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Former Member
Sep 17, 2014 at 05:58 PM

sap treasury 01a shares query



The client requirement is Listed shares buy and sell through broker. The client trading in number of share scripts like:

Tata Motors

Tata coffee


Tech mahindra

Infosys The above mentioned shares are booked in the same day.

My idea is to create class master data t code fwzz for each share script

Each share script will be booked as a purchase transaction and sale transaction. Is it correct?

Each share script will buy and sale number of times in the future.

Some of the share script will receive the dividend also.

The above method is correct or any changes are required

Please advice me?

with regards