SAP Funds Management in PSM (PSM-FM) Tables Full list

Here is a list of important 810 SAP standard tables used with SAP Funds Management in PSM component (SAP PSM-FM) coming under SAP PSM (Public Sector Management) Module. You will get more technical details of these SAP PSM-FM tables by clicking on the respective table name link.

Assign Account Assignments

Assign Account Assignments – Customer-Specific Assignments

Variants of Budget Creation for PBC

Budge_text: File Name of Last Check Out

Budge_text: Check-Out Data for a Physical Information Obj.

Budge_text: Table for Document Contents (Import/Export)

Budge_text: Instances of Logical Information Objects

Budge_text: Instances of Physical Information Objects

Budge_text: Status Table for Indexing Documents

Budge_text: Descriptions of Logical Information Objects

Budge_text: Attribute Values of Logical Information Objects

Budge_text: Outgoing Relations of Logical Information Object

Budge_text: Incoming Relations of Logical Info Objects

Budge_text: Files of Physical Information Objects

Budge_text: Outgoing Hyperlinks From Physical Objects

Budge_text: Use of Target Anchors in Physical Objects

Budge_text: Attributes of Physical Information Objects

Budge_text: Incoming Relations of Physical Info Objects

Activity groups for availability control

Texts of Activation Groups for Availability Control

Event of availability control

Texts for Availability Control Events

Texts for Strategy Environment (CO-PA Derivation Tool)

Availability Control Ledger

Data sources for availability ledger

Data Source Texts for Availability Control Ledger

Assignment of tolerance limits for availability control

Tolerance profiles for availability control

Tolerance Profile Texts for Availability Control

Cluster to store application log

Message Area

Message Area Text

List of budget category instances

Texts for Budget Category Instances

Consistency Checks – Library

Consistency Checks – Text for Library

Consistency Checks – Rules

Consistency Checks – Message of the rule

Consistency Checks – Operands

Consistency Checks – Text for Rule

Control allowed Field Names – Field Status Management

Key Figures – Category

Key Figures – Category/Data source relation

Key Figures – Category Text

Key Figures – Data source

Key Figures – Data source field

Key Figures – Text for Data Sources

Key Figures – Field group

Key Figures – Fields of field group

Key Figures – Text for Field Group

Key Figures – Data source fields checks per category

Key Figures – Key Figure

Key Figures – Key Figure/Category relation

Key Figures – Key Figure Datasources relation

Key Figures – Text for Key Figure

Budget Text Categories

Texts for Budget Text Categories

Templates for Budget Texts

Texts for Budget Text Templates

Variables for Budget Text Templates

Texts for Variables in Budget Text Templates

Internal budgeting process

Process Instances Text Table

User Interface Process

User Interface Process Instances Text Table

Ledgers for Revenue Increasing the Budget

Ledger Text for Revenues Increasing the Budget

Calculation Formulas for Revenues Increasing the Budget

Texts on Calculation Rules for Revenues Increasing the Bud.

Table of original Transactions (Technical)

Text Table for Original Transactions (Technical)

Valid Combinations Between Process and Value Type

List of budgeting value type instances

Texts for Budgeting Value Type Instances

Mapping rules for migration from FBS to BCS – Field VORGA

Mapping rules for migration from FBS to BCS – Field WRTTP

FM2BL – Activate of FM area and FM Budget Category

FM2BL – Activation of Budget Value Types

FM2BL – Activation of Commitment/Actual Value Types

FM2BL – Define on FM area level

FM2BL – Transfer Dimension fields

Section

Section Text

Assign Cashier Account

FM to FI – GL Account Assignment

Activate Period Control Budgeting

FM Document Numbers to be Converted FI Line Item Table FM

Actual line item table

Activation of Change Documents for FMAVCT Records

AVC filter settings for FM budget values: valid budget types

AVC filter settings for FM budget values: header entries

Object table 2

Activation of availability ledger for Funds Management

Attributes of Availability Control Ledger (Funds Management)

Year-Independent Attributes of Control Ledger (FM)

Object table 1

Plan line items table

AVC Summary Table (BCS)

AVC Filter Settings for Posting Data: Excluded Value Types

AVC Filter Definition for RBE

Text Table for AVC Filter Definition for RBE

AVC Filter Settings for RBE

AVC Ledger Settings for RBE

Index table for budget structure and AVC

Object numbers for FM addresses

Budget Control System activation settings

User specific Budget Control System activation settings

Actual line item table

Object table 2

Object table 1 – Budget address

FM Budget change line items table

FM budget totals table

Definition of Document Type for Adjustment Document

History for Input Tax Adjustments PCOs

Data from Backdated Tax Calculation for PCOs

Public-Owned Commercial Operation : Master Data

Public-Owned Commercial Operation: Master Data Texts

Document Types for Postings in PCO

Global Settings for Public-Owned Commercial Operations

Tax Code for Budget Account Assignments

Assignment of FM Account Assignment to PCO

Input Tax Deduction Rates for PCO

Input Tax Deduction Rates for PCOs – Obsolete

Funds management budget header (entry documents)

IS-PS: Bestände im Kassennebenbuch

IS-PS: Bestände im Kassennebenbuch

Funds management budget document lines (entry documents)

Balancing fields for BL documents

Budgetary Ledger Basic Settings

Classification for BL accounts

Exclude Accounts from Automatic Offset/Deletion Procedure

Activation of BL Ext for Value Type – Budgets

Activation of BL Ext for Value Type – Commitments / Actuals

Activation of BL Ext for Budget Category

Substitute BL Doc Types for Budget Docs

Substitute BL Doc Types for Earmarked Funds

Substitute BL Doc Types

Selection of fields to be moved in FI for BL Ext – Fields

Field Selection for Derivation Tool in BL Ext – Field Name

Selection of fields to be moved in FI for BL Ext – FM Areas

Substitute BL Doc Types for Invoices

Field Selection for Derivation Tool in BL Ext – Structures

Excludes a user going through BL core (only for testing)

FM BL posting customizing for GL line-items collection

Regularization per Fiscal Year and Compeny Code

Regualrization Groups

Regualrization Groups

Safe the Runs of the Year-End Balancing Report

Posting Details

OBSOLETE

Assign split ledger to BL extension

Preclosing Rollup: Transfer Rules for Fund Type

Preclosing Rollup: Transfer Rules for Fund

Activation of Change Documents for Budget Structure

Budget Addresses

Budget structures

Texts for Budget Structures

Budget structure settings on FM area and fiscal year level

BS settings FM area, fisc. year and posting ledger

Budget Addresses settings on the version level

Budget Group content definition

Budget Type Group definition

Text for Budget Type Group

Rules for Closing Residual Ledger Accounts

Closing Residual Ledger Accounts : Dummy CC Assignment

Classification for BL accounts

Budgetary ledger account derivation: BCS

Budget category activation

Budgetary ledger account derivation: Budgeting (old)

Budgetary ledger account derivation: Revenue/Statistical

Revenue/Statistical Postings & Open items/actuals Resource

Budgetary ledger account derivation: Open items/Actuals bdgt

Budget texts register

Budget Text Key Customizing

Budget type definition

Texts for Budget Type Definition

Relation between posting and budgeting ledgers

Management of budgeting enironment in FM

Status and budget addresses settings on the version level

Customizing Table for Controlling Delta-Update

User Documents

Budgeting Workbench User settings

Customizing settings: creation of budget during ccf

Customizing settings: creation of budget during ccf

Fiscal Year Change Documents (FM)

Commitment Carryforward of Held Documents (Approval Proc.)

Lot for Commitment Carryforward (Approval Procedure)

FM – Consistency checks – Assignment of libraries

Assign Commitment Item to Fund

Revenues Increasing the Budget Government of Canada

Revenues Increasing Budget Government of Canada (Receiver)

Activation of Cover Elibility

Activation of Change Documents for Cover Elibility

Cover Groups: Assigned Budget Addresses

Cover Groups

Texts for Cover Groups

ISPS: Budget Closing Operations: Manual Approval

ISPS: FYC Budget: Use Manual Approval

IS-PS: Documents in Cash Desk Subsidiary Ledger

Erfassung des Kassenistbestandes

Rules for Closing out Obligations

Zuordnung Betragsobjekte (Berechnungsebene)

Zuordnung Dynamische Performs (ersicht)

Zuordnung Dyn. Performs (Detailebene)

Zuordnung Feldkatalog

Zuordnung Betragsobjekte (Head)

Zuordnung Verdichtungsobjekte (Übersicht)

Zuordnung Verdichtungsobjekte (Übersicht)

Zuordnung Verdichtungsobjekte (Detailebene)

Gültige Programmen für die Zeitpunkte

Gültige Programmen für die Zeitpunkte

Gültige Programme

Gültige Programme

Define Combined Documents

Additional lines in BL for Combined Documents

Additional lines in BL for Combined Documents – Header

Error Matrix for Combined Documents in Customizing

Error Matrix for Combined Documents

Consumable budget type for Fund Type

Consumable budget type for Fund

Generic Rules for Generating Cover Pools

For CO plan data transfer

F15 Interface – Documents

F15 Interface – Master Data Manager

F15 Interface – Documents (Data)

F15 Interface – Request Document Type -> Processing Key

F15 Interface – Number Range for Cash Reference Number

F15 Interface – Dunning Indicator

F15 Interface – Separation Name of Subledger Accounts

F15 Interface – Processing Key

F15 Interface – Processing Key Field-Dependency

F15 Interface – Processing Key Name

F15 Interface – Currency

Derivation rule:Cost Element to Commitment Item

Derivation rule:Cost Center/CE to Commitment Item/Funds Ctr/

Derivation rule:Cost Center to Commitment Item/Funds Ctr/Fun

Derivation rule:Order/CE to Commitment Item/Funds Ctr/Fund/F

Derivation rule:Order to Commitment Item/Funds Ctr/Fund/Func

Derivation rule:WBS Element/CE to Commitment Item/Funds Ctr/

Derivation rule:WBS Element to Commitment Item/Funds Ctr/Fun

Profit Ctr/CE to Commit Item/Funds Center/Fund/Function

Derivation rule:Profit Center to Commitment Item/Funds Ctr/F

Assignment Company Code to Derivation Tool Strategy

List of functions available in the FM Derivation tools

LIST OF FUNCTIONS ASSIGNED TO DERIVATION STRATEGY

Definition of state for account assignment element

Distribution Activation

Distribution Checks

Empty table for change document on DRULE derivation tables

Beschreibung der dynamischen Haushaltsstelle

Assignment of Forms for Entry document

Assign process to document type

Personnel Expend.

Summierungen der Gruppen im Einzelplan

Text zum Einzelplan

Store Bgt vals. returned before moving funds ctr.

Account Assignment Categories for Acc. Property

Accountable Property Configuration Data

Accountable Property Movement Types

Accountable Property Transaction Type

SGL Accounts Edits 2, 3, 5, 10, 11 (FACTS II)

Edit 6 – Investment Authority (FACTS II)

Edit 8- SF 133 Proof Edit (FACTS II)

SGL Account Edits 4, 7, 12 (FACTS II)

FACTS2 Bulk Extract File

(FACTS II) Account Balance Definition Table

FACTS2 Bulk extract file

FACTS2 MAF File for Edits

FACTS II Customizing table – Program Report Category

FACTS II Customizing – Program Report Category Text Table

Pre-edit A – Authority (FACTS II)

Pre-edit C – Expired/Unexpired (FACTS II)

Facts II Program Version Number

FMFG2 – FACTS II SGL Accounts

FMFG2 – FACTS SGL Attributes

FMFG2 – FACTS II SGL Account Attribute Allowable Values

FACTS2 – SGL Text Table

Reconciliation: Factors in a reconciliation rule

Reconciliation: selection and sort/group fields for rule

Reconciliation Group for Reconciliation Tool

Reconciliation Group Text

Reconciliation Tool Data Provider

Reconciliation Tool Data Provider Text

Reconciliation: Reconcilation Rule definition

Reconciliation: Reconcilation Rule texts

Data slice for Reconciliation Tool

Reconciliation data slice: Primary data selection criteria

Reconciliation data slice text

Saved reconciliation report results

Saved reconciliation match item data

Reconciliation: Subtotal texts

Reconciliation: Subtotal texts

Reconciliation: Groups for Subtotal texts

Reconciliation: Groups for Subtotal texts

Define Reimbursable Orders

Reimbursable Orders relevant for automatic Downpayment

Reimbursable Orders : Year-End closing

Document types for US Federal MM tolerances

Agency Location Code – U.S. Federal Government

Text Table for Agency Location Codes – U.S. Fed Gov

List of DIT & FBT accounts for Treasury Confirmation

Payment Office – U.S. Federal Government

Text table for Payment Office – U.S. Federal Government

Payment Statistical Sampling Process Activation table

Payment Statistical Sampling Process Rules

Statistical Sampling Clerk/Supervisor Relationship

US Federal activation of client dependant functionality

Document types excl. from BL source and posting type check

Budgetary Ledger Status

Budgetary Ledger balancing account for document split

Header Data for Improper Invoices

Commitment string lookup table for SES ZEKKN correction

ZEKKN number to correct invoices for SES

ZEKKN data for all FI items referencing service POs

Document batching/control for SL Repost for ECC 600 migratio

Errors issued during SL repost for ECC 600 migration

Reversed clearing documents for ECC 600 migration

RECN Condition:Payment Term Extension

RECN Condition: PPA Exclude Flag

Saved FACTS1A data for docs excluded from SL Repost for 600

Saved FACTS2A data for docs excluded from SL Repost for 600

Saved FMUSFGA data for docs excluded from SL Repost for 600

Saved GLIDXA data for docs excluded from SL Repost for 600

Summierung für die Haushaltsansatzstatistik

Summierung für die Haushaltsansatzstatistik

Summierung für die Haushaltsansatzstatistik

Summierung für die Haushaltsansatzstatistik

Fixed Values of Report

Texte Berichtsfestwerte

Pflege von Formularfestwerten

Angaben für den Datenträgeraustausch

Angaben für den Datenträgeraustausch

Gruppierungsaufbau Finanzplan verdichtete Form

Gliederungsaufbau Finanzplan Investitionen

zusätzliche Summierung Finanzplan verdichtete Form

zusätzliche Summierung Finanzplan verdichtete Form

Anzeigefelder für den Veränderungsnachweis

Anzeigefelder für den Veränderungsnachweis

SAPSCRIPT-Formular für den Anordnungsdruck

SAPSCRIPT-Formular für den Anordnungsdruck

Zuordnungstabelle der SAP-Script Formulare

Zuordnung Budgetarten zu Budgetartengruppe

Budgetartengruppe: Kennzeichen

Field Status Group definition

Assignment of Field Status Group

Text for Field Status Group

Field Status String definition

Assign Field Status String

Edit Field Status String

Text for Field Status definition

Field Status Variant definition

Assignment of Field Status Variant

Text for Field Status Variant definition

FM Closing Operations: Customizing Settings

Value Adjustments Before Fiscal Year Change

Outline Texts

Gliederungen zu Themen

Gruppierungen zur Finanzierungsübersicht

Gruppierungen zur Finanzierungsübersicht

Gruppierungen zum Haushaltsquerschnitt

Group master data for fund

Grouping

Gruppen fuer Innere Verrechnungen / Kalk. Kosten

Gruppierungen zu Themen

Gruppierungsplan

zusätzliche Summierung Gruppierungsübersicht

zusätzliche Summierung Gruppierungsübersicht

Grouping Text

Gruppierungsübersicht

Gruppierungsübersicht

Funds management budget header (held documents)

Funds management budget document lines (held documents)

Main group

Main Group Text

Hierarchy Nodes: Constant Parts (“Headers”)

Hierarchy IDs

Texts for Hierarchy IDs

Hierarchy Nodes (Without Constant Part)

Settings for Budget Hierarchies

Number of Residents Per FM Area, Fiscal Year

Application-Dependent Indices: Fields

Application-Dependent Indices: Header

Further document to be posted

Items to post in the further document

Customizing: Payment Transfer (new in Release 4.61A )

FM-CO: Check Mode in FM for CO planning.

Defaulteinstellung Verdichtungsschlüssel

Defaulteinstellung Verdichtungsschlüssel

Key Figures – Evaluation class of data source

Key Figures – FM Terms

Key Figures – FM AVC Term

Key Figures – FM Terms

Local Authority Funds Management Additional Data

Grace Period Rule for Public-Law Dunning Procedure

Layout Variant

Layout Variant Text Table

Note to Payee Control

Folder Variants for Grouping Turnover

Message Control

Clearing Order for Additional Receivables

Processing variant

Text Table for FMLGD_H_VALTYP

Budget Type 01: Customer Down Payment

Posting Type 03: G/L Account Debit Posting

Posting Type 04: G/L Account Credit Posting

Posting Type 05: Down Payment with General Request (01)

Posting Type 05:Vendor Down Payment with General Request(02)

Posting Type 06:Customer Down Payment with General Request

Check Table for Posting Type and Account Assignment Method

Text Table for FMLGD_H_VTYPX

Activation of Multi-annual Budgeting

Percentage per cover group (Multi-annual budgeting)

Standard percentage set for multi-annual budgeting

Activate Subdivision of FM Master Data

Value of Substring 1 of Commitment Item

Text of Substring 1 of Commitment Item

Value of Substring 2 of Commitment Item

Text of Substring 2 of Commitment Item

Value of Substring 3 of Commitment Item

Text of Substring 3 of Commitment Item

Value of Substring 4 of Commitment Item

Text of Substring 4 of Commitment Item

Value of Substring 5 of Commitment Item

Text of Substring 5 of Commitment Item

Value of Substring 1 of Funds Center

Text of Substring 1 of Funds Center

Value of Substring 2 of Funds Center

Text of Substring 2 of Funds Center

Value of Substring 3 of Funds Center

Text of Substring 3 of Funds Center

Value of Substring 1 of Fund

Text of Substring 1 of Fund

Value of Substring 2 of Fund

Text of Substring 2 of Fund

Value of Substring 1 of Functional Area

Text of Substring 1 of Functional Area

Value of Substring 2 of Functional Area

Text of Substring 2 of Functional Area

Value of Substring 3 of Functional Area

Text of Substring 3 of Functional Area

Define Subdivision ID of FM Master Data

Define Substrings of FM Master Data

Define Substrings of FM Master Data

FM Funded Program Master Data

FM Funded Program Text Table

Field group criteria (Funded Program) using FM Area

Migrated Documents

Overview of Migration Status

Partially Migrated Documents

Control Budgeting Periods

BCS : Organizer Favorites

Customizing for Payment Distributions

FMPEP – Layout Customizing Settings – Basic Data

FMPEP: layout customizing settings for columns

FMPEP – Layout Customizing Settings – Columns (Text)

FMPEP – Layout Customizing Settings – Header

FMPEP – Layout Customizing Settings – Basic Data (Text)

FMPEP – Layout Customizing Settings – Tabstrips

FMPEP – Layout Customizing Settings – Tabstrips (Text)

FMPEP: system table for field attributes handling

Profile for BCS budgeting

Table for Deferral Interest Formula

Additional Data on Interest Formula

Interest Formula Names

Assgmt of Customer to Subledger Preprocess. Proc./Rev. Type

Assgmt of Vendor to Subledger Preprocessing Proc./Rev. Type

Table of Commitment Items that Represents Acq. Taxes

User for Correction of Pending Day-End Closing

Day-End Closing – Closing Group

Zuordnung Abschlußgruppe – Finanzkreis

Zuordnung Abschlußgruppe – Finanzkreis

Defaulteinstellung Abschlußgruppe

Defaulteinstellung Abschlußgruppe

Allowed combinations (process / budget type)

Allowed combinations (process / budget type) for status

IS-PS: Payment Transactions

IS-PS: Payment Transactions

Actual line item table

RIB Customizing Settings

Master Data For Revenue Increasing the Budget: RIB Objects

Master Data For RIB: Budget Receivers per RIB Object

Object table 2

Object table 1

Plan line items table

Summary table

Steuerung des Quittungsdrucks

Definition of release scenario

Consumable budget type for Fund Type

Release settings for Fund

Preclosing Rollup: Transfer Rules for Fund Type

Preclosing Rollup: Transfer Rules for Fund

Features of Reporting Structure

Characteristics of Reporting Structure Field

Field Mapping: Reporting Structure x DB Table

Reporting Structure Definition

Source DB Tables

Clarification List (Payments to be Clarified)

Value Table for Processing Status of Clarification Cases

Descriptor for Clarification Status (processing status)

Assignment of SN-BUSTL to Collective Expenditure

Actual line item table

Object table 2

Object table 1

Plan line items table

Summary table

Action Profile for Rule-Based Account Distributions

Action Profile texts for Rule-Based Account Distributions

Actions in Rule-Based Account Distributions Action Profile

Authorization groups for Rule-Based Account Distributions

Authorization groups for Rule-Based Account Distributions

Distribution methods for Rule-Based Account Distributions

Distribution method texts for Rule-Based Account Distribut’n

Field Profile for Rule-Based Account Distributions

Field Profile texts for Rule-Based Account Distributions

Fields in a Rule-Based Account Distributions Field Profile

Rule Group for Rule-Based Account Distributions

Rule Group texts for Rule-Based Account Distributions

Distribution Rule for Rule-Based Account Distributions

Distribution Rule names for Rule-Based Account Distributions

Rule type for Rule-Based Account Distributions

Rule type for Rule-Based Account Distributions

Distributions for Rule-Based Account Distributions

Assignment field values for Rule-Based Account Distribution

Budgeting status definition

Texts for Budgeting Status Definition in FM

Funds Management Flags for FI Document Type

Characteristic Derivation: Strategies

Characteristic Derivation: Header

Assign FM Fund Category to Strategy Environment

Cash Balance with Day-End Closing for Each Closing Group

Zeilen des Tagesabschlusses

Zeilen des Tagesabschlusses ( Einstieg )

Zeilen des Tagesabschlusses ( Detail )

Schedule Check Ranges for US Federal Treasury Confirmation

Pmt Method mapped to the Pmt Type(s) / Codes for US Fed

Table for Treasury Regional Financial Center

Treasury Confirmation Schedule No status

Limit Treasury Schedules

Gültige Text-Identifikationen zum Lesen der Texte

Gültige Text-Identifikationen zum Lesen der Texte

Gültige Text-Identifikationen zum Lesen der Texte

Gültige Text-Identifikationen zum Lesen der Texte

FI documents with FM to BL balance information

Feldnamenzuordnung von 2 Tabellen

Company Code for Fiduciary Funds

Werte für die Verdichtungsschlüsselart

Werte für die Verdichtungsschlüsselart

Subsection

Text zum Unterabschnitt

Subgroup

Subroup Text

User maintenance for group

Actual line item table for US Federal Government

Object table 2

Transfer Agency and Accounts

Transfer Agency Texts

Actual line item table

Object table 2

Object table 1

Plan line items table

Summary table

Actual line item table

Object table 2

Object table 1

Plan line items table

Summary table

Object table 1 for US Federal Government

Plan line items table

Summary table for US Federal Government

Werte für die Verdichtungsschlüsselart

Werte für die Verdichtungsschlüsselart

Werte für die Verdichtungsschlüsselart

Werte für die Verdichtungsschlüsselart

Texte zu Anordnungstypen für den Formulardruck

Texte zu Anordnungstypen für den Formulardruck

Texte zu Anordnungstypen für den Formulardruck

Texte zu Anordnungstypen für den Formulardruck

Fund message maintenance

Payment Directive Settings

Payment Directives: Posting Keys

Derivation rule:Derive act. group from value type only

Derivation rule:Derivation using original CO transaction and

Assign Bank Details and Payment Methods to Revenue Type

Account determination

Fiscal Year/Fiscal Year ID Assignment

Fiscal Year ID

Identification Fiscal Year (Texts)

Company Code Group ID (FM)

Company Code Group Texts (FM)

Company Code/Company Code Groups Assignment (FM)

Account Determination Characteristic

Account Determination Characteristic Texts (FM)

Account to be Proposed for Payment Request

Header Supplement for Payment Requests Without Vendor

Additional Criteria per Line Item

Additional FM Data for Payment Request

Payment Order – Additional Data

Payment Order – Header Data

Item from a Payment Order

Additional Header Data for Recovery Order

Status for Posting Day

Exceptions for Posting Day

Tabelle ‘Buchungstag sperren’

Amounts for Day-End Closing

Additional Data Funds Management for Dunning Procedure

Additional Data for Public-Law Dunning Procedure

Customizing table for Funded Program Type

Text table for customizing table PSMFPTYPE

Revenue Types

Revenue Types

Assign Revenue Type/Dunning Area

Assign Revenue Type/Commitment Item

Function

Tasks

Processors for Revenue Types/Release Groups

Assign Main to Secondary Revenue Types

Deduction reasons

Deduction Reasons (Texts)

Define Regions

Area (Texts)

Application

Use (Texts)

Group Responsibility

Text Table PSO19

Summary Key, Closing Posting Day

Summary Key (Text)

Summarization Keys and Accounts

Objects

Objects (texts)

Object class

Object class (texts)

Allocation of customer/objects

Allocation of customer/revenue types/objects

Allocation of revenue type to account group

Assignment Proposal FI Document Type to Request Category

Payment Block to be Set Automatically

Revenue Type Assignment to Object Class

Rounding Units

Assigning Request Category to Document Type

Controlling automatic approval and posting

Controlling autom. approvals and postings for View-Cluster

Approve and Post Control Automatically (With BLART)

Global Settings for Requests/Financial Accounting

Global Settings AO/FI IS-PS per USER (SAP internal only)

Assign Dunning Procedure to Dunning Area

Customer Assignment of BUSAB to Customer Master Record

Assignment of User Role Codes and Names

User Roles

Stop Mass Processing Data for Invoice Reference

G/L Account Determination for Deferrals

Earmarked Funds Information for Standing Requests

Define Petty Amount Limits

Posting Information Small Amounts

Negative Posting in Requests

Customizing Local Authorities (Check Digit Procedure)

FI Position (Day-end Closing)

FI-Anfangsbestände ( Tagesabschluss)

FI-Anfangsbestände ( Tagesabschluss)

FM Positions Table of Day-end Closing

FM-Anfangsbestände ( Tagesabschluss)

FM-Anfangsbestände ( Tagesabschluss)

Bestände Kassenbuch-Tagesabschluss

Bestände Kassenbuch-Tagesabschluss

Saving Changed Documents for Execution

Field Selection String and Fields for Requests

Field Selection String and Fields for Requests

Texts for Field Selection String for Requests

Fields for Field Selection String for Requests

Saving Changed Customers for Execution

Saving Changed Vendors for Execution

Recurring Request Document Segment, One-Time Data

Document Segment for Assets Document Parking

Document Segment: Recurring Request, Customer

Recurring Request Document Segment, Vendors

Recurring Request Document Segment, G/L Accounts

Document Segment for Standing Request Taxes

Assign Request Categories to Number Range

Request Category Entity Table

Payment Request Document Category Texts (Local Authority)

Payment Request Document Categories (Local Authority)

Variant-Dependent Data for Workflow Request (FMPSO)

Texts for Workflow Variants for Requests

Assigning Company Code, Document Type to Workflow Variant

RECN: Group Number of Organizazional Assignment Split

is being deleted

Fast Pay/Accelerated Pay table

Material Group for Fast Pay

Pmt Method Supp map to ALC and Pmt Office – US Treas Conf

Bank Chain from Corresponding Banks

House Bank per Currency

House Bank per Super Region and Currency

Maximum Payment Amount for each House Bank (limit amount)

Day difference betw. payment run and house bank valuation

Bank Role in PRQ Payment Program

Texts for Bank Role in PRQ Payment Program

Super region

Special Payments According to SWIFT Format MT199

Name of Super Region

Special Payments According to SWIFT Format MT199

Processing Time per Country

Payment Method Group Dependency

Transfer: BW Query FM

Transfer: BW Query FM

Transfer: BW Query FM (Variable Assignment)

FM Plan Data Transfer Header Transfer

FM Plan Data Transfer Document Number

Header Data for Plan Data Transfer Cancellation

Document Numbers for Plan Data Transfer Cancellation

Overdraw tolerance for Purchase Order / Requisition

Tolerance Key for overdraw tolerance

Tolerance Key for overdraw tolerance TEXT

Intermediate accts and min. balances for cash concentration

F15 Bewirtschafter Stammdaten

F15 Belege (Daten)

F15 Belege (XPRA_DECOMPRESS)







F15 Rückmeldung vergebene Kontoauszugsnummer

F15 Rückmeldung vergebene Kontoauszugsnummer






F15 Daten aus ZÜV 101

F15 Daten aus ZÜV 101

F15 Externe Belege im HKR F15 Format

F15 Belege (Kopfdaten)

F15 Belege (Bewirtschafterbelegnummer)

F15 B01 Belege

F15 B02 Belege

F15 E02 Belege

F15 FI Belege mit Geschäftsjahreswechsel

F15 FI Belege mit Geschäftsjahreswechsel

F15 VP Belege mit Geschäftsjahreswechsel

F15 VP Belege mit Geschäftsjahreswechsel

F15 Belege (Kopfdaten Historie)

F15 Belege (Status Neu)

F15 F4 BCS FMEDDOCTYPET

F15 F4 TMP

F15 Summentabelle Haushaltsmanagement

F15 Summentabelle Haushaltsmanagement (Belegnummer)

HHM Summenbeleg Betragsarten 0300 und 0350

HHM Summenbeleg zusätzliche Betragsarten

HHM Summenbeleg zusätzliche Betragsarten

HHM Summenbeleg F15 Relevanz

HHM Summenbeleg aktive Werttypen

F15 ZÜV letztes Kassenzeichen aus Präfixbereich

F15 ZÜV letztes Kassenzeichen aus Präfixbereich



F15 SEPA Mandat

F15 allgemeine Einstellungen

F15 relevante Belegarten AO’s

F15 Kontonummern der Korrespondenzbanken

F15 relevante Budgetbelegarten BCS

F15 relevante Budgetunterarten FBS


F15 FMIT Abgleich HKR Gruppierung VSL

F15 ZÜV Kassenzeichen Nummernkreis

F15 ZÜV Kassenzeichen Nummernkreis

F15 ZÜV Kassenzeichen Nummernkreis Historie

F15 ZÜV Kassenzeichen Nummernkreis Historie

F15 Mahnkennzeichen

F15 relevante Belegarten Mittelvormerkung, Mittelumbuchung

F15 akzeptierte HKR/ZÜV Datenherkunft

F15 akzeptierte HKR/ZÜV Datenherkunft

Klärung Belegart für Barzahlungen

Klärung Belegart für Barzahlungen

Klärung VSL -> Buchungstyp

F15 Rückmeldung Symbole

F15 Rückmeldung Symbole

Klärung Klärungsfallarten

Klärung Klärungsfallarten

Klärung Buchungstyp -> Klärungsfallarten

Klärung Buchungstypbezeichnung

Klärung Buchungstypbezeichnung


Klärung Klärungsfallartbezeichnung


F15 Processing Key

F15 Verarbeitungsschlüssel Feldabhängigkeiten

F15 Verarbeitungsschlüssel Bezeichnung

Felder für die bei Freigabe Änderungen erlaubt sind

F15 Zahlstelle Zuordnung Anordnungen

F15 Zahlstelle Zuordnung Bewirtschafter

F15 Zahlstelle Zuordnung Konto und Belegart

F15 XPRA Status

F15 FI DUMMY

F15 FI DUMMY

F15 FI DUMMY

F15 FI DUMMY

F15 FI DUMMY

F15 Zahlstelle Stammdaten

F15 Zahlstelle Summentabelle

F15-Schnittstelle: Texte zu HKR4-Fehlercodes

HR Triggers – Standard Field Data

Click here to know details about SAP transaction codes used with Funds Management in PSM.