SAP ABAP Data Element TB_CALC_FLOW (Recalculate Cash Flow for Evaluations)
Hierarchy
EA-FINSERV (Software Component) SAP Enterprise Extension Financial Services
   FS-CML (Application Component) Loans Management
     FVVD_REPORTING (Package) Loans: Reporting
Basic Data
Data Element TB_CALC_FLOW
Short Description Recalculate Cash Flow for Evaluations  
Data Type
Category of Dictionary Type D   Domain
Type of Object Referenced     No Information
Domain / Name of Reference Type TB_CALC_FLOW    
Data Type NUMC   Character string with only digits 
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 CaFl calc. 
Medium 20 Calculate cash flow 
Long 30 Recalculate cash flow 
Heading 30 Recalculate cash flow 
Documentation

Definition

You use this indicator to control how the cash flow for a loan is recalculated in conjunction with a specified date:

The following values are supported:

0: Do not recalculate cash flow

1: Calculate up to end of fixed period

2: Calculate up to end of term
Calculates the cash flow up to the specified end of term date. If the term end is not specified, the system calculates the cash flow up to full repayment of the loan.

3: Calculate up to date on which loan is fully repaid

4: Calculate up to specified date
Calculates the cash flow up to the specified date, provided that the date falls before the end of the fixed period, or the end of the fixed period has not been specified.

5: Calculate up to specified date if fixed period is empty
Only calculates the cash flow up to the specified date if the end of the fixed period has not been specified. If the fixed period has been specified, the system calculates the cash flow up to the end of the fixed period.

6: Calculate up to earliest date of end of term and spec. date
Calculates the cash flow up to the specified date or the end of the term, depending on which falls earlier. If the term end is not specified, the system calculates the cash flow up to the specified date.

The available options vary for the different reports.

History
Last changed by/on SAP  20011002 
SAP Release Created in 462_10