Table/Structure Field list used by SAP ABAP Function Module /IBS/RB_ECF_COMP_CF_SUM_P (Berechnung der Cashflow-Summen RS für alle Positionen eines Vertrages)
SAP ABAP Function Module
/IBS/RB_ECF_COMP_CF_SUM_P (Berechnung der Cashflow-Summen RS für alle Positionen eines Vertrages) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | /IBS/CRB_M_DISC - FLG_TOTAL_UNW | RBD: Calculate Total NPV of Cash Flow | ||
| 2 | /IBS/CRB_ZBWARVB - FLG_G1P | RBD: Indicator AP1 - Provision | ||
| 3 | /IBS/SRB_ECF_HD - RWBKNZ | RBD: Value Adjustment Indicator | ||
| 4 | /IBS/SRB_ECF_HD - VEAVS | RBD: Contract Type Previous System | ||
| 5 | /IBS/SRB_ECF_HD - RBDID | RBD: RBD ID (RBD Area) | ||
| 6 | /IBS/SRB_ECF_HD - PDAVS | RBD: Product Type Source System | ||
| 7 | /IBS/SRB_ECF_HD - MODID | RBD: Component ID Source System | ||
| 8 | /IBS/SRB_ECF_HD - DUE_DATE | RBD: Valuation Date | ||
| 9 | /IBS/SRB_ECF_HD - DELINQ_SINCE | RBD: Date Since Which Contract Is in Arrears | ||
| 10 | /IBS/SRB_ECF_HD - CURRENCY | RBD: Currency of Risk Provision | ||
| 11 | /IBS/SRB_ECF_HD - BEWME | RBD: Valuation Method | ||
| 12 | /IBS/SRB_ECF_PCF - EXPCF_W | RBD: Expected Amount Cash Flow Position (Weighted) | ||
| 13 | /IBS/SRB_ECF_PCF - SIGN_DEB_CRED | RBD: Debit/Credit Indicator 1 | ||
| 14 | /IBS/SRB_ECF_PCF - RS_PROP | RBD: Probability of Risk Provision Usage | ||
| 15 | /IBS/SRB_ECF_PCF - RATE_MAN | RBD: Relevant Amount Cash Flow Item | ||
| 16 | /IBS/SRB_ECF_PCF - RATE | RBD: Amount of Cash Flow Position (Installment) | ||
| 17 | /IBS/SRB_ECF_PCF - PRESENT_VAL | RBD: Net Present Value AP 1 in Contract Currency | ||
| 18 | /IBS/SRB_ECF_PCF - PERCENT | RBD: Percentage Expectation Used for Cash Flow | ||
| 19 | /IBS/SRB_ECF_PCF - EXPECT | RBD: Expected Amount of Cash Flow Position | ||
| 20 | /IBS/SRB_ECF_PCF - DUE_DATE | RBD: Due Date | ||
| 21 | /IBS/SRB_ECF_PCF - DISC_RATE | RBD: Discount Interest Rate AP 1 | ||
| 22 | /IBS/SRB_ECF_PCF - CURRENCY | RBD: Currency of Risk Provision | ||
| 23 | /IBS/SRB_ECF_PCF - CFTYP | RBD: Cash Flow Category | ||
| 24 | /IBS/SRB_ECF_PCF - CFCAT | RBD: Cash Flow Categorization | ||
| 25 | /IBS/SRB_ECF_SUM - SUM_CF_EXP | RBD: Total Expected Cash Flow | ||
| 26 | /IBS/SRB_ECF_SUM - SUM_CF_NPV | RBD: Net Present Value of Expected Cash Flows | ||
| 27 | /IBS/SRB_ECF_SUM - SUM_UN | RBD: Unwinding Amount | ||
| 28 | /IBS/SRB_ECF_VCF - DISC_RATE | RBD: Discount Interest Rate AP 1 | ||
| 29 | /IBS/SRB_S_CONCUR - BHWHR | RBD: Amount in Local Currency | ||
| 30 | /IBS/TRB_ECF_BAL - SUM_CF_NPV | RBD: Net Present Value of Expected Cash Flows | ||
| 31 | /IBS/TRB_ECF_BAL - SUM_UN | RBD: Unwinding Amount | ||
| 32 | /IBS/TRB_ECF_BAL - SUM_CF_EXP | RBD: Total Expected Cash Flow | ||
| 33 | /IBS/TRB_ECF_BAL - SHEETNR | RBD: Fair Value Sheet | ||
| 34 | /IBS/TRB_ECF_BAL - PERC_EXP | RBD: Higher-Level Percentage Expectation Used | ||
| 35 | /IBS/TRB_ECF_BAL - INT_RATE | RBD: Initial Discount Interest Rate | ||
| 36 | /IBS/TRB_ECF_BAL - INT_METH | RBD: Interest Calculation Method (Financial Mathematics) | ||
| 37 | /IBS/TRB_ECF_BAL - BWAGR | RBD: Risk Provision Position | ||
| 38 | /IBS/TRB_ECF_BAL - RS_PROP | RBD: Probability of Risk Provision Usage | ||
| 39 | /IBS/TRB_ECF_HD - RBDID | RBD: RBD ID (RBD Area) | ||
| 40 | /IBS/TRB_ECF_HD - VEAVS | RBD: Contract Type Previous System | ||
| 41 | /IBS/TRB_ECF_HD - SHEETNR | RBD: Fair Value Sheet | ||
| 42 | /IBS/TRB_ECF_HD - RWBKNZ | RBD: Value Adjustment Indicator | ||
| 43 | /IBS/TRB_ECF_HD - PDAVS | RBD: Product Type Source System | ||
| 44 | /IBS/TRB_ECF_HD - MODID | RBD: Component ID Source System | ||
| 45 | /IBS/TRB_ECF_HD - DUE_DATE | RBD: Valuation Date | ||
| 46 | /IBS/TRB_ECF_HD - DELINQ_SINCE | RBD: Date Since Which Contract Is in Arrears | ||
| 47 | /IBS/TRB_ECF_HD - CURRENCY | RBD: Currency of Risk Provision | ||
| 48 | /IBS/TRB_ECF_HD - BEWME | RBD: Valuation Method | ||
| 49 | /IBS/TRB_ECF_PCF - EXPCF_W | RBD: Expected Amount Cash Flow Position (Weighted) | ||
| 50 | /IBS/TRB_ECF_PCF - SIGN_DEB_CRED | RBD: Debit/Credit Indicator 1 | ||
| 51 | /IBS/TRB_ECF_PCF - SHEETNR | RBD: Fair Value Sheet | ||
| 52 | /IBS/TRB_ECF_PCF - RS_PROP | RBD: Probability of Risk Provision Usage | ||
| 53 | /IBS/TRB_ECF_PCF - RATE_MAN | RBD: Relevant Amount Cash Flow Item | ||
| 54 | /IBS/TRB_ECF_PCF - RATE | RBD: Amount of Cash Flow Position (Installment) | ||
| 55 | /IBS/TRB_ECF_PCF - PRESENT_VAL | RBD: Net Present Value AP 1 in Contract Currency | ||
| 56 | /IBS/TRB_ECF_PCF - POSIT | RBD: Sequence Number | ||
| 57 | /IBS/TRB_ECF_PCF - EXPECT | RBD: Expected Amount of Cash Flow Position | ||
| 58 | /IBS/TRB_ECF_PCF - DUE_DATE | RBD: Due Date | ||
| 59 | /IBS/TRB_ECF_PCF - DISC_RATE | RBD: Discount Interest Rate AP 1 | ||
| 60 | /IBS/TRB_ECF_PCF - CURRENCY | RBD: Currency of Risk Provision | ||
| 61 | /IBS/TRB_ECF_PCF - CFTYP | RBD: Cash Flow Category | ||
| 62 | /IBS/TRB_ECF_PCF - CFCAT | RBD: Cash Flow Categorization | ||
| 63 | /IBS/TRB_ECF_PCF - PERCENT | RBD: Percentage Expectation Used for Cash Flow | ||
| 64 | /IBS/TRB_ECF_VCF - DISC_RATE | RBD: Discount Interest Rate AP 1 | ||
| 65 | SYST - MSGID | ABAP System Field: Message ID | ||
| 66 | SYST - MSGV4 | ABAP System Field: Message Variable | ||
| 67 | SYST - MSGV3 | ABAP System Field: Message Variable | ||
| 68 | SYST - MSGV2 | ABAP System Field: Message Variable | ||
| 69 | SYST - MSGV1 | ABAP System Field: Message Variable | ||
| 70 | SYST - MSGTY | ABAP System Field: Message Type | ||
| 71 | SYST - MSGNO | ABAP System Field: Message Number | ||
| 72 | VZZEFFZ - BCWHR | Foreign Currency Amount | ||
| 73 | VZZEFFZ - DDISPO | Payment Date |