SAP ABAP Table BBPS_PAYTERM (Structure for BBP_PAYTERM)
Hierarchy
☛
BBPCRM (Software Component) BBPCRM
⤷ SRM-EBP (Application Component) Enterprise Buyer
⤷ BBP_BUPA_FRG0060 (Package) Purchasing data
⤷ SRM-EBP (Application Component) Enterprise Buyer
⤷ BBP_BUPA_FRG0060 (Package) Purchasing data
Basic Data
Table Category | INTTAB | Structure |
Structure | BBPS_PAYTERM | Table Relationship Diagram |
Short Description | Structure for BBP_PAYTERM |
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 | CLIENT | SYMANDT | MANDT | CLNT | 3 | 0 | Client ID | * | |
2 | LOGSYS | LOGSYS | LOGSYS | CHAR | 10 | 0 | Logical system | * | |
3 | ZTERM | BBP_MD_ZTERM | BBP_MD_ZTERM | CHAR | 4 | 0 | Terms of Payment Key | ||
4 | ZTAGG | BBP_ZTAGG_052 | BBP_TAGGZ_052 | NUMC | 2 | 0 | Day Limit | ||
5 | ZDART | BBP_ZDART | BBP_ZDART | CHAR | 1 | 0 | Date Type | ||
6 | ZFAEL | BBP_ZFAEL | TAG01 | NUMC | 2 | 0 | Calendar Day for the Baseline Date for Payment | ||
7 | ZMONA | BBP_ZMONA | NUM02 | NUMC | 2 | 0 | Additional Months | ||
8 | ZTAG1 | BBP_ZTAGE | NUM03 | NUMC | 3 | 0 | Days from Baseline Date for Payment | ||
9 | ZPRZ1 | BBP_ZPROZ | BBP_MD_ZPROZ | DEC | 5 | 3 | Cash Discount Percentage Rate | ||
10 | ZTAG2 | BBP_ZTAGE | NUM03 | NUMC | 3 | 0 | Days from Baseline Date for Payment | ||
11 | ZPRZ2 | BBP_ZPROZ | BBP_MD_ZPROZ | DEC | 5 | 3 | Cash Discount Percentage Rate | ||
12 | ZTAG3 | BBP_ZTAGE | NUM03 | NUMC | 3 | 0 | Days from Baseline Date for Payment | ||
13 | ZSTG1 | BBP_ZSTG1_052 | TAG01 | NUMC | 2 | 0 | Due Date for Special Condition | ||
14 | ZSMN1 | BBP_ZSMN1_052 | NUM02 | NUMC | 2 | 0 | Additional Months for Special Condition (term 1) | ||
15 | ZSTG2 | BBP_ZSTG1_052 | TAG01 | NUMC | 2 | 0 | Due Date for Special Condition | ||
16 | ZSMN2 | BBP_ZSMN2_052 | NUM02 | NUMC | 2 | 0 | Additional Months for Special Condition (term 2) | ||
17 | ZSTG3 | BBP_ZSTG1_052 | TAG01 | NUMC | 2 | 0 | Due Date for Special Condition | ||
18 | ZSMN3 | BBP_ZSMN3_052 | NUM02 | NUMC | 2 | 0 | Additional Months for Special Condition (term 3) | ||
19 | ZBRV | BBP_XZBRV_052 | XFELD | CHAR | 1 | 0 | Print Terms of Payment in RV Papers | ||
20 | ZSCHF | BBP_ZSCHF_052 | BBP_ZAHLS | CHAR | 1 | 0 | Payment Block (default value) | ||
21 | TXN08 | BBP_TXN08 | BBP_TXN08 | CHAR | 8 | 0 | Number of the standard text | ||
22 | ZLSCH | BBP_ZLSCH_R3 | BBP_ZLSCH | CHAR | 1 | 0 | Payment Method | ||
23 | KOART | BBP_KOART_Z | BBP_KOART_Z | CHAR | 1 | 0 | Account type of the customer/vendor | ||
24 | XSPLT | BBP_XSPLT | XFELD | CHAR | 1 | 0 | Indicator: Term for Installment Payment |
History
Last changed by/on | SAP | 20130528 |
SAP Release Created in | 701 |