SAP ABAP Data Element TB_FLG_CASH_FLOW_CONSTRUCT (Cash Flow Calculation Period in Planned Record Update)
Hierarchy
EA-FINSERV (Software Component) SAP Enterprise Extension Financial Services
   FS-CML (Application Component) Loans Management
     FVVD (Package) Treasury Loans
Basic Data
Data Element TB_FLG_CASH_FLOW_CONSTRUCT
Short Description Cash Flow Calculation Period in Planned Record Update  
Data Type
Category of Dictionary Type D   Domain
Type of Object Referenced     No Information
Domain / Name of Reference Type FLAG    
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  
Medium 19 Calculation Period 
Long 31 Cash Flow Calculation Period 
Heading 55 Cash Flow Calculation Period in Planned Record Update 
Documentation

Definition

You can set his indicator to improve the system performance during the planned record update.

  • If you set his indicator, the system only calculates the cash flow for the period for which the planned records are updated on the database.

    When the cash flow is updated on the database the system takes the Cash Management Period into account, meaning that only the planned records in the cash flow that are within the forecast period are written to the database.

  • If you do not set the indicator, the system calculates the cash flow until the end of the fixed interest period.

Use

Dependencies

Example

History
Last changed by/on SAP  20130529 
SAP Release Created in 200