RFLQ_CB_BALANCE is a standard Executable ABAP Report available within your SAP system (depending on your version and release level). Below is the basic information available for this SAP report including which OBJECTS it interacts with such as TABLES, FUNCTION MODULES, INCLUDES ETC. Also check out the submitted Comments related to this SAP report or see any standard documentation available.
If you would like to execute this report or see the full code listing simply enter RFLQ_CB_BALANCE into the relevant SAP transactions such as SE38 or SE80
This report can be called from another progam/report simply by using the ABAP SUBMIT statement, see below for example ABAP code snipts of how to do this.
Selection Text: S_GJAHR = D Fiscal Year
Selection Text: P_FIPOS = D Commitment Item
Selection Text: P_FIKRS = D Financial Management Area
Title: Generate Funds Balance from Sum Totals
Text Symbol: 002 = Number of Added Entries
Text Symbol: 001 = Number of Entries Deleted
No INCLUDES are used within this REPORT code!
No SAP DATABASE tables are accessed within this REPORT code!
FMFK_FIKRS_READ CALL FUNCTION 'FMFK_FIKRS_READ' EXPORTING IP_FIKRS = P_FIKRS IMPORTING F_FM01 = L_F_FM01.
FMFPO_READ_QUICK CALL FUNCTION 'FMFPO_READ_QUICK' "note724057 EXPORTING IP_FIKRS = P_FIKRS IP_FIPOS = P_FIPOS IMPORTING F_FMFPO = L_F_FMFPO.
Although this basic information may have limited use it does provide an easy to find location to store any knowledge about this program/report.
RFLQ_CB_BALANCE - Generate Funds Balance from Sum Totals RFLQ_CB_BALANCE - Generate Funds Balance from Sum Totals RFLQ_CB_ACTUALS - Copy LQ Actual Values to Actual Values for Cash Budget Management RFLQ_CB_ACTUALS - Copy LQ Actual Values to Actual Values for Cash Budget Management RFLQ_CASH_FORECAST_TRT1 - Liquidity Calculation: Forecast from TR Transactions RFLQ_CASH_FORECAST_TRT1 - Liquidity Calculation: Forecast from TR Transactions