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Transaction Code: TREA_STA_MNT
Description: Externe Kontoauszüge bearbeiten
Release: S/4HANA and ECC 6
Menu Path:
Program: R_TREA_CF_STATEMENT_MAINTAIN
Screen: 1000
Authorization Object:
Development Package: FTR_EXTERNAL_ACCOUNT_MGT
Package Description: Treasury External Account
Parent Package: FS_TRM
Module/Component: FIN-FSCM-TRM
Description: Treasury and Risk Management
Overview: TREA_STA_MNT is an SAP transaction code used to process external account statements. It is used to manage the accounts of customers and vendors, and to ensure that all transactions are recorded accurately. Functionality: TREA_STA_MNT allows users to view and manage external account statements. It enables users to view the details of each transaction, such as the date, amount, and type of transaction. It also allows users to reconcile the accounts and make corrections if necessary. Step-by-step How to Use: 1. Enter the transaction code TREA_STA_MNT in the command field. 2. Select the account statement you wish to view or manage. 3. View the details of each transaction and make any necessary corrections. 4. Reconcile the accounts and save your changes. Other Recommendations: It is important to regularly review your external account statements in order to ensure accuracy and prevent any discrepancies from occurring. Additionally, it is recommended that you use TREA_STA_MNT in conjunction with other SAP transaction codes such as FBL1N (Display Vendor Line Items) and FBL3N (Display Customer Line Items) for a more comprehensive view of your accounts.
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