SAP ABAP Table /IBS/SRB_SHEETH (Structure for RBD IAS - Header Data of a Sheet)
Hierarchy
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EA-FINSERV (Software Component) SAP Enterprise Extension Financial Services
⤷ FS-RBD (Application Component) Value Adjustment
⤷ /IBS/RB (Package) iBS: Reserve for Bad Debt
⤷ FS-RBD (Application Component) Value Adjustment
⤷ /IBS/RB (Package) iBS: Reserve for Bad Debt
Basic Data
Table Category | INTTAB | Structure |
Structure | /IBS/SRB_SHEETH | Table Relationship Diagram |
Short Description | Structure for RBD IAS - Header Data of a Sheet |
Delivery and Maintenance
Pool/cluster | ||
Delivery Class | ||
Data Browser/Table View Maintenance | Display/Maintenance Allowed with Restrictions |
Components
Field | Key | Data Element | Domain | Data Type |
Length | Decimal Places |
Short Description | Check table |
|
---|---|---|---|---|---|---|---|---|---|
1 | RBDID | /IBS/E_RBDID | /IBS/O_RBDID | CHAR | 4 | 0 | RBD: RBD ID (RBD Area) | * | |
2 | RBDNR | /IBS/E_RBDNR | /IBS/O_RBDNR | CHAR | 13 | 0 | RBD: Account Number | ||
3 | DUE_DATE | /IBS/E_SDATE | /IBS/O_RDATUM | DATS | 8 | 0 | RBD: Valuation Date | ||
4 | BEWME | /IBS/E_BEWME | /IBS/O_RCHR02 | CHAR | 2 | 0 | RBD: Valuation Method | ||
5 | MODID | /IBS/E_RMODID | /IBS/O_RMODID | CHAR | 10 | 0 | RBD: Component ID Source System | * | |
6 | VERTV | /IBS/E_VERTV | /IBS/O_RCHR100 | CHAR | 100 | 0 | RBD: Contract Number Source System | ||
7 | LIBUE | /IBS/E_LIBUE | /IBS/O_LIBUE | CHAR | 4 | 0 | RBD: Source Accounting Unit | ||
8 | VKREF | /IBS/E_VKREF | /IBS/O_VKREF | CHAR | 8 | 0 | RBD: Account Assignment Reference Source System | ||
9 | PDAVS | /IBS/E_PDAVS | /IBS/O_PDAVS | CHAR | 10 | 0 | RBD: Product Type Source System | ||
10 | VEAVS | /IBS/E_VEAVS | /IBS/O_VEAVS | NUMC | 3 | 0 | RBD: Contract Type Previous System | ||
11 | RWBKNZ | /IBS/E_RWBKNZ | /IBS/O_RCHR30 | CHAR | 30 | 0 | RBD: Value Adjustment Indicator | ||
12 | CURRENCY | /IBS/E_RBARW | WAERS | CUKY | 5 | 0 | RBD: Currency of Risk Provision | * | |
13 | ARREAR | /IBS/E_RBETRV | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Amount in Arrears in Contract Currency (IAS) | ||
14 | OBLIGO | /IBS/E_OBETRV | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Book Value for Srce System Contract in Contract Currncy | ||
15 | XINCL_RESTKAP | /IBS/E_KZRKI | /IBS/O_RYESNO | CHAR | 1 | 0 | RBD: CF Position Rem. Capital at End of Fixed Int./Term | ||
16 | DELFZ | /IBS/E_DELFZ | /IBS/O_RDATUM | DATS | 8 | 0 | RBD: End of Term for Source System Contract | ||
17 | DEFSZ | /IBS/E_DEFSZ | /IBS/O_RDATUM | DATS | 8 | 0 | RBD: End of Fixed Interest Period in Source System Contract | ||
18 | DELINQ_SINCE | /IBS/E_DSINCE | /IBS/O_RDATUM | DATS | 8 | 0 | RBD: Date Since Which Contract Is in Arrears | ||
19 | SUM_LOSSES | /IBS/E_ABETRV | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Total Loss Amount for Contract in Source System | ||
20 | REAL_DATE | /IBS/E_DVERW | /IBS/O_RDATUM | DATS | 8 | 0 | RBD: Date, Recovery Time | ||
21 | BRESTKAP | /IBS/E_BENDV | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Remaining Capital at End of Cash Flow | ||
22 | INT_RATE | /IBS/E_PZINS | DECV5_10 | DEC | 15 | 10 | RBD: Initial Eff. Interest Rate in Source System Contract | ||
23 | PERC_CAF | /IBS/E_PERCCF | DEC3_2 | DEC | 5 | 2 | RBD: Percentage Expectation Used for Cash Flow | ||
24 | INT_METH | /IBS/E_INTCM | SZBMETH_NEW | CHAR | 1 | 0 | RBD: Interest Calculation Method (Financial Mathematics) | ||
25 | PROCTYPE | /IBS/E_PROCTYPE | /IBS/O_PROCTYPE | CHAR | 2 | 0 | RBD: Processing Type | ||
26 | PROCCAT | /IBS/E_PROCCAT | /IBS/O_PROCCAT | CHAR | 1 | 0 | RBD: Processing Category for IAS | ||
27 | XCF_DIFF | /IBS/E_KZKFC | /IBS/O_RYESNO | CHAR | 1 | 0 | RBD: CF Position Remaining Capital on Valuation Key Date | ||
28 | LAST_DUE_DATE | /IBS/E_LSDATE | /IBS/O_RDATUM | DATS | 8 | 0 | RBD: Valuation Date | ||
29 | COLUP | /IBS/E_RCOLUP | /IBS/O_RYESNO | CHAR | 1 | 0 | RBD Indicator: Update Liquidation Dates | ||
30 | .INCLUDE | 0 | 0 | Structure for RBD IAS - Totals Memory for Sheets | |||||
31 | GJRBD | /IBS/E_GJRBD | GJAHR | NUMC | 4 | 0 | RBD: Fiscal Year RBD | ||
32 | WB_BESTAND | /IBS/E_WBB_BU | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Value Adjustment Position Current Period | ||
33 | WB_BESTAND_UN | /IBS/E_WBB_UN | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Position Unwinding Current Period (Val. Adj.) | ||
34 | WB_BESTAND_SU | /IBS/E_WBB_SU | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Reserve Field | ||
35 | WB_BESTAND_VJ | /IBS/E_WBBBUV | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Value Adjustment Position Previous Periods | ||
36 | WB_BESTAND_VJ_UN | /IBS/E_WBBUNV | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Position Unwinding Previous Periods (Val. Adj.) | ||
37 | WB_BESTAND_VJ_SU | /IBS/E_WBBSUV | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Reserve Field | ||
38 | WB_BESTAND_VB | /IBS/E_AUBD_AJ | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Position Usage (Value Adjustment) | ||
39 | WB_BESTAND_DA | /IBS/E_AUBD_VJ | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Position Direct Write-Off (Value Adjustment) | ||
40 | WB_AE_BESTAND_VJ | /IBS/E_WBAEB_VJ | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Change Balance Value Adjustment Previous Periods | ||
41 | WB_BEDARF | /IBS/E_WB_BDG | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Change Requirements Value Adjustment Current Period | ||
42 | WB_BEDARF_UN | /IBS/E_WB_BDU | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Requirement Unwinding (Value Adjustment) | ||
43 | WB_BEDARF_VJ | /IBS/E_WB_BDS | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Change Requirement Value Adjustment Previous Periods | ||
44 | WB_BEDARF_VB | /IBS/E_AUBDAAJ | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Change Requirement Usage (Value Adjustment) | ||
45 | WB_BEDARF_DA | /IBS/E_AUBDAVJ | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Change Requirement Direct Write-Off (Value Adjustment) | ||
46 | SUM_SICH_AB | /IBS/E_WBCOLL | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: NPV of Expected Collateral Revenues Value Adjustment | ||
47 | SUM_CF_RATE | /IBS/E_SUMCFR | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Total Cash Flow Positions (Installments) | ||
48 | SUM_CF_ERWA | /IBS/E_SUMCFE | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Total Cash Flow Expectation (Value Adjustment) | ||
49 | SUM_CF_ABGE | /IBS/E_SUMCFA | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Net Present Value of Expected Cash Flow (Val. Adj.) | ||
50 | SUM_AKT_UNW | /IBS/E_BETUN | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Unwinding Amount | ||
51 | SUM_AKT_UNW_MEM | /IBS/E_BETUN | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Unwinding Amount | ||
52 | OP_CH_UNW | /IBS/E_OPCHUNW | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Open Position Change Value Adjustment | ||
53 | BEST_UMB_AB | /IBS/E_B_UMAB | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Balance Sheet Transfer - Retirement - Value Adjustment | ||
54 | BEST_UMB_ZU | /IBS/E_B_UMZU | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Balance Sheet Transfer - Acquisition - Value Adjustment | ||
55 | RBDKL | /IBS/E_RBDKL | /IBS/O_RBDKL | CHAR | 8 | 0 | RBD: Class | * | |
56 | RBDKL_OLD | /IBS/E_RBDKL_OLD | /IBS/O_RBDKL | CHAR | 8 | 0 | RBD: Class (Old) | * | |
57 | VKREF_OLD | /IBS/E_VKREF_OLD | /IBS/O_VKREF | CHAR | 8 | 0 | RBD: Account Assignment Reference Source System (Old) | ||
58 | KZTRNS | /IBS/E_KZTRNS | /IBS/O_RYESNO | CHAR | 1 | 0 | RBD: Balance Sheet Transfer | ||
59 | FLG_INIT | /IBS/E_RFLG_INIT | /IBS/O_RYESNO | CHAR | 1 | 0 | RBD: Checkbox for Initial Run | ||
60 | WB_INIT | /IBS/E_RAE_INIT_WB | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Initialization (Value Adjustment) for Current Period | ||
61 | WB_INIT_VJ | /IBS/E_RAE_INIT_WB_VJ | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Initialization of Value Adjustment (Previous Periods) | ||
62 | MAN_LOSSES | /IBS/E_RMABETRV | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Manual Loss Entry | ||
63 | OBLIGO_ORG | /IBS/E_ROBETRV_ORG | /IBS/O_RBTRGV | CURR | 23 | 2 | RBD: Orig. Book Value of Srce Syst. Contr. in Contract Crcy |
History
Last changed by/on | SAP | 20130529 |
SAP Release Created in | 500 |