Table list used by SAP ABAP Function Module FILA_RE_CASHFLOW_DETERMINE_RFF (Erzeugung des Finanzstroms für Forfaitierung)
SAP ABAP Function Module FILA_RE_CASHFLOW_DETERMINE_RFF (Erzeugung des Finanzstroms für Forfaitierung) is using
# Object Type Object Name Object Description Note
     
1 Table  FILA_FM_CASHFLOWS Paymt Schedule for Determ. Present Val. (CRMT_FIMA_CASHFLOW
2 Table  FILA_GF_KEY Object Key
3 Table  FILA_RE_PRG Refinancing Program
4 Table  FILA_RE_S_CASHFLOW_MAP_MAIN Cash Flow Construct: General Financing Data
5 Table  FILA_RE_S_CASHFLOW_STEP Cash Flow Construct: Structure for Step Payments
6 Table  FILA_RE_S_PRG_COMPLET Complete Refinancing Program
7 Table  FILA_RE_TR_H Tranche Header: Selection Result for Refinancing
8 Table  FILA_RE_TR_H Tranche Header: Selection Result for Refinancing SOURCE REFERENCE(IS_REFIT_TR_H) TYPE FILA_RE_TR_H
9 Table  FILA_RE_TR_I Tranche Item: Selection Result for Refinancing SOURCE REFERENCE(IS_REFIT_TR_I) TYPE FILA_RE_TR_I
10 Table  FILA_RE_TR_I Tranche Item: Selection Result for Refinancing
11 Table  LAE_CRM_BILLPLAN Payment Schedule
12 Table  LAE_CRM_ITEMS LAE: Contract Items
13 Table  TFILA_RE_RFF Mapping for Payment Schedule Forfaiting
14 Table  VTBBEWE Transfer Structure: Flow Records in Cash Flow Calculator
15 Table  VTBDISP_EFFZ Display Fields for Comparison Account
16 Table  VTBKOND Transfer Structure of Cash Flow Calculator for Conditions
17 Table  VTBLEISTE Interface Parameters for Cash Flow Calculator
18 Table  VZZEFFZ Flow of payments