SAP Collections/Disbursements in FS (FS-CD) Transaction codes Full list

Here is a list of important 399 transaction codes used with SAP FS-CD component (SAP Collections/Disbursements in FS) coming under SAP FS Module. You will get more technical details of each of these SAP FS-CD tcodes by clicking on the respective tcode name link.

AAAI in IMG

AAAI in IMG

Compact Account Balance Display

Test Tool for Payment Plan BAPIs

IMG for FS-CD

BP Duplicates: PH Change Specs

Agency Coll.: Coll. Default Values

AgencyColl: Third-Party Default Vals

AgencyColls: Agency Postings on Acct

AgencyColl: Cust. Postings on Acct

AgencyColl: Deposits/Withdrawals

AgencyColl: Deposits/Withdrawals

AgencyColl: Clarification Code

AgencyColl: Internal Temp. Coll.

AgencyColl: External Temp. Coll.

AgencyColl: TransPost CGT

AgencyColl: TransPost 3rd-P. Comm.

AgencyColl: Payt Meths AgencyPaytRun

AgencyColl: Specs Shares Insurance

Agency Collections: Transactions

AgencyColl: Internal Temp. Coll.

Agency Collections: Document Types

Agency Coll: On Acct Transactions

Agency Coll: On Acct Clarifctn Code

AgencyColl: Reversal Specifications

Agency Coll: On Acct Clarif. Code

AgencyColl: Specs Shares Insurance

AgencyColl.: Payt Lock Subcomm.

AgencyColl: Faxbroker Default

AgencyColl: Internal Enh. Temp. Coll

AgencyColl: Create Depot in TempColl

Create Expiry Notes

Balance Interest Calc. Ins. Object

Document Display for a GSFNR

Enter Broker Report

Broker Collections Acct Bal. Display

Broker Desktop

Clarify Broker Report

Display Broker Report History

Display Customers For Broker

Search/List Broker Report Items

Broker Report New Reconciliation Key

Broker Report Reversal

Number Range Maintenance: BRO_STMH

Broker Report Clearing Account

Interim Account Broker Report

Default Values Broker Report

Broker Summary Posting Default Vals

Configure Clarification Codes

Activities for Clarification Codes

Assign Item Cat/Broker Report Cat

Clarif. Account for Clarif. Code

Broker Report Selection Categories

Customizing: Broker Report Grouping

Customizing: Account Det. Tolerance

Customizing: Prfx Reconciliation Key

Create Broker Account Statement

Create Broker Report

Broker Report Transfer

Broker Report Transfer Error Proc.

Broker Report Transfer – File Change

Broker Report Transfer – File Gen.

BrokRepTransfer – Cust. Struct. Gen.

Request Broker Report

Create Broker Dunning Status

Dunning Status History

Auto. Broker Report Postprocessing

Specs for Auto. Brok. Rep. Postproc.

Post Broker Report After Inc. Payt

Create Broker Balance

Test Transaction BAPIs Broker Coll.

Broker Collections Area Menu

Area Menu for Insurance in BDT

BDT Control: Applications

BDT Control: Field Groups

BDT Control: Views

BDT Control: Sections

BDT Control: Screens

BDT Control: Screen Sequences

BDT Control: Times

BDT Control: CUA Standard Funct.

BDT Control: CUA Addit. Funct.

BDT Control: Field modif. criteria

BDT Control: Role Categories

BDT Control: Role Categories Grpg

BDT Control: Application Transaction

BDT Control: Tables

BDT Control: External Applications

BDT Control: Field Modif. Activities

BDT Ctrl: Field Mod. IO Categories

BDT Control: Authorization Types

FS-CD: Insurance Object Archive

Change Insurance Object

Create Insurance Object

Display Insurance Object

Number Range Maint.: INSOBJECT

Cust: Field Groups for Authorization

Broker Balance Display

Internal: Payt Plan Simulation Test

Internal: Payt Plan Tables Display

Call Agency Coll. with Activity

Agency Collections: Coins Shares

Agency Coll.: Commission Monitoring

Agency Collections: Cost Control

IMG Activities for Agency Coll.

Agency Coll.: Clear Stat. Comm.

Number Range Maintenance: BRO_CONTH

Authorizations for Insurance Object

DI Payt Plan Items Authorizations

FSCD: Cluster Builder – Disp. Func.

S_KK4_08000094

S_KK4_08000096

S_KK4_08000117

S_KK4_08000118

S_KK4_08000119

S_KK4_08000120

IMG Activity: _ISISFICA_COINHVTV

IMG Activity: _ISISFICA_V_TKKV007D

IMG Activity: _ISISFICA_V_TKKV007E

IMG Activity: _ISISFICA_V_TKKV007C

IMG Activity: _ISISFICA_VYTAX1

IMG Activity: _ISISFICA_VYAC23

IMG Activity: _ISISFICA_VYAS43

IMG Activity: _ISISFICA_ARCHBALINT

IMG Activity: _ISISFICA_ARCHCOIN

IMG Activity: _ISISFICA_BROK_FQKPT

IMG Activity: _ISISFICA_VY_V131

IMG Activity: _ISISFICA_VY_V132

IMG Activity: _ISIS_TLXXMVZ

IMG Activity: _ISIS_TLXXMVL

IMG Activity: _ISIS_TLXXBEB

IMG Activity: _ISIS_TLXXFUB

IMG Activity: _ISIS_TLXXRSA

IMG Activity: _ISIS_TLXXMHK

IMG Activity: _ISIS_TLXXMBG

IMG Activity: _ISIS_TLXXMRS

IMG Activity: _ISIS_TLXXMBA

IMG Activity: _ISIS_TLXXMGA

IMG Activity: _ISIS_TLXXSDA

IMG Activity: _ISIS_VC_TLXX004

IMG Activity: _ISIS_TLXXVAL

IMG Activity: _ISIS_TLXXBSG

IMG Activity: _ISIS_TLXXLSL

IMG Activity: _ISIS_TLXXGZA

IMG Activity: _ISIS_TLXXGSA

IMG Activity: _ISIS_TLXXBSA

S_SK4_11000021

S_SK4_11000030

Number Range Maintenance: Test

Classification Key and Direct Input

Clearing

Transaction for TTOOL01

Call VC_FAKNEU

Cust. posting area V100

Cust. posting area 1110

Display Transfer Doc Data (new)

ASSIGNMENT INT. KEY SUB-TRANSACS.

Display Invoicing Items

Forward Clearing Information

Credit Splitting (Multiple Payts)

Clarif.Processing: Money Laundering

Perform Policyholder Change

Delete Data for PH Change

PH Change: Transfer Posting Specs

Forward Information

Insurance Components Active?

Define Information Origin

Define Information Category

Define Communication Type

Process Information Container

Correction Run for Italian Taxes

In-Force Bus. Groups Pension Funds

Insurance Type

Customer type

In-Force Business Type

Underwriting type

Claim Type

Risk type

Functional area

Organizational area

Insurance Class

Insurance Class: Reporting

Reporting Transact. Type

Insurance Type Reporting

Business Transaction Type

Country Where Risks are Situated

In-Force Bus. Type Reporting

Reporting Risk Type

In-Force Bus. Group Reporting

Reporting-Origin of Ins. Transactn

IS-IS/PP Ins. Solution Customizing

Contract A/R + A/P

Contract A/R + A/P

FS-CD Area Menu

Test Partners DI/RFC

Dunning Proposal Insurance

Dunning Activities

Activities End Dunning Procedure

Individual Dunning Notice

Maintain Coinsurer Specifications

Transactions Postings Coins. Shares

Posting Coinsurance Shares

Coinsurance History

Define Specifications for Reversal

Define Specs for Scheduling Charges

Define Specs for Payt Plan Change

Define Specifications for Reversal

Tax Specifications

Early revenue posting

HVORG/TVORG

Define Specifications for Reversal

Payment Plans: Cash Mgmt Duration

Transactions Early Ending

Transactions Early Ending (Charge)

Contract Selection

Unilife Incoming Payment

Activate Test: Money Laundering Law

Manage Contracts With AcctBalIntCalc

Create Ins. Obj. Int. Bal. Letter

Bal. Int. Calc. History Ins. Obj.

Summarization for Bal. Int. Calc.

Bal. Int. Calc.: Summarization

Balance Interest Calc. Ins. Object

AcctBalIntCalcCurrChange: Activities

Currency Change: Define Activities

Permitted Currency Change

CurrChangeContractsAcctBalIntCalc.

Scheduling

Scheduling: Customizing Payt Opt Act

Scheduling: Customiz. Pmnt Opt Cond.

Scheduling: Customiz. Chng SchedItem

Scheduling: Customizing Payt Pl Act

Scheduling: Customiz. Pmnt Plan Amt

SLV List for Payment Plan Change

List for Scheduling Item Change

Scheduling: Customiz. Payt Plan Over

Maintain Number Ranges Payment Plans

Number Range Maintenance: VSC_ITEM

Number Range Payment Plan Items

Number Range Payment Plan Items

Scheduling: Payment Option

Scheduling: Debit Entry: Item Groupg

Scheduling: Debit Entry: Item Summrz

Schedulimg: Debit Entry: Summ. OI

Scheduling: Payment Plan

Scheduling: ULIFE: Item Sort

Business Case Reversal

Payment Plan Reversal

Payment Plan Item Reversal

Business Case Reversal

Business Case Reversal

Business Case Reversal

Payment Plan Reversal

Cust.-Init. Payment Clarification

Scheduling: Customiz. End Pmnt Plan

Universal Life Clearing Control

Scheduling: Customiz. Pmnt Plan Amt

Scheduling: Customizing Payment Opt

Scheduling: Customizing Payment Plan

Payment Plans Field Status

Customize Transactions

Activation of Future Changes

Retransfer Posting Data

Transfer to general ledger

Maintain account function modules

Start Excel with test data

List documents

String search in source code

DME processing

List RFC errors

Maintain account function modules

Maintain account function modules

Delete contract data

Delete dunning history w/VVKKMHIST

Clearing Customiz.: Deadline variant

Clearing Customizing: Ordinality

Clearing Customizing: Sort. variants

Clearing Customiz: Min amt variants

Clearing Customizing: Variants

Clearing Customizing: Item cats

Acct Det. Reconc. Acct

Revenue acct: acct determination

Adv. pyt post reasons: acct determ.

Acct Det. Reconc. Acct

Acct det: Automatic clearing

Cust. posting area V100

Cust. posting area 1110

Cust. Bank Clrg / Clarif. Acct – DME

Acct Determination: Coll. Invoices

Transactions For Simulated Items

Assign Transactions To Interest Keys

Parameters for Currency Change

G/L Accounts for Currency Change

Parameters for Transfer Postings

Closing Parameters

Customizing Acct Default Vals

Customizing: Dunning amt limits

Customizing: Dunning charges

Customizing: Dunning grouping

Dunning proc. det. posting area:V201

Det DP Post Area V200 (old in V2.2)

Det. Posting Area Dep Acct Interest

Det. Dunning Proc. Postg Area V500

Acct Det.: Revenue/Contract Acct

CD Customizing Basic Settings

Parameters for Open Account Clearing

Customizing: Dunning block reasons

Dunn. Determ. Posting Area: V202

Account Determination

Doc. Type for Clearing Oldest Debt

Bill Scheduling Archiving

Maintain General Scheduling Runtime

Archiving Business Case Reversal PP

Coinsurance Reporting Archiv.

Maintain General Coins. Runtime

Activate AS for Coinsurance

Durations Bus. Case Reversal PP

Activate AS for Bill Scheduling

Activate AS Bus. Case Reversal PPlan

Invoicing History Archiving

Define General Invoicing Runtime

Define Runtime for Invoicing Types

Archiving Money Laundering Laws

Maintain Money Laundering Runtime

Archiving Agency Collections

Duration Agency Collections

AS Activate Agency Collections

Archiving of Broker Reports

Maintain Gen. Broker Report Runtime

FS-CD: Posting Data Archiving

Display ISCD Broker Report Info Str.

Activate AS for Broker Report Arch.

Activate AS for invoicing history

Bal. Int. Calc. Hist. Archive

Maintain Gen. AcctBalIntCalcRuntime

Activate AS for Acct Bal. Int. Calc.

Clrg Restrictions for Transactions

Archiving Insurance Integration

AS Insurance Integration Active

Item Is Regarded as Cleared, if:

Field Status Setting for Doc Cat.

Customizing: Cancel. Reason

Customizing: Posting reasons

Customizing: Document type

Bank Acct Customizing

Customizing Selection for Clearing

Customizing: Invoice Types

Customizing: TKKVABGRB

Customizing: Notes to the Clerk

Customizing: Doc Dunning Procedure

Posting Specs for Coins. Shares

Create Insurance Invoices

Create Insurance Quotations

Create Tax Office Certificates

Create Balanced Contract Statements

Create Ins. Balance Notifications

Customizing: Doc Type Deter.

Customizing: Returns Reasons

Customizing: Line Table TKKVSPAR

Customizing for Sublines of Bus.

Customizing: Summarization

Customizing – Money Laundering Rptg

Maintain Customer LR Enhancements

Define External Transactions

Cust Structures for Post Data Transf

Assign External Transactions

Define Internal Transactions

Open Item Accounting Carryforward

Contract Dun. Status

FI-CA Dunning History Archvg

Define Dunning Archiving Runtime

Reconcil. Progr. for Posting Run

Parallelized Debit Entry

Insurance Debit Entry

Note to Clerk from Clearing

Doc. Evaluation for Ins. Tax. Reptg

List Creation for Tax Report

Insurance Tax Schedule Specs

Transaction-Relevant Tax Code

Main/Subtransaction for Payt on Acct

Customizing: Bank Clearing Accts

Customizing: Payment Frequency

Customizing: Automatic Payments

Customizing: FMs for Due Dates

Customizing Act. Commission

Start Workflows for Clarif. Cases

Transaction for TKKV_T1

Cust. Receivables/Payables

Cust. Revenues/Expenses

Customizing Posting Area V050

Transaction-Relevant Tax Code

Activity Code/Distribution Type Arg.

Classification Determination (Taxes)

Clearing for Oldest Debt

Click here to know details about SAP standard tables used with Collections/Disbursements in FS.