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CRMV_FS_CMS - Assignment of Asset Types to Collateral Agreement Types

CRMV_FS_CMS - Assignment of Asset Types to Collateral Agreement Types

SUBST_MERGE_LIST - merge external lists to one complete list with #if... logic for R3up   ROGBILLS - Synchronize billing plans  
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In this Customizing activity, you must perform the following steps in the given order:

In this step, you define the asset types that you require to maintain collateral in the CRM system. You assign these types to the internal asset categories. You can define as many asset types as you require.

You assign asset types to collateral agreement types in the step Assign Asset Types to Collateral Agreement Types.

In this step, you define the collateral agreement types that you require to maintain collateral in the CRM system. You assign these types to the internal collateral agreement categories. The assignment of collateral agreement types to collateral agreement categories is used to determine the internal behavior of collateral agreements.

You can define as many collateral agreement types as you require.

You assign collateral agreement types to asset types in the step Assign Asset Types to Collateral Agreement Types.

In this step, you enter the combinations of asset types and agreement types that may be required to meet the business requirements of your organization.

When you make these assignments, you define the scope of business functions for the combinations of asset type and collateral agreement type.






SUBST_MERGE_LIST - merge external lists to one complete list with #if... logic for R3up   General Data in Customer Master  
This documentation is copyright by SAP AG.

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