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Loan Management Transaction Code Difference

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Dear All,

 

Can any one tell what is the difference between below transactions and flow :

 

Loan Management : Flow - A

 

1. FNM1 - Automatic Posting

2. FNM1S - Automatic Posting - Single

3. FNM2 - Balance sheet transfer

4. FNM3 - Loans reversal module

5. FNM4 - Undisclosed assignment

6. FNM5 - Automatic debit position simulation

7. FNM6 - Post Interest on Arrears

8. FNMA - Partner data: Settings menu

9. FNMD - Submenu General Loans

10. FNME - Loans Management menu

11. FNMEC - Loans Management Menu

12. FNMH - Loans Management menu

13. FNMI - Loans information system

14. FNMO - Loans Menu Policy Loans

15. FNMP - Rollover

 

Loan Management : Flow - B

 

 

FTR_CREATE - Create Facility

 

FTR_EDIT - Create Settlement

 

TBB1 - Execute postings

 

TBB2 - Reverse postings

 

TBB3 - Flag Flows as Reversed

 

TBB4 - Accrual / deferral

 

TBB5 - Reverse accrual / deferral

 

TBB6 - Realized Gains / Losses

 

TBB7 - Run Key Date Valuation

 

TBB8 - Reverse Key Date Valuation

 

TPM18 - Fix/Post Derived Business Transact.

 

TPM44 -Fin.Products Profit Accrual/Deferral

 

TPM13 -  Treasury Ledger: Flow List

 

TBB4 - Accrual/deferral

 

TPM10 - Fix. post or reverse transactions

 

TPM40 - Display Class Cash Flow for SecAcct

 

 

 

Thanks in Advance

Sadiq


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