FIN-FSCM-TRM-TM-TR is a SAP sub-module coming under FIN module and SEM-BW component.Total 190 FIN-FSCM-TRM-TM-TR transaction codes are stored in our database. View these Transaction Management tcodes by sub module-wise coming under SAP FIN-FSCM-TRM-TM-TR.
- Module description : Transaction Management
- Parent Module : FIN
- Application component : KFM0000009
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SAP Transaction Management Tcodes
- FTR_00 : Collective Processing
- FTR_ALERT : Financial Transaction: Alert Monitor
- FTR_ARCHIVE_CUST00 : Min. retent. period FTR CoCd depend.
- FTR_ARCHIVE_CUST01 : Min.ret.period FTR per product type
- FTR_ARCH_W : Fin. transaction: Create archive
- FTR_BAPI : BAPI Test Program
- FTR_CREATE : Create a Transaction (TR-TM)
- FTR_CSPRD : Credit Spread for OTC Transactions
- FTR_C_MENU : Transaction: Task Menu
- FTR_DEALPOS : Dealer Position
- FTR_DISPLAY : Transaction Display
- FTR_EDIT : Process a Treasury Transaction
- FTR_OPEN_TRTM_INIT : Update: Open TRTM Components
- FTR_SHOW : Display Treasury Tables
- FTR_TRD_ADJUST : Adjust
- FTR_XI_MAP_FXLEG : Mapping for Gen. Transaction Data
- FTR_XI_MAP_FXOPTION : Mapping for Gen. Transaction Data
- FTR_XI_MAP_FXSWAP : Mapping for Gen. Transaction Data
- FTR_XI_MAP_GEN : Mapping for Gen. Transaction Data
- GFTR_C0001 : FTTR: Applications
- GFTR_C0002 : TR-TM: Define Field Groups
- GFTR_C0003 : FTTR: Views
- GFTR_C0011 : TR-TM: Screen Field <--> DB Field
- GFTR_C0012 : TR-TM: Field Modification Criteria
- GFTR_C0023 : FTTR: Data Sets
- GFTR_C0101 : GFTR: Field Modification Prod. Cat.
- GFTR_C0102 : TR Transaction Mgmt: Field Selection
- GFTR_C0200 : Customizing Field Selection Process
- GFTR_CATTR : Treasury Sample Transactions
- GFTR_C_MENU : Transaction: Task Menu
- STAV_TABR : Settle - Status Management
- S_AEN_10000099 :
- S_AEN_10000434 :
- S_AEN_10000885 :
- S_AEN_10000887 :
- S_AEN_10000888 :
- S_AEN_10000889 :
- S_AEN_10000890 :
- S_AEN_10000891 :
- S_AEN_10000988 : Issue Charges
- S_AEN_10000989 : Issue Hedge
- S_AEN_10000990 : Issue Position
- S_AEN_10000991 :
- S_AEN_10001020 : ABS MBS Positions
- S_ALN_01000604 :
- S_ALN_01000607 :
- S_ALN_01000608 :
- S_ALN_01000609 :
- S_ALN_01000610 :
- S_ALN_01000613 :
- S_ALN_01001164 :
- S_ALN_01001535 :
- S_ALR_87014409 : Correspondence Overview
- S_ALR_87014410 : Correspondence Overview
- S_ALR_87014413 : Evaluate Offers
- S_ALR_87014414 : Evaluate Offers
- S_ALR_87014437 : Correspondence Overview
- S_ALR_87014438 : Correspondence Overview
- S_ALR_87014456 : Correspondence Overview
- S_ALR_87014457 : Correspondence Overview
- S_ALR_87014460 : Evaluate Offers
- S_ALR_87014461 : Evaluate Offers
- S_ALR_87015194 : Evaluate Offers
- S_ALR_87015195 : Evaluate Offers
- S_ALR_87015198 : Correspondence Overview
- S_ALR_87015199 : Correspondence Overview
- S_ALR_87015200 : Transact.Release: Work Item Overview
- S_ALR_87015222 : Correspondence Overview
- S_ALR_87015223 : Correspondence Overview
- S_ALR_87015236 : Evaluate Offers
- S_ALR_87015237 : Evaluate Offers
- S_ALR_87015241 : Correspondence Overview
- S_ALR_87015242 : Correspondence Overview
- S_ALR_87015243 : Transact.Release: Work Item Overview
- S_ALR_87015244 : Transact.Release: Work Item Overview
- S_ALR_87100171 : Correspondence Overview
- S_ALR_87100173 : Correspondence Overview
- S_ALR_87100174 : Correspondence Overview
- S_ALR_87100175 : Correspondence Overview
- S_ALR_87100176 : Treasury: Call Up Correspondence
- S_ALR_87100177 : Correspondence Overview
- S_KFM_86000021 : IMG: Events System/Applic. Status
- S_KFM_86000022 : IMG: Change Status Profile
- S_KFM_86000063 : IMG: Change Price Index
- S_KFM_86000078 :
- S_KFM_86000133 : IMG: Price Index Main Entity
- S_KFM_86000134 : IMG: Change Price Index Values
- S_KFM_86000160 : IMG: Initial Table for Mirror Deals
- S_KFM_86000162 : IMG: Mapping Product/Mirror Trans.
- S_KFM_86000163 : IMG: Inbound Function Mirror Trans.
- S_KFM_86000184 : BAdI Builder
- S_KFM_86000185 : BAdI Builder: Create Implementation
- S_KFM_86000199 : IMG: Swift Code/BP Assignment
- S_KFM_86000200 : Maintain Standard Task
- S_KFM_86000201 :
- S_KFM_86000202 :
- S_KFM_86000209 :
- S_KFM_86000213 :
- S_KFM_86000282 :
- S_KFM_86000293 :
- S_KFM_86000294 :
- S_KFM_86000296 :
- S_PEN_05000132 :
- S_PEN_05000313 :
- S_PEN_05000331 :
- S_PEN_05000332 :
- S_PEN_05000333 :
- S_PEN_05000334 :
- S_PEN_05000335 :
- S_PEN_05000336 :
- S_PLN_06000309 :
- S_PLN_62000066 :
- S_PLN_62000517 :
- TABR : Settle
- TAV1 : Fix Average Rate
- TAV2 : Reset Average Rate Fixing
- TBC6 : Transaction Release: Adjust Workflow
- TBRULESET_CD : FTR Rule Management: Change Documnts
- TBX2 : Conversion of SEC Corresp. Customiz.
- TBZ11 : Correspondence Monitor
- TBZ12 : Overview of Reset Counterconfirmatn
- TBZ14 : Exception Processing IDoc (Inbound)
- TBZ15 : Status Monitor - IDoc Confirmations
- TBZ16 : Maintain IDoc FTRCON Postprocessor
- TBZ17 : SWIFT Code -> Partner - Assignment
- TBZ3A : Money Market: Incoming Confirmations
- TCL1 : Define Lines of Credit
- TCL2 : Display Lines of Credit
- TCOM : Evaluate offers
- TF_01 : Create Forward
- TF_02 : Change Forward
- TF_03 : Display Forward
- TF_04 : Reverse Forward
- TF_05 : Settle Forward
- TF_06 : Fixing Forward
- TF_07 : Fixing Settle Forward
- TF_08 : Terminate Forward
- TF_09 : Settle Termination Forward
- TF_10 : History Forward
- TF_10H : History Forward
- TF_15 : Settle Contract Forward
- TF_76 : Forward - History
- TI91_MS : OTC Options
- TIDX1 : Simulate Price Index
- TJ05 : Automatic Interest Rate Adjustment
- TJ05_REV : Reverse Automatic Int. Rate Adjust.
- TJ08 : Transaction Release: Work Item List
- TMCA : Create fixed-term deposit offer
- TMCB : Execute fixed-term deposit offer
- TMCC : Display fixed-term deposit offer
- TMSA : Create fixed-term deposit simulation
- TMSB : Change/execute fixed-term dep.simuln
- TMSC : Display fixed-term deposit simulatn
- TMSD : Delete fixed-term deposit simulation
- TM_51 : Create Interest Rate Instrument
- TM_52 : Change Interest Rate Instrument
- TM_53 : Display Interest Rate Instrument
- TM_54 : Settle Interest Rate Instrument
- TM_55 : Reverse Interest Rate Instrument
- TM_59 : History of Interest Rate Instrument
- TM_60 : Line of Credit and Utilization
- TM_60A : Lines of Credit, Drawings, Fees
- TM_61 : Create Facility
- TM_62 : Change Facility
- TM_63 : Display Facility
- TM_64 : Settle Facility
- TM_65 : Reverse Facility
- TM_69 : History of Facility
- TRTM_CHECK_CORR_DE : Check Corr. Customizing Derivatives
- TRTM_CHECK_CORR_FX : Check Correspond. Customizing Forex
- TRTM_CHECK_CORR_MM : Check Corr. Customizing Money Market
- TRTM_CHECK_CORR_SE : Check Corr. Customizing Securities
- TRTM_CHECK_CORR_SI : Check Standing Instr. Correspondence
- TRTM_TBSCOPY : Copy text module confirmations
- TRTM_TBSTRAN : Transport Standard Texts
- TRTM_TBSWRK : Standard Text Maintenance CFM
- TS_WS456000041000 : Transaction for Task WS45600004
- TX14 : Execute foreign exchange offer
- TX22 : Display foreign exchange offer
- TX23 : Create foreign exchange simulation
- TX24 : Change foreign exchange simulation
- TX25 : Display foreign exchange simulation
- TX26 : Delete foreign exchange simulation
- TX30 : Int. FX Transactions: Rate Overview
- TX31 : Create Internal Forex Transaction
- TX32 : Internal Forex Transactions Reserved
- TX33 : Internal Forex Transactions Reserved
- TX34 : Internal Forex Transactions Reserved
- TX35 : Internal Forex Transactions Reserved
- TX39 : Internal Forex Transactions Reserved
Related modules & tcodes
Module Name | Description |
---|---|
FIN-FSCM-TRM-TM (View full list of 430 Tcodes) | Transaction Manager |
FIN-FSCM-TRM-TM-AC (View full list of 63 Tcodes) | Transfer to Financial Accounting |
FIN-FSCM-TRM-TM-BO (View full list of 79 Tcodes) | Back Office |
FIN-FSCM-TRM-TM-IS (View full list of 71 Tcodes) | Information System |
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