SAP ABAP Table REEX_COMP_CASHFLOW_PAY (Change Document Structure for RECD_CASHFLOW_PAY)
Hierarchy
EA-FIN (Software Component) EA-FIN
   RE-FX-CN (Application Component) Real Estate Contract
     RE_EX_TR (Package) RE: Treasury
Basic Data
Table Category INTTAB    Structure 
Structure REEX_COMP_CASHFLOW_PAY   Table Relationship Diagram
Short Description Change Document Structure for RECD_CASHFLOW_PAY    
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   Cash Flow (VICDCFPAY)  
2 .INCLUDE       0   0   Payment-Related Cash Flow  
3 MANDT MANDT MANDT CLNT 3   0   Client *
4 .INCLUDE       0   0   Payment-Related Cash Flow - Key Fields  
5 CFPAYGUID RECDCFPAYGUID RECAGUID RAW 16   0   GUID (RAW16) for Payment-Related Cash Flow  
6 .INCLUDE       0   0   Payment-Related Cash Flow - Non-Key Fields  
7 CONDGUID RECDCONDGUID RECAGUID RAW 16   0   GUID (RAW16) for Conditions  
8 CONDVALIDFROM RECDVALIDFROM RECADATE DATS 8   0   Date from when condition is valid  
9 REFGUID RECDREFGUID RECAGUID RAW 16   0   GUID (RAW16) for Document References in Cash Flow  
10 INTRENO RECAINTRENO RECAINTRENO CHAR 13   0   Internal Key of Real Estate Object  
11 .INCLUDE       0   0   Field String for Maintenance of User Data  
12 RERF RERF SYCHAR12 CHAR 12   0   Entered by  
13 DERF DERF DATUM DATS 8   0   First Entered on  
14 TERF TERF TIMES TIMS 6   0   Time of Initial Entry  
15 REHER REHER CHAR10 CHAR 10   0   Source of initial entry  
16 RBEAR RBEAR SYCHAR12 CHAR 12   0   Employee ID  
17 DBEAR DBEAR DATUM DATS 8   0   Last Edited on  
18 TBEAR TBEAR TIMES TIMS 6   0   Last Edited at  
19 RBHER RBHER CHAR10 CHAR 10   0   Editing Source  
20 .INCLUDE       0   0   FIMA Flow Records: Database Part  
21 BBWHR TFM_BBWHR TFM_WRTV12 CURR 23   2   Amount which changes position  
22 BNWHR TFM_BNWHR TFM_WRTV12 CURR 23   2   Nominal amount  
23 DBERVON DBERVON DATUM DATS 8   0   Start of Calculation Period  
24 SEXCLVON VVSEXCLVON VVSEXCLVON NUMC 1   0   Exclusive Indicator for the Start of a Calculation Period  
25 SULTVON VVSULTVON VVSULT CHAR 1   0   Month-End Indicator for Start of a Calculation Period  
26 DBERBIS DBERBIS DATUM DATS 8   0   End of Calculation Period  
27 SINCLBIS VVSINCLBIS VVSINCLBIS NUMC 1   0   Inclusive Indicator for the End of a Calculation Period  
28 SULTBIS VVSULTBIS VVSULT CHAR 1   0   Month-End Indicator for the End of a Calculation Period  
29 DVALUT DVALUT DATUM DATS 8   0   Calculation Date  
30 SINCL VVSINCL VVSINCL NUMC 1   0   Inclusive indicator for beginning and end of a period  
31 SVINCL VVSVINCL VVSINCL NUMC 1   0   Inclusive indicator for value date  
32 SVULT VVSVULT VVSULT CHAR 1   0   Month-End Indicator for Value Date  
33 DFAELL DFAELL DATUM DATS 8   0   Due date  
34 SFINCL VVSFINCL VVSINCL NUMC 1   0   Inclusive Indicator for Due Date  
35 SFULT SFULT VVSULT CHAR 1   0   Month-End Indicator for Due Date  
36 DDISPO DDISPO DATUM DATS 8   0   Payment Date  
37 SINCLVERR VVSINCLVER VVSINCLVER NUMC 1   0   Inclusive Indicator for Clearing Date  
38 SULTVERR VVSULTVERR VVSULT CHAR 1   0   Month-End Indicator for Clearing Date  
39 ATAGE TFMATAGE INT4 INT4 10   0   Number of Days  
40 ABASTAGE BITER BFLTP FLTP 16   16   Amount in floating point format for recursive determination  
41 APERTAGE VVAPERTAGE INT6 NUMC 6   0   No. of days of a (calculation) period in cash flow  
42 STGMETH VVSTGMETH VVSTGMETH NUMC 1   0   Daily Method  
43 STGBASIS VVSTGBASIS VVSTGBASIS CHAR 1   0   Base Days Method  
44 SZBMETH SZBMETH SZBMETH CHAR 1   0   Interest Calculation Method  
45 DBPERIOD VVDBPERIOD DATUM DATS 8   0   Period start  
46 SPAEXCL TFMSPAEXCL TFMSPAEXCL NUMC 1   0   Exclusive Indicator for Start Date of a Period  
47 SPAULT TFMSPAULT VVSULT CHAR 1   0   Month-End Indicator for Start Date of a Period  
48 DEPERIOD VVDEPERIOD DATUM DATS 8   0   Period End  
49 SPEINCL TFMSPEINCL TFMSPEINCL NUMC 1   0   Inclusive Indicator for End Date of a Period  
50 SPEULT TFMSPEULT VVSULT CHAR 1   0   Month-End Indicator for End of a Period  
51 SWHRKOND TFMWHRKOND TFM_WAERS CUKY 5   0   Currency of Condition Item *
52 BKOND TFM_BKOND TFM_WRTV9 CURR 17   2   Condition item currency amount  
53 SSTAFF TFMSSTAFF TFMSSTAFF NUMC 1   0   Type of Scaled Calculation  
54 SBASIS TFM_SBASIS TFM_SBASIS CHAR 4   0   Calculation Base Reference  
55 JSOFVERR TFMSOFVERR TFMSOFVERR CHAR 1   0   Indicator for Immediate Settlement (Financial Mathematics)  
56 AMMRHY AMMRHY NUMC03 NUMC 3   0   Frequency in months  
57 ATTRHY ATTRHY NUMC03 NUMC 3   0   Frequency in Days  
58 SSORTZIT TFM_SORT NUMC2 NUMC 2   0   Sort indicator for financial mathematic calculations  
59 SZEITANT VVSZEITANT VVSZEITANT NUMC 1   0   Indicator for Pro Rata Temporis Calculations  
60 SSALBAS TFMSSALBAS TFMSSALBAS CHAR 1   0   Indicator for debit position/incoming pmnt (internal FiMa)  
61 SKONDGRP SKONDGRP SKONDGRP NUMC 4   0   Condition group in cash flow calculator  
62 .INCLUDE       0   0   Amounts and Amount Context of Cash Flow  
63 LCNETAMOUNT RECDCFLCVALUENET RECACURR CURR 15   2   Net Amount of Cash Flow Item in Local Currency  
64 LCGROSSAMOUNT RECDCFLCVALUEGROSS RECACURR CURR 15   2   Gross Amount of Cash Flow Item in Local Currency  
65 LCTAXAMOUNT RECDCFLCTAXVALUE RECACURR CURR 15   2   Sales/Purch. Tax Amount of Cash Flow Item in Local Currency  
66 LOCALCURR RECDCFLCCURR WAERS CUKY 5   0   Local Currency of Cash Flow Item *
67 CCNETAMOUNT RECDCFVALUENET RECACURR CURR 15   2   Net Amount of Cash Flow Item in Condition Currency  
68 CCGROSSAMOUNT RECDCFVALUEGROSS RECACURR CURR 15   2   Gross Amount of Cash Flow Item in Condition Currency  
69 CCTAXAMOUNT RECDCFTAXVALUE RECACURR CURR 15   2   Tax on Sales/Purch. of Cash Flow Item in Condition Currency  
70 CONDCURR RECDCFCURR WAERS CUKY 5   0   Condition Currency of Cash Flow Item *
71 TAXTYPE RERATAXTYPE RERATAXTYPE CHAR 4   0   Tax Type TIVRATAXTYPE
72 TAXGROUP RERATAXGROUP RERATAXGROUP CHAR 20   0   Tax Group TIVRATAXGROUP
73 TXJCD TXJCD TXJCD CHAR 15   0   Tax Jurisdiction *
74 ISGROSS RECDISGROSS RECABOOL CHAR 1   0   Condition Amount Is Gross Amount  
75 WHEREFROM RECDWHEREFROM RECDWHEREFROM CHAR 1   0   Flow Origin  
76 FLOWTYPE RECDFLOWTYPE RECDFLOWTYPE CHAR 4   0   Flow Type TIVCDFLOWTYPE
77 ORIGFLOWTYPE RECDORIGFLOWTYPE RECDFLOWTYPE CHAR 4   0   Original Flow Type TIVCDFLOWTYPE
78 REFFLOWREL RECDREFFLOWREL RECDREFFLOWREL CHAR 3   0   Type of Relationship Between Flow Type and Refer.Flow Type TIVCDREFFLOWREL
79 CFSTATUS RECDCFSTATUS RECDCFSTATUS CHAR 1   0   Indicates Status of Flow  
80 FDLEV FDLEV FDLEV CHAR 2   0   Planning Level *
81 FDUPD FDUPD KENZX CHAR 1   0   Flag as to whether record enters cash management + forecast  
82 FDELETE RECAARDELETEIND RECABOOL CHAR 1   0   Deletion Indicator for Archiving  
83 ORIGDUEDATE RECDORIGDUEDATE DATUM DATS 8   0   Original Due Date  
84 PARTNER BU_PARTNER BU_PARTNER CHAR 10   0   Business Partner Number *
85 PARTNEROBJNR RECAOBJNR J_OBJNR CHAR 22   0   Object Number *
86 CONDTYPE RECDCONDTYPE RECDCONDTYPE CHAR 4   0   Condition Type TIVCDCONDTYPE
87 TERMNOPY RECDTERMNOPY RETMTERMNO CHAR 4   0   Number of Posting Term  
88 TERMNORH RECDTERMNORH RETMTERMNO CHAR 4   0   Number of Frequency Term  
89 TERMNOAJ RECDTERMNOAJ RETMTERMNO CHAR 4   0   Number of Adjustment Term  
90 TERMNOOA RECDTERMNOOA RETMTERMNO CHAR 4   0   Number of Organizational Assignment Term  
91 TERMNOSR RECDTERMNOSR RETMTERMNO CHAR 4   0   Number of Sales Term  
92 TERMNOMR RECDTERMNOMR RETMTERMNO CHAR 4   0   Number of Peak Sales Term  
93 TERMNOWT RECDTERMNOWT RETMTERMNO CHAR 4   0   Number of Withholding Tax Term  
94 ORIGEXDUEDATE RECDORIGDUEDATE DATUM DATS 8   0   Original Due Date  
95 SEAPSTATUS RERASEAPSTATUS RERASEAPSTATUS CHAR 1   0   Status of Advance Payment Relevant to SCS  
96 POSTINGDATE RECDPOSTINGDATE RECADATE DATS 8   0   Posting Date  
97 DOCUMENTDATE RECDDOCUMENTDATE RECADATE DATS 8   0   Document Date  
98 VALUATIONDATE RECDVALUATIONDATE RECADATE DATS 8   0   Date for Translation of Contract Currency to Local Currency  
99 REVERSAL_FOR RECDREVERSALFORGUID RECAGUID RAW 16   0   GUID (RAW16) for 'Reversal for' References  
100 REVERSAL_BY RECDREVERSALBYGUID RECAGUID RAW 16   0   GUID (RAW16) for 'Reversed by' References  
101 FOLLOWUP_FOR RECDFOLLOWUPFORGUID RECAGUID RAW 16   0   GUID (RAW16) for 'Follow-Up Posting for' References  
102 BOOK_FLOWTYPE RECDFLOWTYPE RECDFLOWTYPE CHAR 4   0   Flow Type TIVCDFLOWTYPE
103 BOOK_REFFLOWREL RECDREFFLOWREL RECDREFFLOWREL CHAR 3   0   Type of Relationship Between Flow Type and Refer.Flow Type TIVCDREFFLOWREL
104 TAXDATE RECDTAXDATE RECADATE DATS 8   0   Date of Calculation of Sales/Purchase Tax  
105 MODDUEDATE RECDMODDUEDATE DATUM DATS 8   0   Modified Due Date  
106 CALCDUEDATE RECDCALCDUEDATE DATUM DATS 8   0   Calculated Due Date  
107 CFSPLITFORGUID RECDCFSPLITFORGUID RECAGUID RAW 16   0   GUID (RAW16) of Cash Flow Record That Was Split  
108 CFSPLITBASIS RECDCFSPLITBASIS RECABOOL CHAR 1   0   Cash Flow Record Was Basis for Split  
109 CDSPLITNO RETMCDSPLITNO NUMC4 NUMC 4   0   Number of Condition Split  
110 COMPANYCODE BUKRS BUKRS CHAR 4   0   Company Code *
111 CMCFGROUP FDGRP FDGRP CHAR 10   0   Planning Group *
112 CTRULE RECACTRULE RECACTRULE CHAR 20   0   Currency Translation Rule *
113 CTLCNETAMOUNT RECACTLCNETAMOUNT RECACURR CURR 15   2   Net Amount in Local Currency  
114 CTLCGROSSAMOUNT RECACTLCGROSSAMOUNT RECACURR CURR 15   2   Gross Amount in Local Currency  
115 CTLCTAXAMOUNT RECACTLCTAXAMOUNT RECACURR CURR 15   2   Tax Amount in Local Currency  
116 CTRATE RECACTRATE KURSF DEC 9   5   Exchange Rate  
117 CTRATEORIG RECACTRATE KURSF DEC 9   5   Exchange Rate  
118 CTPOSTCDCURR RECACTPOSTCDCURR RECABOOL CHAR 1   0   Post in Condition Currency  
119 CTDATEREQ RECACTDATEREQ DATS DATS 8   0   Planned Translation Date  
120 CTDATEACT RECACTDATEACT DATS DATS 8   0   Actual Translation Date  
121 CTDATEACTORIG RECACTDATEACT DATS DATS 8   0   Actual Translation Date  
122 CTDATEFROMCFPOS RECDCTDATEFROMCFPOS RECABOOL CHAR 1   0   Use Translation Date from Cash Flow  
123 .INCLUDE       0   0   FIMA Flow Records: Maintenance Extension  
124 SPLANIST SPLANIST SPLANIST CHAR 1   0   Plan/actual record/record to be released indicator  
125 SWOHER TFM_SWOHER TFM_SWOHER CHAR 1   0   Source of flow record  
126 SBEWEGRP SBEWEGRP SBEWEGRP NUMC 4   0   Flow record group in cash flow calculator  
127 SBERFIMA SBEWFIMA SBEWFIMA CHAR 4   0   Calculation category for cash flow calculator *
128 SAEND TFM_SAEND TFM_SAEND NUMC 1   0   Change Indicator for FiMa Flow Records  
129 BBWHR2 TFMBBWHR2 TFMBBWHR2 DEC 26   5   Amount  
130 BBASISUR TFMBBASISU TFM_WRTV12 CURR 23   2   Original calculation basis (e.g. for interval calculation)  
131 BBASIS TFM_BBASIS TFM_WRTV12 CURR 23   2   Calculation Base Amount  
132 TBERVON TFM_TBERVON SYTIME TIMS 6   0   Time of Start of Calculation Period  
133 TBERBIS TFM_TBERBIS SYTIME TIMS 6   0   Time of End of Calculation Period  
134 TVALUT TFM_TVALUT SYTIME TIMS 6   0   Time of Calculation Date  
135 SRUNDVORF VVSRUNDVF TFMSRUNDVF NUMC 1   0   Rounding of interim results for prepayments  
136 DVERRECH VVDVERRECH DATUM DATS 8   0   Settlement date  
137 ASEKUNDEN TFMASEKUNDEN TFM_INT5 DEC 5   0   Number of Seconds  
138 JEXPOZINS TB_JZINSRE XFELD CHAR 1   0   Exponential Interest Calculation  
139 PKOND PKOND DECV3_7 DEC 10   7   Percentage rate for condition items  
140 DPKOND VVDPKOND DATUM DATS 8   0   Determination date for percentage rate of condition items  
141 DZFEST TB_DZFEST DATUM DATS 8   0   Interest rate fixing date  
142 KBKOND TFM_KBKOND TFM_KBKOND DEC 15   6   Currency-independent FiMa condition amount  
143 BUGRENZ TFMBUGRENZ TFM_WRTV12 CURR 23   2   Lower Limit for Amount  
144 BOGRENZ TFMBOGRENZ TFM_WRTV12 CURR 23   2   Upper Limit for Amt  
145 BTIKALK TFM_TIKALK TFM_WRTV12 CURR 23   2   Imputed annuity repayment amount (internal FiMa)  
146 BKARZINS TFMKARZINS TFM_WRTV12 CURR 23   2   Interest amount on diff. betw. clearing/pmnt date (int.FIMA)  
147 ASTUECK TFMASTUECK TFMASTUECK DEC 15   5   No. of units for unit-quoted securities (fin. mathematics)  
148 SSTCKKZ SSTCKKZ SSTCKKZ CHAR 1   0   Accrued interest method  
149 SSTCKTG SSTCKTG SZBMETH CHAR 1   0   Accrued interest: Daily method  
150 SSTCKNOT TFMSTCKNOT TFMSTCKNOT NUMC 1   0   Internal FiMa indicator for unit-quoted securities  
151 SFLAT VVSFLAT XFELD CHAR 1   0   Indicator 'Traded flat',i.e.no accrued interest calculation  
152 JGESUCHT VVJGESUCHT CHAR1 CHAR 1   0   Int. indicator for alternative calculations  
153 SBERECH SBERECH XFELD CHAR 1   0   Grace Period Interest Method  
154 SBASFIX TFMSBASFIX TFMSBASFIX NUMC 1   0   Indicator for fixing calculation base  
155 SFANT VVSFANT VVSFANT NUMC 1   0   Indicator for due date-related FiMa calculations  
156 RURKONDIND VVRKONDIND SYST_LONG INT4 10   0   Reference index for an investment mathematical item  
157 RURBEWEIND VVRBEWEIND SYST_LONG INT4 10   0   Reference index for a FiMa flow record  
158 SKALIDWT TFMSKALIDWT WFCID CHAR 2   0   Interest Calendar *
159 SROUND TFM_SROUND TFM_SROUND CHAR 1   0   Rounding Category  
160 BROUNDUNIT TFMPRUNIT TFMSRUNIT DEC 13   7   Rounding Unit  
161 BBASISUNIT TFM_BBASISUNIT TFM_WRTV9 CURR 17   2   Base Unit for Rounding  
162 PPAYMENT TFM_PPAYMENT TFM_PPAYMENT DEC 11   7   Payment Rate  
163 SDISCOUNT TFM_SDISCOUNT TFM_SDISCOUNT NUMC 1   0   Discounting Category  
164 PDISCOUNT TFM_PDISCOUNT DECV3_7 DEC 10   7   Percentage Discount Rate  
165 AMMRHYZV TFM_AMMRHYZV TFM_AMMRHYZV NUMC 2   0   Interest Settlement Frequency for Exponential Interest Calc.  
166 ARHYREL TFM_ARHYREL NUMC3 NUMC 3   0   Relative Frequency  
167 JRATENFIX TFM_JRATENFIX XFELD CHAR 1   0   Keep Installment  
168 JANNVERR TFM_JANNVERR TFM_JANNVERR CHAR 1   0   Settle Annuity Installment  
169 JSOFTILG TFM_JSOFTILG TFM_JSOFTILG CHAR 1   0   Begin with Repayment Immediately  
170 SVKEYDAY TFM_SVKEYDAY TFM_SKEYDAY NUMC 2   0   Key Date for Update of Calculation Date  
171 SFKEYDAY TFM_SFKEYDAY TFM_SKEYDAY NUMC 2   0   Key Date for Update of Due Date  
172 JINTRADAY TFM_JINTRADAY XFELD CHAR 1   0   Intraday Interest Calculation  
173 JEFFZREL TFM_JEFFZREL CHAR1 CHAR 1   0   Relevant for Effective Interest Rate  
174 .INCLUDE       0   0   Structures for generating change document update programs  
175 KZ CDCHNGIND CDCHNGIND CHAR 1   0   Change type (U, I, E, D)  
Foreign Keys
Source Table Source Column Foreign Table Foreign Column Dependency Factor Cardinality left Cardinality right
1 REEX_COMP_CASHFLOW_PAY BOOK_FLOWTYPE TIVCDFLOWTYPE FLOWTYPE REF 1 CN
2 REEX_COMP_CASHFLOW_PAY BOOK_REFFLOWREL TIVCDREFFLOWREL REFFLOWREL REF 1 CN
3 REEX_COMP_CASHFLOW_PAY CONDTYPE TIVCDCONDTYPE CONDTYPE KEY 1 CN
4 REEX_COMP_CASHFLOW_PAY FLOWTYPE TIVCDFLOWTYPE FLOWTYPE REF 1 CN
5 REEX_COMP_CASHFLOW_PAY ORIGFLOWTYPE TIVCDFLOWTYPE FLOWTYPE REF 1 CN
6 REEX_COMP_CASHFLOW_PAY REFFLOWREL TIVCDREFFLOWREL REFFLOWREL REF 1 CN
7 REEX_COMP_CASHFLOW_PAY TAXGROUP TIVRATAXGROUP TAXGROUP REF 1 CN
8 REEX_COMP_CASHFLOW_PAY TAXTYPE TIVRATAXTYPE TAXTYPE REF 1 CN
History
Last changed by/on SAP  20141121 
SAP Release Created in 200