SAP ABAP Data Element FTI_S_SWAPVAL_LC_A (Swap Valuation in Local Currency (Sim.) / Start of Period)
Hierarchy
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EA-FINSERV (Software Component) SAP Enterprise Extension Financial Services
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FIN-FSCM-TRM-TM-IS (Application Component) Information System
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FTI (Package) Application development R/3 Treasury information system

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Basic Data
Data Element | FTI_S_SWAPVAL_LC_A |
Short Description | Swap Valuation in Local Currency (Sim.) / Start of Period |
Data Type
Category of Dictionary Type | D | Domain |
Type of Object Referenced | No Information | |
Domain / Name of Reference Type | TPM_AMOUNT | |
Data Type | CURR | Currency field, stored as DEC |
Length | 21 | |
Decimal Places | 2 | |
Output Length | 29 | |
Value Table |
Further Characteristics
Search Help: Name | ||
Search Help: Parameters | ||
Parameter ID | ||
Default Component name | ||
Change document | ||
No Input History | ||
Basic direction is set to LTR | ||
No BIDI Filtering |
Field Label
Length | Field Label | |
Short | 10 | SwV LC Si |
Medium | 20 | Swap Val.LC Sim. St. |
Long | 40 | Swap Valuation in LC (Sim.): Start |
Heading | 10 | SwV LC Si |
Documentation
Definition
Treasury and Risk Management Transaction Manager
Reporting for a given period / evaluation of flows within the reporting period
The valuation run determines the change in the value of the swap rate between the contract date and the valuation key date.
The resulting difference is indicated by the swap valuation component.
Note
This key figure is only relevant for the foreign exchange module within the Treasury and Risk Management Transaction Manager.
By contrast, the key figure swap valuation, simulationcontains the fictitious value that would have resulted if a swap valuation had been carried out on the valuation key date.
In this case, the key date is one day before the start of the period.
History
Last changed by/on | SAP | 20020520 |
SAP Release Created in | 110 |