SAP ABAP Table IJBA_US_ALM_UNIFIED_SUFFIX (ALM Unified Structure For BW Extraction)
Hierarchy
EA-FINSERV (Software Component) SAP Enterprise Extension Financial Services
   IS-B-SA-ALM (Application Component) Asset/Liability Management
     JBA_US (Package) Analytical Banking US
Basic Data
Table Category INTTAB    Structure 
Structure IJBA_US_ALM_UNIFIED_SUFFIX   Table Relationship Diagram
Short Description ALM Unified Structure For BW Extraction    
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 ABSCHR JBRABSCHRBETR WERTV9 CURR 17   2   RM: ALM Write-Down Amount  
2 AKT_GAP JBRGAPAKT WERTV9 CURR 17   2   Asset Surplus  
3 AKT_OZ JBRPALMAKTOZ JBRPALM DEC 7   3   Asset-Side Opportunity Interest Rate in Percentage  
4 AKT_VOL JBRGAPVOLAKT WERTV9 CURR 17   2   Asset-Side Volume  
5 AKT_ZINS JBRPALMAKT JBRPALM DEC 7   3   Asset-Side Interest Rate  
6 AUFWAND JBRALMZSAUFWAND WERTV9 CURR 17   2   Interest Expense (Product Interest)  
7 AUFWAND_OZ JBRALMZSAUFW_OZ WERTV9 CURR 17   2   Interest Expense (Opportunity Interest)  
8 AUSZAHLUNG JBRALMCASHVOLPAS WERTV9 CURR 17   2   Disbursement Amount (Cash Flow Evaluation)  
9 BUCHWERT JBRBUCHWERT WERTV9 CURR 17   2   RM: ALM Book Value  
10 EINZAHLUNG JBRALMCASHVOLAKT WERTV9 CURR 17   2   Inpayment Amount (Cash Flow Evaluation)  
11 ERTRAG JBRALMZSERTRAG WERTV9 CURR 17   2   Interest Revenue (Product Interest)  
12 ERTRAG_OZ JBRALMZSERTRAGOZ WERTV9 CURR 17   2   Interest Revenue (Opportunity Interest)  
13 GAP JBRALMLQ WERTV9 CURR 17   2   Payment Gap in Liquidity Evaluation (ALM)  
14 GAP_SUM JBRALMLQKUM WERTV9 CURR 17   2   Cumulated Payment Gap in Liquidity Evaluation (ALM)  
15 KOND_AKT JBRALMKONDAKT JBRPALM DEC 7   3   ALM Asset-Side Net Interest Margin  
16 KOND_BTR JBRALMKONDBTR JBRPALM DEC 7   3   ALM Net Interest Margin  
17 KOND_PASS JBRALMKONDPASS JBRPALM DEC 7   3   ALM Liability-Side Net Interest Margin  
18 PASS_GAP JBRGAPPAS WERTV9 CURR 17   2   Liability Surplus  
19 PASS_OZ JBRPALMPASSOZ JBRPALM DEC 7   3   Liability-Side Opportunity Interest Rate in Percentage  
20 PASS_VOL JBRGAPVOLPAS WERTV9 CURR 17   2   Liability-Side Volume  
21 PASS_ZINS JBRPALMPASS JBRPALM DEC 7   3   Liability-Side Interest Rate  
22 PROFIT_ABS JBRPROFITABS WERTV9 CURR 17   2   Interest Result (Absolute)  
23 PROFIT_REL JBRPROFITREL JBRPALM DEC 7   3   Interest Result (Relative)  
24 REALIZED JBRREALBETR WERTV9 CURR 17   2   RM: ALM Realized Profit/Loss Amount  
25 RESERVE JBRRESBETR WERTV9 CURR 17   2   RM: ALM Amount of Hidden Reserve  
26 RUECKST JBRRUECKSTBETR WERTV9 CURR 17   2   RM: ALM Provision Amount  
27 S_ABSCHR JBRABSCHRBETR_S WERTV9 CURR 17   2   ALM: Simulated Write-Down Amount  
28 S_AKT_GAP JBRGAPAKT_S WERTV9 CURR 17   2   Asset Gap After Simulation (Actual+Simulated)  
29 S_AKT_OZ JBRPALMAKTOZ_S JBRPALM DEC 7   3   Asset-Side Opportunity Interest in Percent After Simulation  
30 S_AKT_VOL JBRGAPVOLAKT_S WERTV9 CURR 17   2   Asset-Side Volume After Simulation  
31 S_AKT_ZINS JBRPALMAKT_S JBRPALM DEC 7   3   Asset-Side Interest Rate After Simulation  
32 S_AUFWAND JBRALMZSAUFWAND_S WERTV9 CURR 17   2   Interest Expense (Product Interest) Act.+Sim. (ALM)  
33 S_AUFWAND_OZ JBRALMZSAUFW_OZ_S WERTV9 CURR 17   2   Interest Expense (Opportunity Interest) Act.+Sim. (ALM)  
34 S_BUCHWERT JBRBUCHWERT_S WERTV9 CURR 17   2   ALM: Simulated Book Value  
35 S_ERTRAG JBRALMZSERTRAG_S WERTV9 CURR 17   2   Interest Revenue (Product Interest) Act.+Sim. (ALM)  
36 S_ERTRAG_OZ JBRALMZSERTRAGOZ_S WERTV9 CURR 17   2   Interest Revenue (Opportunity Interest) Act.+Sim. (ALM)  
37 S_GAP JBRALMLQ_S WERTV9 CURR 17   2   Payment Gap Act.+Sim. in Liquidity Evaluation (ALM)  
38 S_INPUT JBRALMCASHVOLAKT_S WERTV9 CURR 17   2   Incoming Payment Amount Actual + Sim. (Cash Flow Evaluation)  
39 S_KOND_AKT JBRALMKONDAKT_S JBRPALM DEC 7   3   Asset-Side Net Interest Margin Actual+Simulated (ALM)  
40 S_KOND_BTR JBRALMKONDBTR_S JBRPALM DEC 7   3   Net Interest Margin, Actual+Simulated (ALM)  
41 S_KOND_PASS JBRALMKONDPASS_S JBRPALM DEC 7   3   Liab.-Side Net Interest Margin Actual+Simulated (ALM)  
42 S_OUTPUT JBRALMCASHVOLPAS_S WERTV9 CURR 17   2   Outgoing Payment Amount Actual + Sim. (Cash Flow Evaluation)  
43 S_PAS_GAP JBRGAPPAS_S WERTV9 CURR 17   2   Liability Gap After Simulation  
44 S_PAS_VOL JBRGAPVOLPAS_S WERTV9 CURR 17   2   Liability-Side Volume After Simulation  
45 S_PAS_ZINS JBRPALMPASS_S JBRPALM DEC 7   3   Liability-Side Interest Rate After Simulation  
46 S_PASS_OZ JBRPALMPASSOZ_S JBRPALM DEC 7   3   Liability-Side Opportunity Interest in Percent After Sim.  
47 S_PROFIT_ABS JBRPROFITABS_S WERTV9 CURR 17   2   Interest Result (Absolute) Act.+Sim. (ALM)  
48 S_PROFIT_REL JBRPROFITREL_S JBRPALM DEC 7   3   Interest Result (Relative) Act.+Sim. (ALM)  
49 S_REALIZED JBRREALBETR_S WERTV9 CURR 17   2   ALM: Simulated Realized Profit/Loss  
50 S_RESERVE JBRRESBETR_S WERTV9 CURR 17   2   ALM: Simulated Hidden Reserves  
51 S_RUECKST JBRRUECKSTBETR_S WERTV9 CURR 17   2   ALM: Simulated Provisions  
52 S_STRUK_BTR JBRALMSTRUKBTR_S JBRPALM DEC 7   3   Profit/Loss from Mismatch Spread Actual + Simulated (ALM)  
53 S_SUM_GAP JBRALMCASHGAP_S WERTV9 CURR 17   2   Cash Flow Gap Act.+Sim. (ALM Cash Flow Evaluation)  
54 S_ZUSCHR JBRZUSCHRBETR_S WERTV9 CURR 17   2   ALM: Simulated Write-Up Amount  
55 STRUK_BTR JBRALMSTRUKBTR JBRPALM DEC 7   3   ALM Profit or Loss from Mismatch Spread  
56 ZUSCHR JBRZUSCHRBETR WERTV9 CURR 17   2   RM: ALM Amount of Write-Up  
History
Last changed by/on SAP  20040819 
SAP Release Created in 200