Table list used by SAP ABAP Class CL_REIS_DATA_CF (Data Retrieval: Cash Flow)
SAP ABAP Class
CL_REIS_DATA_CF (Data Retrieval: Cash Flow) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | AVICARGDONE | Change Doc. Structure Completed Registr. Entry (VICARGDONE) | ||
| 2 | DD03P | Structure | ||
| 3 | ICONT | Icon Texts | ||
| 4 | LVC_S_FCAT | ALV control: Field catalog | ||
| 5 | LVC_S_SGRP | ALV control: Field group structure | ||
| 6 | REBP_PARTNER | Business Partner (Central Data, General) | ||
| 7 | RECAMSG | Message | ||
| 8 | RECA_BUS_OBJECT_X | Business Object and Additional Fields | ||
| 9 | RECA_CTBASEDATE | Transfer of Base Date (Translation Service) | ||
| 10 | RECD_CASHFLOW_ADD | Additional Fields for Both Cash Flows | ||
| 11 | RECD_CASHFLOW_PAY_X | Cash Flow and Additional Fields (VICDCFPAY) | ||
| 12 | RECNC_CONTRACT_TYPE | Contract Type (TIV26) + Enhancements | ||
| 13 | RECN_CONTRACT | Real Estate Contract | ||
| 14 | RECN_CONTRACT_X | Real Estate Contract and Additional Fields | ||
| 15 | REEXC_COMPANY_CODE | Company Code (T001) | ||
| 16 | REIS_CASHFLOW_PAY_L | ALV Reporting: Cash Flow | ||
| 17 | REIS_CASHFLOW_PAY_L | ALV Reporting: Cash Flow | ||
| 18 | REIS_CASHFLOW_PAY_L | ALV Reporting: Cash Flow | ||
| 19 | REIS_CA_BP_L | Reporting Fields: Main Contractual Partner | ||
| 20 | REIS_GENERIC_L | Reporting Fields: Generic Part | ||
| 21 | RERA_DOC_ITEM_REF | Reference to Updated Records | ||
| 22 | RERA_FM_DIMENSION | Account Assignment Fields - Funds Management | ||
| 23 | RERA_OI_ACCOUNT | Open Item Account | ||
| 24 | RETM_POSTING_OA | Posting Term - Organizational Assignment | ||
| 25 | RUSER | Field String for Maintenance of User Data | ||
| 26 | SMP_DYNTXT | Menu Painter: Program interface for dynamic texts | ||
| 27 | STB_BUTTON | Toolbar Button | ||
| 28 | TCURC | Currency Codes | ||
| 29 | VICDCFPAY | Payment-Related Cash Flow | ||
| 30 | VICDCFPAY | Payment-Related Cash Flow |