Here is a list of possible Sap assign gl account to house bank related transaction codes in SAP. You will get more details about each transaction code by clicking on the tcode name.
Sap assign gl account to house bank Transaction Codes List
FIHB Tcode for In-house bank Program : MENUFIHB Package : FKBI Component : EA-FINSERV
FIHBC Tcode for Settings for In-House Bank Program : MENUFIHBC Package : FKBI Component : EA-FINSERV
IHCFX Tcode for FX netting with In House Cash Program : RBFXNET Package : FKBI Component : EA-FINSERV
FI12 Tcode for Change House Banks/Bank Accounts Program : Package : FHBANK Component : SAP_FIN
FI12CORE Tcode for Change House Banks/Bank Accounts Program : Package : BFIBL_BANK Component : SAP_FIN
FI12_OLD Tcode for Change House Banks/Bank Accounts Program : SAPMF02I Package : FHBANK Component : SAP_FIN
FI13 Tcode for Display House Banks/Bank Accounts Program : Package : FHBANK Component : SAP_FIN
FI13_OLD Tcode for Display House Banks/Bank Accounts Program : SAPMF02I Package : FHBANK Component : SAP_FIN
S_KFM_86000267 Tcode for Activate Bank Area as IHC Center Program : SAPLS_CUS_IMG_ACTIVITY Package : FKBI Component : EA-FINSERV
S_KK4_13000338 Tcode for Bank Statement Interpretation Program : SAPLS_CUS_IMG_ACTIVITY Package : FKBI Component : EA-FINSERV
IHCLOGBASTA Tcode for Logs for Account Statement Postings Program : Package : FKBI Component : EA-FINSERV
S_KFM_86000217 Tcode for Dispatcher per Account Number Program : SAPLS_CUS_IMG_ACTIVITY Package : FKBI Component : EA-FINSERV
FIHB0 Tcode for Number Range Maintenance Program : SAPMSNUM Package : FKBI Component : EA-FINSERV
FIHB1 Tcode for Assignment of Bnk Statement to IHB Program : Package : FKBI Component : EA-FINSERV
FIHB4 Tcode for Assignment of IHB to Bookkeeping Program : Package : FKBI Component : EA-FINSERV
FIHB5 Tcode for Data for Automatic Payments Program : Package : FKBI Component : EA-FINSERV
FIHB6 Tcode for Assignment of Bnk Statement to IHB Program : Package : FKBI Component : EA-FINSERV
FIHB7 Tcode for Reversal of IHC Payment Requests Program : RFIHCPRQRVS Package : FKBI Component : EA-FINSERV
FIHB8 Tcode for Transfer Recipient Items Program : RFBKPOEX Package : FKBI Component : EA-FINSERV
IHC02 Tcode for Reverse Additional POs from Currency Program : Package : FKBI Component : EA-FINSERV
IHCLOGRVS Tcode for Display Logs for IHC Reversals Program : Package : FKBI Component : EA-FINSERV
IHCRVS Tcode for Reversal of IHC Payment Orders Program : RFCHAINRVS Package : FKBI Component : EA-FINSERV
IHCWTKA Tcode for Reversal of Crcy Conv.-Pymt Orders Program : RBCAREVPO_BS Package : FKBI Component : EA-FINSERV
S_ALN_01000486 Tcode for (empty) Program : SAPLS_CUS_IMG_ACTIVITY Package : FKBI Component : EA-FINSERV
S_ALN_01002106 Tcode for (empty) Program : SAPLS_CUS_IMG_ACTIVITY Package : FKBI Component : EA-FINSERV
S_KFM_86000211 Tcode for Determine Rate Cat. - Currency Swap Program : SAPLS_CUS_IMG_ACTIVITY Package : FKBI Component : EA-FINSERV
S_KFM_86000212 Tcode for Bal. Sheet Accts for Currency Swap Program : SAPLS_CUS_IMG_ACTIVITY Package : FKBI Component : EA-FINSERV
S_KK4_13000329 Tcode for Automatic Payments Program : SAPLS_CUS_IMG_ACTIVITY Package : FKBI Component : EA-FINSERV
S_PLN_06000124 Tcode for (empty) Program : SAPLS_CUS_IMG_ACTIVITY Package : FKBI Component : EA-FINSERV
S_PLN_06000365 Tcode for (empty) Program : SAPLS_CUS_IMG_ACTIVITY Package : FKBI Component : EA-FINSERV
S_PLN_06000371 Tcode for (empty) Program : SAPLS_CUS_IMG_ACTIVITY Package : FKBI Component : EA-FINSERV
S_PLN_06000372 Tcode for (empty) Program : SAPLS_CUS_IMG_ACTIVITY Package : FKBI Component : EA-FINSERV
FIBHS Tcode for Display bank chains for house banks Program : RFBLBC00 Package : FIBI Component : SAP_FIN
FIBHU Tcode for Maintain bank chains for house banks Program : RFBLBC00 Package : FIBI Component : SAP_FIN
FIBL3 Tcode for Group of House Bank Accounts Program : Package : BFIBL_PAY Component : SAP_FIN
FOHBKID Tcode for Maintain House Bank Accounts Program : Package : FVVI Component : BBPCRM
REMMHBACC Tcode for House-Bank-Dependent Settings Program : Package : RE_MM_MN Component : EA-FIN
FIBS Tcode for Input House Bank in Payment Request Program : SAPMFBSM Package : FMZE Component : EA-PS
FIHC Tcode for Create In-House Cash Center Program : SAPMF02B Package : BF_BANK Component : SAP_ABA
J1IHBK Tcode for Copy House Bank ID from Invoice Program : J_1IHBKD Package : J1I2 Component : SAP_APPL
IHB0101 Tcode for Account Holder In-House Cash: Create Program : BUSSTART Package : FTBP Component : EA-FINSERV
IHB0102 Tcode for Account Holder In-House Cash: Change Program : BUSSTART Package : FTBP Component : EA-FINSERV
IHB0103 Tcode for Account Holder In-House Cash:Display Program : BUSSTART Package : FTBP Component : EA-FINSERV
O3RECH4 Tcode for Assign Customer to Clearing house Program : Package : OIR_E Component : IS-OIL
OT43 Tcode for C Maintain version: Man. bank stmt Program : SAPMFKM0 Package : FTEC Component : SAP_FIN
F9N7 Tcode for Bank Statement - Single Account Program : RFBKBSSG Package : FKBD Component : EA-FINSERV
FIBL4 Tcode for Bank Clearing Account for HR Payment Program : Package : BFIBL_PAY Component : SAP_FIN
OT57 Tcode for C FI Maintain elec account (T028D) Program : Package : FTEC Component : SAP_FIN
MR11 Tcode for GR/IR account maintenance Program : SAPRCKM_MR11 Package : CKMLGRIR Component : SAP_APPL
MR11SHOW Tcode for Account Maint.Docu.Display-Reversal Program : SAPRCKM_MR11_SHOW Package : CKMLGRIR Component : SAP_APPL
MR11_OLD Tcode for Old GR/IR account maintenance Program : SAPMM08K Package : CKMLGRIR Component : SAP_APPL
SAP is the short form of Systems, Applications & Products in Data Processing. It is one of the largest business process related software. This software focused on business processes on ERP & CRM.
What is transaction code in SAP?
Transaction code shortly known as tcode, is a shortcut code to access different functional areas in SAP. It avoid users from long menu path to reach a report. Instead of that users can type the corresponding transaction code and press enter, the corresponding SAP page will load. It’s a good practice to remember or note down the transaction codes that we need to use in our regular work.