SAP ABAP Program SAPLFICOB3 (SAPLFICOB3)
Basic Data
| Program | SAPLFICOB3 | |
| Program Type | F | Function group |
Attributes
| Status | ||
| Application | S | Basis |
| Authorization Group | ||
| Logical database | D$S | Processing without database |
| Selection screen | ||
| Editor lock | Fixed point arithmetic | |
| Unicode checks active | Start using variant |
Function Group
| Include | Function Module | Short Description | Mode |
|---|---|---|---|
| 01 | |
Event ISSTA: Initialization | |
| 02 | |
Event ISDAT: Read Data | |
| 03 | |
Event XCHNG: Data Changed? | |
| 04 | |
Calls the Component Function to Process Events | |
| 05 | |
General Function Codes | |
| 06 | |
Initialize Components | |
| 07 | |
PAI for Components | |
| 08 | |
PBO for Components | |
| 09 | |
Nominal Interest Rate | |
| 10 | |
Read Field Modification for Condition Type | |
| 11 | |
FCODE Event: General Function Codes | |
| 12 | |
FMOD1 Event: Read Field Control for BP Categories | |
| 13 | |
FMOD2 Event: Field Modifications for Field Groups | |
| 14 | |
Event DLVE1: Initialize Current Memory | |
| 15 | |
DSAVE Event: Save Data to DB | |
| 16 | |
Charge on Amount | |
| 17 | |
FMOD2 Event: Field Modifications for Field Groups | |
| 17 | |
Individualisierung | |
| 18 | |
DCHCK Event | |
| 19 | |
Debit Interest | |
| 20 | |
Read Global Data of Table FICOT_AMTPOS | |
| 21 | |
Amount Limits | |
| 22 | |
FICO: Read Context Information for F4 | |
| 23 | |
Read Customizing and System Tables | |
| 24 | |
Get BDT applications that are relevant for the FICO application | |
| 25 | |
Repayment Cap. Interest | |
| 26 | |
Event DCUAD: Determine CUA Interface | |
| 27 | |
Set CUA Status | |
| 28 | |
FCODE Event: Specific Function Codes for VAL1 | |
| 29 | |
Vorfälligkeitspreis | |
| 30 | |
Paketpreisberechnungsgebühr | |
| 31 | |
Periodische Entnahme | |
| 32 | |
Transfer Current Component from FICOB2 | |
| 33 | |
Forderung | |
| 34 | |
Flexible Paketpreisberechnungsgebühr | |
| 35 | |
Regelwerk | |
| 36 | |
Verzicht | |
| 37 | |
Calculation | |
| 38 | |
Clearing | |
| 39 | |
Adjustment | |
| 40 | |
Fixing date | |
| 41 | |
Maturity | |
| 42 | |
Annuity Repayment | |
| 43 | |
Automatischer Verzicht | |
| 44 | |
Installment Repayment | |
| 45 | |
Credit Interest | |
| 46 | |
Zinsrückerstattung | |
| 46 | |
Check Component | |
| 47 | |
Final Repayment | |
| 48 | |
Differentiations | |
| 48 | |
Objektreferenzen in Puffer setzen | |
| 49 | |
Overdraft Interest | |
| 50 | |
Interest on Amount | |
| 50 | |
Statusfelder aus der Funktionsgruppe B3 lesen | |
| 51 | |
Item Charge | |
| 52 | |
Dispatch Expenses | |
| 53 | |
Fixed Amount | |
| 54 | |
Value Date | |
| 55 | |
Period | |
| 56 | |
Read Global Data of Table FICOT_AMTPOSEXP | |
| 57 | |
Read Global Data from Table FICOT_AMT | |
| 58 | |
Header Fields | |
| 58 | |
Freiposten pro Zählergruppe | |
| 59 | |
Read Global Data From FICOT_COND | |
| 60 | |
Read Global Data From Table FICOT_CONDDIFF | |
| 61 | |
Read Global Data From Table FICOT_DATE | |
| 62 | |
Read Global Data of Table FICOT_DATEPOS | |
| 63 | |
Creates a New Period for VAL1. | |
| 64 | |
For Validity Period at Condition Level | |
| 65 | |
Read Global Data of Table FICOT_AMTPOS | |
| 66 | |
Read Global Data of Table FICOT_AMTPOS | |
| 67 | |
DTAKE Event: Transfer Data to Global Memory | |
| 68 | |
Pro Rata Amount | |
| 69 | |
Get Current Component for the Overview | |
| 70 | |
Copies an Existing Period for VAL1. | |
| 71 | |
Header Fields for Evaluation | |
| 71 | |
Ereigniszins | |
| 72 | |
Condition Determination | |
| 73 | |
Differentiations for Condition Determination | |
| 74 | |
Event DLVE1: Initialize Current Memory | |
| 75 | |
Read Global Data of Table FICOT_DATEPOS | |
| 76 | |
Deletes an Existing Period for VAL1. | |
| 77 | |
Check Component (Second Level) | |
| 78 | |
Read Status Fields From Function Group B3 | |
| 79 | |
Set Status Fields in Function Group B3 | |
| 80 | |
Amounts with Similar Interest | |
| 81 | |
Int. Penalty | |
| 82 | |
Amount Limits With (Usage) Period | |
Transaction Code
Screens
| # | Screen | Short Description |
|---|---|---|
| 1 | 1011 | 105010 - Nominal Interest - Main Data |
| 2 | 1012 | 105010 - Nominal Interest Rate (CAP) - Main Data |
| 3 | 1013 | 105010 - Nominal Interest Rate (FLOOR) - Main Data |
| 4 | 1015 | 120010 - Similar Interest Amounts - Main Data |
| 5 | 1021 | 110020 - Installment Repayment - Main Data |
| 6 | 1031 | 110030 - Annuity Repayment - Main Data |
| 7 | 1041 | 105020 - Debit Interest - Main Data |
| 8 | 1042 | 105020 - Debit Interest - Single Item |
| 9 | 1043 | 105020 - Debit Interest - Multiple Items |
| 10 | 1044 | 105020 - Debit Int -Multiple Positions Complex Determination |
| 11 | 1045 | 105020 - Debit Interest - Multiple Positions Complex Detail |
| 12 | 1053 | 105030 - Credit Interest - Main Data |
| 13 | 1054 | 105030 - Credit Interest - Single Item |
| 14 | 1055 | 105030 - Credit Interest - Multiple Items |
| 15 | 1056 | 105030 - Credit Int - Multiple Positions Complex Determinat. |
| 16 | 1057 | 105030 - Credit Interest - Multiple Positions Complex Detail |
| 17 | 1061 | 115050 - Charge for Amount - Main Data |
| 18 | 1062 | 115050 - Charge for Amount - Single Position |
| 19 | 1063 | 115050 - Charge for Amount - Multiple Positions |
| 20 | 1064 | 115050 - Charge on Amount - Automatic Scale Calculation |
| 21 | 1071 | 105040 - Overdraft Interest - Main Data |
| 22 | 1072 | 105040 - Overdraft Interest - Single Item |
| 23 | 1073 | 105040 - Overdraft Interest - Multiple Items |
| 24 | 1074 | 105040 - Overdraft Int. - Multiple Positions Complex Deter |
| 25 | 1075 | 105040 - Overdraft Interest- Multiple Positions Complex Deta |
| 26 | 1086 | 105070 - Periodic Withdrawal - Main Data |
| 27 | 1087 | 105070 - Periodic Withdrawal - Single Position |
| 28 | 1091 | 115020 - Item Charge - Main Data |
| 29 | 1092 | 115050 - Item Charg - Single Position |
| 30 | 1093 | 115020 - Item Charge - Multiple Positions |
| 31 | 1094 | 115020 - Item Charge - Multiple Pos Complex Determination |
| 32 | 1095 | 115020 - Item Charges - Multiple Pos Complex Details |
| 33 | 1101 | 115030 - Dispatch Expenses - Main Data |
| 34 | 1102 | 115030 - Dispatch Expensen - Single Position |
| 35 | 1103 | 115030 - Dispatch Expenses - Multiple Positions |
| 36 | 1104 | 115030 - Dispatch Expenses - Multiple Pos Complex Determin. |
| 37 | 1105 | 115030 - Dispatch Expenses - Multiple Pos Complex Details |
| 38 | 1111 | 115010 - Fixed Amount - Main Data |
| 39 | 1112 | 115010 - Fixed Amount - Single Position |
| 40 | 1121 | 205010 - Value Date - Main Data |
| 41 | 1122 | 205010 - Value Date - Single Position |
| 42 | 1123 | 205010 - Value Date - Multiple Positions |
| 43 | 1131 | 205020 - Period - Main Data |
| 44 | 1132 | 205020 - Period - Single Position |
| 45 | 1133 | 205020 - Period - Multiple Positions |
| 46 | 1141 | 115060 - Pro-Rate Amount - Main Data |
| 47 | 1142 | 115060 - Pro-Rate Amount - Single Item |
| 48 | 1143 | 115060 - Pro-Rate Amount - Multiple Positions |
| 49 | 1144 | 115060 - Pro Rata Amount - Multiple Pos Complex Deter |
| 50 | 1145 | 115060 - Pro Rata Amount - Multiple Pos Complex Detail |
| 51 | 1151 | 180000 - Amount Limits - Main Data |
| 52 | 1152 | 180000 - Amount Limits - Single Item |
| 53 | 1161 | 110010 - Final Repayment - Main Data |
| 54 | 1171 | 105060 - Interest Penalty - Main Data |
| 55 | 1172 | 105060 - Interest Penalty - Single Item |
| 56 | 1181 | 110040 - Repayment Cap. Interest - Main Data |
| 57 | 1191 | 115070 - Early Withdrawal Charge - Main Data |
| 58 | 1192 | 115070 - Early Withdrawal Charge - Single Position |
| 59 | 1193 | 115070 - Early Withdrawal Charge - Multiple Positions |
| 60 | 1194 | 115070 - Early Withdrawal Charge - Ind: Dip Principal |
| 61 | 1201 | 150010 - Bundle Pricing Charge - Main Data |
| 62 | 1202 | 150010 - Bundle Pricing Charge - Single Position |
| 63 | 1203 | 150010 - Bundle Pricing Charge - Multiple Positions |
| 64 | 1204 | 150010 - Bundle Pricing Charge - Blank |
| 65 | 1301 | 150020 - Flexible Bundle Pricing - Main Data |
| 66 | 1302 | 150020 - Flexible Bundle Pricing - Single Position |
| 67 | 1303 | 150020 - Flexible Bundle Pricing - Multiple Positions |
| 68 | 1304 | 150020 - Flexible Bundle Pricing - Cmplx Multple Rule Overvw |
| 69 | 1305 | 150020 - Flexible Bundle Pricing - Cmplx Multple Rule Ov Sum |
| 70 | 1306 | 150020 - Flexible Bundle Pricing -Cmplx Multiple Rule Detail |
| 71 | 1401 | 185000 - Free Items for each Counter Group - Main Data |
| 72 | 1402 | 185000 - Free Items for each Counter Group - Single Item |
| 73 | 1403 | 185000 - Free Items for each Counter Group - Multiple Items |
| 74 | 1406 | 185000 - Free Items for each Counter Group - Set of Counters |
| 75 | 1601 | 160000 - Receivable - Main Data |
| 76 | 1602 | 160000 - Receivable - Single Position |
| 77 | 1611 | 170000 - Automatic Waiver - Main Data |
| 78 | 1612 | 170000 - Automatic Waiver - Single Position |
| 79 | 1613 | 170000 - Automatic Waiver - Multiple Positions |
| 80 | 1614 | 170000 - Automatic Waiver - List of Condition Types |
| 81 | 1801 | 105080 - Event Interest - Main Data |
| 82 | 1802 | 105080 - Event Interest - Single Position |
| 83 | 1901 | 105090 - Interest Reimbursement - Main Data |
| 84 | 1902 | 105090 - Interest Reimbursement - Single Item |
| 85 | 1903 | 105090 - Interest Reimbursement - Multiple Items |
| 86 | 3011 | 220010 - Calculation Date - Main Data |
| 87 | 3014 | 220010 - Calculation Date - Periodic |
| 88 | 3015 | 220010 - Calculation Date - Relative |
| 89 | 3016 | 221000 - Calculation Date - Single Dates |
| 90 | 3018 | 220010 - Calculation Date - Special Fields |
| 91 | 3021 | 225010 - Due Date - Main Data |
| 92 | 3024 | 225010 - Due Date - Periodic |
| 93 | 3025 | 225010 - Due Date - Relative |
| 94 | 3026 | 225010 - Due Date - Single Dates |
| 95 | 3027 | 225010 - Due Date - Ad Hoc |
| 96 | 3041 | 220030 - Adjustment - Main Data |
| 97 | 3044 | 220030 - Adjustment - Periodic |
| 98 | 3045 | 220030 - Adjustment - relative |
| 99 | 3046 | 220030 - Adjustment - Single Dates |
| 100 | 3051 | 220040 - Fixing - Main Data |
| 101 | 3054 | 220040 - Fixing - Periodic |
| 102 | 3055 | 220040 - Fixing - Relative |
| 103 | 3056 | 220040 - Fixing - Single Dates |
| 104 | 3061 | 220020 - Clearing - Main Data |
| 105 | 3064 | 220020 - Clearing - Periodic |
| 106 | 3066 | 220020 - Clearing - Single Dates |
| 107 | 3998 | Periodic Frequency - Several Key Dates in Month |
| 108 | 3999 | Periodic Frequency - Several Days in Week |
| 109 | 4000 | CONDM - Condition Title |
| 110 | 4020 | DIFF - Subscreen Area for 4021 |
| 111 | 4021 | DIFF - Differentiations |
| 112 | 4200 | EVAL - Condition Determination |
| 113 | 4500 | RULESET - Set of Rules |
| 114 | 4600 | INDIVIDUALIZATION - Individualization |
| 115 | 4700 | WAIVE - Waiver |
| 116 | 4999 | VAL - Validity Period |
| 117 | 5000 | HEADER Screen (CONDNM, DIFF, VAL) |
GUI Status
| # | GUI Status | Short Description |
|---|---|---|
| 1 | STATUS_1406 | STATUS_1406 - Set of Counters |
| 2 | STATUS_1614 | Status 1614 (Reference Condition Types Automatic Waiver) |
| 3 | STATUS_3998 | Status 3998 (Several Key Dates in Month) |
| 4 | STATUS_3999 | Status 3999 (Several Days in Week) |
GUI Title
| # | GUI Title | Short Description |
|---|---|---|
| 1 | TITLE_1406 | Counter Group |
| 2 | TITLE_1614 | Reference Condition for Automatic Waiver &1 |
| 3 | TITLE_3998 | Key Dates of Month |
| 4 | TITLE_3999 | Key Dates of Week |
History
| Last changed by/on | SAP | 20050129 |
| SAP Release Created in |