FKBH - Bank Customer Accounts: General Ledger Integration

The development package FKBH contains objects for "Bank Customer Accounts: General Ledger Integration".
It is a subpackage in its parent development package FS_BCA. It belongs to software component IS-B-BCA-PT-GLP.
This development package contains no child development packages.

Tables for development package FKBH

Table
Description
BKKC01Gen.Ledger: Reconciliation Key Accounting Documents
BKKC01CGen.Ledger: Commitments Reconciliation Key Acctg. Documents
BKKC02General Ledger: Posting Totals for FI
BKKC03Gen.Ledger: Assignment Process-><reconciliation Key
BKKC10Gen. Ledger: Balances in FI per BCA Cust.Acct. / Bal.Sh.Prep
BKKC11Gen. Ledger: BCA Balances per GL Transac. for Bal.Sh.Prep.
BKKC12Gen. Ledger: New Balances for Bal. Sheet Preparation
BKKC13Gen.Ledger: Changes GL Fields in Account Master
BKKC20Last Balance Sheet Preparation
BKKC20_BPRUNTable that Saves Currently Running Balance Sheet Preparation
BKKC30Gen. Ledger: Log for Transfer Postings (Bal.Sh.Prep., etc.)
BKKCNOITGLTable of Items not Updated on the Account
BKKCVAAdministration Table Individual Value Adjustment
BKKITGLGen. Ledger: Payment Item Data
TBKK01FBank Area: Transfer FI General Ledger
TBKKC03GL Process
TBKKC03AG/L process to business transaction type assignment
TBKKC03TTexts on Processes
TBKKC04Actions on GL Process
TBKKC04TText Actions on GL Process
TBKKC05Action during Posting
TBKKC05TText Table for Action during Posting
TBKKC2Assignment Process to General Ledger Process
TBKKCACTGeneral Ledger Transaction
TBKKCACTTText GL Transaction
TBKKCASSGL Account Assignment
TBKKCCLRTransfer Posting Balance Sheet Preparation GL
TBKKCGRPGeneral Ledger Group
TBKKCGRPTText General Ledger Group
TBKKCTTPAssignment PT Transaction Type / GL Transaction
TBKKCVARGL Variants
TBKKCVARTText GL Variants
TBKKC_BUKRSBCA Locally Duplicated Values for Corresponding FI
TBKKC_GLACC_TEXTGL-ACCOUNT-TEXT
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