What are the Golden Transactions in Fico

What are the Golden Transactions in Fico
Regards,
G G REDDY

What are the Golden Transactions in Fico
Regards,
G G REDDY

Similar Messages

  • What are the main transaction codes in XI?

    What are the main transaction codes in XI?

    SAP XI TRANSACTION CODES
    ALRTCATDEF- Alerts Configuration.
    ALRTDISP - Display of Alerts Created
    SXMB_IFR -> Start Integration Builder
    SXMB_MONI -> Integration Engine - Monitoring
    SXI_MONITOR -> XI: Message Monitoring
    SXI_CACHE -> To Access IS runtime cache
    SXI_SUPPORT -> Test all the Repository and Directory Objects
    SXI_CACHE -> XI data directory cacheidx1 -> idoc adapter
    IDX2 -> idoc metadata
    IDX5 -> monitor idoc adapter
    SM21 -> log di sistema
    ST22 -> dump abap (analisi di eccezioni)
    SMQ1 -> messages inbound e outbound queue
    SMQ2 -> messages inbound e outbound queue
    SMICM -> J2EE administration
    ST06 -> stato della macchina cpu memory filesystem machine status - cpu, memory and file system.
    ST03 -> workload.
    SCC4 -> visualizza mandanti del sistema
    WE20 -> partner profiles
    sale - ale settings
    RZ10 - edit system profile
    SM59 ->mantain rfc destinations
    BD64 -> mantain distribution model (trasformazioni)
    SU01 -> users
    AL08 -> list all logged users(user login logon)
    SE10 -> Change Request
    SE09 -> Change Request
    WE05 -> All idocs
    WE19 -> IDoc Test Tool
    WE21 -> port definition
    SE11 -> Data dictionary
    SM21 -> log sistema xi
    se37 -> mantain funcion modules
    SICF -> http server configuration
    SMGW -> trace, alzare livello di trace.
    BD13 ->
    BD64 -> modelli di distribuzione
    PFCG -> Roles
    tabella TSTC -> sap transactions codes
    tabella TSTCT -> transaction descriptions
    STMS -> transports management
    SPAM -> apply ABAP support packages
    SPAU -> manage objects after apply support packages
    SE01 -> manage change requests
    SLDCHECK -> Test SLD Connection
    SLDAPICUST-> SLD API Customizing
    SXMB_ADM -> Integration Engine - Administration
    SXMB_MONI_BPE -> Process Engine - Monitoring
    SE38 -> ABAP Editor
    SE11 -> ABAP Dictionary
    ST22 -> ABAP dump analysis
    SPROXY-> ABAP Proxy Generation
    SE80 -> Object Navigator
    ABAPDOCU -> ABAP Documentation and Examples
    SE24-> Class Builder
    SM21-> Online System Log Analysis
    SMQ1-> qRFC Monitor (Outbound Queue)
    SMQ2-> qRFC Monitor (Inbound Queue)
    RZ70-> SLD Administration
    SM58-> Asynchronous RFC Error Log
    SM59-> RFC Destinations (Display/Maintain)
    SMICM-> ICM Monitor
    WE60-> Documentation for IDoc types
    BD87-> Status Monitor for ALE Messages
    IDX1-> Port Maintenance in IDoc Adapter
    IDX2-> Meta Data Overview in IDoc Adapter
    WE05-> IDoc Lists
    WE02-> Display IDoc
    WE19-> Test tool
    WE09-> Search for IDocs by Content
    WE20-> Partner Profiles
    WE21-> Port definition in XI
    SE16-> Data Browser
    SE93-> Maintain Transaction Codes
    SM30-> Call View Maintenance
    SU01-> User Maintenance
    SM02-> System Messages
    BD54 -Logical System Creation.
    SWXF_PBUILDER -> for Detail BPM Process
    SMQS - > to register the destination in QOUT scheduler
    WEOUTQUEUE - > to start the queue processing
    SMQR - > to register the queue
    IDXPW - > to activate the IDOC message package
    IDXP - > to monitor the message packages.
    SWF_XI_CUSTOMIZING -> transaction to check prerequisites for integration processes.
    http://www.erpgenie.com/abaptips/content/view/452/62/

  • What are the importent transaction codes in edi

    what are the importent transaction codes in edi

    hi,
    =>sale - ALE Customizing
    =>bale - Distribution Administration (ALE)
    =>wedi - IDOC Type and EDI Basis
    =>shdb - BDC (Transaction Recorder)
    =>lsmw - LSMW
    =>bapi - BAPI
    =>spau - Display Modified DE Objects
    =>spdd - Display Modified DDIC Objects
    =>sara - central idoc archiving
    =>stms - Transport Management System
    =>wedi - IDOC Type and EDI Basis (IDOC Configuration)
    =>bd21 - Analyze change pointers - create IDOC from change pointer
    =>bd10 - Send Material Master
    =>bd12 - Send Customer Master
    =>bd14 - Send Vendor Master
    =>bd50 - Activate Change Pointer for Message Type
    =>bd55 - Conversion rule user exit (Link conversion rule user exit to the different system \ partner combinations)
    =>bd54 - Maintain Logical Systems
    =>bd71 - Distribute Customer Model
    =>bd87 - Process Inbound IDOCs
    =>bd88 - Process Outbound IDOCs
    =>bdm2 - Cross-system IDOC Reporting
    =>bdm7 - ALE Audit - statistical analyses
    =>bdm8 - ALE Audit - sending confirmations
    =>bd61 - Activate Change Pointer generally
    =>bmv0 - Direct Input Data Transfer Administration
    =>rz04 - Operation Mode
    =>rz12 - RFC Server Group Maintenance
    =>sar3 - Archiving object customizing
    =>s001 - SAPoffice Inbox
    =>s010 - Standards Texts (SAP Script)
    =>se01 - Transport Organizer (Extended View - Performing and managing the transport of development object across different systems)
    =>se09 - Transport (Workbench) Organizer (Controlling and keeping track of Development work and Development Objects)
    =>se78 - Administration of Form Graphics (Import Graphics into SAP System)
    =>se84 - ABAP Repository Information (search for SAP objects)
    =>su01 - User Maintenance (Security)
    =>su02 - Maintain Authorization Profiles
    =>su03 - Maintain Authorizations
    =>sm36 - Background Job Scheduling
    =>sm37 - Background Job Monitoring (display batch jobs)
    =>sm31 - Table Maintenance
    =>sm30 - Calling View Maintenance
    =>sm35 - Batch Input Monitoring (Error Logs)
    =>sm50 - Process Overview
    =>sm58 - Transactional RFC Monitoring
    =>sm59 - Maintain RFC Destinations (Define RFC Configuration)
    =>snro - Number Range Objects (for IDOCs)
    =>we02 - Display IDOC
    =>we05 - IDOC lists
    =>we07 - IDOC statistics
    =>we12 - Inbound processing of outbound file - convert outbound to inbound file
    =>we14 - Process (dispatch) IDOCs through Port - RSEOUT00
    =>we15 - Outbound IDOC from NAST - message control
    =>we16 - Inbound File
    =>we18 - Generate status file
    =>we19 - Test tool
    =>we20 - Add new Message Type to Partner Profile
    =>we21 - Maintain Port Definition
    =>we30 - IDOC Type development
    =>we31 - IDOC Segment development
    =>we41 - Process Code Outbound
    =>we42 - Process Code Inbound
    =>we46 - IDoc Administration
    =>we47 - Status Code Maintenance
    =>we57 - Assign function module to logical message and IDoc type
    =>we63 - IDOC Type for Parser Output
    =>we82 - Assign IDOC to Message Type
    =>we60 - IDOC Documentation - IDOC Types
    =>we61 - IDOC Documentation - IDOC Record Types
    =>we81 - Create new IDOC Message Types
    =>we82 - Assign IDOC to Message Type
    =>pa20 - Display HR Master Data
    =>pa30 - Maintain HR Master Data
    =>bd59 - Create and assign Filter Object Type for Message Type
    =>bd64 - Maintenance of ALE or any other Distribution Model
    Hope this helps, Do reward.

  • What are the different transaction codes for PGI?

    1. What are the different transaction codes for PGI?
    2. What transaction code should I use for a Group Delivery?
    Regards,
    Nazim.

    Hi
    Go to VL02 and you can do the PGI.
    Regfarding Group Delivery, you can create a batch job and link the program to the batch job so that the job picks up all the orders and create deliveries.
    Creating a Background Job Using the Job Wizard
    •From the main menu select System>Services>Jobs>Define Job (transaction SM36).
    •Press the Job Wizard button and step through the screens as follows:
    •1:Continue
    •2: Enter a name for your job. Continue.
    •3: Continue with ABAP Program Step selected
    •4: Enter the ABAP Program Name and variant name.
    Press the Print Parameters button, specify the required printer and set the "Time of Print" to "Send to Print Spooler for now".
    Press green tick
    Continue
    •5: If more reports need to be added to the job tick the checkbox, press continue and repeat screens 3 and 4.
    •6: Select how the job is to scheduled (eg Date and Time)
    •7: Enter the required scheduling information ( eg Date and Time) and if required tick "Periodic Jobs"
    •8: If "Periodic Job" was selected select the frequency (eg Monthly)
    •9: Check the job details and press Complete
    Hope the above info helps.
    Reward if useful
    Regards

  • What are the transaction codes we use for LSMW in MM, SD, PP  & FI/CO gnrly

    Hi all,
    What are the transaction codes we use for LSMW in MM, SD, PP  & FI/CO generally?
    Help will be surely rewarded.
    Thanks and Regards,
    Creasy

    > What are the transaction codes we use for LSMW in MM, SD, PP  & FI/CO generally?
    General threads about LSMW in MM, SD, PP, FICO will be locked and deleted generally.
    > Help will be surely rewarded.
    &********************** Please read "the rules" if found usefull... ************************&
    Cheers,
    Julius

  • What are  the tables and fields  in fico & sd module

    what are  the tables and fields  in fico & sd module

    Hi,
    <b> Sales and Distribution:</b>
    Customers KNA1 General Data
    KNB1 Customer Master – Co. Code Data (payment method, reconciliation acct)
    KNB4 Customer Payment History
    KNB5 Customer Master – Dunning info
    KNBK Customer Master Bank Data
    KNKA Customer Master Credit Mgmt.
    KNKK Customer Master Credit Control Area Data (credit limits)
    KNVV Sales Area Data (terms, order probability)
    KNVI Customer Master Tax Indicator
    KNVP Partner Function key
    KNVD Output type
    KNVS Customer Master Ship Data
    KLPA Customer/Vendor Link
    Sales Documents VBAKUK VBAK + VBUK
    VBUK Header Status and Administrative Data
    VBAK Sales Document – Header Data
    VBKD Sales Document – Business Data
    VBUP Item Status VBAP Sales Document – Item Data
    VBPA Partners
    VBFA Document Flow
    VBEP Sales Document Schedule Line
    VBBE Sales Requirements: Individual Records
    SD Delivery DocumeLIPS Delivery Document item data, includes referencing PO
    LIKP Delivery Document Header data
    Billing Document VBRK Billing Document Header
    VBRP Billing Document Item
    SD Shipping Unit VEKP Shipping Unit Item (Content)
    VEPO Shipping Unit Header
    <b>Financial Accounting</b>
    FBAS             Financial Accounting “Basis”
    BKPF             Accounting Document Header              BUKRS / BELNR / GJAHR
    BSEG             Accounting Document Segment             BUKRS / BELNR / GJAHR / BUZEI
    BSIP             Index for Vendor Validation of Double   BUKRS / LIFNR / WAERS / BLDAT /
                     Documents                               XBLNR / WRBTR / BELNR / GJAHR / BUZEI
    BVOR             Inter Company Posting Procedure         BVORG / BUKRS / GJAHR / BELNR
    EBKPF            Accounting Document Header (docs from   GLSBK / BELNR / GJHAR / GLEBK
                     External Systems)
    FRUN             Run Date of a Program                   PRGID
    KLPA             Customer / Vendor Linking               NKULI / NBUKR / NKOAR / PNTYP
                                                             / VKULI / VBUKR / VKOAR
    KNB4             Customer Payment History                KUNNR / BUKRS
    KNB5             Customer Master Dunning Data            KUNNR / BUKRS / MABER
    KNBK             Customer Master Bank Details            KUNNR / BANKS / BANKL / BANKN
    KNC1             Customer Master Transaction Figures     KUNNR / BUKRS / GJHAR
    KNC3             Customer Master Special GL Transactions KUNNR / BUKRS / GJAHR / SHBKZ
                     Figures
    LFB5             Vendor Master Dunning Data              LIFNR / BUKRS / MABER
    LFBK             Vendor Master Bank Details              LIFNR / BANKS / BANKL / BANKN
    LFC1             Vendor Master Transaction Figures       LIFNR / BUKRS / GJHAR
    LFC3             Vendor Master Special GL Transactions   LIFNR / BUKRS / GJHAR / SHBKZ
                     Figures
    VBKPF            Document Header for Document Parking    AUSBK / BUKRS / BELNR / GJHAR
    FBASCORE         Financial Accounting General Services “Basis”
    KNB1             Customer Master (Company Code)          KUNNR / BUKRS
    LFA1             Vendor Master (General Section)         LIFNR
    LFB1             Vendor Master (company Code Section)    LIFNR / BUKRS
    SKA1             G/L Account Master (Chart of Accounts)  KTOPL / SAKNR
    SKAT             G/L Account Master (Chart of Accounts – SPRAS / KTOPL / SAKNR
                     Description)
    MAHNS            Accounts Blocked by Dunning Selection   KOART / BUKRS / KONKO / MABER
    MHNK             Dunning Data (Account Entries)          LAUFD / LAUFI / KOART / BUKRS /
                                                             KUNNR / LIFNR / CPDKY / SKNRZE /
                                                             SMABER / SMAHSK / BUSAB
    FI-GL-GL (FBS)   General Ledger Accounting: Basic Functions- G/L Accounts
    SKAS             G/L Account Master (Chart of Accounts – SPRAS / KTOPL / SAKNR / SCHLW
                     Key Word list)
    SKB1             G/L Account Master (Company Code)       BUKRS / SAKNR
    FI-GL-GL (FBSC)  General Ledger Accounting: Basic
                     Functions - R/3 Customizing for G/L Accounts
    FIGLREP          Settings for G/L Posting Reports        MANDT
    TSAKR            Create G/L account with reference       BUKRS / SAKNR
    FI-GL-GL (FFE)   General Ledger Accounting: Basic
                     Functions - Fast Data Entry
    KOMU             Account Assignment Templates for G/L    KMNAM / KMZEI
                     Account items
    FI-AR-AR (FBD)   Accounts Receivable: Basic Functions - Customers
    KNKA             Customer Master Credit Management :     KUNNR
                     Central Data
    KNKK             Customer Master Credit Management :     KUNNR / KKBER
                     Control Area Data
    KNKKF1           Credit Management : FI Status data      LOGSYS / KUNNR / KKBER / REGUL
    RFRR             Accounting Data – A/R and A/P           RELID / SRTFD / SRTF2
                     Information System
    FI-BL-PT         Bank Accounting: Payment (BFIBL_CHECK_D)  Transactions – General Sections
    PAYR             Payment Medium File                     ZBUKR / HBKID / HKTID / RZAWE /
                                                             CHECT
    PCEC             Pre-numbered Check                      ZBUKR / HBKID / HKTID / STAPL
    FI-BL-PT-AP(FMZA)Bank Accounting: Payment Transactions – Automatic Payments
    F111G            Global Settings for Payment Program for MANDT
                     Payment Requests
    FDZA             Cash Management Line Items in Payment   KEYNO
                     Requests
    PAYRQ            Payment Requests                        KEYNO
    Hope this solves your concern...
    Regards,
    Habeeb
    Assign points if helpful

  • What are the settings master data and transaction data from r/3 to in APO.

    Hi all,
    Can u suggest me ,I need to conform in apo what are the setting when transfering master data and transaction data from r/3 to APO.
    frm
    babu

    Hi
    The data get transfered from R3 to APO via CIF which is SAP standard.
    Please find enclosed herewith the link which will provide you detail information regarding it.
    http://help.sap.com/saphelp_scm41/helpdata/en/9b/954d3baf755b67e10000000a114084/frameset.htm
    Please let us know if it helps you. Please also let us know if you have any more specific question.
    Thanks
    Amol

  • What are the parameters in Call transaction method?

    Hi ABAPER'S,
        Please give me what are the parameters in call transaction method?
    Thanks,
    Prakash

    Processing batch input data with CALL TRANSACTION USING is the faster of the two recommended data transfer methods. In this method, legacy data is processed inline in your data transfer program.
    Syntax:
    CALL TRANSACTION <tcode>
    USING <bdc_tab>
    MODE  <mode>
    UPDATE  <update>
    <tcode> : Transaction code
    <bdc_tab> : Internal table of structure BDCDATA.
    <mode> : Display mode:
    A
    Display all
    E
    Display errors only
    N
    No display
    <update> : Update mode:
    S
    Synchronous
    A
    Asynchronous
    L
    Local update
    A program that uses CALL TRANSACTION USING to process legacy data should execute the following steps:
    Prepare a BDCDATA structure for the transaction that you wish to run.
    With a CALL TRANSACTION USING statement, call the transaction and prepare the BDCDATA structure. For example:
    CALL TRANSACTION 'TFCA' USING BDCDATA
    MODE 'A'
    UPDATE 'S'.
    MESSAGES INTO MESSTAB.
    IF SY-SUBRC <> 0.
    <Error_handling>.
    ENDIF.
    The MODE Parameter
    You can use the MODE parameter to specify whether data transfer processing should be displayed as it happens. You can choose between three modes:
    A Display all. All screens and the data that goes in them appear when you run your program.
    N No display. All screens are processed invisibly, regardless of whether there are errors or not. Control returns to your program as soon as transaction processing is finished.
    E Display errors only. The transaction goes into display mode as soon as an error in one of the screens is detected. You can then correct the error.
    The display modes are the same as those that are available for processing batch input sessions.
    The UPDATE Parameter
    You use the UPDATE parameter to specify how updates produced by a transaction should be processed. You can select between these modes:
    A Asynchronous updating. In this mode, the called transaction does not wait for any updates it produces to be completed. It simply passes the updates to the SAP update service. Asynchronous processing therefore usually results in faster execution of your data transfer program.
    Asynchronous processing is NOT recommended for processing any larger amount of data. This is because the called transaction receives no completion message from the update module in asynchronous updating. The calling data transfer program, in turn, cannot determine whether a called transaction ended with a successful update of the database or not.
    If you use asynchronous updating, then you will need to use the update management facility (Transaction SM12) to check whether updates have been terminated abnormally during session processing. Error analysis and recovery is less convenient than with synchronous updating.
    S Synchronous updating. In this mode, the called transaction waits for any updates that it produces to be completed. Execution is slower than with asynchronous updating because called transactions wait for updating to be completed. However, the called transaction is able to return any update error message that occurs to your program. It is much easier for you to analyze and recover from errors.
    L Local updating. If you update data locally, the update of the database will not be processed in a separate process, but in the process of the calling program. (See the ABAP keyword documentation on SET UPDATE TASK LOCAL for more information.)
    The MESSAGES Parameter
    The MESSAGES specification indicates that all system messages issued during a CALL TRANSACTION USING are written into the internal table <MESSTAB> . The internal table must have the structure BDCMSGCOLL .
    You can record the messages issued by Transaction TFCA in table MESSTAB with the following coding:
    (This example uses a flight connection that does not exist to trigger an error in the transaction.)
    DATA: BEGIN OF BDCDATA OCCURS 100.
    INCLUDE STRUCTURE BDCDATA.
    DATA: END OF BDCDATA.
    DATA: BEGIN OF MESSTAB OCCURS 10.
    INCLUDE STRUCTURE BDCMSGCOLL.
    DATA: END OF MESSTAB.
    BDCDATA-PROGRAM = 'SAPMTFCA'.
    BDCDATA-DYNPRO = '0100'.
    BDCDATA-DYNBEGIN = 'X'.
    APPEND BDCDATA.
    CLEAR BDCDATA.
    BDCDATA-FNAM = 'SFLIGHT-CARRID'.
    BDCDATA-FVAL = 'XX'.
    APPEND BDCDATA.
    BDCDATA-FNAM = 'SFLIGHT-CONNID'.
    BDCDATA-FVAL = '0400'.
    APPEND BDCDATA.
    CALL TRANSACTION 'TFCA' USING BDCDATA MODE 'N'
    MESSAGES INTO MESSTAB.
    LOOP AT MESSTAB.
    WRITE: / MESSTAB-TCODE,
    MESSTAB-DYNAME,
    MESSTAB-DYNUMB,
    MESSTAB-MSGTYP,
    MESSTAB-MSGSPRA,
    MESSTAB-MSGID,
    MESSTAB-MSGNR.
    ENDLOOP.
    The following figures show the return codes from CALL TRANSACTION USING and the system fields that contain message information from the called transaction. As the return code chart shows, return codes above 1000 are reserved for data transfer. If you use the MESSAGES INTO <table> option, then you do not need to query the system fields shown below; their contents are automatically written into the message table. You can loop over the message table to write out any messages that were entered into it.
    Return codes:
    Value
    Explanation
    0
    Successful
    <=1000
    Error in dialog program
    > 1000
    Batch input error
    System fields:
    Name:
    Explanation:
    SY-MSGID
    Message-ID
    SY-MSGTY
    Message type (E,I,W,S,A,X)
    SY-MSGNO
    Message number
    SY-MSGV1
    Message variable 1
    SY-MSGV2
    Message variable 2
    SY-MSGV3
    Message variable 3
    SY-MSGV4
    Message variable 4
    Error Analysis and Restart Capability
    Unlike batch input methods using sessions, CALL TRANSACTION USING processing does not provide any special handling for incorrect transactions. There is no restart capability for transactions that contain errors or produce update failures.
    You can handle incorrect transactions by using update mode S (synchronous updating) and checking the return code from CALL TRANSACTION USING. If the return code is anything other than 0, then you should do the following:
    write out or save the message table
    use the BDCDATA table that you generated for the CALL TRANSACTION USING to generate a batch input session for the faulty transaction. You can then analyze the faulty transaction and correct the error using the tools provided in the batch input management facility.

  • What are the difference in transaction codes in 4.6 C and ECC 6.0 HCM syste

    Hi
    What are the difference in transaction codes in 4.6 C and ECC 6.0 in HCM SAP.
    Regards,
    Sanjay

    Believe there will not be any change in Tcodes.
    check these links
    http://solutionbrowser.erp.sap.fmpmedia.com/
    http://www.sap.com/solutions/business-suite/erp/pdf/BWP_ERP2006_Upgrade.pdf
    http://service.sap.com/releasenotes
    http://service.sap.com/upgrade for functional
    https://websmp105.sap-ag.de/upgrade

  • While loading transaction data into cube what are the tables generats

    Hi,
    while loading transaction data into cube what are the tables normally generats.

    Hi,
    Normally datas will be loading to 'F'- Fact tables (/BIC/F****) *** - cube name..
    When you do compress the request the data will be moved into E tables.
    Regards,
    Siva.

  • What are the transactions we use day to day in the bw before go live

    what are the transactions we use most in the bw before go live?
    Tcodes for backend objects like creating infocube and so on.
    Tcodes for front end objects like creating queries and so on.
    Thank you.
    York

    Hi Les,
    check previous posting
    Transaction Codes for BW Developers
    SAP BW n R/3 transactions.
    table TSTCT contains all the transaction codes
    RSA6 Maintain DataSources
    RSA7 BW Delta Queue Monitor
    RSA8 DataSource Repository
    RSA9 Transfer Application Components
    RSD1 Characteristic maintenance
    RSD2 Maintenance of key figures
    RSD3 Maintenance of units
    RSD4 Maintenance of time characteristics
    RSDBC DB connect
    RSDDV Maintaining Aggregates
    RSIMPCUR Load Exchange Rates from File
    RSISET Maintain InfoSets
    RSKC Maintaining the Permittd Extra Chars
    RSLGMP Maintain RSLOGSYSMAP
    RSMO Data Load Monitor Start
    RSMON BW Administrator Workbench
    RSOR BW Metadata Repository
    RSORBCT BI Business Content Transfer
    RSORMDR BW Metadata Repository
    RSPC Process Chain Maintenance
    RSPC1 Process Chain Display
    RSPCM Monitor daily process chains
    RSRCACHE OLAP: Cache Monitor
    RSRT Start of the report monitor
    RSRT1 Start of the Report Monitor
    RSRT2 Start of the Report Monitor
    RSRTRACE Set trace configuration
    RSRTRACETEST Trace tool configuration
    RSRV Analysis and Repair of BW Objects
    SE03 Transport Organizer Tools
    SE06 Set Up Transport Organizer
    SE07 CTS Status Display
    SE09 Transport Organizer
    SE10 Transport Organizer
    SE11 ABAP Dictionary
    SE24 Class Builder
    SE80 Object Navigator
    RSCUSTA Maintain BW Settings
    RSCUSTA2 ODS Settings
    RSCUSTV*
    RSSM Authorizations for Reporting
    SM04 User List
    SM12 Display and Delete Locks
    SM21 Online System Log Analysis
    SM37 Overview of job selection
    SM50 Work Process Overview
    SM51 List of SAP Systems
    SM58 Asynchronous RFC Error Log
    SM59 RFC Destinations (Display/Maintain)
    LISTCUBE List viewer for InfoCubes
    LISTSCHEMA Show InfoCube schema
    DB02 Tables and Indexes Monitor
    DB14 Display DBA Operation Logs
    DB16 Display DB Check Results
    DB20 Update DB Statistics
    r/3 (bw related)
    SBIW BIW in IMG for OLTP
    BD61 Activate Change Pointers - Generally
    BDLS Convert Logical System Names
    BF11 Application Areas
    RSA2 OLTP Metadata Repository
    RSA3 Extractor Checker
    RSA5 Install Business Content
    RSA6 Maintain DataSources
    RSA7 BW Delta Queue Monitor
    RSA8 DataSource Repository
    RSA9 Transfer Application Components
    RSO2 Oltp Metadata Repository
    RSO3 Set Up Deltas for Master Data
    LO setup table
    OLI1BW INVCO Stat. Setup: Material Movemts
    OLI2BW INVCO Stat. Setup: Stor. Loc. Stocks
    OLI3BW Reorg.PURCHIS BW Extract Structures
    OLI4BW Reorg. PPIS Extract Structures
    OLI7BW Reorg. of VIS Extr. Struct.: Order
    OLI8BW Reorg. VIS Extr. Str.: Delivery
    OLI9BW Reorg. VIS Extr. Str.: Invoices
    OLIABW Setup: BW agency business
    OLIFBW Reorg. Rep. Manuf. Extr. Structs
    OLIIBW Reorg. of PM Info System for BW
    OLIQBW QM Infosystem Reorganization for BW
    OLISBW Reorg. of CS Info System for BW
    OLIZBW INVCO Setup: Invoice Verification
    Check out AHP's reply specifically in the link:
    urgent
    Assign Points if Helpful *****
    Regards,
    Ravikanth

  • If we open a transaction i need to find what are the tables used

    hi gurus
    can anyone suggest me
    if we open a transaction  liek va01
    i need to find what are the tables used
    what are the fields used in that transaction
    i need a list .
    thanks&regards
    kals.

    Hi
    you can find all those details in transaction variant,
    go with SHD0 ( numerical 0) and then enter your transaction code and enter transaction variant name and then select that
    Select the program SAPMV45A and go CHANGE WITH PROCESSING (F6),
    there you can find the list of fields and field names.
    reward points if usful.
    thanks and regards,
    muralidhar

  • How to check what are the enhancement done for MIRO transaction

    Hi Experts,
    Please help me out, how to check what are the enhancement done for MIRO transaction.
    Thanks in advance.
    Thanks,
    Basanagouda

    Hi
    Use the BADI
    Please refer these documents: [Enhancements required in MIGO|Enhancements required in MIGO; and
    [Enhancement in MIGO for Goods Movement|Enhancement in MIGO for Goods Movement;
    Hope this helps!!
    Regards
    Vijay

  • What are the setups required to perform any inventory transactions

    Hello freinds .
    What are the bare minimum mandatory setups required in order to perform any inventory transaction

    H,
    The steps required are as follows:
    1. Define Location
    2. Define Inventory Organizations
    3. Define Sub Inventory Organizations
    4. Define Shipping Networks
    5.Define Items
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  • FICO:What are the critical reporting requirements of a finance department?

    Hi Experts,
    Can you help me identify all the reporting requirements of a finance departmentn when it comes to the use of BW?
    i. From a reporting perpective, what does the finance department need from BI to say that BI is a worthwhile investiment?
    ii. Does BI provide any of the answers provided in i. (above) through its business content objects? If so, can you discuss how BI provides each of the solutions? (I will apprecaite a discussion for the "finance team" and not neccessarily for the IT team)
    iii. If all the requirements of a finance department are already available with a newly installed BI, then
    what are the typical functions of a BI consultant  to a finance department? i.e. why will a finance department find the need to bring in a BI consutant to advise them on how best to use BW in their environment?
    iv. How does the above discussion pertain to CO. i.e. If your discussion above is strictly for FI, can you address i, ii, iii for CO?
    Thanks and Happy Holiday.

    Hi
    From a reporting perpective, what does the finance department need from BI to say that BI is a worthwhile investiment?
    Normally Financial reports needed for the customer will be P&L, Balance sheet, Cashflow statements and the AR, AP and also Controlling and the Turn over Ratios to know about the financial funding stage about their organization based on their functional requirements.
    ii. Does BI provide any of the answers provided in i. (above) through its business content objects? If so, can you discuss how BI provides each of the solutions? (I will apprecaite a discussion for the "finance team" and not neccessarily for the IT team)
    Better to talk to your FI CO team for this to understand better at ECC functional level to know what would be the best extractors that you can report on. BI content is already there for almost FI CO reports.
    http://help.sap.com/saphelp_nw70/helpdata/EN/2d/955a73da4d6d41a0a6128caf274ce8/frameset.htm
    and everything mentioned clearly in that why , how , what.
    iii. If all the requirements of a finance department are already available with a newly installed BI, then
    what are the typical functions of a BI consultant to a finance department? i.e. why will a finance department find the need to bring in a BI consutant to advise them on how best to use BW in their environment?
    Though the Finance team has every Extractor at ECC side its only BI consultant who has to work on Modeling , Extraction, Reporting Part for BEx Reports. You have to Map the Fields even though its BI Content some of the Customized objects like Routines, Formulas would be there for each and every project .
    iv. How does the above discussion pertain to CO. i.e. If your discussion above is strictly for FI, can you address i, ii, iii for CO?
    http://help.sap.com/saphelp_nw70/helpdata/EN/d6/563b2203ef11d4a7400060087a7a87/frameset.htm
    Hope it helps

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