SAP FI TRANSACTIONS
FGRP Report Writer screen
FM12 View blocked documents by user
FST2 Insert language specific name for G/L account.
FST3 Display G/L account name.
KEA0 Maintain operating concern.
KEKE Activate CO-PA.
KEKK Assign operating concern.
KL04 Delete activity type.
KS04 Delete a cost centre.
KSH2 Change cost centre group - delete.
OBR2 Deletion program for customers, vendors, G/L accounts.
OKC5 Cost element/cost element group deletion.
OKE1 Delete transaction data.
OKE2 Delete a profit centre.
OKI1 Determine Activity Number: Activity Types (Assignment of material number/service to activity type)
OMZ1 Definition of partner roles.
OMZ2 Language dependent key reassignment for partner roles.
1KEL Create Profit Center doument
F.01 ABAP/4 Report: Balance Sheet
F.02 Compact Journal
F.08 G/L account balance(With Credit and Debit values)
F.23 A/R:Customer Balances
F.27 A/R: Periodic Account Statements
F.27 A/R: Periodic Account Statements
F.42 A/P Account Balances(Vendor balances)
F101 ABAP/4 Report: Balance Sheet Adjustment
FBL3 Display G/L Account Line Items
FBL5 Display Customer line items
FBME Banking
FI01-03 Create ,Change ,Display Bank Master
FS10 G/L account balance
GR55 Report Writer
KO02 Change Internal Order : Master Data
FKMN Area Menu for Account Payable
FDMN Area Menu for Account Receivable
FSMN Area Menu for General ledger
F-01 Enter Sample Document
F-02 Enter G/L Account Posting
F-03 Clear G/L Account
F-04 Post with Clearing
F-05 Post Forgn Currency Valuation
F-06 Post Incoming Payments
F-07 Post Outgoing Payments
FB01-03 Post/change/display : Document