FI-SL
229.
4
Functions to Update data in the FI-SL Special Purpose Ledger:
a.
Validation
b.
Substitution
c.
Ledger
Selection
d.
Transfer
of Fields
230.
4
Operations for FI-SL Data:
a.
Currency
Translation
b.
Balance
Carryforward
c.
Allocation
d.
Roll Up
Ledgers
231.
5
tables that are created when an FI-SL table group is created:
a.
Summary
Table (...T)
b.
Actual
Line Item Tables (…A)
c.
Plan
Line Item Tables (…P)
d.
ObjectTable_1
(Object / Partner) (…O)
e.
Optional
ObjectTable_2 (Movement Attribute) (…C)
BW
- V3 Update... which function domain
RMBWV302
Purchasing
RMBWV303 Inventory
RMBWV304 Shopfloor controlling
RMBWV305 Quality
RMBWV308 Shipment
RMBWV311 Sales
RMBWV312 Shipping
RMBWV313 Billing
RMBWV317 Notifications
RMBWV318 Notifications
RMBWV340 Retailing
RMBWV343 POS - cashier
RMBWV344 POS - Sales Receipt
RMBWV345 Agency business
RMBWV346 GTM
RMBWV303 Inventory
RMBWV304 Shopfloor controlling
RMBWV305 Quality
RMBWV308 Shipment
RMBWV311 Sales
RMBWV312 Shipping
RMBWV313 Billing
RMBWV317 Notifications
RMBWV318 Notifications
RMBWV340 Retailing
RMBWV343 POS - cashier
RMBWV344 POS - Sales Receipt
RMBWV345 Agency business
RMBWV346 GTM