SAP ABAP Table JBIPMKK (Account Processing Structure - Data Rel.for Regul.Reporting)
Hierarchy
EA-FINSERV (Software Component) SAP Enterprise Extension Financial Services
   IS-B (Application Component) Bank Components
     JBS (Package) Application development IS-B Statutory Reporting
Basic Data
Table Category INTTAB    Structure 
Structure JBIPMKK   Table Relationship Diagram
Short Description Account Processing Structure - Data Rel.for Regul.Reporting    
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 RKEYS JBRKEYS JBRKEYS CHAR 15   0   Internally Assigned Key in Collateral Table  
2 UPUSERS TB_UPUSER SYCHAR12 CHAR 12   0   Last Changed by  
3 DUPDATS TB_DUPDAT DATUM DATS 8   0   Changed on  
4 TUPTIMS TB_TUPTIM UZEIT TIMS 6   0   Time changed  
5 .INCLUDE       0   0   Account Receiver Structure - Data Rel.for Regul.Reporting  
6 BUKRS BUKRS BUKRS CHAR 4   0   Company Code *
7 RBKONT JBRBKONT JBRBKONT CHAR 16   0   Account Number *
8 REXTNR JBREXTNR JBREXTNR CHAR 18   0   External Account Number  
9 OBJNR JBOBJNR J_OBJNR CHAR 22   0   Object number for financial transactions *
10 MODUS JBSMODE JBSMODE CHAR 1   0   Mode of Data Flow  
11 SKKUEB JBSKKUEB JBSKKUEB CHAR 1   0   RR, Control with Account Transfer  
12 .INCLUDE       0   0   Regulatory Reporting - BP Account (INCLUDE Structure)  
13 RFIKON JBRFIKON SAKNR CHAR 10   0   Account Number of Bank's General Ledger Acount *
14 SAMRKR JBSAMRKR JBSAMRKR CHAR 3   0   MRD Adjustment Item *
15 SAMRSN JBSAMRSN JBSAMRSN CHAR 1   0   Other Reserve-Carrying Liabilities *
16 SBNKVR JBSBNKVR JBSBNKVR CHAR 1   0   Settlement of Day-to-Day Bank Accounts *
17 SHYPKR JBSHYPKR JBSHYPKR CHAR 1   0   Mortgage Loans *
18 SVRARB JBSVRARB JBSVRARB CHAR 2   0   Processing Indicator *
19 SABZUG JBSABZUG JBSABZUG CHAR 1   0   Deduction of Liable Equity Capital *
20 SKREDT JBSKREDT JBSKREDT CHAR 2   0   Credit Type for German Banking Act *
21 SVRBRT JBSVRBRT JBSVRBRT CHAR 2   0   Subdivision for Various Liabilities-Side Items *
22 SNRANG JBSNRANG JBSNRANG CHAR 1   0   Indicator for Subordinated Receivables/Payables *
23 SAUFRE JBSAUFRE JBSAUFRE CHAR 2   0   Indicator - Account Netting Type *
24 JWOBAU JBJWOBAU JBJWOBAU CHAR 1   0   Indicator - Loans for House-Building *
25 SFOART JBSFOART JBSFOART CHAR 2   0   Subdivision for Various Asset-Side Items *
26 STILGART STILGART STILGART NUMC 1   0   Repayment Type Indicator  
27 PTILGS JBPTILGS PRZ33V DEC 6   3   Repayment Rate According to § 16  
28 SZUSKZ JBSZUSKZ JBSZUSKZ CHAR 2   0   External Loan Commitment *
29 JZUSTA JBJZUSTA JBJZUSTA CHAR 1   0   Indicator for Commitment Statistics *
30 DZUSAGE DZUSAGE DATUM DATS 8   0   Loan - Date of Commitment by Lender  
31 DZUSEN JBDZUSEN DATUM DATS 8   0   Expiry Date of External Loan Commitment  
32 STRHND JBSTRHND JBSTRHND CHAR 1   0   Indicator for Trust Assets *
33 SAMRFR JBSAMRFR JBSAMRFR CHAR 1   0   Exemptions According to Minimum Reserve Directive *
34 SLKFIN JBSLKFIN JBSLKFIN CHAR 1   0   Locally-Funded Transactions *
35 SVRSIC JBSVRSIC JBSVRSIC CHAR 2   0   Payables Against Collateral *
36 RKNSFH JBRKNSFH CHAR010 CHAR 10   0   Syndicate Leader  
37 SGEMKR JBSGEMKR JBSGEMKR CHAR 2   0   Indicator - Joint Loan *
38 SKRART JBSKRART JBSKRART CHAR 2   0   Credit Type Text *
39 SANWKA JBSANWKA CHAR15 CHAR 15   0   User-Specific Credit Type Text  
40 SBUEKZ JBSBUEKZ JBSBUEKZ CHAR 1   0   Indicator - Guarantee / $ 14 GAB Double Display *
41 SABTRT JBSABTRT JBSABTRT CHAR 1   0   Indicator - Assignment of Loan Receivables for Collateral *
42 SLAENDER SLAENDER LAND1 CHAR 3   0   Country ID *
43 SSICHA JBSSICHA JBSSICHA CHAR 2   0   Type of Loan Collateral - § 14 /16 *
44 SVERWZ JBSVERWZ JBSVERWZ CHAR 3   0   Intended Use of Loan  
45 .INCLUDE       0   0   BP Account Values for Regul.Reporting (INCLUDE Structure)  
46 BZUSAG JBBZUSAG WERTV9 CURR 17   2   Amount Commitments (Commitment Statistics)  
47 BOFLIM JBBOFLIM WERTV9 CURR 17   2   Open Commitments (Principle 1 and BISTA)  
48 BNACHH JBBNACHH WERTV9 CURR 17   2   Risk Amount for Underwriting Bank with Pass-Through Security  
49 BVORHA JBBVORHA WERTV9 CURR 17   2   Risk Amount for Suggested CI with Pass-Through Loans  
50 BZUSGC JBBZUSGC WERTV9 CURR 17   2   Amount Open Commitments for COOKE  
51 BZUSGA JBBZUSGA WERTV9 CURR 17   2   Amount Open Commitment for Foreign Loan Portfolio  
52 BWKTSL JBBWKTSL WERTV9 CURR 17   2   Balance in Original Currency  
53 BKOMP1 JBBKOMP1 WERTV9 CURR 17   2   Netting Amount  
54 BKOMP2 JBBKOMP2 WERTV9 CURR 17   2   Compensation Amount 2  
55 BAVALD JBBAVALD WERTV9 CURR 17   2   Amount of Guarantee  
56 BUNEPG JBBUNEPG WERTV9 CURR 17   2   Simulated Repurchase Transaction  
57 BUNTER JBBUNTER WERTV9 CURR 17   2   Subparticipation  
58 BEWBER JBBEWBER WERTV9 CURR 17   2   Individual Value Adjustments  
59 BORGSI JBBORGSI WERTV9 CURR 17   2   Secured Staff Loan  
60 BKLIMI JBBKLIMI WERTV9 CURR 17   2   Irreducible Credit Limit  
61 BKLIM2 JBBKLIM2 WERTV9 CURR 17   2   2nd External Credit Commitment  
62 BILIMT JBBILIMT WERTV9 CURR 17   2   Internal Credit Limit  
63 BKKOST JBBKKOST PRZ33V DEC 6   3   Credit Costs Effective p.a. (§13 Display)  
64 BWNOML JBBWNOML WERTV9 CURR 17   2   Nominal Value in Currency  
65 BDMGEG JBBDMGEG WERTV9 CURR 17   2   DM Equivalent  
66 BSPARB JBBSPARB WERTV9 CURR 17   2   Balance of Debits in Savings Transactions  
67 BSPARG JBBSPARG WERTV9 CURR 17   2   Balance of Credits in Savings Transactions  
68 BOFFLS JBBOFFLS WERTV9 CURR 17   2   Secondary Balance from Direct Debit Transactions  
69 BSPBET JBBSPBET WERTV9 CURR 17   2   Special Amount for Exempted Partial Balance  
70 BRUECK JBBRUECK WERTV9 CURR 17   2   Separate Display of Arrears with Display in Millions  
71 BGSIKO JBBGSIKO WERTV9 CURR 17   2   Correction Value for Principle I Balance  
72 BEWBRE JBBEWBRE WERTV9 CURR 17   2   Individual Value Adjustment Surplus Amount  
73 BAKAKN JBBAKAKN WERTV9 CURR 17   2   Syndicate Share of the Lender  
74 BMIOSI JBBMIOSI WERTV9 CURR 17   2   Secured Amount in Millions  
75 BMIOS2 JBBMIOS2 WERTV9 CURR 17   2   Second Secured Amount in Millions  
76 BAUSBT JBBAUSBT WERTV9 CURR 17   2   Disbursement in Reporting Period  
77 BRLZ1J JBBRLZ1J WERTV9 CURR 17   2   Loan Parts w.Resid.Term of Upto 1 Year to For.Parties in DM  
78 BRLZ2J JBBRLZ2J WERTV9 CURR 17   2   Loan Parts w.Resid.Term of 1 Year Plus to For.Parties in DM  
History
Last changed by/on SAP  20110901 
SAP Release Created in