SAP ABAP Data Element MY_ZUKST (Ex. Rate Strategy for Receipts and Invoices (Market Prices))
Hierarchy
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BBPCRM (Software Component) BBPCRM
⤷ MM-IM-VP (Application Component) Balance Sheet Valuation Procedures
⤷ MRY (Package) Balance sheet valuation
⤷ MM-IM-VP (Application Component) Balance Sheet Valuation Procedures
⤷ MRY (Package) Balance sheet valuation
Basic Data
Data Element | MY_ZUKST |
Short Description | Ex. Rate Strategy for Receipts and Invoices (Market Prices) |
Data Type
Category of Dictionary Type | D | Domain |
Type of Object Referenced | No Information | |
Domain / Name of Reference Type | MY_XXKST | |
Data Type | CHAR | Character String |
Length | 1 | |
Decimal Places | 0 | |
Output Length | 1 | |
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 | ExRtStrat |
Medium | 15 | ExRateStrat(rc) |
Long | 20 | Ex.rate strat.(rcpt) |
Heading | 55 | Exchange rate strategy (receipts and invoices) |
Documentation
Definition
You use this parameter to control if the system compares info records in a foreign currency on the key date specified and which exchange rate it uses to do this.
The following entries are possible:
- Average rate (key date) ('A') -
All info records in foreign currency are included in market price determination at the average exchange rate on the key date specified (default setting). - Lowest value: Average rate (key date)/Current rate ('B') -
All info records in foreign currency are included in market price determination at the average exchange rate on the key date specified, unless the price is lower if you use the current exchange rate when you perform the procedure. - Lowest value: Bankbuying/Bankselling/Middle rate ('C') -
All info records in foreign currency are included in market price determination at the average rate on the key date specified, unless the price is lower if you use the bankbuying rate or bankselling rate for the same key date. - Lowest value: Bankbuying/Bankselling/Middle rate ('D') -
The system uses an exchange rate on the key date specified as the basis for the market price determination in every case. This can be the bankbuying rate, bankselling rate, or middle rate, depending on which results in the lowest price.
History
Last changed by/on | SAP | 20000211 |
SAP Release Created in |