SAP ABAP Data Element FTI_S_VAL_FX_LC (Foreign Currency Valuation in Local Currency (Simulation))
Hierarchy
EA-FINSERV (Software Component) SAP Enterprise Extension Financial Services
   FIN-FSCM-TRM-TM-IS (Application Component) Information System
     FTI (Package) Application development R/3 Treasury information system
Basic Data
Data Element FTI_S_VAL_FX_LC
Short Description Foreign Currency Valuation in Local Currency (Simulation)  
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 FXV LC Si 
Medium 20 FX Val. LC Sim. 
Long 40 Foreign Currency Valuation in LC (Sim.) 
Heading 30 Foreign Crcy Val. in LC (Sim.) 
Documentation

Definition

Treasury and Risk Management Transaction Manager
Reporting for a given date / evaluation of positions for the key date

The position values are subdivided into a series of independent, original position components.

The position management procedure you have assigned determines the valuation steps for key date valuation (security valuation, foreign currency valuation and/or index valuation). The system calculates the foreign currency write-ups and write-downs on the basis of the defined rate type.

The position component foreign currency valuation contains the total of the foreign currency write-ups and write-downs to date.

By contrast, the key figure foreign currency valuation, simulation contains a fictitious total of the foreign currency write-ups and write-downs - as if a valuation had been carried out for the evaluation key date.

History
Last changed by/on SAP  20030326 
SAP Release Created in 110