SAP ABAP Table GRIR_LIF (Additional Data Delivery Item for Account Maintenance Item)
Hierarchy
SAP_APPL (Software Component) Logistics and Accounting
   CO-PC-ACT-PER (Application Component) Periodic Material Valuation
     CKMLGRIR (Package) Account Maintenance of the GR/IR Account
Basic Data
Table Category INTTAB    Structure 
Structure GRIR_LIF   Table Relationship Diagram
Short Description Additional Data Delivery Item for Account Maintenance Item    
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 LFBNR LFBNR BELNR CHAR 10   0   Document number of a reference document  
2 LFPOS LFPOS MBLPO NUMC 4   0   Item of a reference document  
3 LFGJA LFGJA GJAHR NUMC 4   0   Fiscal Year of Current Period  
4 AREWR AREWR WERT7 CURR 13   2   GR/IR account clearing value in local currency  
5 REMNG REMNG MENG13 QUAN 13   3   Quantity invoiced  
6 REWRT REWRT WRTV7 CURR 13   2   Invoice value in local currency  
7 WEMNG WEMNG MENG13 QUAN 13   3   Quantity of goods received  
8 WEWRT WEWRT WERT7 CURR 13   2   Value of goods received in local currency  
9 BPRME BPRME MEINS UNIT 3   0   Order Price Unit (purchasing) *
10 DMENG MENGE_D MENG13 QUAN 13   3   Quantity  
11 DWERT DMBTR WERT7 CURR 13   2   Amount in local currency  
12 DBPMG MENGE_D MENG13 QUAN 13   3   Quantity  
13 WAERS WAERS WAERS CUKY 5   0   Currency Key *
14 BSTME BSTME MEINS UNIT 3   0   Order unit *
15 BWTAR BWTAR_D BWTAR CHAR 10   0   Valuation type *
16 DWERT_B DMBTR WERT7 CURR 13   2   Amount in local currency  
17 WEBUD WEBUD DATUM DATS 8   0   Goods receipt posting date  
18 XBLNR XBLNR1 XBLNR1 CHAR 16   0   Reference Document Number  
19 MWSKZ MWSKZ MWSKZ CHAR 2   0   Tax on sales/purchases code *
20 ZEKKN DZEKKN NUM02 NUMC 2   0   Sequential Number of Account Assignment  
21 .INCLUDE       0   0   Account Assignment Fields for GR/IR Clearing Account Maint.  
22 KNTTP KNTTP KNTTP CHAR 1   0   Account assignment category *
23 ANLN1 ANLN1 ANLN1 CHAR 12   0   Main Asset Number *
24 ANLN2 ANLN2 ANLN2 CHAR 4   0   Asset Subnumber *
25 AUFNR AUFNR AUFNR CHAR 12   0   Order Number *
26 DABRZ DABRBEZ DDAT DATS 8   0   Reference date for settlement  
27 FISTL FISTL FISTL CHAR 16   0   Funds Center *
28 FIPOS FIPOS FIPOS CHAR 14   0   Commitment Item *
29 FKBER FKBER FKBER CHAR 16   0   Functional Area *
30 GEBER BP_GEBER BP_GEBER CHAR 10   0   Fund *
31 GSBER GSBER GSBER CHAR 4   0   Business Area *
32 GRANT_NBR GM_GRANT_NBR GM_GRANT_NBR CHAR 20   0   Grant  
33 IMKEY IMKEY IMKEY CHAR 8   0   Internal Key for Real Estate Object  
34 KOKRS KOKRS CACCD CHAR 4   0   Controlling Area *
35 KOSTL KOSTL KOSTL CHAR 10   0   Cost Center *
36 KSTRG KSTRG KSTRG CHAR 12   0   Cost Object *
37 PAOBJNR RKEOBJNR RKEOBJNR NUMC 10   0   Profitability Segment Number (CO-PA)  
38 PRCTR PRCTR PRCTR CHAR 10   0   Profit Center *
39 PS_PSP_PNR PS_PSP_PNR PS_POSNR NUMC 8   0   Work Breakdown Structure Element (WBS Element) *
40 SAKTO SAKNR SAKNR CHAR 10   0   G/L Account Number *
41 SAKNR SAKNR SAKNR CHAR 10   0   G/L Account Number *
42 TXJCD TXJCD TXJCD CHAR 15   0   Tax Jurisdiction *
43 VBELN VBELN VBELN CHAR 10   0   Sales and Distribution Document Number *
44 VBELP VBELP POSNR NUMC 6   0   Sales document item *
45 VETEN ETENR ETENR NUMC 4   0   Schedule line *
46 VPTNR JV_PART KUNNR CHAR 10   0   Partner account number *
47 LSTAR LSTAR LSTAR CHAR 6   0   Activity Type *
48 PRZNR CO_PRZNR CO_PRZNR CHAR 12   0   Business Process *
49 AUFPL CO_AUFPL AUFPL NUMC 10   0   Routing number of operations in the order  
50 APLZL CO_AUFPL AUFPL NUMC 10   0   Routing number of operations in the order  
51 NPLNR NPLNR AUFNR CHAR 12   0   Network Number for Account Assignment *
52 VORNR VORNR VORNR CHAR 4   0   Operation/Activity Number  
53 OBJECT CKML_OBJECT CHAR40 CHAR 40   0   Object for Business Transaction  
54 KONTY KONTY J_OBART_LD CHAR 2   0   Account assignment category  
55 EMPGE ABR_EMP ABR_EMP CHAR 35   0   General settlement receiver  
56 ITEXT XWETEXT XMBEZ CHAR 30   0   Business entity identification  
57 WEMPF WEMPF WEMPF CHAR 12   0   Goods recipient  
58 ABLAD ABLAD TEXT25 CHAR 25   0   Unloading Point  
59 KO_GSBER GSBER_GP GSBER CHAR 4   0   Business area reported to the partner *
60 KO_PARGB PARGB_GP GSBER CHAR 4   0   assumed business area of the business partner *
61 KO_PRCTR PRCTR PRCTR CHAR 10   0   Profit Center *
62 KO_PPRCTR PPRCTR PRCTR CHAR 10   0   Partner Profit Center *
63 BUDGET_PD FM_BUDGET_PERIOD FM_BUDGET_PERIOD CHAR 10   0   FM: Budget Period *
64 WEMNG_F SHARE_F   FLTP 16   16   Quantity Share Account Assignment Line for Item  
65 REMNG_F SHARE_F   FLTP 16   16   Quantity Share Account Assignment Line for Item  
66 DMENG_F SHARE_F   FLTP 16   16   Quantity Share Account Assignment Line for Item  
67 DBPMG_F SHARE_F   FLTP 16   16   Quantity Share Account Assignment Line for Item  
History
Last changed by/on SAP  20130529 
SAP Release Created in