SAP Vendor Balance Confirmation Tcodes (Transaction Codes)

TcodeDescriptionModule
0FILA003_11Determine Accrual Postings BalanceFI-LA
0KE6EC-PCA: Average Balance LedgerEC-PCA-BS
2KESProfit center: Balance carried forwardEC-PCA
2KETEC-PCA: Allow Balance CarryforwardEC-PCA-BS
3KEHEC-PCA: Additional Balance Sheet /P+L AccountsEC-PCA-BS
7KESEC-PCA: Carry Forward Plan BalanceEC-PCA
8AS5PCA: Balance Carry forward Field TransferEC-PCA-BS
8KET4Opening Balance for PCA CostingEC-PCA-BS
9KE1Change Cost/Revenue BalancesEC-PCA
9KE2Display Cost/Revenue BalancesEC-PCA
9KE3Change Balance Sheet Accnt BalancesEC-PCA
9KE4Display Balance Sheet Accnt BalancesEC-PCA
9KE5Change Statistical Key Fig. BalancesEC-PCA
9KE6Display Statistical Key Figure BalancesEC-PCA
9KEFCreate Layout for Stock BalancesEC-PCA
9KEGChange Layout for Stock BalancesEC-PCA
9KEHDisplay Layout for Stock BalancesEC-PCA
ABAWBalance sheet revaluationFI-AA-AA
ABZKAcquisition from purchase with vendorFI-AA-AA
ACACCARRYFORWARDBalance CarryforwardS_ALN_01000242
ACC_ECS_BALANCINGDifferences btw ECS and GL BalancesAC-INT
AFAMDView Maintenance Declining-Balance MethodFI-AA-AA
BBPVE01Vendor EvaluationSRM-EBP-VE
BBP_SP_SUPP_INIDownload Vendors for Service PortalSRM-SUS-XI
BOSMMSubcontractor/Vendor ProcessingIS-EC-BOS
BPVENDCHECKBP<->Vendor check transactionAP-MD-BF-SYN
BP_FMCA_VENDORMaintain Contract Partner/VendorIS-PS-CA
CISVCIS Vendor Verification ProcessFI-LOC
CISVUUpdate Vendor masterFI-LOC
CIS_VENDORVendor Master Data UpdateFI-LOC