Pos Payment Advices

FF6B - Edit liquidity forecast planned item

FF70 - Cash Mgmt Posit./Liquidity Forecast

FF71 - Cash Position

FF72 - Liquidity forecast

FF73 - Cash Concentration

FF74 - Use Program to Access Cash Concntn

FF7A - Cash Position

FF7AN - Cash Position

FF7B - Liquidity forecast

FF7BN - Liquidity Forecast

FF7F - Cash Position Data

FF:1 - Maintain exchange rates

FFA1 - Compare Advices with Bk.Stmt Advices

FFB4 - Import Electronic Check Deposit List

FFB5 - Post electronic check deposit list

FFCD - Cash deconcentration

FFL_OLD - Display Transmission Information

FFS_OLD - Display Transmission Information

FFTL - Telephone list

FFW1 - Wire Authorization

FFWR - Post Payment Requests from Advice

FFWR_REQUESTS - Create Payment Requests from Advice

FFZF - Fill Table T038N from T038

FFZK - C FI Maintainence Table T018Z

FF_1 - Standard G/L Account Interest Scale

FF_3 - G/L Account Cashed Checks

FF_4 - Vendor Cashed Checks

FF_5 - Import Electronic Bank Statement

FF_6 - Display Electronic Bank Statement


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