SAP ABAP Table EPIC_CBC_EBR (Cash Budgeting Control of Bank Receipt)
Hierarchy
SAP_FIN (Software Component) SAP_FIN
   FI-LOC (Application Component) Localization
     ID-FI-EPIC-PMCTL (Package) Globalization: E-Payment Integration Payment Control
Basic Data
Table Category TRANSP    Transparent table 
Transparent table EPIC_CBC_EBR   Table Relationship Diagram
Short Description Cash Budgeting Control of Bank Receipt    
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 MANDT MANDT MANDT CLNT 3   0   Client *
2 EBR_ID EPIC_EBR_ID SYSUUID RAW 16   0   Bank Receipt Identifier  
3 ITEM_NUM EPIC_CBC_ITEM_NUM   NUMC 5   0   EPIC: Cash budgeting consumption item number  
4 ORGUNIT_ID EPIC_CB_ORGUNIT_ID ORGEH NUMC 8   0   Organizational Unit in the Cash Budget Plan *
5 AREA EPIC_CB_AREA   CHAR 4   0   EPIC: Cash budget area  
6 CYCLE_ID EPIC_CB_CYCLE_ID EPIC_CB_CYCLE_ID CHAR 10   0   Identifier for the Cash Budget Cycle  
7 LQITEM_ID EPIC_CB_LQITEM_ID EPIC_CB_LQITEM_ID CHAR 16   0   Identifer for the Liquidity Item from the Cash Budget  
8 .INCLUDE       0   0    
9 DIRECTION EPIC_CB_DIRECTION EPIC_CB_DIRECTION CHAR 1   0   Credit or Debit Indicator for Cash Budget Amount  
10 ASSG_AMT EPIC_CBC_ASSG_AMNT EPIC_CB_AMNT CURR 17   2   Cash Budget Amount Assigned to Liquidity Item  
11 CURRENCY WAERS WAERS CUKY 5   0   Currency Key *
12 GUID_CB SYSUUID_C32 SYSUUID_C32 CHAR 32   0   16 Byte UUID in 32 Characters (Hexadecimal Encoded)  
History
Last changed by/on SAP  20140121 
SAP Release Created in