SAP ABAP Table JBSSTEFE (Substructure for Control Fields in Reporting Data Record)
Hierarchy
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EA-FINSERV (Software Component) SAP Enterprise Extension Financial Services
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IS-B (Application Component) Bank Components
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JBS (Package) Application development IS-B Statutory Reporting
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Basic Data
| Table Category | INTTAB | Structure |
| Structure | JBSSTEFE |
|
| Short Description | Substructure for Control Fields in Reporting Data Record |
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 | |
JBSPGRUP | JBSPGRUP | CHAR | 2 | 0 | Product Group of Bank Product | ||
| 2 | |
JBSSART1 | JBSSART1 | CHAR | 2 | 0 | Collateral Key 1 for §13 German Banking Act | * | |
| 3 | |
JBSSART2 | JBSSART2 | CHAR | 2 | 0 | Collateral Key 2 for §13 German Banking Act | * | |
| 4 | |
JBSSART3 | JBSSART3 | CHAR | 2 | 0 | Collateral Key 3 for §13 German Banking Act | * | |
| 5 | |
JBSSART4 | JBSSART4 | CHAR | 2 | 0 | Collateral Key 4 for §13 German Banking Act | * | |
| 6 | |
JBSSART5 | JBSSART5 | CHAR | 2 | 0 | Collateral key 5 for §13 German Banking Act | * | |
| 7 | |
JBSAMRFR | JBSAMRFR | CHAR | 1 | 0 | Exemptions According to Minimum Reserve Directive | * | |
| 8 | |
JBSAMRKZ | JBSAMRKZ | CHAR | 1 | 0 | MRD indicator | * | |
| 9 | |
JBSAMRKR | JBSAMRKR | CHAR | 3 | 0 | MRD Adjustment Item | * | |
| 10 | |
JBSAMRSN | JBSAMRSN | CHAR | 1 | 0 | Other Reserve-Carrying Liabilities | * | |
| 11 | |
JBSBEGBG | JBSBEGBG | CHAR | 1 | 0 | Issue of a Bearer Bond Abroad | * | |
| 12 | |
JBSBZLND | LAND1 | CHAR | 3 | 0 | Country Key of Bill of Exchange Drawee | * | |
| 13 | |
JBSGMPAP | JBSGMPAP | CHAR | 1 | 0 | Indicator for Differentiation of Money Market Securities | * | |
| 14 | |
JBSHYPKR | JBSHYPKR | CHAR | 1 | 0 | Mortgage Loans | * | |
| 15 | |
JBSKNLND | JBSKNLND | CHAR | 1 | 0 | Country Information for Borrower Statistics | * | |
| 16 | |
JBSKNSKZ | JBSKNSKZ | CHAR | 1 | 0 | Consolidation Indicator | * | |
| 17 | |
JBSSNDLZ | JBSSNDLZ | CHAR | 3 | 0 | Special Terms Key | * | |
| 18 | |
JBSREIHN | JBSREIHN | CHAR | 1 | 0 | Row Indicator for Treasury Bills and Interest-Free Notes | * | |
| 19 | |
JBSSNDER | JBSSNDER | CHAR | 3 | 0 | Special Conditions/Adjustments | * | |
| 20 | |
JBSVRARB | JBSVRARB | CHAR | 2 | 0 | Processing Indicator | * | |
| 21 | |
JBSVRBRT | JBSVRBRT | CHAR | 2 | 0 | Subdivision for Various Liabilities-Side Items | * | |
| 22 | |
JBSVRSIC | JBSVRSIC | CHAR | 2 | 0 | Payables Against Collateral | * | |
| 23 | |
JBSWPART | JBSWPART | CHAR | 2 | 0 | Security Type for Differentiation in Sec. Account Statistics | * | |
| 24 | |
JBSWPVRZ | JBSWPVRZ | CHAR | 1 | 0 | Return on Securities | ||
| 25 | |
JBSFNLFZ | JBSFNLFZ | CHAR | 4 | 0 | Term Calculation with Warranties on Financial Innovations | * | |
| 26 | |
JBSIA1PN | JBSIA1PN | CHAR | 1 | 0 | Statistical Repurchase Agreements | * | |
| 27 | |
JBSIA3GE | JBSIA3GE | CHAR | 13 | 0 | Number for Calculating the Net Difference Amount | ||
| 28 | |
JBSKTKLS | JBSKTKLS | CHAR | 3 | 0 | Differentiation of Transactions (Principle 1A) | * | |
| 29 | |
JBSMICRO | JBSMICRO | CHAR | 1 | 0 | Indicator for Micro Hedge | * | |
| 30 | |
JBSWPVAL | JBSWPVAL | CHAR | 1 | 0 | Indicator for Forward Securities Transactions | * | |
| 31 | |
JBSMRGIN | JBSMRGIN | CHAR | 1 | 0 | Indicator for Margin System | * | |
| 32 | |
JBSRSAKT | JBSRSAKT | CHAR | 3 | 0 | Transaction Differentiation for COOKE or GAB | ||
| 33 | |
JBSZUSKC | JBSZUSKC | CHAR | 1 | 0 | Indicator - Irrevocable Loan Commitment | ||
| 34 | |
JBSUEBKZ | JBSUEBKZ | CHAR | 2 | 0 | Indicator for Supervisory Case acc. to § 13, 14, 16 GAB | ||
| 35 | |
JBSABTRT | JBSABTRT | CHAR | 1 | 0 | Indicator - Assignment of Loan Receivables for Collateral | * | |
| 36 | |
JBSEMITL | LAND1 | CHAR | 3 | 0 | Country of Issuer | * | |
| 37 | |
JBSGESAR | JBSGESAR | CHAR | 4 | 0 | Transaction Type of Account from RR Perspective | ||
| 38 | |
JBSKNZHL | JBSKNZHL | CHAR | 3 | 0 | Key Figure According to Service List | ||
| 39 | |
JBSKZMEL | JBSKZMEL | CHAR | 1 | 0 | Status Indicator German Foreign Trade Regulations Data | ||
| 40 | |
JBSLAUFG | JBSLAUFG | CHAR | 2 | 0 | Term Group of Account | ||
| 41 | |
JBSWPBRN | JBSWPBRN | CHAR | 5 | 0 | Sector of Security | ||
| 42 | |
JBSWPEIN | JBSWPEIN | CHAR | 1 | 0 | Unit of Security Quotation | ||
| 43 | |
JBSZABER | JBSZABER | CHAR | 3 | 0 | Indicator - Payment Area acc.to German Foreign Trade Reg. | ||
| 44 | |
JBSSIART | JBSSIART | CHAR | 1 | 0 | Collateral Type | ||
| 45 | |
JBSPFAND | JBSPFAND | CHAR | 1 | 0 | Seizability of a Security | ||
| 46 | |
JBSBONKD | JBSBONKD | CHAR | 1 | 0 | Indicator - Debtor's Credit Standing | ||
| 47 | |
JBSKUEFR | JBSKUEFR | CHAR | 1 | 0 | Indicator - Period of Notice | ||
| 48 | |
JBSKUEND | JBSKUEND | CHAR | 1 | 0 | Indicator - Withdrawal Restriction | ||
| 49 | |
JBSMUTLD | JBSMUTLD | CHAR | 2 | 0 | Country of Parent Bank's Headquarters | ||
| 50 | |
JBS13AWV | JBS13AWV | CHAR | 1 | 0 | Indicator for Further Processing with § 13 a | * | |
| 51 | |
JBSABZUG | JBSABZUG | CHAR | 1 | 0 | Deduction of Liable Equity Capital | * | |
| 52 | |
JBSANART | JBSANART | CHAR | 2 | 0 | Display Type | * | |
| 53 | |
JBSANWKA | CHAR15 | CHAR | 15 | 0 | User-Specific Credit Type Text | ||
| 54 | |
JBSANWZ1 | CHAR20 | CHAR | 20 | 0 | User-Specific Supplementary Text | ||
| 55 | |
JBSANWZ2 | CHAR60 | CHAR | 60 | 0 | User-Specific Additional Details for Large Exposures etc. | ||
| 56 | |
JBSAUFRE | JBSAUFRE | CHAR | 2 | 0 | Indicator - Account Netting Type | * | |
| 57 | |
JBSBERBN | JBSBERBN | CHAR | 2 | 0 | Reporting Country Banks | * | |
| 58 | |
JBSBNKVR | JBSBNKVR | CHAR | 1 | 0 | Settlement of Day-to-Day Bank Accounts | * | |
| 59 | |
JBSBOEKZ | JBSBORKZ | CHAR | 1 | 0 | Stock Market Indicator | * | |
| 60 | |
JBSBOERS | JBSBOERS | CHAR | 1 | 0 | Eligibility for Stock Market Listing/Marketabilty | * | |
| 61 | |
JBSBUEKZ | JBSBUEKZ | CHAR | 1 | 0 | Indicator - Guarantee / $ 14 GAB Double Display | * | |
| 62 | |
JBSKDREF | JBSKDREF | CHAR | 2 | 0 | Indicator for Legal Form of Customer | ||
| 63 | |
JBSDUPLK | JBSDUPLK | CHAR | 2 | 0 | Duplikats-Kennzeichen | ||
| 64 | |
BUKRS | BUKRS | CHAR | 4 | 0 | Company Code | * | |
| 65 | |
JBSEBENI | JBSEBENI | NUMC | 8 | 0 | Internal Hierarchy Level | * | |
| 66 | |
JBSFOART | JBSFOART | CHAR | 2 | 0 | Subdivision for Various Asset-Side Items | * | |
| 67 | |
JBSGEART | JBSGEART | CHAR | 3 | 0 | Transaction Type for Financial Innovations | * | |
| 68 | |
JBSGEMKR | JBSGEMKR | CHAR | 2 | 0 | Indicator - Joint Loan | * | |
| 69 | |
JBSGEWKZ | JBSGEWKZ | CHAR | 1 | 0 | Indicator for Warranties Assumed | ||
| 70 | |
JBSKNEIN | BU_PARTNER | CHAR | 10 | 0 | Number for Borrower Entity | * | |
| 71 | |
JBSKNSVR | JBSKNSVR | CHAR | 1 | 0 | Consolidation Settlement | * | |
| 72 | |
JBSKNZKD | JBSKNZKD | CHAR | 1 | 0 | Group/Non-Group Customer | * | |
| 73 | |
JBSKREDT | JBSKREDT | CHAR | 2 | 0 | Credit Type for German Banking Act | * | |
| 74 | |
JBSKTART | JBSKTART | CHAR | 3 | 0 | Regulatory Reporting - Account Type | * | |
| 75 | |
JBSKTAUS | JBSKTAUS | CHAR | 2 | 0 | Account Print-Out | * | |
| 76 | |
JBSKVKKZ | SBEWZITI | CHAR | 4 | 0 | Indicator - Purchase/Sale of Forward and Spot Transactions | * | |
| 77 | |
JBSLKFIN | JBSLKFIN | CHAR | 1 | 0 | Locally-Funded Transactions | * | |
| 78 | |
JBSLNZON | JBSLNZON | CHAR | 1 | 0 | Indicator - Zone Allocation of Countries | * | |
| 79 | |
JBSNDLLD | JBSNDLLD | CHAR | 1 | 0 | Indicator - Business Activity in Country | * | |
| 80 | |
JBSNERWR | JBSNERWR | CHAR | 1 | 0 | Domestic State Adminisitration not Pursuing Business Goal | * | |
| 81 | |
JBSNETAR | JBSNETAR | CHAR | 2 | 0 | Type of Contractual Netting | * | |
| 82 | |
JBSNRANG | JBSNRANG | CHAR | 1 | 0 | Indicator for Subordinated Receivables/Payables | * | |
| 83 | |
JBSRDISK | JBSRDISK | CHAR | 2 | 0 | Bill Rediscount Point | * | |
| 84 | |
JBSREFIN | JBSREFIN | CHAR | 1 | 0 | Indicator for Refinanceability | * | |
| 85 | |
JBSRLAND | LAND1 | CHAR | 3 | 0 | Country Key for Rediscount Point | * | |
| 86 | |
JBSSICHA | JBSSICHA | CHAR | 2 | 0 | Type of Loan Collateral - § 14 /16 | * | |
| 87 | |
JBSSWPFZ | JBSSWPFZ | CHAR | 1 | 0 | Indicator - Fixed Rate for Swap | * | |
| 88 | |
JBSTRHND | JBSTRHND | CHAR | 1 | 0 | Indicator for Trust Assets | * | |
| 89 | |
JBSUTRAG | JBSUTRAG | CHAR | 2 | 0 | Indicator for Transmission Type | * | |
| 90 | |
JBSVERWZ | JBSVERWZ | CHAR | 3 | 0 | Intended Use of Loan | ||
| 91 | |
JBSWPDIF | JBSWPDIF | CHAR | 1 | 0 | Security Differentiation Bista and Principle I | * | |
| 92 | |
JBSWPDOP | JBSWPDOP | CHAR | 10 | 0 | Double Notification for Securities Lending Transactions | ||
| 93 | |
JBSZNSAN | JBSZNSAN | CHAR | 2 | 0 | Indicator for Interest Adjustment Mode | * | |
| 94 | |
JBSZUSKZ | JBSZUSKZ | CHAR | 2 | 0 | External Loan Commitment | * | |
| 95 | |
JBSGOLDD | JBSGOLDD | CHAR | 1 | 0 | Gold Holdings Covered by Gold Payables | * | |
| 96 | |
JBSHANDW | JBSHANDW | CHAR | 1 | 0 | Indicator - Craftsperson (Borrower Statistics) | * | |
| 97 | |
JBSOPTMO | JBSOPTMO | CHAR | 1 | 0 | Indicator for Option Price Model Calculation | ||
| 98 | |
JBSKRART | JBSKRART | CHAR | 2 | 0 | Credit Type Text | * | |
| 99 | |
JBSWEART | JBSWEART | CHAR | 2 | 0 | Bill of Exchange Type | * | |
| 100 | |
JBSDUPPF | JBSDUPPF | CHAR | 8 | 0 | Kennzeichen Duplikats-Pflicht |
History
| Last changed by/on | SAP | 20110901 |
| SAP Release Created in |