G/L transfer (IS-B-BCA-PT-GLP)

ID: I310005626
Table Description
BKKC10 Gen. Ledger: Balances in FI per BCA Cust.Acct. / Bal.Sh.Prep
BKKC01 Gen.Ledger: Reconciliation Key Accounting Documents
BKKCNOITGL Table of Items not Updated on the Account
BKKC02 General Ledger: Posting Totals for FI
BKKITGL Gen. Ledger: Payment Item Data
BKKC30 Gen. Ledger: Log for Transfer Postings (Bal.Sh.Prep., etc.)
BKKC11 Gen. Ledger: BCA Balances per GL Transac. for Bal.Sh.Prep.
BKKC12 Gen. Ledger: New Balances for Bal. Sheet Preparation
TBKKCVAR GL Variants
BKKCVA Administration Table Individual Value Adjustment
TBKKC03 GL Process
TBKKC04 Actions on GL Process
TBKKC05 Action during Posting
TBKK01F Bank Area: Transfer FI General Ledger
TBKKC2 Assignment Process to General Ledger Process
TBKKCASS GL Account Assignment
TBKKC_BUKRS BCA Locally Duplicated Values for Corresponding FI
TBKKCBUSAREACLR Clearing accounts for business area change
TBKKC03A G/L process to business transaction type assignment