Need to modify EMMAC3 screen

Hi Experts,
Our requirement is to hide one (Object tab) of the tabs in the EMMAC3 transaction. Is there any SPRO config / user exits to perform this task.
Any help will be highly appreciated.
Thanks & Regards,
Rapti

Hi Rapti,
Unfortunately I'm not aware of standard way to achieve this. I don't believe there is a way to hide the Objects Tab via configuration in SPRO.
There is a BADI available for adding customer specific fields to the Additional Details tab. However it doesn't to my knowledge provide the ability to hide standard tabs. The BADI is EMMA_CASE.
What would the justification be of hiding the Objects Tab? Do you want to restrict users the ability to navigate to the objects?
Best Regards,
Trevor

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    NVL(Recovery_Detail.Admin_Percent, 0)) as Total_Fee_Percent,
    max(NVL(Recovery_Detail.Fees_Percent, 0)) as Subrogation_Fee_Percent,
    max(NVL(Recovery.Amount, 0)) as Recovery_Amount, /* SWL 04/01/04 52653 */
    Sum(NVL(Recovery_detail.Fees, 0) + NVL(Recovery_Detail.Admin, 0)) as Total_Fee,
    Sum(NVL(Recovery_Detail.Fees_Taxes, 0) +
    NVL(Recovery_Detail.Admin_Taxes, 0)) as Total_Tax,
    Sum(NVL(Recovery_Detail.Admin_Taxes, 0)) as Administrative_tax,
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    From Settlement, Recovery, Recovery_Detail
    Where Recovery.settlement_id = v_settlement_id
    And recovery.recovery_id = v_recovery_id
    And Settlement.Settlement_id = Recovery.Settlement_id
    And Recovery.Recovery_id = Recovery_detail.Recovery_id(+)
    and to_date(Recovery.Recovery_Date, 'DD-MON-RR') between
    TO_DATE(v_lowdate, 'DD-MON-RR') and
    TO_DATE(v_highdate, 'DD-MON-RR') /*SWL 12/03/04 */
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    Group by Recovery_Detail.recovery_id;
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    Select max(Recovery.Amount) as Total_NonCash_Positive,
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    Where Recovery.settlement_id = v_settlement_id
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    and recovery.recovery_id = v_recovery_id /* SWL 07/01/04 59016 */
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    And Settlement.Settlement_id = Recovery.Settlement_id
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    ('05', '50', '52', '51')
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    Where r.Event_ID = e.Event_ID
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    AND e.Client_Field_Name = 'UNIT';
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    where mv_billdetail_case_sum.event_id = V_Event_ID;
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    And Settlement.Settlement_id = Recovery.Settlement_id
    And Recovery.
    Recovery_Transaction_Internal in ('05', '50', '52', '51');
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    Select round(avg(NVL(Recovery_Detail.Fees_Percent, 0) +
    NVL(Recovery_Detail.Admin_Percent, 0)),
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    Sum(NVL(Recovery_Detail.Fees_Taxes, 0) +
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    Sum(NVL(Recovery_Detail.Admin, 0)) as Total_Admin_Fee
    From Settlement, Recovery, Recovery_Detail
    Where Recovery.Recovery_ID = V_Recovery_ID
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    And Recovery.Recovery_id = Recovery_detail.Recovery_id(+)
    Group by Recovery_Detail.recovery_id;
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    Select max(Recovery.Amount) as Total_NonCash_Positive,
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    Where Recovery.Recovery_ID = V_Recovery_ID
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    And Recovery.Amount >= 0
    And Recovery.Recovery_id = Recovery_detail.Recovery_id(+)
    And Recovery.Recovery_Transaction_Internal in
    ('05', '50', '52', '51')
    Group by Recovery_Detail.recovery_id;
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    v_cur_day integer := 0;
    -----dj
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    v_prev_cum_revenue unbundled_recoveries.cum_revenue%type := 0;
    v_cum_ub_rec unbundled_recoveries.cum_ub_recoveries%type := 0;
    v_cum_inv_paid unbundled_recoveries.cum_inv_paid%type := 0;
    v_month_rec unbundled_recoveries.monthly_recoveries%type := 0;
    v_cum_rec unbundled_recoveries.cum_recoveries%type := 0;
    v_event_id event.event_id%type;
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    where r.event_id = e.event_id
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    ex.client_invoice_received))
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    where ex.event_id = e.event_id
    and upper(ex.status) = 'PAID'
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    and trim(ex.orig_client_invoice_date) is not null
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    into v_event_id, v_month_rec, v_cum_rec, v_cum_inv_paid
    from event e
    where e.event_id = pevent_id;
    exception
    when no_data_found then
    v_event_id := 0;
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    v_month_rec := 0;
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    1,
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