Here you will find a list of all SAP transaction codes.
| transaction code | description | |||
|---|---|---|---|---|
| SAP transaction codes starting with TP | ||||
| TP00 | Travel Management: Travel Planning | |||
| TP01 | Planning Manager | |||
| TP02 | Travel Planning (End User) | |||
| TP02_EWT | Travel Planning (End User) | |||
| TP03 | Planning Manager (Expert) | |||
| TP04 | Travel Request (End User) | |||
| TP04_EWT | Travel Request (End User) | |||
| TP10 | Travel Plan Synchronization (AIR) | |||
| TP12 | Travel Plan Synchronization (Manual) | |||
| TP14 | Travel Plan Synchronization (Queue) | |||
| TP20 | Create Travel Plan | |||
| TP30 | Display Travel Planning report tree | |||
| TP31 | Queries for Travel Planning | |||
| TP40 | Maintain Routings | |||
| TP41 | Initial Screen via IMG | |||
| TP50 | Global flight availability | |||
| TP60 | Synchronization of Hotel Catalog | |||
| TPC2 | User for Authorization Check | |||
| TPC4 | Programs for Authorization Check | |||
| TPC6 | Periods for Authorization Check | |||
| TPCP | Travel Planning Customizing | |||
| TPCT | Current settings | |||
| TPDA_CALL_EDITOR | Start Editor | |||
| TPDA_SE37_TEST | TPDA: SE37 Test Framework Init | |||
| TPDA_START | Start Master of TPDA Debugger | |||
| TPDA_START_VERI | Start the TPDA Debugger (VeriMode) | |||
| TPED | Maintain HR Master Data (ESS) | |||
| TPES | Display HR Master Data (ESS) | |||
| TPLOG | Short cut for TPLOG | |||
| TPLP | Create/Change LPs for SABRE | |||
| TPM1 | Execute Valuation | |||
| TPM10 | Fix. post or reverse transactions | |||
| TPM100 | Manage Hedging Relationships (P-HA) | |||
| TPM100_DISPLAY | Transaction to display Hedging Rel. | |||
| TPM101 | Classification | |||
| TPM102 | Reverse Classification | |||
| TPM103 | Postprocess Business Transactions | |||
| TPM10A | Distribute BT to Position Mgmt | |||
| TPM10A_SWITCH | Switch On/Off Asynchr. Distribution | |||
| TPM11 | Post Reversal/Recalculation | |||
| TPM110 | Execute Effectiveness Test | |||
| TPM112 | Ineffective Hedging Relationships | |||
| TPM12 | Treasury Ledger: Position List | |||
| TPM13 | Treasury Ledger: Flow List | |||
| TPM14 | Update Types - Valn Class Transfer | |||
| TPM15 | Valuation Class Transfer | |||
| TPM15M | Valuation Class Transfer | |||
| TPM16 | Reversal Valuation Class Transfer | |||
| TPM16M | Reversal of Valuation Class Transfer | |||
| TPM17 | Define Securites Account Groups | |||
| TPM18 | Fix/Post Derived Business Transact. | |||
| TPM19 | Status Change TRL Bus. Transactions | |||
| TPM2 | Reverse Valuation | |||
| TPM20 | Posting Journal | |||
| TPM20A | Payment Journal | |||
| TPM21 | Create Nominal Adjustment | |||
| TPM22 | Display Nominal Adjustment | |||
| TPM23 | Reverse Nominal Adjustment | |||
| TPM24 | Update Margin Flows | |||
| TPM25 | Post Margin Flows | |||
| TPM26 | Display quantity ledger positions | |||
| TPM27 | Generate Derived Flows | |||
| TPM28 | Transfer Acct Assignment Reference | |||
| TPM29 | Reverse Acct Assignm. Ref. Transfer | |||
| TPM3 | Account Asst Reference Allocations | |||
| TPM30 | Def. Determ. of Acct Assgmt Ref. | |||
| TPM31 | Def. Determ. of Acct Assgmt Ref. | |||
| TPM32 | Def. Determ. of Acct Assgmt Ref. | |||
| TPM33 | Account Determination Overview | |||
| TPM34 | Def. Determ. of Acct Assgmt Ref. | |||
| TPM35 | Manual posting | |||
| TPM39 | Derivation for Financial Transaction | |||
| TPM4 | Futures Account | |||
| TPM40 | Display Class Cash Flow for SecAcct | |||
| TPM40A | Display SecAcct Class Position List | |||
| TPM41 | Display Sec. Account Position List | |||
| TPM42 | Display Class List | |||
| TPM43 | Process Restraints On Drawing | |||
| TPM44 | Fin.Products Profit Accrual/Deferral | |||
| TPM45 | Reverse Accrual/Deferral of Income | |||
| TPM5 | Create Class Pos. in Futures Account | |||
| TPM50 | Change Position Mgmt Procedure | |||
| TPM51 | Periodic TRL Reporting | |||
| TPM52 | Maintain Update Type Reconciliation | |||
| TPM53 | Create Totals Records | |||
| TPM54 | Delete Totals Records | |||
| TPM55A | Generate Position ID (Securities) | |||
| TPM55B | Generate Position ID (Loans) | |||
| TPM55C | Create Position Indicator (OTC) | |||
| TPM55D | Generate Pos.ID (Listed Derivatives) | |||
| TPM55E | Generate Position ID (Ext.Account) | |||
| TPM56A | Change Position ID (Securities) | |||
| TPM56B | Change Position ID (Loans) | |||
| TPM56C | Change PositionID (OTC Transactions) | |||
| TPM56D | Change Pos. ID (Listed Derivatives) | |||
| TPM56E | Change Position ID (Ext.Accounts) | |||
| TPM57A | Display Position ID (Securities) | |||
| TPM57B | Display Position ID (Loans) | |||
| TPM57C | Display Pos. ID (OTC Transactions) | |||
| TPM57D | Display Pos. ID (Listed Derivatives) | |||
| TPM57E | Display Position ID (Ext.Accounts) | |||
| TPM58A | Delete Position ID (Securities) | |||
| TPM58B | Delete Position ID (Loans) | |||
| TPM58D | Delete Pos. ID (Listed Derivatives) | |||
| TPM58E | Delete Position ID (Ext.Accounts) | |||
| TPM59 | Exchange per Company Code/Class | |||
| TPM6 | Change Class Pos. in Futures Account | |||
| TPM60 | Save NPVs | |||
| TPM61 | Execute Data Transfer Positions | |||
| TPM61A | Position Information: Securities | |||
| TPM62 | Reverse Data Transfer Positions | |||
| TPM63 | Execute Data Transfer | |||
| TPM63A | Val. Area-Independ. Data: Securities | |||
| TPM63B | Val. Area-Dependent Data: Securities | |||
| TPM63C | Val.Area-Dep. Data: MM, FX, OTC Der. | |||
| TPM63D | Val. Area-Dependent Data: Futures | |||
| TPM64 | Reverse Data Transfer | |||
| TPM65 | P-HA: Execute Data Transfer | |||
| TPM65A | Data for Securities w. Subpositions | |||
| TPM65B | Data for OTC with Subpositions | |||
| TPM65C | Data for Futures with Subpositions | |||
| TPM66 | P-HA: Cancel Data Transfer | |||
| TPM7 | Display Class Pos. in Futures Acct | |||
| TPM70 | Record or Clear Impairment | |||
| TPM71 | Reverse Impairment | |||
| TPM72 | Maint. View Special Sec. Valuation | |||
| TPM73 | Special security valn | |||
| TPM74 | Enter Values for Manual Valuation | |||
| TPM75 | Reference Report for Impairment | |||
| TPM8 | Display Futures Account Cash Flow | |||
| TPM80 | Fund Transfer | |||
| TPM81 | Reversal of Fund Transfer | |||
| TPM82 | Portfolio Transfer | |||
| TPM83 | Reversal of Portfolio Transfer | |||
| TPM85 | Inv.Pool Participants: Edit Add.Data | |||
| TPM85A | Inv.Pool Participants: Disp.Add.Data | |||
| TPM86 | Generate Trans. f. Pool Participants | |||
| TPM87 | Reverse Inv. Pool Participant Trans. | |||
| TPM88 | Overview:Inv.Pool Participant Trans. | |||
| TPM89 | Edit Investment Pool Master Data | |||
| TPM89A | Display Investment Pool Master Data | |||
| TPM9 | Pos. List-Class Pos. in Futures Acct | |||
| TPM90 | Edit Investments | |||
| TPM90A | Display Investments | |||
| TPM91 | Matching for Futures/Options | |||
| TPM92 | Matching Overview w. Reversal Funct. | |||
| TPMCCP | Clearing Monitor | |||
| TPMD | Maintain HR Master Data | |||
| TPMM | Personnel Actions | |||
| TPMN_TRAC1 | Number Range Maint.: TPMN_TRAC1 | |||
| TPMN_TRAC2 | Number Range Maintenance: TPMN_TRAC2 | |||
| TPMN_TRPR | Number Range Maintenance: TPMN_TRPR | |||
| TPMN_TRS | Number Range Maint.: TPMN_TRS | |||
| TPMO | Translation Performance Monitor | |||
| TPMS | Display HR Master Data | |||
| TPM_ACCSYMGL_UPLOAD | Assign G/L Acnts to Accsym-Upload | |||
| TPM_ATTR_L | Maintain values for long attr | |||
| TPM_ATTR_M | Maintain values for medium attr | |||
| TPM_ATTR_S | Maintain values for short attr | |||
| TPM_CTY11 | Commodity Overview | |||
| TPM_CTY_MASTER | Maintain Commodity Master Data | |||
| TPM_DERIVE_ACCNT | Derive Additonal Account Assignments | |||
| TPM_HR_GROUP1 | Maintain HR Grouping 1 | |||
| TPM_HR_GROUP2 | Maintain HR Grouping 2 | |||
| TPM_INITIALIZE | Initialization of Parallel Val.Areas | |||
| TPM_INIT_HREL | Initialization Hedging Relationship | |||
| TPM_INIT_HREL_OTC | Init.Hedging Relationship:Subpos.OTC | |||
| TPM_INIT_HREL_REV | Reverse Initialization Hedging Rel. | |||
| TPM_INIT_HREL_SEC | Init.Hedging Rel.: Sec.Subpositions | |||
| TPM_LOCATION | Maintain Pricing Location | |||
| TPM_MIGRATION | Conversion to ERP2007 | |||
| TPM_MIGRATION_CAT | Conversion Type | |||
| TPM_MIGRATION_FUTURE | Conversion of Futures from Rel. 4.6 | |||
| TPM_MIGRATION_PMP | Conversion: PosManProc. No.Assgmt | |||
| TPM_NR_HD | Number range maintenance: TPMN_HD | |||
| TPM_NR_HINST | Number range maintenance: TPMN_HINST | |||
| TPM_NR_HITEM | Number range maintenance: TPMN_HITEM | |||
| TPM_NR_HREL | Number range maintenance: TPMN_HREL | |||
| TPM_PAY_ASSIGN | Generation Payment Indicator | |||
| TPM_PL_ASSIGN | Generate Profit/Loss Indicators | |||
| TPM_POSTAUTREV | Reverse Automatic Debit Position Run | |||
| TPM_TRCO_FUTMD | Commodity Curve Futures Market Data | |||
| TPM_TRCO_FWDMD | Commodity Forward Market Data | |||
| TPM_TRM_HMD_REL01 | Customizing for Docum. Release | |||
| TPM_TRM_HME_REL01 | Customizing for Bus.Tr. Release | |||
| TPM_TRM_HM_REL01 | Customizing for Bus.Tr. Release | |||
| TPPF_D | Display Entry V_TA23PF by Key | |||
| TPPR | Travel Profile Display | |||
| TPQ0 | Quicktrip Manager | |||
| TP_LOG | Log: Calls of GDS Functions | |||