SAP ABAP Class CL_RECN_DEPOSITCN_SERVICES (Security Deposit Agreement: Service Methods)
Hierarchy
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EA-FIN (Software Component) EA-FIN
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RE-FX-CN (Application Component) Real Estate Contract
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RE_CN_DP (Package) RE: Security Deposit
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Properties
| Class | CL_RECN_DEPOSITCN_SERVICES | |
| Short Description | Security Deposit Agreement: Service Methods | |
| Super Class | ||
| Instantiability of a Class | 0 | Private |
| Final |
General Data
| Message Class | ||
| Program status | ||
| Category | 0 | |
| Package | RE_CN_DP | RE: Security Deposit |
| Created | 20090722 | SAP |
| Last change | 20130531 | SAP |
| Shared Memory-enabled | ||
| Fixed point arithmetic | ||
| Unicode checks active |
Forward declarations
| # | Type group / Object type | Type | Type Description |
|---|---|---|---|
| 1 | Type group use (TYPE-POOLS tp) | Type group use (TYPE-POOLS tp) | |
| 2 | Type group use (TYPE-POOLS tp) | Type group use (TYPE-POOLS tp) | |
| 3 | Type group use (TYPE-POOLS tp) | Type group use (TYPE-POOLS tp) |
Interfaces
Class CL_RECN_DEPOSITCN_SERVICES has no interface implemented.
Friends
Class CL_RECN_DEPOSITCN_SERVICES has no friend class.
Attributes
Class CL_RECN_DEPOSITCN_SERVICES has no attribute.
Methods
| # | Method | Level | Visibility | Method type | Description | Created on |
|---|---|---|---|---|---|---|
| 1 | Static method | Public | Method | Adjust One-Time Conditions | 20101111 | |
| 2 | Static method | Public | Method | Calculates the Difference | 20090727 | |
| 3 | Static method | Public | Method | Implements the Conversion of Security Deposit Amounts | 20090722 |
Events
Class CL_RECN_DEPOSITCN_SERVICES has no event.
Types
Class CL_RECN_DEPOSITCN_SERVICES has no local type.
Method Signatures
Method ADJUST_UNIQUE_CONDITION Signature
| # | Type | Parameter | Pass Value | Optional | Typing Method | Associated Type | Default value | Description | Created on |
|---|---|---|---|---|---|---|---|---|---|
| 1 | CT_CONDITION_X | Call by reference | Type reference (TYPE) | RE_T_RECD_CONDITION_X | Konditionen - RECD_CONDITION_X | 20101111 | |||
| 2 | ID_RECNENDABS | Call by reference | Type reference (TYPE) | RECN_CONTRACT-RECNENDABS | Datum Laufzeitende | 20101111 |
Method ADJUST_UNIQUE_CONDITION on class CL_RECN_DEPOSITCN_SERVICES has no exception.
Method CALCULATE_DIFFERENCE Signature
| # | Type | Parameter | Pass Value | Optional | Typing Method | Associated Type | Default value | Description | Created on |
|---|---|---|---|---|---|---|---|---|---|
| 1 | CS_TARGET_DEPOSIT_S | Call by reference | Type reference (TYPE) | RECN_TARGET_DEPOSIT_S | SOLL-Kaution: Dynprofelder | 20090727 |
Method CALCULATE_DIFFERENCE on class CL_RECN_DEPOSITCN_SERVICES has no exception.
Method DO_CURR_TRANSLATION Signature
| # | Type | Parameter | Pass Value | Optional | Typing Method | Associated Type | Default value | Description | Created on |
|---|---|---|---|---|---|---|---|---|---|
| 1 | CS_TARGET_DEPOSIT_S | Call by reference | Type reference (TYPE) | RECN_TARGET_DEPOSIT_S | IST-Kaution: Dynprofelder | 20090722 | |||
| 2 | EF_WARNING_OCCURED | Value transfer | Type reference (TYPE) | RECABOOL | Allgemeines Ja/Nein - Feld | 20090804 | |||
| 3 | ES_MSG | Call by reference | Type reference (TYPE) | RECAMSG | Warnung (Nachricht) | 20090804 | |||
| 4 | ID_CTRULE | Value transfer | Type reference (TYPE) | RECACTRULE | Währungsumrechnungsregel | 20090722 | |||
| 5 | IO_DEPOSIT | Value transfer | Object reference (TYPE REF TO) | IF_RECN_CONTRACT | Vertrag (VICNCN) | 20090722 | |||
| 6 | IS_CTBASEDATE | Value transfer | Type reference (TYPE) | RECA_CTBASEDATE | Übergabe Basisdatum (Umrechnungsservice) | 20090722 |
| # | Exception | Resumable | Description | Created on |
|---|---|---|---|---|
| 1 | Fehler bei der Umrechnung | 20090723 |
History
| Last changed by/on | SAP | 20130531 |
| SAP Release Created in | 605 |