SAP ABAP Table /IBS/TRB_ECF_BAL (RBD ECF - Positions)
Hierarchy
EA-FINSERV (Software Component) SAP Enterprise Extension Financial Services
   FS-RBD (Application Component) Value Adjustment
     /IBS/RB (Package) iBS: Reserve for Bad Debt
Basic Data
Table Category TRANSP    Transparent table 
Transparent table /IBS/TRB_ECF_BAL   Table Relationship Diagram
Short Description RBD ECF - Positions    
Delivery and Maintenance
Pool/cluster      
Delivery Class A   Application Table (Master- and Transaction Data) 
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 MANDANT MANDT MANDT CLNT 3   0   Client *
2 SHEETNR /IBS/E_SHEETNR /IBS/O_RLFDNR NUMC 10   0   RBD: Fair Value Sheet  
3 BWAGR /IBS/E_BWAGR /IBS/O_BWAGR CHAR 2   0   RBD: Risk Provision Position  
4 CURRENCY /IBS/E_RBARW WAERS CUKY 5   0   RBD: Currency of Risk Provision *
5 PERC_EXP /IBS/E_RPERC_EXP DEC3_2 DEC 5   2   RBD: Higher-Level Percentage Expectation Used  
6 OBLIGO_ORG /IBS/E_OBETRV /IBS/O_RBTRGV CURR 23   2   RBD: Book Value for Srce System Contract in Contract Currncy  
7 OBLIGO /IBS/E_OBLIGO /IBS/O_RBTRGV CURR 23   2   RBD: Book Value of Source System Reduced by Manual Loss  
8 RS_BASIS_ORG /IBS/E_RS_BASIS /IBS/O_RBTRGV CURR 23   2   RBD: Open Contingent Liability in Contract Currency  
9 RS_BASIS /IBS/E_RS_ABASIS /IBS/O_RBTRGV CURR 23   2   RBD: Reduce Open Contingent Liability by Manual Loss  
10 RS_PROP /IBS/E_RS_PROP /IBS/O_RS_PROP DEC 5   2   RBD: Probability of Risk Provision Usage  
11 RS_PROP_DR /IBS/E_RS_PROP_DR /IBS/O_RS_PROP DEC 5   2   RBD: Usage Amount Contingent Liability  
12 FLG_RLP /IBS/E_RFLG_RLP /IBS/O_RYESNO CHAR 1   0   RBD: Indicator for Prohibition of Liability Recognition  
13 INT_METH /IBS/E_INTCM SZBMETH_NEW CHAR 1   0   RBD: Interest Calculation Method (Financial Mathematics)  
14 INT_RATE /IBS/E_RINT_RATE DECV5_10 DEC 15   10   RBD: Initial Discount Interest Rate  
15 INT_RATE_ACT /IBS/E_RINT_RATE_ACT DECV5_10 DEC 15   10   RBD: Current Discount Interest Rate  
16 INT_RATE_MAN /IBS/E_RINT_RATE_MAN DECV5_10 DEC 15   10   RBD: Manually Entered Discount Interest Rate  
17 REF_RATE /IBS/E_RREF_RATE ZIREFKU CHAR 10   0   RBD: Reference Interest Rate *
18 REF_RATE_PM /IBS/E_RREF_RATE_PM ZIREFKU CHAR 10   0   RBD: Reference Interest Rate Balancing *
19 REF_RATE_NOM /IBS/E_RREF_RATE_NOM ZIREFKU CHAR 10   0   RBD: Reference Interest Rate Nominal Amount *
20 INIT_AP /IBS/E_RINIT_AP /IBS/O_RBTRGV CURR 23   2   RBD: Initialization (Current Period)  
21 INIT_PP /IBS/E_RINIT_PP /IBS/O_RBTRGV CURR 23   2   RBD: Initialization (Previous Periods)  
22 LOSS /IBS/E_RLOSS /IBS/O_RBTRGV CURR 23   2   RBD: Source System Loss Amount  
23 LOSS_MAN /IBS/E_RLOSS_MAN /IBS/O_RBTRGV CURR 23   2   RBD: Loss Amount Entered Manually  
24 .INCLUDE       0   0   Structure for ECF - Totals Memory  
25 BAL /IBS/E_RBAL /IBS/O_RBTRGV CURR 23   2   RBD: Risk Provision Position  
26 BAL_AP /IBS/E_RBAL_AP /IBS/O_RBTRGV CURR 23   2   RBD: Value Adjustment Position Current Period  
27 BAL_PP /IBS/E_RBAL_PP /IBS/O_RBTRGV CURR 23   2   RBD: Risk Provision Position Previous Periods  
28 BAL_UN_AP /IBS/E_RBAL_UN_AP /IBS/O_RBTRGV CURR 23   2   RBD: Position Unwinding Current Period  
29 BAL_UN_PP /IBS/E_RBAL_UN_PP /IBS/O_RBTRGV CURR 23   2   RBD: Position Unwinding Previous Periods  
30 BAL_CH_PP /IBS/E_RBAL_CH_PP /IBS/O_RBTRGV CURR 23   2   RBD: Change Balance Previous Periods  
31 BAL_US /IBS/E_RBAL_US /IBS/O_RBTRGV CURR 23   2   RBD: Position Usage  
32 BAL_WO /IBS/E_RBAL_WO /IBS/O_RBTRGV CURR 23   2   RBD: Position Direct Write-Off  
33 REQ /IBS/E_REQ /IBS/O_RBTRGV CURR 23   2   RBD: Risk Provision Requirement  
34 REQ_AP /IBS/E_REQ_AP /IBS/O_RBTRGV CURR 23   2   RBD: Change Requirement for Current Period  
35 REQ_PP /IBS/E_REQ_PP /IBS/O_RBTRGV CURR 23   2   RBD: Change Requirement Previous Periods  
36 REQ_UN_AP /IBS/E_REQ_UN_AP /IBS/O_RBTRGV CURR 23   2   RBD: Unwinding Requirement (Current Period)  
37 REQ_UN_PP /IBS/E_REQ_UN_PP /IBS/O_RBTRGV CURR 23   2   RBD: Unwinding Requirement (Previous Periods)  
38 REQ_US /IBS/E_REQ_US /IBS/O_RBTRGV CURR 23   2   RBD: Change Requirement Usage  
39 REQ_WO /IBS/E_REQ_WO /IBS/O_RBTRGV CURR 23   2   RBD: Change Requirements (Direct Write-Off)  
40 SUM_UT_EXP /IBS/E_RSUM_UT_EXP /IBS/O_RBTRGV CURR 23   2   RBD: Total Expected Utilization  
41 SUM_UT_NPV /IBS/E_RSUM_UT_NPV /IBS/O_RBTRGV CURR 23   2   RBD: Net Present Value of Expected Utilization  
42 SUM_CF_EXP /IBS/E_RSUM_CF_EXP /IBS/O_RBTRGV CURR 23   2   RBD: Total Expected Cash Flow  
43 SUM_CF_NPV /IBS/E_RSUM_CF_NPV /IBS/O_RBTRGV CURR 23   2   RBD: Net Present Value of Expected Cash Flows  
44 SUM_COL_EXP /IBS/E_RSUM_COL_EXP /IBS/O_RBTRGV CURR 23   2   RBD: Total Expected Collateral Revenue  
45 SUM_COL_NPV /IBS/E_RSUM_COL_NPV /IBS/O_RBTRGV CURR 23   2   RBD: Net Present Value of Expected Collateral Revenue  
46 SUM_UT_UN /IBS/E_RSUM_UT_UN /IBS/O_RBTRGV CURR 23   2   RBD: Utilization Amount (Unwinding)  
47 SUM_UN /IBS/E_RSUM_UN /IBS/O_RBTRGV CURR 23   2   RBD: Unwinding Amount  
48 OP_CH /IBS/E_ROP_CH /IBS/O_RBTRGV CURR 23   2   RBD: Open Position Change  
49 BST_RE /IBS/E_RBST_RE /IBS/O_RBTRGV CURR 23   2   RBD: Balance Sheet Transfer Outflow  
50 BST_AC /IBS/E_RBST_AC /IBS/O_RBTRGV CURR 23   2   RBD: Balance Sheet Transfer Inflow  
51 REALL_AP /IBS/E_RREALL_AP /IBS/O_RBTRGV CURR 23   2   RBD: Contract Reallocation Change Current Year  
52 REALL_PP /IBS/E_RREALL_PP /IBS/O_RBTRGV CURR 23   2   RBD: Contract Reallocation Change Previous Year  
History
Last changed by/on SAP  20131127 
SAP Release Created in