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FW - FW.. reserved for VV-Securities

FW-1 - Number Range Maintenance: FVVW_ANLA

FW-2 - Number Range Maintenance: FVVW_BEKI

FW-3 - Number Range Maintenance: FVVW_ORDER

FW-4 - Number Range Maintenance: FVVW_PNNR

FW-5 - Number Range Maintenance: FVVW_KMNR

FW-6 - Number range maintenance: FVVW_KMNR

FW-7 - Number Range Maintenance: FVVW_PODOC

FW-8 - Number Range Maintenance: FVVW_KOBJ

FW17 - Maintain Security Price

FW18 - Display Security Price

FW20 - Create Securities Account

FW21 - Display Securities Account

FW22 - Create CoCd Position Indicators

FW22A - Create Sec. Acct Position Indicators

FW23 - Change CoCd Position Indicators

FW23A - Change Sec. Acct Position Indicators

FW24 - Display CoCd Position Indicators

FW24A - Display Sec.Acct Position Indicators

FW26 - Change Securities Account

FW27 - Maintain index

FW28 - Maintain index status

FW29 - Maintain Index Type

FW43 - Customizing Currency Swap Accounts

FW44 - Customizing portfolio items

FW45 - Customizing lock flags

FW46 - Customizing holding share

FW47 - Customizing tax rates

FW48 - Customizing dealers

FW49 - Customizing reservation reasons

FW51 - Customizing valuation principles

FW52 - Customizing valuation classes

FW53 - Customizing valuation in CoCd

FW54 - Customizing ref.prod.type/repmnt typ

FW55 - Customizing: Ref.prod.type/sec.class

FW56 - Customizing user-specific loan key

FW57 - Customizing user-specific loan key

FW59 - Customizing secondary index

FW60 - Customizing sec.class relation.types

FW61 - Customizing valuation principles

FW62 - Customizing valuation principles

FW63 - Customizing rate type

FW84 - Customizing security type

FW85 - Customizing funds type

FWAA - Execute Amortization

FWAB - Securities accruals/deferrals

FWACR - Reverse Amortization

FWAR - Securities accr/defer. reset

FWAS - Reverse accrual/deferral

FWBA - BAV Transfer/Securities Init. Screen

FWBC - BAV Info. - Securities Init. Screen

FWBJ - Posting journal

FWBK - Balance sheet transfer

FWBS - Manual Posting

FWCP - Calculate Position

FWDG - Class information

FWDP - Securities account list

FWDS - Reverse Securities Account Transfer

FWDU - Securities Transfer

FWER - Exercise Security Rights

FWER_DRAWING - Drawable Bonds: Mass Processing

FWER_STORNO_NEU - Reversal Rights

FWIW - Securities information

FWK0 - Edit corporate action

FWKB - Post corporate action

FWKS - Reverse corporate action

FWLL - Proportion of Equity and Voting Rept

FWMY - Securities management

FWO0 - Display Flows from Oper. Valn Area

FWO1 - Create order

FWO2 - Change order

FWO3 - Display order

FWO4 - Create order execution

FWO5 - Change order execution

FWO6 - Display order execution

FWO7 - Create order settlement

FWO8 - Change order settlement

FWO9 - Display order settlement

FWOA - Execute order

FWOB - Settle order execution

FWOC - Settle order

FWOE - Reverse Posting

FWOEZ - Reverse Debit Position

FWOF - Change transaction

FWOG - Display transaction

FWOH - Settle transaction

FWOI - Display posted order settlement

FWOK - Display reversed settlement

FWOP - Update Flows from Oper. Valn Area

FWOS - Reverse order settlement

FWPA - Period-end closing

FWPA_EMERGENCY - Old Period-End Closing - Emergencies

FWPL - Display Last Period-End Closing

FWPR - Reset Period-End Closing

FWR1 - Customizing Acct Assignm. Refer.(Mod

FWSB - Rate/price valn

FWSO - Automatic debit position

FWSS - Reverse Rate/Price Valuation

FWSU - Reverse Balance Sheet Transfer

FWTU - Securities Deadline Monitoring

FWUP - Update Planned Records

FWZA - TR Securities: Account Determination

FWZB - Treasury: Acct Deter. SEC Transact.

FWZE - Manual debit position

FWZZ - Class Master Data

FW_CSPRD - Credit Spread - Securities

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