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Transaction Code: CMM_FIX_SPREAD
Description: Fix Spread Maintenance
Release: S/4HANA and ECC 6
Program: RCMM_FIX_SPREAD
Screen: 1000
Authorization Object:
Development Package: JBR_CMM
Package Description: Risk Management: CMM
Parent Package: FS_SEM_TRMAN
Module/Component: FIN-FSCM-CMM-RSK
Description: Commodity Derivative Risk Management
Overview: CMM_FIX_SPREAD is a SAP transaction code used to maintain fixed spreads in the system. It is used to define the spread between two currencies in a currency pair. This transaction code is part of the Currency Management (CMM) module in SAP. Functionality: The CMM_FIX_SPREAD transaction code allows users to maintain fixed spreads for currency pairs. This means that users can define the spread between two currencies in a currency pair, and this spread will remain constant regardless of market conditions. This can be useful for companies that need to maintain a consistent spread between two currencies for accounting or other purposes. Step-by-step How to Use: 1. Enter the CMM_FIX_SPREAD transaction code into the command field. 2. Select the currency pair for which you want to maintain a fixed spread. 3. Enter the desired spread between the two currencies in the currency pair. 4. Save your changes and exit the transaction code. Other Recommendations: It is important to note that maintaining a fixed spread between two currencies can be risky, as it does not take into account market conditions or other factors that may affect the exchange rate of a currency pair. Therefore, it is recommended that users only use this transaction code if they are sure that they need to maintain a fixed spread between two currencies for accounting or other purposes.
CMM_FIX_SEQ_NR - Commodity Derivate FIX Sequence Num...
CMM_FIX_MSG_LOG - Commodity Derivate Order/Fill FIX Me...
CMM_FIX_UPLOAD - FIX message Upload...
CMM_FP_PRC_DEVIATION - Cmmdty Fill Packet price deviation...