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Necessary Steps for the Release Change to 4.03 ( RELNBANK_403_RISK_UPG )

Necessary Steps for the Release Change to 4.03 ( RELNBANK_403_RISK_UPG )

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Necessary Steps for the Release Change to 4.03

Description

After the release change from 4.02 to 4.03, you need to carry out the following steps for Risk Analysis.

  • Activate the Structures of the RM Area
Choose the IMG activity Maintain RM Area, enter the name of the RM area and choose Characteristics -> Change. Characteristics relating to the regeneration of the field catalog and the text reading modules appear. Without making any changes to the characteristics, choose the menu option Data structure -> Activate.
After activating the data structure, exit data structure processing. Messages relating to the generation of service programs and interface programs appear.
  • Reorganize the Maintenance Modules
Release 4.03 introduces improved authorization protection for characteristic values. To activate this protection, you have to regenerate the maintenance modules for the corresponding tables. To do this, choose the IMG activity Reorganize Maintenance Modules (under Market Risk Analysis -> Basic Settings -> Tools -> Utilities). Choose "Delete and Regenerate" and "Database Modification" and execute the program.
The runtime is about one minute, so online execution is possible.
  • Regenerate Reports and Copy Variants
In Release 4.03 there is a different naming convention for generated online reports (e.g. single value analysis). The program names are no longer in the customer namespace but rather in a special namespace for generation (/1TRIS/).
You create the necessary programs and transfer the existing report variants to the new programs as follows:
Choose System -> Services -> Reporting, enter the program name RJBRXP4031 and execute the program. Further entries are not necessary. The runtime is just a few minutes (depending on the number of RM areas) so online execution is possible here too.
  • Flow type to Cash Flow Indicator Assignment
Until now, cash flow indicator 7 applied for premiums, charges, and commissions. In the future, cash flow indicator 7 only applies for charges and commissions. Premiums have to be assigned to one of the following cash flow indicators as purchase or sales premiums:
  • 5: Purchase payment cash flow, purchase premium

  • 6: Sales payment cash flow, sales premium

To make these assignments, go to the IMG and choose Maintain Flow Types.





TXBHW - Original Tax Base Amount in Local Currency   RFUMSV00 - Advance Return for Tax on Sales/Purchases  
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