SAP TCode (Transaction Code) - F9N6

SAP TcodeF9N6
DescriptionPosting Date for Balancing as Batch
PackageFKBD
Program NameRFBKCLEB
Screen Number1000
Transaction TypeR
ModuleBank ComponentsBank Customer AccountsPeriodic TasksInterest/Charge Calculation

The SAP TCode F9N6 is used for the task : Posting Date for Balancing as Batch. The TCode belongs to the FKBD package.


SAP TCode F9N6 - Posting Date for Balancing as Batch

SAP Interest/Charge Calculation Tcodes

TcodeDescriptionModule
F9N1Create Bank StatementsIS-B-BCA-PT-IC
F9C12Scheduling Reports End of Day Procurement IS-B-BCA-PT-IC
F9N8List of Accounts in End of Day Procurement IS-B-BCA-PT-IC
F9N11Start End-of-Day ProcessingIS-B-BCA-PT-IC
F9N10Overview End of Day ProcessingIS-B-BCA-PT-IC
F9C11Maintain Reports End of Day Process.IS-B-BCA-PT-IC
F9N18Restart Balance NotificationIS-B-BCA-PT-IC
F9L4Posting Date for Closing in DialogIS-B-BCA-PT-IC
F9N16Balance Notification Mass RunIS-B-BCA-PT-IC
F9N9Bank Statement - Duplicate CreationIS-B-BCA-PT-IC
Full List of SAP Interest/Charge Calculation Tcodes