SAP ABAP Domain - Index J
Domain - J
| # | Domain Name | Short Description | Data type | Length | Decimals |
|---|---|---|---|---|---|
| 1 | Register type | CHAR | 6 | ||
| 2 | RG23 Date Type | CHAR | 1 | ||
| 3 | Corporate Nature Indicator | NUMC | 2 | ||
| 4 | Bookkeeping Type | NUMC | 1 | ||
| 5 | Delivery Status | CHAR | 1 | ||
| 6 | Invoice Status | CHAR | 1 | ||
| 7 | Memory ID if parameter returned by memory | CHAR | 20 | ||
| 8 | Default value | CHAR | 40 | ||
| 9 | Unique data provider key | CHAR | 4 | ||
| 10 | Data provider type | CHAR | 1 | ||
| 11 | External name of param | CHAR | 20 | ||
| 12 | Have default param | CHAR | 1 | ||
| 13 | Internal name from XML report | CHAR | 20 | ||
| 14 | Value modifier | INT4 | 10 | ||
| 15 | Data provider parameter type | CHAR | 50 | ||
| 16 | Name of the returned parameter | CHAR | 20 | ||
| 17 | Human readable description of data provider | CHAR | 50 | ||
| 18 | Data return method | CHAR | 1 | ||
| 19 | Type of parameter for selection screen | CHAR | 1 | ||
| 20 | Value range for data provider | CHAR | 40 | ||
| 21 | Ownership | CHAR | 10 | ||
| 22 | Delimitation of annual waiting period for new employees | CHAR | 1 | ||
| 23 | IS-M/SD: Termination reason | CHAR | 2 | ||
| 24 | IS-M/SD: Settlement item type | CHAR | 2 | ||
| 25 | IS-M: Address Check - Type of Entity to be Checked | CHAR | 1 | ||
| 26 | IS-M: Origin of Inserts for Insert Planning | CHAR | 1 | ||
| 27 | IS-M: Address chain number | NUMC | 4 | ||
| 28 | IS-M/SD: Address number | CHAR | 10 | ||
| 29 | Time slice counter in logical address | NUMC | 4 | ||
| 30 | IS-M: Type of address name formatting | CHAR | 2 | ||
| 31 | IS-M/SD: Current change to complaint | NUMC | 4 | ||
| 32 | Year (4 digits) | NUMC | 4 | ||
| 33 | Duration in years | NUMC | 2 | ||
| 34 | Year number | NUMC | 4 | ||
| 35 | Period and year in format YYYYPPP | NUMC | 7 | ||
| 36 | Year With Value Range From 1901 to 2200 | NUMC | 4 | ||
| 37 | Indicator for "general contract" contract type | CHAR | 1 | ||
| 38 | 8 character value field without +/- sign | CURR | 15 | 2 | |
| 39 | Fiscal year/posting period from posting date | CHAR | 7 | ||
| 40 | Demo for Jam Integration | STRG | 0 | ||
| 41 | Functions: Jam Demo Report for Notifications | NUMC | 3 | ||
| 42 | Demo for Jam Library: Object Type | NUMC | 3 | ||
| 43 | IS-M/AM: Status of planned AI circulation quantity | CHAR | 4 | ||
| 44 | IS-M/AM: Status of planned distribution quantity | CHAR | 4 | ||
| 45 | Yes/no indicator | CHAR | 1 | ||
| 46 | Yes/No indicator (four possible entries for transfer) | CHAR | 1 | ||
| 47 | Numerical Yes/No indicator | DEC | 1 | ||
| 48 | Yes/no domains, values 1, X -> Yes; 0, SPACE -> No | CHAR | 1 | ||
| 49 | Yes/No decision field | CHAR | 1 | ||
| 50 | IS-M: Form-of-Address Key | CHAR | 2 | ||
| 51 | Number of billing items in billing document | NUMC | 4 | ||
| 52 | IS-M/SD: Number of employees | NUMC | 5 | ||
| 53 | IS-M/SD: Number of employees | DEC | 5 | ||
| 54 | Address type | CHAR | 1 | ||
| 55 | Duration in years | NUMC | 3 | ||
| 56 | Type of 'to' Entry | CHAR | 1 | ||
| 57 | IS-M/SD: Higher-level type within assignment | CHAR | 2 | ||
| 58 | Type of 'from' Entry | CHAR | 2 | ||
| 59 | IS-M/SD: Sales document type grouping | CHAR | 1 | ||
| 60 | Checkbox | CHAR | 1 | ||
| 61 | No. of points on grid | INT1 | 3 | ||
| 62 | Block size for selecting reporting dataset in RR | NUMC | 6 | ||
| 63 | Account Management | CHAR | 1 | ||
| 64 | RM: CHECK_BOX Field | CHAR | 1 | ||
| 65 | Create change documents | CHAR | 1 | ||
| 66 | Character Field of Length 10 | CHAR | 10 | ||
| 67 | Character field length 2 | CHAR | 2 | ||
| 68 | Exchange Rate Type | CHAR | 4 | ||
| 69 | ALM: ID of Detailed Log | NUMC | 12 | ||
| 70 | ALM: Detail Log Text | CHAR | 255 | ||
| 71 | ALM Transaction Form for Fictitious Transactions | CHAR | 3 | ||
| 72 | ALM: Cat.of a Final Results Key Figure (Act, Act+Stnd.Sim..) | CHAR | 1 | ||
| 73 | IS-B: Derivation | CHAR | 1 | ||
| 74 | Number of Analysis Periods | CHAR | 1 | ||
| 75 | Number of Directions of the Transaction | CHAR | 1 | ||
| 76 | Quantity | QUAN | 15 | 5 | |
| 77 | ALM Quota in Simulation (Percentage) | INT1 | 3 | ||
| 78 | Node name | CHAR | 30 | ||
| 79 | ALM: Status of Simulation Activity | CHAR | 1 | ||
| 80 | ID of Reference Interest Rate | CHAR | 10 | ||
| 81 | Currency Key | CUKY | 5 | ||
| 82 | Number of Lines | INT4 | 10 | ||
| 83 | Simulation Interest | DEC | 10 | 7 | |
| 84 | Type of Interest Rate Reference | CHAR | 4 | ||
| 85 | ALM Interest Payment Cycle in Months | NUMC | 3 | ||
| 86 | Balancing Account Name | CHAR | 30 | ||
| 87 | Amount domain for additive shifts | FLTP | 16 | 16 | |
| 88 | Calculation Category for Variable Transactions | CHAR | 4 | ||
| 89 | Flow type | CHAR | 5 | ||
| 90 | Flow Type Description | CHAR | 50 | ||
| 91 | Cash Flow Transaction: Category of Flow | CHAR | 2 | ||
| 92 | FO Integration: Transaction Category | CHAR | 4 | ||
| 93 | Indicator for Determining Individual Dates | CHAR | 1 | ||
| 94 | Indicator for Controlling Incoming/Outgoing Interest | CHAR | 1 | ||
| 95 | Risk factor shift - packed with 8 decimal places | DEC | 10 | 8 | |
| 96 | SAP Banking: Domain for forward price of option price model | NUMC | 11 | ||
| 97 | Pushbutton | CHAR | 1 | ||
| 98 | 17-Digit Amount, 2 Decimal Places, +/- Sign | CURR | 17 | 2 | |
| 99 | IS-B: Marginal amount for graduated interest rates | CURR | 17 | 2 | |
| 100 | Processing Method for the Analysis Period | CHAR | 1 | ||
| 101 | Costing type for CO-OM-ABC | CHAR | 1 | ||
| 102 | Cash Flow Transaction: External Number | CHAR | 40 | ||
| 103 | Cash Flow Transaction: Internal Number | CHAR | 13 | ||
| 104 | Version number | NUMC | 5 | ||
| 105 | List of conditions | CHAR | 6 | ||
| 106 | Collective Condition | CHAR | 16 | ||
| 107 | SEM Banking: Datapool Functions | CHAR | 4 | ||
| 108 | Change Relevance Indicator: Basel II IAS | CHAR | 1 | ||
| 109 | IS-B: RM Application Type of a Due Date Scenario | NUMC | 1 | ||
| 110 | SAP Banking: Position Change - Internal Number | CHAR | 16 | ||
| 111 | Category of Position Change | CHAR | 3 | ||
| 112 | Continous compounding extrapolation | INT4 | 10 | ||
| 113 | Record Category for Class Data for the Financial Product | NUMC | 2 | ||
| 114 | Date | DATS | 8 | ||
| 115 | Indicator for Export Relevance Check (Basel II) | NUMC | 1 | ||
| 116 | Domain for adopting up a real number | FLTP | 16 | 16 | |
| 117 | Function module name | CHAR | 30 | ||
| 118 | IS-B: Application of required/optional control | CHAR | 4 | ||
| 119 | Reconciliation Indicator | CHAR | 1 | ||
| 120 | SAP Banking: Indicator for volume costing | CHAR | 1 | ||
| 121 | Record Type for Data Transfer - Variable Trans: Flow Data | CHAR | 1 | ||
| 122 | Record Type for Data Transfer - Variable Trans: Master Data | CHAR | 1 | ||
| 123 | Indicator for Additions and Withdrawls for Positions | CHAR | 2 | ||
| 124 | Archiving indic. | CHAR | 1 | ||
| 125 | General Indicator (SPACE 'X') | CHAR | 1 | ||
| 126 | Block Size | NUMC | 6 | ||
| 127 | Change Indicator | CHAR | 1 | ||
| 128 | Condition number | NUMC | 6 | ||
| 129 | Date/Time of Export (YYYYMMDDHHMMSS) | CHAR | 14 | ||
| 130 | Exp.Indic. | CHAR | 1 | ||
| 131 | Export Object Category | CHAR | 3 | ||
| 132 | Description of Export Object Type | CHAR | 60 | ||
| 133 | Indicator for Export Relevance | CHAR | 1 | ||
| 134 | Subobject of Export Object | CHAR | 1 | ||
| 135 | Characteristic Value | CHAR | 60 | ||
| 136 | Initial Load Flag | CHAR | 1 | ||
| 137 | Number of processes | INT4 | 10 | ||
| 138 | Read Mode for Characteristics of CE4xxxx Tables | CHAR | 1 | ||
| 139 | Reversal Indicator | CHAR | 1 | ||
| 140 | Reversal indicator | CHAR | 1 | ||
| 141 | Trace mode | CHAR | 1 | ||
| 142 | Trace mode | CHAR | 1 | ||
| 143 | IS-M/AM: Element number of media agent contract | CHAR | 10 | ||
| 144 | IS-M/AM: Element number of media agent contract | NUMC | 6 | ||
| 145 | IS-M/AM: Condition Reference | CHAR | 2 | ||
| 146 | Beta Factor | DEC | 10 | 6 | |
| 147 | Definition of Fixed Values for a Control Parameter | CHAR | 2 | ||
| 148 | IS-B: RM Modification Factor | DEC | 11 | 9 | |
| 149 | Field selection control | CHAR | 100 | ||
| 150 | Data type market price shift | FLTP | 16 | 16 | |
| 151 | Transaction type | CHAR | 5 | ||
| 152 | Transaction Type Description | CHAR | 50 | ||
| 153 | Direction of the Transaction | CHAR | 5 | ||
| 154 | Transaction Direction - Name | CHAR | 50 | ||
| 155 | Flag: Not Deliverable | CHAR | 4 | ||
| 156 | Currency Amounts in BAPI Interfaces | DEC | 28 | 9 | |
| 157 | Indicator for Minimum Reserve Requirement (Bank) | NUMC | 1 | ||
| 158 | Information category | NUMC | 2 | ||
| 159 | Counter | NUMC | 4 | ||
| 160 | Differentiation Type: Criterion | CHAR | 10 | ||
| 161 | Business Partner Acquisition Data: Customizable Fields | CHAR | 20 | ||
| 162 | Information Type | NUMC | 2 | ||
| 163 | Valuation | CHAR | 10 | ||
| 164 | Valuation procedure | CHAR | 10 | ||
| 165 | BP: Partner Grouping Characteristic | CHAR | 10 | ||
| 166 | Yes/No indicator (four possible entries for transfer) | CHAR | 1 | ||
| 167 | BP Ratings: Tendency | CHAR | 2 | ||
| 168 | Ext. Interface: Activity Indicator Address Version Type | CHAR | 1 | ||
| 169 | Ext. Interface: Change Indicator Address (Relationships) | CHAR | 1 | ||
| 170 | Ext. Interface: Change Indicator General Relationship Data | CHAR | 1 | ||
| 171 | Ext. Interface: Change Indicator Relationships | CHAR | 1 | ||
| 172 | External Interface: Domain for Date Task | CHAR | 1 | ||
| 173 | Authorization Group | CHAR | 4 | ||
| 174 | Freely-Definable Name for Bank/Credit Card | CHAR | 40 | ||
| 175 | Ext. Interface: Activity Indicator Address Remark | CHAR | 1 | ||
| 176 | Ext. Interface: Activity Indicator Address Usage | CHAR | 1 | ||
| 177 | Ext. Interface: Activity Indicator Address | CHAR | 1 | ||
| 178 | Ext. Interface: Activity Indicator Bank Details | CHAR | 1 | ||
| 179 | Ext. Interface: Change Indicator for Communication Remark | CHAR | 1 | ||
| 180 | Ext. Interface: Change Indicator Credit Card | CHAR | 1 | ||
| 181 | Ext. Interface: Change Indicator Fax Number | CHAR | 1 | ||
| 182 | Ext. Interface: Change Indicator for Identification Numbers | CHAR | 1 | ||
| 183 | Ext. Interface: Activity Indicator Industries | CHAR | 1 | ||
| 184 | Ext. Interface: Activity Indicator Object | CHAR | 1 | ||
| 185 | Ext. Interface: Change Indicator for Pager | CHAR | 1 | ||
| 186 | Ext. Interface: Change Indicator for Printer | CHAR | 1 | ||
| 187 | Ext. Interface: Change Indicator for RFC Destination | CHAR | 1 | ||
| 188 | Ext. Interface: Activity Indicator Remote Mail | CHAR | 1 | ||
| 189 | Ext. Interface: Change Indicator for Role | CHAR | 1 | ||
| 190 | Ext. Interface: Change Indicator SMTP | CHAR | 1 | ||
| 191 | Ext. Interface: Change Indicator for SSF | CHAR | 1 | ||
| 192 | Ext. Interface: Change Indicator for Tax Number | CHAR | 1 | ||
| 193 | Ext. Interface: Change Indicator Telephone Number | CHAR | 1 | ||
| 194 | Ext. Interface: Change Indicator for Telex Number | CHAR | 1 | ||
| 195 | Ext. Interface: Change Indicator for Teletex Number | CHAR | 1 | ||
| 196 | Ext. Interface: Change Indicator for FTP and URL | CHAR | 1 | ||
| 197 | External Interface: Activity Indicator Address Version | CHAR | 1 | ||
| 198 | Ext. Interface: Change Indicator X.400 | CHAR | 1 | ||
| 199 | BP Identification Category | CHAR | 6 | ||
| 200 | Default Industry Code | CHAR | 1 | ||
| 201 | Industry System | CHAR | 4 | ||
| 202 | Indicator: Business Partner is a Natural Person | CHAR | 1 | ||
| 203 | Business Transaction for BP Address Determination | CHAR | 6 | ||
| 204 | Schedule Type | CHAR | 1 | ||
| 205 | Weight | DEC | 5 | 2 | |
| 206 | Integer <=255 | INT1 | 3 | ||
| 207 | Interest Rate | DEC | 10 | 7 | |
| 208 | Interest Rate | DEC | 10 | 5 | |
| 209 | Change indicator for database update | CHAR | 1 | ||
| 210 | SAP Banking: Domain for credit equivalence indicator | CHAR | 1 | ||
| 211 | SAP Banking: Marker for whether variant is active | CHAR | 1 | ||
| 212 | All indicator for factors in scenarios | CHAR | 1 | ||
| 213 | SAP Banking: Position update flag | CHAR | 1 | ||
| 214 | Field for Position 1 | CHAR | 1 | ||
| 215 | Indicator showing whether interpolation carried out | CHAR | 1 | ||
| 216 | Indicator - Transfer to Include Costing? | CHAR | 1 | ||
| 217 | IS-B: Read-indicator | CHAR | 1 | ||
| 218 | SAP Banking: Deletion indicator | CHAR | 1 | ||
| 219 | Marker | CHAR | 1 | ||
| 220 | Yes/No indicator for relative shifts | CHAR | 1 | ||
| 221 | IS-B: RM Risk Hierarchy - Factor Indicator | CHAR | 1 | ||
| 222 | To-the-day indicator | CHAR | 1 | ||
| 223 | Test Run | CHAR | 1 | ||
| 224 | SAP Banking: Domain for 'own securities' indicator | CHAR | 1 | ||
| 225 | SAP Banking: Domain for option exchange feature | CHAR | 1 | ||
| 226 | Access indicator | CHAR | 1 | ||
| 227 | Summarization Indicator | CHAR | 1 | ||
| 228 | Summarization Indicator | CHAR | 1 | ||
| 229 | SAP Banking: Domain for housing construction indicator | CHAR | 1 | ||
| 230 | SAP Banking: Domain for commitment statistics indicator | CHAR | 1 | ||
| 231 | Balance Category of Ledger | NUMC | 2 | ||
| 232 | Currency Type or Quantity Type of Ledger | NUMC | 2 | ||
| 233 | Type of Condition List | CHAR | 6 | ||
| 234 | Required/Optional indicator | CHAR | 1 | ||
| 235 | ALM Number of Simulated Transactions | INT4 | 10 | ||
| 236 | Line number for application functions rq./opt.control | NUMC | 4 | ||
| 237 | RM: Degree of Branching for Each Primary Transaction | NUMC | 4 | ||
| 238 | Cash flow indicator - value field definition | CHAR | 1 | ||
| 239 | RM: Sequence Number for a Flow of an Extended Cat.Prim.Trans | NUMC | 6 | ||
| 240 | IS-B: RM Number (Fictitious Cash Flow) | NUMC | 3 | ||
| 241 | RM: Sequence Number for Trans. ID in Primary Transaction | NUMC | 6 | ||
| 242 | Level Number (Short) for Internal Numbering | NUMC | 2 | ||
| 243 | Level Number (Long) for Internal Numbering | NUMC | 8 | ||
| 244 | Term in Days | INT4 | 10 | ||
| 245 | ALM Sequence Number | INT4 | 10 | ||
| 246 | IS-B: Sequential Number (Logic Analysis) | NUMC | 4 | ||
| 247 | Level Number (Middle) for Internal Numbering | NUMC | 4 | ||
| 248 | Term in Months | INT4 | 10 | ||
| 249 | IS-B: RM Freeze Dataset for Period | CHAR | 2 | ||
| 250 | SAP Banking: Reference number for access to text table | CHAR | 5 | ||
| 251 | Level Number for Procedure | INT2 | 5 | ||
| 252 | Time in days (whole numbers) | INT4 | 10 | ||
| 253 | Number (up to 254) | INT1 | 3 | ||
| 254 | IS-B: RM Evaluation Procedure | CHAR | 2 | ||
| 255 | Number of values | NUMC | 2 | ||
| 256 | Time in days (whole numbers) | INT2 | 5 | ||
| 257 | IS-B: RM Indicator for Commitment Category | CHAR | 1 | ||
| 258 | ALM Number of Interest Rate Hedging Periods | INT4 | 10 | ||
| 259 | OR: DUMMY Field, DO NOT use/choose | CHAR | 1 | ||
| 260 | IS-M/AM: Creditworthiness | CHAR | 2 | ||
| 261 | IS-M: Bonus groups for edition in Sales and Distribution | CHAR | 2 | ||
| 262 | IS-M/SD: Bonus Type | CHAR | 2 | ||
| 263 | Origin of Transaction | CHAR | 1 | ||
| 264 | Origin of Transaction | CHAR | 1 | ||
| 265 | OR: Yes/No Indicator | CHAR | 1 | ||
| 266 | Percental entry | DEC | 3 | ||
| 267 | FLA Price Management Indicator | CHAR | 1 | ||
| 268 | Indicator: FLA Volume Management | CHAR | 1 | ||
| 269 | Percent with Two Places Behind Decimal Point | DEC | 5 | 2 | |
| 270 | Transaction Identification | NUMC | 2 | ||
| 271 | RM gap analysis: outflow indicator | CHAR | 1 | ||
| 272 | RM: Write-Down Rule | CHAR | 8 | ||
| 273 | Indicator: Absolute or Relative Interest Payments | NUMC | 1 | ||
| 274 | Additional Key for Object No. of Transactions in STC | CHAR | 2 | ||
| 275 | IS-B: RM Indicator: Premium or Discount | CHAR | 1 | ||
| 276 | Aggregation Indicator | NUMC | 2 | ||
| 277 | IS-B: RM, Aggreg. Rule in Hier.of Financial Trans. Data Type | CHAR | 4 | ||
| 278 | Processing Indicator for Premium/Discount | CHAR | 1 | ||
| 279 | Indicator: Asset/Liability Transaction | CHAR | 1 | ||
| 280 | IS-B: RM - Asset/Liability Indicator | CHAR | 9 | ||
| 281 | Currency Amount | CURR | 17 | 2 | |
| 282 | RM: Evaluation Category (Internal for Program Generation) | CHAR | 2 | ||
| 283 | Indicator: Data Record Displayed | CHAR | 1 | ||
| 284 | RM: Asset/Liability Indicator | CHAR | 1 | ||
| 285 | RM: Application Object Type | CHAR | 4 | ||
| 286 | SAP Banking: Domain for additional record ID of reportin | NUMC | 5 | ||
| 287 | Processing Indicator: Gross/Net | CHAR | 1 | ||
| 288 | ALM, ind. sim.: Asset/liab. indic. for MB dep. plan. par. | CHAR | 1 | ||
| 289 | Transaction form for simulated transactions | NUMC | 3 | ||
| 290 | Position Change - Internal Number | CHAR | 16 | ||
| 291 | Domain for NPV Positions in One Currency | CURR | 17 | 2 | |
| 292 | Valuation Rule for Risk Management | CHAR | 8 | ||
| 293 | Beta Factor Type | CHAR | 3 | ||
| 294 | RM Gap Analysis: Assignment of Flow to Side of Balance Sheet | CHAR | 1 | ||
| 295 | Change Balance Sheet Ind.for Complex Trans.in Gap Analysis | CHAR | 1 | ||
| 296 | IS-B: RM Balance sheet Indicator (On/Off-Balance Sheet) | CHAR | 1 | ||
| 297 | Inclusion of Off-Balance-Sheet Transactions in Interest Vol. | CHAR | 1 | ||
| 298 | Account Number in Front Office | CHAR | 16 | ||
| 299 | IS-B: RM Domain for Base Portfolio ID | CHAR | 12 | ||
| 300 | Bank Product | CHAR | 10 | ||
| 301 | Bank Product Variant for Costing | CHAR | 6 | ||
| 302 | SAP Banking: Domains for branch key of bank | CHAR | 10 | ||
| 303 | SAP Banking: Domains of branch key according to SAP | NUMC | 6 | ||
| 304 | IS-B: Domains of the Industry Key LT SAP | NUMC | 6 | ||
| 305 | RM: Position Group | CHAR | 2 | ||
| 306 | Bank Position Management Point | CHAR | 10 | ||
| 307 | Simulation Type for Value at Risk | NUMC | 3 | ||
| 308 | Value-at-Risk Simulation Category | NUMC | 2 | ||
| 309 | IS-B: RM Domain for Cash Flow Type | CHAR | 3 | ||
| 310 | RM: Cash Flow Type in Extended Risk Object | CHAR | 3 | ||
| 311 | Group Change | CHAR | 1 | ||
| 312 | IS-B: JBRCHAR10 | CHAR | 10 | ||
| 313 | IS-B: JBRCHAR30 | CHAR | 30 | ||
| 314 | Intensity of Checks | CHAR | 1 | ||
| 315 | IS-B: RM Number of Dataset in Catalog | CHAR | 22 | ||
| 316 | IS-B: RM Cluster Key | CHAR | 22 | ||
| 317 | Commodity | CHAR | 3 | ||
| 318 | ALM Attribute in List Tool | CHAR | 1 | ||
| 319 | IS-B: Data Type CUKY5 | CUKY | 5 | ||
| 320 | IS-B: Data Type CURR11 | CURR | 11 | 2 | |
| 321 | IS-B: Data Type CURR17 | CURR | 17 | 2 | |
| 322 | RM: Indicator: Currency Translation (Internal or External) | CHAR | 1 | ||
| 323 | GAP analysis date indicator | CHAR | 1 | ||
| 324 | IS-B: RM Drilldown Method (Summarized Data or Objects) | CHAR | 1 | ||
| 325 | Data Category for Unitless Delta Positions | DEC | 17 | 2 | |
| 326 | RM: Sequence of Characteristic Derivation | CHAR | 1 | ||
| 327 | Depiction of Forward Exchange Transactions in ALM Simulation | CHAR | 1 | ||
| 328 | IS-B: RM Effective Duration (Domain) | QUAN | 16 | 14 | |
| 329 | IS-B: RM Effective Duration (Domain) | QUAN | 16 | 8 | |
| 330 | Read Type for Business Partner Credit Standing | CHAR | 1 | ||
| 331 | Indicator: Fill to End of Day/Month/Year | CHAR | 2 | ||
| 332 | Yield category | CHAR | 1 | ||
| 333 | Result Category for External Key Figures | CHAR | 2 | ||
| 334 | RM Evaluation ID Domain | CHAR | 4 | ||
| 335 | Reverse +/- Signs | CHAR | 1 | ||
| 336 | GAP analysis editing indicator - external | CHAR | 1 | ||
| 337 | External number | CHAR | 18 | ||
| 338 | IS-B: RM Text for Update Type | CHAR | 16 | ||
| 339 | Local field name | CHAR | 10 | ||
| 340 | Fixed Value | CHAR | 2 | ||
| 341 | SAP Banking: Domains for account number of GL account | CHAR | 10 | ||
| 342 | Input File | CHAR | 50 | ||
| 343 | RM Gap/ALM: Indicator for Scenario or Scenario Progression | CHAR | 1 | ||
| 344 | Output File | CHAR | 80 | ||
| 345 | IS-B: RM Indicator: Freeze Datset Yes/No | CHAR | 1 | ||
| 346 | Maturity Pattern for Core Deposits Products | CHAR | 8 | ||
| 347 | IS-B: RM Update Type of Transaction on BP Level per View | CHAR | 2 | ||
| 348 | IS-B: RM Name of Update Type | CHAR | 5 | ||
| 349 | Domains: ALM Valuation Type | CHAR | 4 | ||
| 350 | IS-B: RM Gap Evaluation (P, O, C, L) | NUMC | 2 | ||
| 351 | Category of Evaluation | NUMC | 1 | ||
| 352 | RM Gap: Error Messages for External Gap Analysis | CHAR | 40 | ||
| 353 | RM Gap Analysis: Saving of Calculated Results | CHAR | 1 | ||
| 354 | ID of a saved gap evaluation result | NUMC | 12 | ||
| 355 | Short Description of Different Transaction Categories | CHAR | 6 | ||
| 356 | Transaction Number | CHAR | 10 | ||
| 357 | Transaction Number (External) | CHAR | 30 | ||
| 358 | IS-B: RM Transaction Number in Treasury | CHAR | 16 | ||
| 359 | RM Procurement of opportunity interest for ALM | CHAR | 1 | ||
| 360 | IS-B: Domain for Characteristic Group | CHAR | 30 | ||
| 361 | IS-B: RM Business Area for Transfer of Test Data | CHAR | 8 | ||
| 362 | IS-B: RM Hierarchy ID | CHAR | 3 | ||
| 363 | Period for Historical Simulation in Risk Management | INT2 | 5 | ||
| 364 | Utilization Scenario | CHAR | 4 | ||
| 365 | Utilization Scenario: Processing Mode | CHAR | 1 | ||
| 366 | RM: Internal Number for Position of Risk Objects | CHAR | 20 | ||
| 367 | RM: External ID for Position of Risk Objects | CHAR | 20 | ||
| 368 | RM: External identifier of risk object | CHAR | 20 | ||
| 369 | RM: External Identifier for External Risk Object | CHAR | 20 | ||
| 370 | RM: Internal Number for External Risk Object | CHAR | 20 | ||
| 371 | RM: Internal Number of Extended Risk Object | CHAR | 20 | ||
| 372 | IS-B: Data Type INT1 | INT1 | 3 | ||
| 373 | IS-B: Data Type INT2 | INT2 | 5 | ||
| 374 | IS-B: Data Type INT4 | INT4 | 10 | ||
| 375 | Interpolation basis | CHAR | 1 | ||
| 376 | Interpolation category | CHAR | 1 | ||
| 377 | ALM Simulation Indicator | CHAR | 1 | ||
| 378 | Costing rule | CHAR | 8 | ||
| 379 | Costing Sheet | CHAR | 6 | ||
| 380 | Key field comprising 2 characters | CHAR | 2 | ||
| 381 | Key field comprising 22 characters | CHAR | 22 | ||
| 382 | SAP Banking: Internal key for collateral | CHAR | 15 | ||
| 383 | IS-B: RM Node ID | CHAR | 6 | ||
| 384 | IS-B: RM Node ID for Risk Hierarchy | NUMC | 5 | ||
| 385 | RM: Domain for Unit of Key Figure Category | CHAR | 2 | ||
| 386 | External/Internal Key Figure | CHAR | 1 | ||
| 387 | Value of Variable Assignment Rule ID | CHAR | 4 | ||
| 388 | Confidence level for historical simulation | DEC | 10 | 7 | |
| 389 | Costing Event | CHAR | 2 | ||
| 390 | Length of a Field | CHAR | 6 | ||
| 391 | RM Gap/ALM Sequence No. of a Scenario or Scen. Progression | CHAR | 5 | ||
| 392 | Position Outflow at End of Term or Fixed Interest Period | CHAR | 1 | ||
| 393 | RM: Line Number in Lists | CHAR | 3 | ||
| 394 | IS-B: RM Liquidity Indicator | CHAR | 1 | ||
| 395 | IS-B: RM Liquidity Indicator | CHAR | 1 | ||
| 396 | Liquidation Period | NUMC | 5 | ||
| 397 | Liquidation Scenario | CHAR | 4 | ||
| 398 | Gap Analysis: Processing Indicator for Liquidity Scenario | CHAR | 1 | ||
| 399 | Maturity band | CHAR | 4 | ||
| 400 | Generation Mode of Maturity Band | CHAR | 1 | ||
| 401 | Consecutive Numbering of Maturity Band Units | NUMC | 5 | ||
| 402 | IS-B: RM Characteristic for Use in Maintenance View JBVSIM | CHAR | 10 | ||
| 403 | IS-B: RM Characteristic | CHAR | 8 | ||
| 404 | IS-B: RM Category of Char. Hierarchy (Selective/Non-Sel.) | CHAR | 1 | ||
| 405 | RM: Migration Status for Generic Transaction | CHAR | 1 | ||
| 406 | Number of Errors in Historical Data | INT2 | 5 | ||
| 407 | SAP Banking: Domain for regulatory reporting rule | NUMC | 4 | ||
| 408 | Drilldown Reporting: Encrypted Node of Portfolio Hierarchy | CHAR | 30 | ||
| 409 | Disbursement Procedure (Loan) - ID | CHAR | 10 | ||
| 410 | Type of a Node in the Tree | CHAR | 2 | ||
| 411 | IS-B: RM NUMC Field, 10 Digits | NUMC | 10 | ||
| 412 | Object Key for Logical Analysis | CHAR | 10 | ||
| 413 | SAP Banking: Grouping object number | CHAR | 14 | ||
| 414 | ALM Indicator to Appear in List Once Only | CHAR | 1 | ||
| 415 | IS-B: RM Include Options in Gap Evaluation | CHAR | 1 | ||
| 416 | IS-B: RM Option Indicator for Gap | CHAR | 1 | ||
| 417 | Option of an Object (Logical Analysis) | CHAR | 20 | ||
| 418 | Sequential Number for OI Weighting | NUMC | 2 | ||
| 419 | OI Weighting, Division of Trans. and Local Currency | CHAR | 1 | ||
| 420 | RM: ALM Interest in percent | DEC | 7 | 3 | |
| 421 | Business Partner | CHAR | 10 | ||
| 422 | RM: Gap interest in percent | DEC | 12 | 7 | |
| 423 | IS-B: RM Portfolio Hierarchy | NUMC | 3 | ||
| 424 | IS-B: Node ID of Portfolio Hierarchy | NUMC | 6 | ||
| 425 | Priority of Characteristics in the Hierarchy of the View | CHAR | 3 | ||
| 426 | RM: Percentage | DEC | 12 | 7 | |
| 427 | ALM Planning Variant | CHAR | 12 | ||
| 428 | Percentage to Two Decimal Places | DEC | 5 | 2 | |
| 429 | IS-B: RM Indicator: Product/Market Interest Rate | CHAR | 1 | ||
| 430 | IS-B: RM Profit Center for Test Data Transfer | CHAR | 8 | ||
| 431 | IS-B: RM Name of BP Determ. Program Based on RM Data Area | CHAR | 8 | ||
| 432 | SAP Banking: External partner number, RR | CHAR | 15 | ||
| 433 | Percentage Rate Packed without +/- Sign NNN.NN 0 - 100 | DEC | 5 | 2 | |
| 434 | VaR: Fixed Values for Position Calculation: Variance/Covar. | NUMC | 2 | ||
| 435 | RM: Control of Gap Analysis from Drilldown | CHAR | 2 | ||
| 436 | SAP Banking: Domains for record ID of reporting data record | NUMC | 12 | ||
| 437 | Rule ID data category | NUMC | 10 | ||
| 438 | Numerical rule index | NUMC | 5 | ||
| 439 | Risk Hierarchy ID | CHAR | 3 | ||
| 440 | Risk hierarchy node ID | NUMC | 6 | ||
| 441 | Fixed value domain for identifying risk hierarchy | NUMC | 2 | ||
| 442 | Analysis Structure | CHAR | 4 | ||
| 443 | RM Rule category | NUMC | 2 | ||
| 444 | Value-at-risk method | NUMC | 2 | ||
| 445 | ID of a Saved Gap Analysis Result | NUMC | 12 | ||
| 446 | IS-B: RM Key Date Position or Average Position | CHAR | 1 | ||
| 447 | Service number | CHAR | 10 | ||
| 448 | IS-B: RM Risk Factor Shift | QUAN | 10 | 8 | |
| 449 | Shift category | NUMC | 2 | ||
| 450 | View Type | NUMC | 1 | ||
| 451 | RM: View ID | CHAR | 3 | ||
| 452 | RM: Number of a Simulation Run or Planning Run | CHAR | 12 | ||
| 453 | Status of a Transaction | CHAR | 6 | ||
| 454 | RM: Simulation Category | CHAR | 1 | ||
| 455 | Simulated interest payments | CHAR | 3 | ||
| 456 | IS-B: RM Current Maintanance Status of a View | CHAR | 15 | ||
| 457 | View Category | NUMC | 1 | ||
| 458 | Fixed values for shift method | NUMC | 1 | ||
| 459 | IS-B: Indicator for Special Processing | CHAR | 2 | ||
| 460 | IS-B: RM Sort Order of Characteristic Group | NUMC | 3 | ||
| 461 | IS-B: RM Evaluation-Specific Special Processing | CHAR | 8 | ||
| 462 | IS-B: RM Product-Specific Special Processing in Gap | CHAR | 2 | ||
| 463 | IS-B: RM Control Indicator for Postprocessing (Gap/IR) | CHAR | 2 | ||
| 464 | RM Gap Analysis: Spread Processing | CHAR | 1 | ||
| 465 | Fixed values for risk factor category | NUMC | 2 | ||
| 466 | VaR: Fixed Values for Position Calculation: Variance/Covar. | NUMC | 2 | ||
| 467 | RM Gap display of stat.interest rate or prod.interest rate | CHAR | 1 | ||
| 468 | Increment | NUMC | 5 | ||
| 469 | Quotation Type for Securities | CHAR | 1 | ||
| 470 | RM: Category for Temporary Object Numbers | CHAR | 2 | ||
| 471 | RM Gap Analysis: Indicator for Single Value Analysis | CHAR | 1 | ||
| 472 | RM: ID of a Saved Data Status | NUMC | 20 | ||
| 473 | RM Gap Analysis: Select Scenario or Scenario Progression | CHAR | 1 | ||
| 474 | Historical Day | NUMC | 5 | ||
| 475 | IS-B: RM Days Method | NUMC | 1 | ||
| 476 | RM Gap Analsis: Calculate Forward Rate | CHAR | 1 | ||
| 477 | Technical Name for a Field | CHAR | 4 | ||
| 478 | IS-B: ID for non-interest bearing position | CHAR | 10 | ||
| 479 | Retention period for historical simulation in RM | INT2 | 5 | ||
| 480 | Option Status (Logical Analysis) | CHAR | 10 | ||
| 481 | Domain for Value-at-Risk Type | CHAR | 3 | ||
| 482 | Historical simulation: VaR method | CHAR | 2 | ||
| 483 | Fixed Values for VaR Category | CHAR | 1 | ||
| 484 | IS-B: RM Summarization Indicator | CHAR | 1 | ||
| 485 | IS-B: RM Evaluation Procedure | CHAR | 30 | ||
| 486 | IS-B: RM Version of a Dataset | CHAR | 2 | ||
| 487 | Summarization Rule | CHAR | 8 | ||
| 488 | Processing rule (Regulatory Reporting) | CHAR | 4 | ||
| 489 | IS-B: RM Currency Group for Test Data Transfer | CHAR | 8 | ||
| 490 | ALM: Display Currency or Transaction Currency | CHAR | 1 | ||
| 491 | Indicator: Local Currency or Transaction Currency | CHAR | 1 | ||
| 492 | Flag for reading back in market data table | CHAR | 1 | ||
| 493 | RM: Security ID Number for Complex Class xSDTFT | CHAR | 13 | ||
| 494 | RM: Textfield for a More Precise Description | CHAR | 30 | ||
| 495 | IS-B: RM Amount of Interest Result | CURR | 17 | 2 | |
| 496 | IS-B: RM Line Number of Instruction | INT1 | 3 | ||
| 497 | Interest Rate (Incl. VI) | DEC | 10 | 7 | |
| 498 | IS-B: RM Gap: Interest Commitment or Capital Commitment | CHAR | 1 | ||
| 499 | IS-B: RM Indicator: Interest or Capital Commitment Cash Flow | CHAR | 1 | ||
| 500 | RM: Percentage | DEC | 12 | 7 |