SAP TCode (Transaction Code) - F973

SAP TcodeF973
DescriptionDisplay reconcil. balance list 1
PackageFKBH
Program NameRFBKGLC1
Screen Number1000
Transaction TypeR
ModuleBank ComponentsBank Customer AccountsPeriodic TasksG/L transfer

The SAP TCode F973 is used for the task : Display reconcil. balance list 1. The TCode belongs to the FKBH package.


SAP TCode F973 - Display reconcil. balance list 1

SAP G/L transfer Tcodes

TcodeDescriptionModule
F9HLBal.Sheet Prep. BCA - GLIS-B-BCA-PT-GLP
F961Application Log FI TransferIS-B-BCA-PT-GLP
F9HRVAPost Individual Value AdjustmentIS-B-BCA-PT-GLP
F975Compensation statememt daily statusIS-B-BCA-PT-GLP
F97IReconciliation BCA /SAP FI BalancesIS-B-BCA-PT-GLP
F97ATAudit trailIS-B-BCA-PT-GLP
F973Display reconcil. balance list 1IS-B-BCA-PT-GLP
F980Interest Acc/Def Individ. StatementIS-B-BCA-PT-GLP
F97ERecon. to reconciliation keyIS-B-BCA-PT-GLP
F97AOverview of BCA Reconciliation KeysIS-B-BCA-PT-GLP
Full List of SAP G/L transfer Tcodes