Chart of Accounts
Chart of Accounts
Chart of Accounts
CHART OF ACCOUNTS
OY01=define countries
4. BUSSINESS AREAS
GGB0=define validations
OB28=activate FI validations
5. FUNCTIONAL AREAS.
GGB1=define substitution
GS01=create sets
1. CHART OF ACCOUNTS.
7. TOLERENCE GROUPS.
2. REASON CODES.
5. CREDIT MANAGEMENT
2. REASON CODES.
5. CREDIT MANAGEMENT
1. CONTROLLING AREAS
Controlling area
3. IMPUTED COSTS
4. RECONCILATION LEDGER
Assignment configuration
PROFITABILITY ANALYSIS
4. CO-PA PLANNING
6. CO-PA REPORTING
7. CO-PA TRANSPORTS
1KE1=analyze settings
2. ASSIGNEMENT IN PCA
4. PCA PLANNING
INVESTEMENT MANAGEMENT
Best Wishes!
List of SAP MM Transaction codes
All transaction are stored in table TSTC.
Transaction for MM module start with M.
in Check units of measurements you need to define Dimension, ISO Code, Units of
measurement.
SAP SD Transaction codes List
I found a way to know hidden customizing Tcodes.
Before executing customizing task you desire, point it and go to Edit-Display IMG Activity.
Then mark activity.
Others as follows:
At Configuration:
1. VOV8 - Define Sales documents type (header)
2. OVAZ - Assigning Sales area to sales documents type
3. OVAU - Order reasons
4. VOV4 - Assign Item categoreies(Item cat determination)
5. VOV6 - Scedule line categories
6. OVAL - To assign blocks to relevant sales documents type
7. OVLK - Define delivery types
8. V/06 - Pricing
9. V/08 - Maintain pricing procedure
10.OVKP - Pricing proc determination
11.V/07 - Access sequence
Enduser:
1. Customer Master Creation-VD01 and XD01 (for full inclu company code)
VD02 - Change Customer
VD03 - Display Customer
VD04 - Customer Account Changes
VD06 - Flag for Deletion Customer
XD01 - Create Customer
XD02 - Modify Customer
XD03 - Display Customer
2. Create Other material ----MM00
3. VB11- To create material determination condition record
4. CO09- Material availability Overview
5. VL01 - Create outbound delivery with ref sales order
6. VL04 - Collective processing of delivery
7. VA11 - Create Inquiry
VA12 - Change Inquiry
VA13 - Display Inquiry
Billing
· VF02 - Change billing document
· VF11 - Cancel Billing document
· VF04 - Billing due list
· FBL5N - Display Customer invoices by line
· FBL1N - Display Vendor invoices by line
Delivery
· VL02N - Change delivery document
· VL04 - Delivery due list
· VKM5 - List of deliveries
· VL06G - List of outbound deliveries for goods issue
· VL06P - List of outbound deliveries for picking
· VL09 - Cancel goods issue
· VT02N - Change shipment
· VT70 - Output for shipments
General
· VKM3, VKM4 - List of sales documents
· VKM1 - List of blocked SD documents
· VD52 - Material Determination
I Enterprise Structure
II Fiscal Year
IV Posting Periods
VI Tolerances
IX Global Parameters
I Document Posting
8 Display G/L Account Balances for Open Item Managed A/cs FBL3N
V Document Parking
VI Hold Documents
IX Recurring Documents
1 Full Clearing
2 Partial Clearing
3 Balance Clearing
4 Residual Clearing
XI Reversals
Accounts Payable
I Basic Settings
II Transactions
2 Creation of House Bank and Assign G/L A/c in House Bank FI12
V Terms of Payment
Accounts Receivable
I Basic Settings
II Transactions
IV Bill Discounting
7 Report to view Customer wise, Due Date wise, Bank wise Outstanding S_ALR_87012213
V Dunning
5 Dunning F150
VI Credit Management
Note: Sales Order Type and Delivery Type and Risk Category and order or Delivery Type is used to define the
Warning or Error Messages.
Path: Sales & Distribution à Basic Functions à Credit Processing
Asset Accounting
I Basic Settings
4 Posting of Transactions
Purchase
Commissioning charges, etc., | F-90
|
5 Creation of Main Asset Master to which Asset Under Construction is to be settled AS01
11 Fixation of the Schedule as per the Indian Company's Act (or) Asset History Sheet AR02
Closing Procedures
II Closing Procedures
III GL Reports
3 Ledger S_ALR_87100205
IV Vendor Reports
V Customer Reports
MM to FI Integration
Sl.No. Particulars Transaction Code
II Integration
Inventory RM A/c
Inventory FG A/c
GR/IR Clearing A/c
Price Differences A/c | FS00
|
III Flow
SD to FI Integration
II Integration
III Flow
Controlling
I Basic Settings
II Other Transactions
1 : Costs
11 : Revenues
21 : Internal Settlement
41 : Overhead Costs
42 : Assessment
43 : Internal Activity Allocation | ---
|
IV Reconciliation Ledger
I Basic Settings
II Activity Types
IV Overhead Assessment
V Overhead Distribution
I Basic Settings
I Basic Settings
12 Choose Additional Balance Sheet and Profit & Loss Accounts 3KEH
14 Planning Profit Center Wise for Profit & Loss Account Items 7KE1
15 Planning Profit Center Wise for Balance Sheet Account Items 7KE3
16 To View Profit Center Wise Variance Report for Profit and Loss Account Items S_ALR_87013326
17 To View Profit Center Wise Variance Report for Balance Sheet Account Items S_ALR_87013336
II Assessment