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Card Pool Settlement 
Determines the charges that are to be calculated and posted periodically for card pools.
You can call up the following transactions in dialog mode:
· Individual processing
Transaction Code |
Short Description |
F996_CGPOOL |
Execute card settlement |
· Mass processing
Transaction Code |
Short Description |
F991_CARD |
|
BCA_ACBAL_REVM |
You are provided with the following Business Transaction Events (BTEs) to settle card pools. You can find an overview of the BTEs with transaction fibf (Business Transaction Events).
P&S BTE |
Short Description |
0BCA4000 |
Mass run parameters |
0BCA4030 |
Condition differentiation values |
0BCA4040 |
Settlement payment item |
0BCA4050 |
Event-controlled settlement |
0BCA4070 |
Settle card pool |
0BCA4100 |
Additional information |
0BCA4150 |
BTE: Change settlement postings (credit commission) |
0BCA4180 |
BTE: Customer data in the settlement reversal |
0BCA4250 |
BTE: Checks for card validity |
0BCA4350 |
BTE: Call up postings in GetDetail |
0BCA4470 |
Read/continue processing settlement data |
0BCA4480 |
BTE: Refresh settlement data in the customer table |
0BCA4500 |
BTE: Rounding settlement results |
0BCA4550 |
BTE: Currency conversion of amount limits |