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Menu Path

Former Member
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Hi,

How to know the menu path for particular transaction code?

Accepted Solutions (0)

Answers (4)

Answers (4)

Former Member
0 Kudos

Hi,

In the SAP Easy Access screen choose Extra-settings-display technical names.

Hope this helps you.

Regards.

Former Member
0 Kudos

Hi,

Type in the command box i.e where u type the transaction code.

chan

Former Member
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Hi,

when i entered search_sap_menu, iam getting the heading search for a t.code.but i didnt get any pop box to give t.code

Former Member
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Try search_sap_menu. This works.

Regards,

Rajesh Banka

Reward suitable points.

Former Member
0 Kudos

Hi ,

wherer should i use seach_sap_menu

Former Member
0 Kudos

go to sap easy acess screen there will be a command box enter the seach_sap_menu and press enter

pls reward points if the answer is helpful

Regards,

Murali

Former Member
0 Kudos

Hi when i execute search_sap_menu it is asking the text entry. but when i am giving that it is taking to a plain screen

Former Member
0 Kudos

<u><b>Sales Order Management Transactions</b></u>

<u>SALES ORDER PROCESSING</u>

Creating Sales Order - <b>VA01</b>

Maintaining a Sales Order - <b>VA02</b>

Displaying a Sales Order - <b>VA03</b>

Releasing an Order or Delivery from Credit Hold: Non-Flooring - <b>VKM1</b>

Display List of RMAs by Customer - <b>VA05</b>

Confirm RMA Goods Receipt - <b>VL02</b>

Generate list of open return orders for deletion - <b>VA05</b>

Display Customer returns eligibility - <b>MCSI</b>

Removing a Billing Block (Approving Credit/Debit Requests) - <b>V.23</b>

<u>PRICING MASTER DATA</u>

Create Pricing - <b>VK11</b>

Creating a Sales Deal - <b>VB21</b>

Maintaining a Sales Deal - <b>VB22</b>

Displaying a Sales Deal - <b>VB23</b>

Maintaining Prices - <b>VK12</b>

Displaying Prices - <b>VK13</b>

<u>MATERIAL MASTER DATA</u>

Creating Material Substitution Master Data - <b>VB11</b>

Maintaining/Deleting Material Substitution Master Data - <b>VB12</b>

Displaying Material Substitution Master Data - <b>VB13</b>

Creating a Bundled Master - <b>MM01</b>

Creating a Sales BOM - <b>CS01</b>

Maintaining a Sales BOM - <b>CS02</b>

Displaying a Sales BOM - <b>CS03</b>

<u>CUSTOMER MASTER DATA</u>

Creating Partner Records - <b>XD01</b>

Maintaining Customer Master Data - <b>XD02</b>

Displaying Customer Master Data - <b>XD03</b>

Deactivating a Partner - <b>VD06</b>

<u>CUSTOMER CREDIT INFO</u>

Creating/Maintaining New Customer Credit Information - <b>FD32</b>

Displaying Customer Credit Information - <b>FD33</b>

Blocking or Unblocking a Customer - <b>VD05</b>

<u>SHIPPING</u>

Creating a Delivery - <b>VL01N</b>

Displaying a Delivery - <b>VL03N</b>

Deleting a Delivery - <b>VL02N</b>

Shipment Inquiry / Display - <b>VT03</b>

Adjusting Transfer Order - Confirmation Quantity - <b>LT12</b>

Collectively Confirm Transfer Order - <b>LT25</b>

Batch Shipment Confirmation - <b>VL19</b>

Creating Service Provider/Carrier Master Data - <b>XK01</b>

Maintaining Serive Provider/Carrier Master Data - <b>XK02</b>

Displaying Service Provider/Carrier Master Data - <b>XK03</b>

Maintaining Product Master/Serial # Profile/Unit of Measure/Shipping Unit - <b>MM02</b>

IDoc Inquiry - <b>WE02 / WE05</b>

<u>BILLING</u>

Invoicing a Customer Shipment - <b>VF01</b>

Reprinting an Invoice - <b>VF31</b>

Releasing a Sales Order for Billing - <b>V.23</b>

Creating an Invoice by Using the Billing Due List - <b>VF04</b>

Checking Open Billing Documents - <b>VF05</b>

Create Credit/Debit Memo - <b>FB01</b>

<u>A/R</u>

Controlling Total Debit/Credit bkgs - <b>F.03</b>

Generate FI Account balance - <b>F.08</b>

Generate Month-to-date Inv. register - <b>F.02</b>

Process payments - <b>FBZ1</b>

Rqst Individual Customer Corresp. - <b>FB12</b>

Generate Customer Correspondence - <b>F.61</b>

Enter Batch totals under Control ttl - <b>FB07</b>

Display G/L Acct. totals - <b>FBL3N</b>

Reverse Posted Amounts - <b>FB08</b>

Customer Refunds - <b>FBL6</b>

Customer Refund to other than Payer - <b>FB05</b>

Clearing Debit/Credit on Cust. acct. - <b>FB1D</b>

Customer Balance in Local Currency - <b>F.23</b>

G/L Account Balance Report - <b>F.08</b>

Create Invoice - legal entity adjust - <b>FB01</b>

Generate Cust. Acct. statements - <b>F.27</b>

Generate Dunning Letters - <b>F150</b>

Generate Billing Due List - <b>VF04</b>

Generate Blocked Billing Doc list - <b>VFX3</b>

Inq. via Credit Release Screen - <b>VKM1</b>

List orders by partner - <b>VA05</b>

Past Due invoices by customer - <b>FD11</b>

Check number info by G/L account - <b>FBL3N</b>

Display customer Line items - <b>FBL5N</b>

<u><b>Materials Management Transactions</b></u>

<u>MATERIAL MASTER DATA</u>

Create Material Master - <b>MM01</b>

Maintaining Material Master - <b>MM02</b>

Display Material Master - <b>MM03</b>

Changing Material Type - <b>MMAM</b>

Flagging a Material for Deletion - <b>MM06</b>

Schedule Material for Deletion - <b>MM16</b>

<u>VENDOR MASTER DATA

INVENTORY VENDOR MASTER DATA</u>:

Create, Change Display Vendor Master- Centrally/Purchasing and Accounting/Company - <b>XK01/XK02/XK03</b>

<u>NON-INVENTORY VENDOR MASTER DATA:</u>

Create a Non-PO related/One time/Employee Vendor Master - <b>FK01</b>

Maintain a Non-PO related / One time/ Employee Vendor Master - <b>FK02</b>

Display a Non-PO related / One time/ Employee Vendor Master - <b>FK03</b>

Invoice Items Release- Block/Unblock - <b>MR02</b>

Create a Non-Inventory PO Vendor Master (Centrally) - <b>XK01</b>

<u>PROCUREMENT MASTER DATA

SOURCE LIST</u>:

Create /Display / Maintain /Delete Source List - <b>ME01</b>

PURCHASING INFO. RECORDS:

Create / Change / Display Info Records - <b>ME11</b>

PROCUREMENT

Display Purch Req. with ref to Mat Master - <b>ME53</b>

Create Purchase Order - <b>ME21N</b>

Change Purchase Order - <b>ME22N</b>

Print PO for Stock Item - <b>ME90</b>

Create/ Change/ Display Shipping Notification - <b>VL31</b>

Execute List Display/Open PO Report - <b>ME2L</b>

Create,Change, Print Purch Requisition w/ & w/o Mat'l Mastr; Assign Sources - <b>ME51/ ME56/ME57</b>

Executing a List Display of Purchase requisition - <b>ME5A</b>

Purchase Req- Collective Release - <b>ME55</b>

Purchase Req- Individual Release - <b>ME54</b>

Display vendor line items - <b>FBL1N</b>

Display Reqs by Acct Assignment - <b>ME5K</b>

Create/Change/Display/Print Goods receipt ; perform adjustment; return delivery - <b>MB01/MB02/MB03</b>

Create/ Change/ Display Shipping Notification - <b>VL31/VL32/VL33</b>

<u>CYCLE COUNT/PHYSICAL INVENTORY:</u>

Create cycle count documents - <b>LX26</b>

Print count documents - <b>LI04</b>

Enter counts - <b>LI11/ MI04</b>

Create Recount Request - <b>MI11</b>

Enter Recounts - <b>LI14</b>

Generate List of Qty/Val differences - <b>MI20</b>

Post Differneces in WM / IM - <b>LI21 / MI07</b>

<u>EXCESS, OBSELETE, SCRAP: </u>

Create/Reverse Financial Reserve - <b>FB01</b>

Change Material Status - <b>MB1B</b>

Scrapping Material - <b>MB1A</b>

<u>INVOICE VERIFICATION</u>

Processing Inventory Invoice Receipts - <b>MRHR</b>

Reverse/Cancel Invoice Receipt - <b>MR08</b>

Credit Memo (PO related) - <b>MRHG</b>

Release Blocked Invoices - <b>MR02</b>

<u><b>Finance Transactions</b></u>

<u>Master Data: G/L--01.1</u>

Creating / maintain a G/L Account - <b>FS01</b>

Displaying a G/L Account - <b>FS03</b>

Mark a G/L Account for Deletion - <b>FS06</b>

<u>General Ledger: Posting--01.2</u>

Display G/L Account Balances - <b>FS10</b>

Display G/L Account Line Items - <b>FBL3N</b>

Updating G/L Posting Periods - <b>F-60</b>

Posting to a G/L Account - <b>F-02</b>

Process recurring documents - <b>F.14</b>

<u>Intercompany Process--01.3</u>

Clearing Intercompany Receivables - <b>FBZ1</b>

Clearing Intercompany Payables - <b>FBZ2</b>

<u>Month-End Close Activity--02.1</u>

Month end accruals - <b>FBS1</b>

Creating Sample Document Transactions - <b>FBR2</b>

<u>Preparing Data--02.3 </u>

Generating the Compact Journal Report - <b>F.02</b>

Posting/Reversing assesment - <b>KSU5</b>

Revaluing Open Items - <b>F.05</b>

Revaluing FC Managed Accounts - <b>F.06</b>

Maintaining Currency Rates - <b>SM30</b>

<u>Finance Reporting/Verification--02.4</u>

Reconciling FI-GLX - <b>GCAC</b>

Working with the Income Statement - <b>GR55</b>

Working with the Balance Sheet - <b>GR55</b>

<u>YEAR-END CLOSE</u>

Maintaining Fiscal Calendars - <b>0B29</b>

Performing Asset Accounting Fiscal Year End Closing - <b>AJAB</b>

Performing Asset Accounting Fiscal Year End Change - <b>AJRW</b>

Carrying Forward Balances - <b>F.07</b>

Carrying Forward G/L Account Balances - <b>F.16</b>

Carrying Forward GLX Account Balances - <b>FYTR</b>

<i><u>ACCOUNTS PAYABLE - 04</u></i>

<u>Pre-Close A/P--04.1</u>

Generate AP report - <b>F.41</b>

<u>Non-PO Related Invoice--04.2</u>

Handling vendor inquiries - <b>FK10</b>

Processing an Invoice - <b>F-43</b>

Displaying check register report - <b>FCHN</b>

Canceling Payment - <b>FCH8</b>

Processing a Credit Memo - <b>F-41</b>

<u>Non-Inventory Procurement--04.3</u>

Posting Manual Payments - <b>FBZ2</b>

Processing a Credit Memo - <b>MRHG</b>

Responding to Mail from Purchasing - <b>S001</b>

Releasing Blocked Invoices Automatically - <b>MR02</b>

<u>ASSET MANAGEMENT--05</u>

<u>Master Data--05.1</u>

Creating an Asset Master - <b>AS01</b>

Maintaining an Asset Master - <b>AS02</b>

Displaying an Asset Master - <b>AS03</b>

Creating the Distribution for Asset Settlement - <b>AIAB</b>

Displaying Asset Values - <b>AW01</b>

Blocking or Deleting an Asset - <b>AS05/AS06</b>

Displaying Asset Master Changes - <b>AS04</b>

<u>Capital Asset Retirement--05.2 ABA0</u>

<u>Acquire Fixed Asset--05.3</u>

Acquisition Posting - <b>ABZO</b>

Posting an Intercompany Asset Acquisition - <b>AB01</b>

Posting: Reversing Settlement of AUC - <b>AIST</b>

<u>Maintain Fixed Asset Control Data--05.4 </u>

Asset Transfer - <b>ABUM</b>

<u>Periodic Processing--05.5</u>

Posting Depreciation - <b>AFAB</b>

<u>COST CENTER ACCOUNTING--07</u>

<u>Cost Centers: Master Data--07.1</u>

Displaying Standard Hierarchy - <b>OKEO</b>

Creating/Maintaining Cost Center Group - <b>KSH1/KSH2</b>

Displaying a Cost Center Group or Alternate Hierarchy - <b>KSH3</b>

Creating a Cost Center - <b>KS01</b>

Deleting a Cost Center - <b>KS04</b>

Creating/Maintaining Automatic Account Assignments - <b>OKB9</b>

Generating the Cost Center Master Data Report - <b>OKW8</b>

<u>Cost Elements: Master Data--07.2</u>

Create/ maintain cost elements - <b>KA01</b>

Creating/Maintaining Cost Element Groups - <b>KAH1/KAH2</b>

<u>Cost Centers: Allocations--07.3</u>

Create/Maintain an Assessment Cycle, Segment & Tracing Factor - <b>KSU1</b>

<u>Cost Centers: Reporting--07.4</u>

Displaying Cost Center Actual Line Items - <b>KSB1</b>

Displaying Cost Center Commitment Line Items - <b>KSB2</b>

Displaying CO Document: Single-Line Item - <b>KSB5</b>

Displaying CO Document: Selection - <b>KALR</b>

<u>INTERNAL ORDERS--08</u>

Creating an Internal Order - <b>K001</b>

Creating Internal Order Groups - <b>K0H1</b>

Running a Report from Report Selection Menu: Orders - <b>KOC2</b>

Regards,

Rajesh Banka

Reward suitable points.

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jiteshmehta
Active Contributor
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there are many ways

1. search CTRL+F in SPRO or SAP Menu

2. In Command line put Search_SAP_Menu and search

Regards

Jitesh

Former Member
0 Kudos

Hi jitesh ,

in spro i tried ctrl + f but iam not getting