PCPCREPAY is the process that automatically manages payments via the FMT940 file from the bank (linked to the German localization).
Entry point INIPYD is found after the assignment of [PYD]NUM, [PYD]LIN, [PYD]DENCOD, and before the assignment of the remaining fields in the payment line (table PAYMENTD [PYD])
There is one transaction in progress. The transaction corresponds to the creation of a payment.
A log file may be open. In this case, GTRACE<>empty.
PAYCREPRO [PCP] mask for creation proposition of payments.
Table  | Significant content  | Table Title  | 
TABCUR [TCU]  | No  | Currencies  | 
ATABDIV [ADI]  | No  | Miscellaneous tables  | 
GRPSAC [GSC]  | No  | Collective account groups  | 
GRPCUR [GCU]  | No  | Currency groups  | 
BID [BID]  | No  | Bank ID no  | 
COMPANY [CPY]  | Yes  | Companies  | 
GACCOUNT [GAC]  | No  | Accounts  | 
GACCCODE [ACC]  | No  | Accounting codes  | 
SOI [SOI]  | No  | Due date statements  | 
BANK [BAN]  | No  | Banks  | 
POOL [POO]  | No  | Bank pools  | 
GACCDUDATE [DUD]  | No  | Open items  | 
TABCOUAFF [TCA]  | No  | Assignment of sequence number counters  | 
GACCENCOD [CDA]  | No  | Payment attributes  | 
TABPAYTYP [TPY]  | Yes  | Payment types  | 
PAYMENTH [PYH]  | Yes  | Payments – headers  | 
PAYMENTD [PYD]  | No  | Payments – lines  | 
PAYMENTA [PYA]  | No  | Payments – analytical lines  | 
GACCENTRY [HAE]  | No  | Journal postings  | 
BPARTNER [BPR]  | No  | BP  | 
BPCUSTOMER [BPC]  | No  | Customers  | 
BPSUPPLIER [BPS]  | No  | Suppliers  | 
RELMT940 [RLT2]  | No  | FMT940 file (header)  | 
RELMT940D [RLD2], [RLD3]  | No  | FMT940 file (Lines)  |