SAP ABAP Table PARA_VDBEPP_BO_GEB_REF (Structure for parallel posting of planned records of loans)
Hierarchy
EA-FINSERV (Software Component) SAP Enterprise Extension Financial Services
   FS-CML (Application Component) Loans Management
     FVVD (Package) Treasury Loans
Basic Data
Table Category INTTAB    Structure 
Structure PARA_VDBEPP_BO_GEB_REF   Table Relationship Diagram
Short Description Structure for parallel posting of planned records of loans    
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 RBOGEB RBO RBO CHAR 15   0   Business Operation Number (Loans)  
2 .INCLUDE       0   0   Flow Data - Planned Item  
3 MANDT MANDT MANDT CLNT 3   0   Client T000
4 BUKRS BUKRS BUKRS CHAR 4   0   Company Code T001
5 RANL RANL RANL CHAR 13   0   Contract Number  
6 DTRANS VVDTRANS DATUM DATS 8   0   Flow data key: System date  
7 TTRANS VVTTRANS UZEIT TIMS 6   0   Transaction data key: system time  
8 NTRANS VVNTRANS NUMC4 NUMC 4   0   Transaction data key: Consecutive number  
9 .INCLUDE       0   0   INCLUDE for VDBEPP (new fields always at the end)  
10 RERF RERF SYCHAR12 CHAR 12   0   Entered by  
11 DERF DERF DATUM DATS 8   0   First Entered on  
12 TERF TERF TIMES TIMS 6   0   Time of Initial Entry  
13 REHER REHER CHAR10 CHAR 10   0   Source of initial entry  
14 RBEAR RBEAR SYCHAR12 CHAR 12   0   Employee ID  
15 DBEAR DBEAR DATUM DATS 8   0   Last Edited on  
16 TBEAR TBEAR TIMES TIMS 6   0   Last Edited at  
17 RBHER RBHER CHAR10 CHAR 10   0   Editing Source  
18 DVORGANG DVORGANG DATUM DATS 8   0   Activity date  
19 SVORGANG SVORFALL SVORFALL CHAR 4   0   Business Operation (Activity)  
20 NVORGANG NVORGANG CHAR3 CHAR 3   0   Activity number  
21 SBEWART SBEWART SBEWART CHAR 4   0   Flow Type *
22 SREFBEW SREFBEW SBEWART CHAR 4   0   Reference flow type *
23 SBEWZITI SBEWZITI SBEWZITI CHAR 4   0   Flow category *
24 SPLANIST SPLANIST SPLANIST CHAR 1   0   Plan/actual record/record to be released indicator  
25 SSOLHAB VVSSOLHAB VVSSOLHAB CHAR 1   0   Debit/credit indicator  
26 SSTORNO SSTORNO SSTORNO CHAR 1   0   Reversal indicator  
27 SSTOGRD SSTOGRD SSTOGRD CHAR 2   0   Reason for Reversal TZST
28 ZUONR DZUONR ZUONR CHAR 18   0   Assignment number  
29 RSTBLG STBLG BELNR CHAR 10   0   Reverse Document Number  
30 SGTXT SGTXT TEXT50 CHAR 50   0   Item Text  
31 SANLF SANLF VVSANLF NUMC 3   0   Product Category *
32 DGUEL_KK DGUEL DATUM DATS 8   0   Date Condition Effective from  
33 NLFD_ANG NLFD_ANG LFNR3 NUMC 3   0   Offer consecutive number  
34 SSTATI SSTATI STATI NUMC 2   0   Status of data record *
35 GSART VVSART VVSART CHAR 3   0   Product Type TZPAB
36 RREFKONT RREFKONT USTRU CHAR 8   0   Account Assignment Reference in Financial Assets Management T037S
37 GSBER GSBER GSBER CHAR 4   0   Business Area TGSB
38 DORDER DORDER DATUM DATS 8   0   Order day  
39 NORDER NORDER NUM8 NUMC 8   0   Order Number  
40 BNWHR BNWHR WERTV7 CURR 13   2   Nominal amount  
41 SNWHR SNWHR WAERS CUKY 5   0   Currency of nominal amount TCURC
42 BBWHR BBWHR WERTV7 CURR 13   2   Amount in position currency  
43 SBWHR SBWHR WAERS CUKY 5   0   Position Currency (Currency of Position Amount) TCURC
44 BCWHR BCWHR WERTV7 CURR 13   2   Settlement Amount  
45 SCWHR SCWHR WAERS CUKY 5   0   Settlement Currency TCURC
46 BHWHR BHWHR WERTV7 CURR 13   2   Amount in local currency  
47 KURS1 VVKURSF KURSF DEC 9   5   Exchange rate  
48 KURS2 VVKURSF KURSF DEC 9   5   Exchange rate  
49 DVALUT DVALUT DATUM DATS 8   0   Calculation Date  
50 DFAELL DFAELLIG DATUM DATS 8   0   Due date/calculation date  
51 DDISPO DDISPO DATUM DATS 8   0   Payment Date  
52 DBESTAND DBESTAND DATUM DATS 8   0   Position value date  
53 DBERVON DBERVON DATUM DATS 8   0   Start of Calculation Period  
54 DBERBIS DBERBIS DATUM DATS 8   0   End of Calculation Period  
55 ATAGE VVATAGE INT6 NUMC 6   0   Number of days  
56 ABASTAGE ABASTAGE INT6 NUMC 6   0   Number of base days in a calculation period  
57 SZBMETH SZBMETH SZBMETH CHAR 1   0   Interest Calculation Method  
58 UMSKZ UMSKZ UMSKZ CHAR 1   0   Special G/L Indicator *
59 KOSTL KOSTL KOSTL CHAR 10   0   Cost Center *
60 SSPESEN SSPESEN SSPESEN CHAR 1   0   Expenses key  
61 RSOLL RSOLL SAKNR CHAR 10   0   Account for debit posting SKA1
62 RHABEN RHABEN SAKNR CHAR 10   0   Account for credit posting SKA1
63 RZKSOLL RZKSOLL SAKNR CHAR 10   0   Debit interim account SKA1
64 RZKHABE RZKHABE SAKNR CHAR 10   0   Credit interim account SKA1
65 SBSLSOLL BSCHL BSCHL CHAR 2   0   Posting Key TBSL
66 SBSLZKSO BSCHL BSCHL CHAR 2   0   Posting Key TBSL
67 SBSLZKHA BSCHL BSCHL CHAR 2   0   Posting Key TBSL
68 SHSLHABEN BSCHL BSCHL CHAR 2   0   Posting Key TBSL
69 RBANKK RBANKK SAKNR CHAR 10   0   Bank account SKB1
70 SFDLEV FDLEV FDLEV CHAR 2   0   Planning Level T036
71 JFDUPD JFDUPD JANEI CHAR 1   0   Record transferred to cash management and forecast  
72 JONLAEN JONLAEN VVSONLAEN CHAR 1   0   Indicator for fixing a flow record  
73 JZINSBAS JZINSBAS JANEI CHAR 1   0   Flow in interest base  
74 JZINSZPT JZINSZPT JANEI CHAR 1   0   Interest date  
75 PKOND PKOND DECV3_7 DEC 10   7   Percentage rate for condition items  
76 BBASIS BBASIS WERTV7 CURR 13   2   Calculation base amount  
77 SSORTZIT SSORTZIT CHAR1 CHAR 1   0   Sort indicator for interest/repayment schedule calculations  
78 SWOHER SWOHER CHAR1 CHAR 1   0   Source of flow record  
79 SSTCKKZ SSTCKKZ SSTCKKZ CHAR 1   0   Accrued interest method  
80 SSTCKTG SSTCKTG SZBMETH CHAR 1   0   Accrued interest: Daily method  
81 PEFFZINS PEFFZINS DEC3_7 DEC 10   7   Effective Interest Rate  
82 SEFFMETH SEFFMETH SEFFMETH NUMC 1   0   Effective Interest Method (Financial Mathematics)  
83 JVERF JVERF JVERF CHAR 1   0   Indicator whether drawings exist for the disbursement  
84 KUNNR KUNNR KUNNR CHAR 10   0   Customer Number KNA1
85 BVTYP BVTYP BVTYP CHAR 4   0   Partner bank type  
86 ZLSCH DZLSCH ZLSCH CHAR 1   0   Payment method T042Z
87 MABER MABER MABER CHAR 2   0   Dunning Area T047M
88 ZAHLS DZAHLS ZAHLS CHAR 1   0   Block Key for Payment T008
89 RPARTNR BP_PARTNR_NEW BU_PARTNER CHAR 10   0   Business Partner Number BUT000
90 SROLEXT DUMMY_3 CHAR3 CHAR 3   0   Dummy function  
91 RKLAMMER RKLAMMER RANL CHAR 13   0   Classification Number for Finance Projects  
92 JEINBEHALT VVJEINBE KENZX CHAR 1   0   Indicator for withholding of amount during disbursement  
93 SZEGEN SZEGEN SZEGEN NUMC 2   0   Generate incoming payment immediately *
94 MWSKZ MWSKZ MWSKZ CHAR 2   0   Tax on sales/purchases code T007A
95 DTRANSREF VVDTRANS DATUM DATS 8   0   Flow data key: System date  
96 TTRANSREF VVTTRANS UZEIT TIMS 6   0   Transaction data key: system time  
97 NTRANSREF VVNTRANS NUMC4 NUMC 4   0   Transaction data key: Consecutive number  
98 RPNNR VVRPNNR VVRPNNR CHAR 10   0   Daybook no.  
99 HBKID HBKID HBKID CHAR 5   0   Short key for a house bank T012
100 SBUST VVSBUST VVSBUST NUMC 2   0   Posting control key TZB09
101 PWKURS PWKURS PWKURS DEC 10   7   Security price for percentage quotation  
102 DSTOCK VVDSTOCK DATUM DATS 8   0   Premium reserve fund date  
103 JVORAUS VVJVORAUS KENZX CHAR 1   0   ID for planned record reference to an advance payment  
104 AMMRHY AMMRHY NUMC03 NUMC 3   0   Frequency in months  
105 SKOART SKOART SKOART NUMC 4   0   Condition Type (Smallest Subdivision of Condition Records) TZK01
106 SEXCLVON VVSEXCLVON VVSEXCLVON NUMC 1   0   Exclusive Indicator for the Start of a Calculation Period  
107 SULTVON VVSULTVON VVSULT CHAR 1   0   Month-End Indicator for Start of a Calculation Period  
108 SINCLBIS VVSINCLBIS VVSINCLBIS NUMC 1   0   Inclusive Indicator for the End of a Calculation Period  
109 SULTBIS VVSULTBIS VVSULT CHAR 1   0   Month-End Indicator for the End of a Calculation Period  
110 SINCL VVSINCL VVSINCL NUMC 1   0   Inclusive indicator for beginning and end of a period  
111 DVERRECH VVDVERRECH DATUM DATS 8   0   Settlement date  
112 DPKOND VVDPKOND DATUM DATS 8   0   Determination date for percentage rate of condition items  
113 RUMBLG UMBLG BELNR CHAR 10   0   Reference transfer document number  
114 ZINKZ DZINKZ ZINKZ CHAR 2   0   Exempted from Interest Calculation  
115 SVULT VVSVULT VVSULT CHAR 1   0   Month-End Indicator for Value Date  
116 JSOFVERR JSOFVERR TFMSOFVERR CHAR 1   0   Immediate settlement  
117 SINCLVERR VVSINCLVER VVSINCLVER NUMC 1   0   Inclusive Indicator for Clearing Date  
118 SULTVERR VVSULTVERR VVSULT CHAR 1   0   Month-End Indicator for Clearing Date  
119 SREFZITI VVSREFZITI SBEWZITI CHAR 4   0   Refer.flow category in accrual/deferral flow records *
120 STGBASIS VVSTGBASIS VVSTGBASIS CHAR 1   0   Base Days Method  
121 STGMETH VVSTGMETH VVSTGMETH NUMC 1   0   Daily Method  
122 SBASIS VVSBASIS VVSBASIS CHAR 4   0   Calculation base reference TZFB
123 SBERFIMA SBEWFIMA SBEWFIMA CHAR 4   0   Calculation category for cash flow calculator AT40
124 SVORGKZ VVSVORGKZ VVSVORGKZ NUMC 2   0   Activity indicator for debit/credit control  
125 MANSP MANSP MANSP CHAR 1   0   Dunning block T040S
126 DGUEL_KP DGUEL_KP DATUM DATS 8   0   Condition Item Valid From  
127 NSTUFE NSTUFE NUMC2 NUMC 2   0   Level number of condition item for recurring payments  
128 DBPERIOD VVDBPERIOD DATUM DATS 8   0   Period start  
129 SPAEXCL TFMSPAEXCL TFMSPAEXCL NUMC 1   0   Exclusive Indicator for Start Date of a Period  
130 SPAULT TFMSPAULT VVSULT CHAR 1   0   Month-End Indicator for Start Date of a Period  
131 DEPERIOD VVDEPERIOD DATUM DATS 8   0   Period End  
132 SPEINCL TFMSPEINCL TFMSPEINCL NUMC 1   0   Inclusive Indicator for End Date of a Period  
133 SPEULT TFMSPEULT VVSULT CHAR 1   0   Month-End Indicator for End of a Period  
134 RKONT RKONT RKONT NUMC 6   0   Quota number  
135 DAUSZ VVDAUSZ DATUM DATS 8   0   Lead date for withholding amounts for disbursement  
136 SSOLIST SSOLIST CHAR1 CHAR 1   0   Calculation using actual principle (or debit)  
137 RDARNEHM RDARNEHM_NEW BU_PARTNER CHAR 10   0   Borrower/Applicant Number *
138 BKOND BKOND WERTV7 CURR 13   2   Condition item currency amount  
139 RZEBEL VEBLGNR BELNR CHAR 10   0   Document number of waiver/write-off document  
140 ZFBDT DDISPO DATUM DATS 8   0   Payment Date  
141 DZFEST TB_DZFEST DATUM DATS 8   0   Interest rate fixing date  
142 SBERECH SBERECH XFELD CHAR 1   0   Grace Period Interest Method  
143 BKARZINS TFMBKAZINS TFM_WRTV7 CURR 13   2   Int.for days betw. redemption clear.and pmnt (FiMa-internal)  
144 BTITALK TFMBTIKALK TFM_WRTV7 CURR 13   2   Imputed annuity repayment amount (FiMa internal)  
145 HDN_KUNNR HDN_KUNNR KUNNR CHAR 10   0   Main Borrower Customer Number KNA1
146 SZART TB_SZART XFELD CHAR 1   0   Payment transaction  
147 RUZBEL BELNR_D BELNR CHAR 10   0   Accounting Document Number  
148 REBZJ REBZJ GJAHR NUMC 4   0   Fiscal Year of the Relevant Invoice (for Credit Memo)  
149 REBZG REBZG BELNR CHAR 10   0   Number of the Invoice the Transaction Belongs to  
150 REBZZ REBZZ BUZEI NUMC 3   0   Line Item in the Relevant Invoice  
151 S_SSDREF VVS_SSDREF SBEWZITI CHAR 4   0   Reference flow category in borrower's note loan flow records *
152 SAEND TFM_SAEND TFM_SAEND NUMC 1   0   Change Indicator for FiMa Flow Records  
153 XPORE PRQ_XPORE XFELD CHAR 1   0   Indicator: Individual Payment?  
154 SPAYRQ TB_SPAYRQK XFELD CHAR 1   0   Generate payment request  
155 PRKEY PRQ_KEYNO PRQ_KEYNO CHAR 10   0   Key Number for Payment Request *
156 HKTID HKTID HKTID CHAR 5   0   ID for account details T012K
157 VORGTYP VORGTYP_LO VORGTYP_LO CHAR 4   0   Activity Category (Posting Area)  
158 ACENV ACENV_LO ACENV_LO NUMC 4   0   Source in TR-LO posting area  
159 SSIGN TB_SSIGN T_SSIGN CHAR 1   0   Direction of flow  
160 SPRSNG TB_SPRSNGK XFELD CHAR 1   0   Individual payment  
161 UZAWE UZAWE UZAWE CHAR 2   0   Payment method supplement T042F
162 SPRGRD TB_SPRGRD T_SPRGRD CHAR 1   0   Determine grouping definition  
163 SCSPAY TB_SCSPAY XFELD CHAR 1   0   Same direction necessary for joint payment?  
164 ZWELS DZWELS ZWELS CHAR 10   0   List of the Payment Methods to be Considered  
165 PAYGR PAYGR CHAR20 CHAR 20   0   Grouping Field for Automatic Payments  
166 JEXPOZINS TB_JZINSRE XFELD CHAR 1   0   Exponential Interest Calculation  
167 SREVALEXCL VVSREVALEXCL XFELD CHAR 1   0   Price gains w/o proportionate gains from deferral write-back  
168 RBO RBO RBO CHAR 15   0   Business Operation Number (Loans)  
169 SROUND TFM_SROUND TFM_SROUND CHAR 1   0   Rounding Category  
170 SKALIDWT TFMSKALIDWT WFCID CHAR 2   0   Interest Calendar *
171 PPAYMENT TFM_PPAYMENT TFM_PPAYMENT DEC 11   7   Payment Rate  
172 AMMRHYZV TFM_AMMRHYZV TFM_AMMRHYZV NUMC 2   0   Interest Settlement Frequency for Exponential Interest Calc.  
173 LC_CAPITALS TB_LC_CAPITALS T_LC_CASH_FLOW CHAR 2   0   Effect of the Flow on Capital Amounts Status  
174 LC_DISBURSE TB_LC_DISBURSE T_LC_CASH_FLOW CHAR 2   0   Effect of the Flow on the Disbursement Status  
175 OP_APPLICATION TB_OPAPPL T_OPAPPL NUMC 2   0   Open Item Tool: Application Key *
176 OP_RBO TB_OP_RBO RBO CHAR 15   0   OI Tool: Locking Business Operation  
177 DFAELL_OLD_EXT TB_EXTENS_DFAELL_OLD DATUM DATS 8   0   Old Due Date  
178 DDISPO_OLD_EXT TB_EXTENS_DDISPO_OLD DATUM DATS 8   0   Old Payment Date  
179 RBO_EXT RBO RBO CHAR 15   0   Business Operation Number (Loans)  
180 SBEWEGRP2 TB_FLOW_REC_GRP SBEWEGRP2 NUMC 6   0   Flow Record Group in Cash Flow Calculator (Incoming Payment)  
181 SUSP_REASON_TYPE TB_SUSPREASON T_SUSPREASON NUMC 3   0   Key for Overpayment Reason TDSUSPREASON
182 MNDID SEPA_MNDID ID035 CHAR 35   0   Unique Referene to Mandate per Payment Recipient  
183 .INCLUDE       0   0   SEPA Remittance Information  
184 REMIT_INFO TB_REMIT_INFO T_REMIT_INFO CHAR 140   0   SEPA Payment Notes Information  
185 .INCLU--AP       0   0   Extensions for Localization  
186 BROUNDUNIT TB_BROUNDUNIT_A TFMSRUNIT DEC 13   7   Rounding Unit for Amounts  
187 .INCLU--AP       0   0   Additional Fields for SEPA Direct Debit  
188 SEPA_PD BUDAT DATUM DATS 8   0   Posting Date in the Document  
Foreign Keys
Source Table Source Column Foreign Table Foreign Column Dependency Factor Cardinality left Cardinality right
1 PARA_VDBEPP_BO_GEB_REF BUKRS T001 BUKRS KEY 1 CN
2 PARA_VDBEPP_BO_GEB_REF GSART TZPAB GSART KEY 1 CN
3 PARA_VDBEPP_BO_GEB_REF GSBER TGSB GSBER    
4 PARA_VDBEPP_BO_GEB_REF HBKID T012 HBKID KEY 1 CN
5 PARA_VDBEPP_BO_GEB_REF HDN_KUNNR KNA1 KUNNR REF C CN
6 PARA_VDBEPP_BO_GEB_REF HKTID T012K HKTID    
7 PARA_VDBEPP_BO_GEB_REF KUNNR KNA1 KUNNR REF C CN
8 PARA_VDBEPP_BO_GEB_REF MABER T047M MABER KEY 1 CN
9 PARA_VDBEPP_BO_GEB_REF MANDT T000 MANDT KEY 1 CN
10 PARA_VDBEPP_BO_GEB_REF MANSP T040S MANSP    
11 PARA_VDBEPP_BO_GEB_REF MWSKZ T007A MWSKZ    
12 PARA_VDBEPP_BO_GEB_REF RBANKK SKB1 SAKNR KEY 1 CN
13 PARA_VDBEPP_BO_GEB_REF RHABEN SKA1 SAKNR KEY 1 1
14 PARA_VDBEPP_BO_GEB_REF RPARTNR BUT000 PARTNER KEY 1 CN
15 PARA_VDBEPP_BO_GEB_REF RREFKONT T037S RREFKONT    
16 PARA_VDBEPP_BO_GEB_REF RSOLL SKA1 SAKNR KEY 1 1
17 PARA_VDBEPP_BO_GEB_REF RZKHABE SKA1 SAKNR KEY 1 1
18 PARA_VDBEPP_BO_GEB_REF RZKSOLL SKA1 SAKNR KEY 1 1
19 PARA_VDBEPP_BO_GEB_REF SBASIS TZFB SBASIS    
20 PARA_VDBEPP_BO_GEB_REF SBERFIMA AT40 SBERFIMA    
21 PARA_VDBEPP_BO_GEB_REF SBSLSOLL TBSL BSCHL KEY 1 CN
22 PARA_VDBEPP_BO_GEB_REF SBSLZKHA TBSL BSCHL KEY 1 CN
23 PARA_VDBEPP_BO_GEB_REF SBSLZKSO TBSL BSCHL KEY 1 CN
24 PARA_VDBEPP_BO_GEB_REF SBUST TZB09 SBUST KEY 1 CN
25 PARA_VDBEPP_BO_GEB_REF SBWHR TCURC WAERS KEY 1 CN
26 PARA_VDBEPP_BO_GEB_REF SCWHR TCURC WAERS KEY 1 CN
27 PARA_VDBEPP_BO_GEB_REF SFDLEV T036 EBENE KEY 1 CN
28 PARA_VDBEPP_BO_GEB_REF SHSLHABEN TBSL BSCHL KEY 1 CN
29 PARA_VDBEPP_BO_GEB_REF SKOART TZK01 SKOART KEY 1 CN
30 PARA_VDBEPP_BO_GEB_REF SNWHR TCURC WAERS KEY 1 CN
31 PARA_VDBEPP_BO_GEB_REF SSTOGRD TZST SSTOGRD KEY 1 CN
32 PARA_VDBEPP_BO_GEB_REF SUSP_REASON_TYPE TDSUSPREASON SSUSPREASON KEY    
33 PARA_VDBEPP_BO_GEB_REF UZAWE T042F UZAWE    
34 PARA_VDBEPP_BO_GEB_REF ZAHLS T008 ZAHLS KEY 1 CN
35 PARA_VDBEPP_BO_GEB_REF ZLSCH T042Z ZLSCH    
History
Last changed by/on SAP  20141121 
SAP Release Created in