Table/Structure Field list used by SAP ABAP Function Module MAP2E_BAPICMS_STR_SEC_ACC_CRT (cms_str_sec_acc_map -> bapicms_str_sec_acc_crt)
SAP ABAP Function Module MAP2E_BAPICMS_STR_SEC_ACC_CRT (cms_str_sec_acc_map -> bapicms_str_sec_acc_crt) is using
# Object Type Object Name Object Description Note
     
1 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - ACCOUNT_HOLDING_BANK Depository bank identification
2 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - ACCOUNT_NUMBER Securities account number
3 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - ACCOUNT_OLD_REFERENCE Reference number for an external system
4 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - ACCOUNT_VALUE Value of the securities account
5 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - ASSET_VALUE Final Asset Value
6 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - ASSET_VALUE_CURRENCY Currency of the final Asset Value
7 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - ASSET_VALUE_CURRENCY_ISO ISO Currency Code
8 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - ASSET_VALUE_REC_TIMESTAMP Asset Value Recording Timestamp
9 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - BANK_CONTROL_KEY Bank Control Key
10 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - BANK_COUNTRY Bank country key
11 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - BANK_COUNTRY_ISO Country ISO code
12 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - BANK_KEY Bank Keys
13 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - CURRENCY_ACCOUNT_VALUE Securities Account value Currency
14 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - CURRENCY_ACCOUNT_VALUE_ISO ISO Currency Code
15 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - DEFAULT_LENDING_RATE_INDICATOR Indicates that the asset has a default lending rate or not
16 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - DESCRIPTION Description of the securities account
17 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - END_DATE Valuation End date
18 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - LENDING_RATE1 Lending Rate 1
19 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - LIQUIDATION_AMOUNT Returns from the Liquidation of Collateral
20 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - LIQUIDATION_CURRENCY Currency of Liquidation Value
21 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - LIQUIDATION_CURRENCY_ISO ISO Currency Code
22 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - LIQUIDATION_DATE Collateral Liquidation Date
23 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - LIQUIDATION_REASON Liquidation Reason
24 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - LIQUIDATION_TYPE Liquidation Type
25 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - NOMINAL_VALUE Nominal Value of the Asset
26 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - NOMINAL_VALUE_CURRENCY Currency of Nominal value
27 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - NOMINAL_VALUE_CURRENCY_ISO ISO Currency Code
28 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - PERIOD_VALUATION_FREQUENCY Period of revaluation for an asset
29 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - QUANTITY Quantity
30 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - RISK_CODE Risk Code
31 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - SAFETY_AMOUNT Safety discount as an amount
32 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - SAFETY_AMOUNT_CURRENCY Currency of the Safety discount amount
33 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - SAFETY_AMOUNT_CURRENCY_ISO ISO Currency Code
34 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - SAFETY_DISCOUNT Safety discount
35 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - SAFETY_INDICATOR Indicates that the asset has a default sfty discount or not
36 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - START_DATE Valuation Start date
37 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - UNIT_OF_MEASURE_FOR_QUANTITY Unit of Measure of Quantity
38 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - UNIT_OF_MEASURE_QUANTITY_ISO ISO code for unit of measurement
39 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - UNIT_VALUATION_FREQUENCY Indicator: Units of time for revaluation of an asset
40 Table/Structure Field  BAPICMS_STR_SEC_ACC_CRT - VALUATION_DATE Date of last valuation
41 Table/Structure Field  BAPICURR - BAPICURR Currency amount in BAPI interfaces
42 Table/Structure Field  CMS_STR_AST_VALUE - AST_VALUE Final Asset Value
43 Table/Structure Field  CMS_STR_AST_VALUE - AST_VALUE_CURR Currency of the Final Asset Value
44 Table/Structure Field  CMS_STR_AST_VALUE - NOM_VALUE Nominal Value of the Asset
45 Table/Structure Field  CMS_STR_AST_VALUE - NOM_VALUE_CURR Currency of Nominal value
46 Table/Structure Field  CMS_STR_AST_VALUE - QUANTITY Quantity
47 Table/Structure Field  CMS_STR_AST_VALUE - REC_AT Asset Value Recording Timestamp
48 Table/Structure Field  CMS_STR_AST_VALUE - UNIT_OF_MEASURE Unit of Measure of Quantity
49 Table/Structure Field  CMS_STR_LIQ_ACC_DET - BANK_CNTRY_LIQ Bank country key
50 Table/Structure Field  CMS_STR_LIQ_ACC_DET - BANK_CTRLKEY_LIQ Bank Control Key
51 Table/Structure Field  CMS_STR_LIQ_ACC_DET - BANK_KEY_LIQ Bank Key
52 Table/Structure Field  CMS_STR_SEC_ACC_DESC - ACC_OLD_REF_NO ID of a Securities Account Referenced from External System
53 Table/Structure Field  CMS_STR_SEC_ACC_DESC - SEC_ACC_DESC Description of the Securities Account
54 Table/Structure Field  CMS_STR_SEC_ACC_ID - ACCOUNT_NUMBER Securities Account Identification Number
55 Table/Structure Field  CMS_STR_SEC_ACC_ID - DEPO_BANK_ID Depository Bank Identification
56 Table/Structure Field  CMS_STR_SEC_ACC_MAP - ACCOUNT_NUMBER Securities Account Identification Number
57 Table/Structure Field  CMS_STR_SEC_ACC_MAP - ACC_OLD_REF_NO ID of a Securities Account Referenced from External System
58 Table/Structure Field  CMS_STR_SEC_ACC_MAP - AST_VALUE Final Asset Value
59 Table/Structure Field  CMS_STR_SEC_ACC_MAP - AST_VALUE_CURR Currency of the Final Asset Value
60 Table/Structure Field  CMS_STR_SEC_ACC_MAP - BANK_CNTRY_LIQ Bank country key
61 Table/Structure Field  CMS_STR_SEC_ACC_MAP - BANK_CTRLKEY_LIQ Bank Control Key
62 Table/Structure Field  CMS_STR_SEC_ACC_MAP - BANK_KEY_LIQ Bank Key
63 Table/Structure Field  CMS_STR_SEC_ACC_MAP - DEPO_BANK_ID Depository Bank Identification
64 Table/Structure Field  CMS_STR_SEC_ACC_MAP - END_DATE Valuation End date
65 Table/Structure Field  CMS_STR_SEC_ACC_MAP - LENDING_RATE1 Lending rate 1
66 Table/Structure Field  CMS_STR_SEC_ACC_MAP - LENDING_RATE_IND Indicates that the asset has a default lending rate or not
67 Table/Structure Field  CMS_STR_SEC_ACC_MAP - LIQD_AMT Proceeds obtained from liquidation of the collateral
68 Table/Structure Field  CMS_STR_SEC_ACC_MAP - LIQD_CURR Currency of Liquidation value
69 Table/Structure Field  CMS_STR_SEC_ACC_MAP - LIQD_DATE Date of Liquidation of Collateral
70 Table/Structure Field  CMS_STR_SEC_ACC_MAP - LIQD_REASON Liquidation Reason
71 Table/Structure Field  CMS_STR_SEC_ACC_MAP - LIQD_TYP Liquidation type
72 Table/Structure Field  CMS_STR_SEC_ACC_MAP - NOM_VALUE Nominal Value of the Asset
73 Table/Structure Field  CMS_STR_SEC_ACC_MAP - NOM_VALUE_CURR Currency of Nominal value
74 Table/Structure Field  CMS_STR_SEC_ACC_MAP - PERIOD_VALN_FREQ Period of revaluation for securities
75 Table/Structure Field  CMS_STR_SEC_ACC_MAP - QUANTITY Quantity
76 Table/Structure Field  CMS_STR_SEC_ACC_MAP - REC_AT Asset Value Recording Timestamp
77 Table/Structure Field  CMS_STR_SEC_ACC_MAP - RISK_CODE Risk Code
78 Table/Structure Field  CMS_STR_SEC_ACC_MAP - SEC_ACC_DESC Description of the Securities Account
79 Table/Structure Field  CMS_STR_SEC_ACC_MAP - SEC_ACC_VAL Value of the Securities Account
80 Table/Structure Field  CMS_STR_SEC_ACC_MAP - SEC_ACC_VAL_CURR Currency of Securities Account Value
81 Table/Structure Field  CMS_STR_SEC_ACC_MAP - SFTY_AMOUNT Safety discount as an amount
82 Table/Structure Field  CMS_STR_SEC_ACC_MAP - SFTY_AMT_CURR Currency of the Safety discount amount
83 Table/Structure Field  CMS_STR_SEC_ACC_MAP - SFTY_DSCNT Safety discount
84 Table/Structure Field  CMS_STR_SEC_ACC_MAP - SFTY_IND Indicates that the asset has a default sfty discount or not
85 Table/Structure Field  CMS_STR_SEC_ACC_MAP - START_DATE Valuation Start date
86 Table/Structure Field  CMS_STR_SEC_ACC_MAP - UNIT_OF_MEASURE Unit of Measure of Quantity
87 Table/Structure Field  CMS_STR_SEC_ACC_MAP - UNIT_VALN_FREQ Indicator : Valuation Frequency of Securities Account
88 Table/Structure Field  CMS_STR_SEC_ACC_MAP - VAL_DATE Date of last valuation
89 Table/Structure Field  CMS_STR_SEC_ACC_VAL_DATA - SEC_ACC_VAL Value of the Securities Account
90 Table/Structure Field  CMS_STR_SEC_ACC_VAL_DATA - SEC_ACC_VAL_CURR Currency of Securities Account Value
91 Table/Structure Field  CMS_STR_SEC_ACC_VAL_DATA - VAL_DATE Date of last valuation
92 Table/Structure Field  CMS_STR_SEC_AST_BASIC_DATA - RISK_CODE Risk Code
93 Table/Structure Field  CMS_STR_SEC_AST_BASIC_DATA - SFTY_AMOUNT Safety discount as an amount
94 Table/Structure Field  CMS_STR_SEC_AST_BASIC_DATA - SFTY_AMT_CURR Currency of the Safety discount amount
95 Table/Structure Field  CMS_STR_SEC_AST_BASIC_DATA - SFTY_DSCNT Safety discount
96 Table/Structure Field  CMS_STR_SEC_AST_BASIC_DATA - SFTY_IND Indicates that the asset has a default sfty discount or not
97 Table/Structure Field  CMS_STR_SEC_AST_DATA - BANK_CNTRY_LIQ Bank country key
98 Table/Structure Field  CMS_STR_SEC_AST_DATA - BANK_CTRLKEY_LIQ Bank Control Key
99 Table/Structure Field  CMS_STR_SEC_AST_DATA - BANK_KEY_LIQ Bank Key
100 Table/Structure Field  CMS_STR_SEC_AST_DATA - END_DATE Valuation End date
101 Table/Structure Field  CMS_STR_SEC_AST_DATA - LENDING_RATE1 Lending rate 1
102 Table/Structure Field  CMS_STR_SEC_AST_DATA - LENDING_RATE_IND Indicates that the asset has a default lending rate or not
103 Table/Structure Field  CMS_STR_SEC_AST_DATA - LIQD_AMT Proceeds obtained from liquidation of the collateral
104 Table/Structure Field  CMS_STR_SEC_AST_DATA - LIQD_CURR Currency of Liquidation value
105 Table/Structure Field  CMS_STR_SEC_AST_DATA - LIQD_DATE Date of Liquidation of Collateral
106 Table/Structure Field  CMS_STR_SEC_AST_DATA - LIQD_REASON Liquidation Reason
107 Table/Structure Field  CMS_STR_SEC_AST_DATA - LIQD_TYP Liquidation type
108 Table/Structure Field  CMS_STR_SEC_AST_DATA - PERIOD_VALN_FREQ Period of revaluation for securities
109 Table/Structure Field  CMS_STR_SEC_AST_DATA - RISK_CODE Risk Code
110 Table/Structure Field  CMS_STR_SEC_AST_DATA - SFTY_AMOUNT Safety discount as an amount
111 Table/Structure Field  CMS_STR_SEC_AST_DATA - SFTY_AMT_CURR Currency of the Safety discount amount
112 Table/Structure Field  CMS_STR_SEC_AST_DATA - SFTY_DSCNT Safety discount
113 Table/Structure Field  CMS_STR_SEC_AST_DATA - SFTY_IND Indicates that the asset has a default sfty discount or not
114 Table/Structure Field  CMS_STR_SEC_AST_DATA - START_DATE Valuation Start date
115 Table/Structure Field  CMS_STR_SEC_AST_DATA - UNIT_VALN_FREQ Indicator : Valuation Frequency of Securities Account
116 Table/Structure Field  CMS_STR_SEC_AST_VALUE - AST_VALUE Final Asset Value
117 Table/Structure Field  CMS_STR_SEC_AST_VALUE - AST_VALUE_CURR Currency of the Final Asset Value
118 Table/Structure Field  CMS_STR_SEC_AST_VALUE - NOM_VALUE Nominal Value of the Asset
119 Table/Structure Field  CMS_STR_SEC_AST_VALUE - NOM_VALUE_CURR Currency of Nominal value
120 Table/Structure Field  CMS_STR_SEC_AST_VALUE - QUANTITY Quantity
121 Table/Structure Field  CMS_STR_SEC_AST_VALUE - REC_AT Asset Value Recording Timestamp
122 Table/Structure Field  CMS_STR_SEC_AST_VALUE - UNIT_OF_MEASURE Unit of Measure of Quantity
123 Table/Structure Field  CMS_STR_SEC_LENDING_RATE - LENDING_RATE1 Lending rate 1
124 Table/Structure Field  CMS_STR_SEC_LIQUIDATION_DATA - BANK_CNTRY_LIQ Bank country key
125 Table/Structure Field  CMS_STR_SEC_LIQUIDATION_DATA - BANK_CTRLKEY_LIQ Bank Control Key
126 Table/Structure Field  CMS_STR_SEC_LIQUIDATION_DATA - BANK_KEY_LIQ Bank Key
127 Table/Structure Field  CMS_STR_SEC_LIQUIDATION_DATA - LIQD_AMT Proceeds obtained from liquidation of the collateral
128 Table/Structure Field  CMS_STR_SEC_LIQUIDATION_DATA - LIQD_CURR Currency of Liquidation value
129 Table/Structure Field  CMS_STR_SEC_LIQUIDATION_DATA - LIQD_DATE Date of Liquidation of Collateral
130 Table/Structure Field  CMS_STR_SEC_LIQUIDATION_DATA - LIQD_REASON Liquidation Reason
131 Table/Structure Field  CMS_STR_SEC_LIQUIDATION_DATA - LIQD_TYP Liquidation type
132 Table/Structure Field  CMS_STR_SEC_LND_RTE_DATA - LENDING_RATE1 Lending rate 1
133 Table/Structure Field  CMS_STR_SEC_LND_RTE_DATA - LENDING_RATE_IND Indicates that the asset has a default lending rate or not
134 Table/Structure Field  CMS_STR_SEC_VALUATION_DATA - END_DATE Valuation End date
135 Table/Structure Field  CMS_STR_SEC_VALUATION_DATA - PERIOD_VALN_FREQ Period of revaluation for securities
136 Table/Structure Field  CMS_STR_SEC_VALUATION_DATA - START_DATE Valuation Start date
137 Table/Structure Field  CMS_STR_SEC_VALUATION_DATA - UNIT_VALN_FREQ Indicator : Valuation Frequency of Securities Account