SAP ABAP Table JBDTRIDAT (Flow Structure Underlying for Selection from TIF)
Hierarchy
EA-FINSERV (Software Component) SAP Enterprise Extension Financial Services
   IS-B-DP (Application Component) Transaction Data Pool
     JBD (Package) Application development IS-B Data Pool
Basic Data
Table Category INTTAB    Structure 
Structure JBDTRIDAT   Table Relationship Diagram
Short Description Flow Structure Underlying for Selection from TIF    
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 .INCLUDE       0   0   Underlying transaction data structure  
2 .INCLUDE       0   0   General transaction data structure Treasury  
3 MANDT MANDT MANDT CLNT 3   0   Client *
4 RANTYP RANTYP RANTYP CHAR 1   0   Contract Type  
5 BUKRS BUKRS BUKRS CHAR 4   0   Company Code *
6 RANL VVRANLW WP_RANL CHAR 13   0   Security ID Number *
7 RFHA TB_RFHA T_RFHA CHAR 13   0   Financial Transaction *
8 RANLVD RANL RANL CHAR 13   0   Contract Number  
9 RLDEPO RLDEPO RLDEPO CHAR 10   0   Securities Account *
10 BBWHR BBWHR WERTV7 CURR 13   2   Amount in position currency  
11 SBWHR TB_BWHR WAERS CUKY 5   0   Position Currency/Transaction Currency *
12 SSIGN TB_SSIGN T_SSIGN CHAR 1   0   Direction of flow  
13 BCWHR BCWHR WERTV7 CURR 13   2   Settlement Amount  
14 SCWHR SCWHR WAERS CUKY 5   0   Settlement Currency *
15 BHWHR BHWHR WERTV7 CURR 13   2   Amount in local currency  
16 SHWHR VVSHWHR WAERS CUKY 5   0   Local currency *
17 SBEWART SBEWART SBEWART CHAR 4   0   Flow Type *
18 DIS_FLOWTYPE TPM_DIS_FLOWTYPE TPM_DIS_FLOWTYPE CHAR 8   0   Update Type *
19 DFAELL DFAELL DATUM DATS 8   0   Due date  
20 DDISPO DDISPO DATUM DATS 8   0   Payment Date  
21 DBERVON DBERVON DATUM DATS 8   0   Start of Calculation Period  
22 DBERBIS DBERBIS DATUM DATS 8   0   End of Calculation Period  
23 ABASTAGE ABASTAGE INT6 NUMC 6   0   Number of base days in a calculation period  
24 SZBMETH SZBMETH SZBMETH CHAR 1   0   Interest Calculation Method  
25 DPKOND VVDPKOND DATUM DATS 8   0   Determination date for percentage rate of condition items  
26 SZSREF SZSREF ZIREFKU CHAR 10   0   Reference Interest Rate *
27 PKOND TB_PKOND DECV3_7 DEC 10   7   Interest rate as a percentage  
28 BKOND TB_BKOND WERTV7 CURR 13   2   Interest rate as amount  
29 SWHRKOND TB_WHRKOND WAERS CUKY 5   0   Interest Currency *
30 BBASIS BBASIS WERTV7 CURR 13   2   Calculation base amount  
31 SFORMREF TB_XFORMBE T_FORMBE CHAR 4   0   Formula Reference *
32 RBANKK RBANKK SAKNR CHAR 10   0   Bank account *
33 DBUDAT BUDAT DATUM DATS 8   0   Posting Date in the Document  
34 RSOLL RSOLL SAKNR CHAR 10   0   Account for debit posting *
35 RHABEN RHABEN SAKNR CHAR 10   0   Account for credit posting *
36 SPLANIST SPLANIST SPLANIST CHAR 1   0   Plan/actual record/record to be released indicator  
37 SZSREFVZ SZSREFVZ SZSREFVZ CHAR 1   0   +/- sign / reference interest rate operator  
38 ATAGE VVATAGE INT6 NUMC 6   0   Number of days  
39 SBEWZITI SBEWZITI SBEWZITI CHAR 4   0   Flow category *
40 ASTUECK ASTUECK ASTUECK DEC 15   5   Number of units for unit-quoted securities  
41 BNWHR BNWHR WERTV7 CURR 13   2   Nominal amount  
42 DBESTAND DBESTAND DATUM DATS 8   0   Position value date  
43 SSOLHAB VVSSOLHAB VVSSOLHAB CHAR 1   0   Debit/credit indicator  
44 DVALUT DVALUT DATUM DATS 8   0   Calculation Date  
45 RPNNR VVRPNNR VVRPNNR CHAR 10   0   Daybook no.  
46 NORDER NORDER NUM8 NUMC 8   0   Order Number  
47 SVORGANG RVORGANG RVORGANG CHAR 8   0   Securities-Activity  
48 RKONTRA RKONTRA_NEW BU_PARTNER CHAR 10   0   Reference to Counterparty *
49 SVORGKZ VVSVORGKZ VVSVORGKZ NUMC 2   0   Activity indicator for debit/credit control  
50 KURS1 KURSF KURSF DEC 9   5   Exchange rate  
51 KURS2 KURSF KURSF DEC 9   5   Exchange rate  
52 SRUNIT VVSRUNIT VVSRUNIT CHAR 5   0   Currency unit *
53 KWKURS VVKWKURS VVKWKURS DEC 15   6   Security price  
54 PWKURS PWKURS PWKURS DEC 10   7   Security price for percentage quotation  
55 DORDER DORDER DATUM DATS 8   0   Order day  
56 SSTORNO SSTORNO SSTORNO CHAR 1   0   Reversal indicator  
57 PEFFZINS PEFFZINS DEC3_7 DEC 10   7   Effective Interest Rate  
58 RDEALER RDEALER RDEALER CHAR 12   0   Trader *
59 RREFKONT RREFKONT USTRU CHAR 8   0   Account Assignment Reference in Financial Assets Management *
60 PSTRIKE TB_PSTRIKE DECV3_7 DEC 10   7   Strike for cap/floor  
61 SBERFIMA SBEWFIMA SBEWFIMA CHAR 4   0   Calculation category for cash flow calculator *
62 JSOFVERR JSOFVERR TFMSOFVERR CHAR 1   0   Immediate settlement  
63 DZFEST TB_DZFEST DATUM DATS 8   0   Interest rate fixing date  
64 DSCHLUSS VVDSCHLUSS DATUM DATS 8   0   Date of business closing  
65 TSCHLUSS VVTSCHLUSS UZEIT TIMS 6   0   Time of business closing  
66 SREFZITI VVSREFZITI SBEWZITI CHAR 4   0   Refer.flow category in accrual/deferral flow records *
67 RKONDGR TB_RKONDGR T_RKONDGR NUMC 1   0   Direction of Transaction  
68 SEXCLVON VVSEXCLVON VVSEXCLVON NUMC 1   0   Exclusive Indicator for the Start of a Calculation Period  
69 SULTVON VVSULTVON VVSULT CHAR 1   0   Month-End Indicator for Start of a Calculation Period  
70 SINCLBIS VVSINCLBIS VVSINCLBIS NUMC 1   0   Inclusive Indicator for the End of a Calculation Period  
71 SULTBIS VVSULTBIS VVSULT CHAR 1   0   Month-End Indicator for the End of a Calculation Period  
72 S_SSDREF VVS_SSDREF SBEWZITI CHAR 4   0   Reference flow category in borrower's note loan flow records *
73 DBPERIOD VVDBPERIOD DATUM DATS 8   0   Period start  
74 SPAEXCL TFMSPAEXCL TFMSPAEXCL NUMC 1   0   Exclusive Indicator for Start Date of a Period  
75 SPAULT TFMSPAULT VVSULT CHAR 1   0   Month-End Indicator for Start Date of a Period  
76 DEPERIOD VVDEPERIOD DATUM DATS 8   0   Period End  
77 SPEINCL TFMSPEINCL TFMSPEINCL NUMC 1   0   Inclusive Indicator for End Date of a Period  
78 SPEULT TFMSPEULT VVSULT CHAR 1   0   Month-End Indicator for End of a Period  
79 AMMRHY AMMRHY NUMC03 NUMC 3   0   Frequency in months  
80 SOFFSET TV_SOFFSET DECV3_7 DEC 10   7   Fixer offset for variable interest rate reference  
81 URFHA TB_URFHA T_RFHA CHAR 13   0   Underlying transaction *
82 FIKTKZ TV_FIKTKZ TV_FIKTKZ CHAR 1   0   Include Fictitious Cash Flows  
History
Last changed by/on SAP  20130529 
SAP Release Created in