Table/Structure Field list used by SAP ABAP Function Module MAP2I_BAPIDFKKCL_TO_FKKCL (bapidfkkcl -> fkkcl)
SAP ABAP Function Module
MAP2I_BAPIDFKKCL_TO_FKKCL (bapidfkkcl -> fkkcl) is using
pages: 1 2
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | BAPICURR - BAPICURR | Currency amount in BAPI interfaces | ||
| 2 | BAPIDFKKCL - ACCTASSCAT | Account Assignment Category | ||
| 3 | BAPIDFKKCL - ACCT_ASSGT | Acct assnmnt string for industry-specific account assngments | ||
| 4 | BAPIDFKKCL - ACTDETERID | Account Determination ID | ||
| 5 | BAPIDFKKCL - ADDR_NO | Address number | ||
| 6 | BAPIDFKKCL - AMOUNT | Amount in Transaction Currency with +/- Sign | ||
| 7 | BAPIDFKKCL - AMOUNT_CLEAR | Clearing amount in clearing currency | ||
| 8 | BAPIDFKKCL - AMOUNT_GL | Amount for Updating in General Ledger | ||
| 9 | BAPIDFKKCL - AMOUNT_LOC_CURR | Amount in Local Currency with +/- Signs | ||
| 10 | BAPIDFKKCL - AMOUNT_OITEM | Posting Amount of An Open Item in Document Currency | ||
| 11 | BAPIDFKKCL - AMOUNT_PAR2_CURR | Amount in second parallel currency with +/- sign | ||
| 12 | BAPIDFKKCL - AMOUNT_PAR3_CURR | Amount in third parallel currency with +/- sign | ||
| 13 | BAPIDFKKCL - AMOUNT_PLANNED | Currency amount in BAPI interfaces | ||
| 14 | BAPIDFKKCL - APPL_AREA | Application area | ||
| 15 | BAPIDFKKCL - BK_DETAILS | Bank Details ID of Payee | ||
| 16 | BAPIDFKKCL - BUSPARTNER | Business Partner Number | ||
| 17 | BAPIDFKKCL - BUS_AREA | Business Area | ||
| 18 | BAPIDFKKCL - CALC_PERHI | Upper Limit of the Billing Period | ||
| 19 | BAPIDFKKCL - CALC_PERLO | Lower Limit of Settlement Period | ||
| 20 | BAPIDFKKCL - CANCELED | Item Canceled | ||
| 21 | BAPIDFKKCL - CHECK_CLNG | Check Sample Record Clearing | ||
| 22 | BAPIDFKKCL - CHG_BLOCK | Printing - No Changes Possible | ||
| 23 | BAPIDFKKCL - CLASS_KEY | Classification Key | ||
| 24 | BAPIDFKKCL - CLEARDATE | Clearing date | ||
| 25 | BAPIDFKKCL - CLEARDOCNO | Clearing Document or Printed Document | ||
| 26 | BAPIDFKKCL - CLEARING_AMOUNT | Clearing amount in transaction currency (with +/- sign) | ||
| 27 | BAPIDFKKCL - CLEARING_AMOUNT_LOC | Clearing amount in local currency with +/- sign | ||
| 28 | BAPIDFKKCL - CLEARING_AMOUNT_OITEM | Clearing Amount in Open Item Currency | ||
| 29 | BAPIDFKKCL - CLEARING_AMOUNT_PAR2 | Clearing Amount in Second Local Currency (With +/- Sign) | ||
| 30 | BAPIDFKKCL - CLEARING_AMOUNT_PAR3 | Clearing Amount in Third Local Currency (With +/- Sign) | ||
| 31 | BAPIDFKKCL - CLEAR_REAS | Clearing Reason | ||
| 32 | BAPIDFKKCL - CLEAR_WITHOUT_POSTING | Clear Items Without Follow-On Posting | ||
| 33 | BAPIDFKKCL - CLRG_CURR | Clearing currency | ||
| 34 | BAPIDFKKCL - CLRG_CURR_ISO | ISO currency code | ||
| 35 | BAPIDFKKCL - CL_POSTDTE | Clearing document posting date | ||
| 36 | BAPIDFKKCL - CMMT_ITEM | Commitment item | ||
| 37 | BAPIDFKKCL - CM_EX_DAYS | Additional Days for Cash Management | ||
| 38 | BAPIDFKKCL - COLLECTION_POS | Collection Item | ||
| 39 | BAPIDFKKCL - COMP_CODE | Company Code | ||
| 40 | BAPIDFKKCL - CONTRACT | Reference Specifications from Contract | ||
| 41 | BAPIDFKKCL - CONTRACT2 | Additional Reference Information | ||
| 42 | BAPIDFKKCL - CONT_ACCT | Contract Account Number | ||
| 43 | BAPIDFKKCL - CRD_DETAILS | Alternative Payment Card ID in Document | ||
| 44 | BAPIDFKKCL - CURRENCY | Transaction Currency | ||
| 45 | BAPIDFKKCL - CURRENCY_GL | Update Currency for General Ledger Transaction Figures | ||
| 46 | BAPIDFKKCL - CURRENCY_GL_ISO | ISO currency code | ||
| 47 | BAPIDFKKCL - CURRENCY_ISO | ISO currency code | ||
| 48 | BAPIDFKKCL - CURRENCY_OITEM | Document currency of open item | ||
| 49 | BAPIDFKKCL - CURRENCY_OITEM_ISO | ISO currency code | ||
| 50 | BAPIDFKKCL - DEFERRAL | Deferral to | ||
| 51 | BAPIDFKKCL - DISCOUNT_ACTIVATED | Indicator: Cash discount activated ? | ||
| 52 | BAPIDFKKCL - DISCOUNT_AMOUNT | Cash discount amount in transaction currency with +/- sign | ||
| 53 | BAPIDFKKCL - DISCOUNT_AMOUNT_LOC | Cash discount amount (+/-) in local currency | ||
| 54 | BAPIDFKKCL - DISCOUNT_AMOUNT_OITEM | Cash discount amount (+/-) in item currency | ||
| 55 | BAPIDFKKCL - DISCOUNT_AMOUNT_PAR2 | Cash Discount Amount in Local Currency 2 with +/- Sign | ||
| 56 | BAPIDFKKCL - DISCOUNT_AMOUNT_PAR3 | Cash Discount Amount in Local Currency 3 with +/- Sign | ||
| 57 | BAPIDFKKCL - DISCOUNT_BASE | Amount eligible for cash discount in document currency | ||
| 58 | BAPIDFKKCL - DISCOUNT_RATE | Accepted cash discount rate | ||
| 59 | BAPIDFKKCL - DISC_DUE | Due Date for Cash Discount | ||
| 60 | BAPIDFKKCL - DISC_RATE | Cash discount rate | ||
| 61 | BAPIDFKKCL - DIVISION | Division | ||
| 62 | BAPIDFKKCL - DOC_CAT | Category of substitute document in FI-CA | ||
| 63 | BAPIDFKKCL - DOC_DATE | Document Date in Document | ||
| 64 | BAPIDFKKCL - DOC_GROUP_FOR_SUMM | Document Group for Summarized Display | ||
| 65 | BAPIDFKKCL - DOC_NO | Number of Contract Accts Rec. & Payable Doc. | ||
| 66 | BAPIDFKKCL - DOC_TYPE | Document Type | ||
| 67 | BAPIDFKKCL - DOWN_PMNT | Item is a Down Payment/Down Payment Request | ||
| 68 | BAPIDFKKCL - DUNN_BLOCK | Dunning Lock Reason | ||
| 69 | BAPIDFKKCL - DUNN_PROC | Dunning Procedure | ||
| 70 | BAPIDFKKCL - DUN_INDIC | Dunning indicator | ||
| 71 | BAPIDFKKCL - EURO_STAT | Status of Euro Conversion | ||
| 72 | BAPIDFKKCL - EXEMPT_NO | Certificate Number of the Withholding Tax Exemption | ||
| 73 | BAPIDFKKCL - EXTERNAL_SYSTEM | ID of External System | ||
| 74 | BAPIDFKKCL - FINAL_RECIPIENT | Contract Account of Final Recipient | ||
| 75 | BAPIDFKKCL - FISC_YEAR | Fiscal Year | ||
| 76 | BAPIDFKKCL - FM_CATEGORY | Update Method for FM - FI-CA Integration | ||
| 77 | BAPIDFKKCL - FM_ORIG_AREA | Original FM Area for FM Account Assignment | ||
| 78 | BAPIDFKKCL - FUNC_AREA | Functional Area | ||
| 79 | BAPIDFKKCL - FUND | Fund | ||
| 80 | BAPIDFKKCL - FUNDS_CTR | Funds Center | ||
| 81 | BAPIDFKKCL - GRANT_NBR | Grant | ||
| 82 | BAPIDFKKCL - GROUPING | Grouping Key for Displaying Open Items | ||
| 83 | BAPIDFKKCL - G_L_ACCT | General ledger account | ||
| 84 | BAPIDFKKCL - INT_BLOCK | Interest Lock Reason | ||
| 85 | BAPIDFKKCL - INT_INFO | Doubtful Item Entry/Individual Value Adjustment | ||
| 86 | BAPIDFKKCL - INT_KEY | Interest Key | ||
| 87 | BAPIDFKKCL - ITEM | Item number in contract account document | ||
| 88 | BAPIDFKKCL - ITEM_ACTIVATED | Indicator: Items activated ? | ||
| 89 | BAPIDFKKCL - ITEM_NOT_IN_DB | Items not yet in database | ||
| 90 | BAPIDFKKCL - ITEM_SELECTED | Item selected | ||
| 91 | BAPIDFKKCL - ITEM_SUMARIZED | Displayed Item Is Summarized | ||
| 92 | BAPIDFKKCL - LINE_ITEM | Create Line Item in General Ledger | ||
| 93 | BAPIDFKKCL - MAIN_TRANS | Main Transaction for Line Item | ||
| 94 | BAPIDFKKCL - MANUAL_DISTRIBUTION | Distribution amounts changed manually | ||
| 95 | BAPIDFKKCL - MEASURE | Funded Program | ||
| 96 | BAPIDFKKCL - NET_AMOUNT | Net amount in transaction currency with +/- sign | ||
| 97 | BAPIDFKKCL - NET_AMOUNT_LOC | Net amount in local currency with +/- signs | ||
| 98 | BAPIDFKKCL - NET_AMOUNT_OITEM | Net amount (+/-) in item currency | ||
| 99 | BAPIDFKKCL - NET_AMOUNT_PAR2 | Net Amount in Second Local Currency With +/- Sign | ||
| 100 | BAPIDFKKCL - NET_AMOUNT_PAR3 | Net Amount in Third Local Currency With +/- Sign | ||
| 101 | BAPIDFKKCL - NET_CL_AMOUNT | Net Clearing Amount in Transaction Currency | ||
| 102 | BAPIDFKKCL - NET_CL_AMOUNT_LOC | Net clearing amount in local currency | ||
| 103 | BAPIDFKKCL - NET_CL_AMOUNT_OITEM | Net Clearing Amount in Currency of the Open Item | ||
| 104 | BAPIDFKKCL - NET_CL_AMOUNT_PAR2 | Net Clearing Amount in Second Local Currency | ||
| 105 | BAPIDFKKCL - NET_CL_AMOUNT_PAR3 | Net Clearing Amount in Third Local Currency | ||
| 106 | BAPIDFKKCL - NET_DATE | Due date for net payment | ||
| 107 | BAPIDFKKCL - NO_DUNNING | Exclude Item from Dunning Run | ||
| 108 | BAPIDFKKCL - NO_REPS | Number of repetition items | ||
| 109 | BAPIDFKKCL - NUMBER_REPETITIONS | Number of Items for this Repetition Group | ||
| 110 | BAPIDFKKCL - OFFSET_TAX | Account for offsetting tax posting in down payments | ||
| 111 | BAPIDFKKCL - ONLY_OFF | Item Can Only Be Cleared | ||
| 112 | BAPIDFKKCL - OTHER_TAX_CODE | Tax Code for Other Taxes | ||
| 113 | BAPIDFKKCL - PARTIAL_SELECTION | Indicator: Partial Selection of Postings | ||
| 114 | BAPIDFKKCL - PARTNER | Alternative business partner for payments | ||
| 115 | BAPIDFKKCL - PART_CLRG | Item Split | ||
| 116 | BAPIDFKKCL - PAYMENT_ADVICE | Payment Advice Note | ||
| 117 | BAPIDFKKCL - PAYMENT_FORM_NUMBER | Payment Form Number | ||
| 118 | BAPIDFKKCL - PAYMNT_GRP | Grouping field for automatic payments | ||
| 119 | BAPIDFKKCL - PERIOD_KEY | Key for Period Assignment | ||
| 120 | BAPIDFKKCL - PERSON_NO | Personnel Number | ||
| 121 | BAPIDFKKCL - PLAN_GRP | Planning Group | ||
| 122 | BAPIDFKKCL - PLAN_LEVEL | Planning level | ||
| 123 | BAPIDFKKCL - PMNT_BLOCK | Lock Reason for Automatic Payment | ||
| 124 | BAPIDFKKCL - PMNT_METH | Payment Method | ||
| 125 | BAPIDFKKCL - PORTION_TAX_AMOUNT_LOC | Tax Portion in FI-CA Local Currency | ||
| 126 | BAPIDFKKCL - POSTING_LOCK_KEY | Posting lock key | ||
| 127 | BAPIDFKKCL - POST_DATE | Posting Date in the Document | ||
| 128 | BAPIDFKKCL - PROP_DISC_AMOUNT | Proportional cash discount in transaction currency | ||
| 129 | BAPIDFKKCL - PROP_DISC_AMOUNT_LOC | Proportional cash discount in local currency | ||
| 130 | BAPIDFKKCL - PROP_DISC_AMOUNT_OITEM | Proportional cash discount amount in item currency | ||
| 131 | BAPIDFKKCL - PROP_DISC_AMOUNT_PAR2 | Proportional Cash Discount In Second Local Currency | ||
| 132 | BAPIDFKKCL - PROP_DISC_AMOUNT_PAR3 | Proportional Cash Discount In Local Currency 3 | ||
| 133 | BAPIDFKKCL - PROP_WTAX_AMOUNT | Proportional Withholding Tax Amount In Transaction Currency | ||
| 134 | BAPIDFKKCL - PROP_WTAX_AMOUNT_LOC | Proportional Withholding Tax Amount In Local Currency | ||
| 135 | BAPIDFKKCL - PROP_WTAX_AMOUNT_OITEM | Proportional Withholding Tax Amount In Item Currency | ||
| 136 | BAPIDFKKCL - PROP_WTAX_AMOUNT_PAR2 | Proportional Withholding Tax Amount In Local Currency 2 | ||
| 137 | BAPIDFKKCL - PROP_WTAX_AMOUNT_PAR3 | Proportional Withholding Tax Amount In Local Currency 3 | ||
| 138 | BAPIDFKKCL - REFERENCE_ITEM | Reference Item In FI-CA Document | ||
| 139 | BAPIDFKKCL - REFERENCE_POSITION | Reference Item for External Billing System | ||
| 140 | BAPIDFKKCL - REF_DOC_NO | Reference document number | ||
| 141 | BAPIDFKKCL - REPET_GRP | Repetition group | ||
| 142 | BAPIDFKKCL - REP_ITEM | Repetition Item in Contract Account Document | ||
| 143 | BAPIDFKKCL - RESTRICT | Clearing restriction | ||
| 144 | BAPIDFKKCL - REVERSECLG | Clearing posting reversed | ||
| 145 | BAPIDFKKCL - SEGMENT | Segment for Segmental Reporting | ||
| 146 | BAPIDFKKCL - STATUS | Clearing status | ||
| 147 | BAPIDFKKCL - STAT_KEY | Type of statistical item | ||
| 148 | BAPIDFKKCL - STAT_KEY_SRC | Statistical Key of the Initiating Item | ||
| 149 | BAPIDFKKCL - STAT_TAX_AMOUNT | Tax Amount as Statistical Information in Document Currency | ||
| 150 | BAPIDFKKCL - SUB_APPLICATION | Subapplication in Contract Accounts Receivable and Payable | ||
| 151 | BAPIDFKKCL - SUB_DOC | Number of the substitute FI-CA document | ||
| 152 | BAPIDFKKCL - SUB_ITEM | Subitem for a Partial Clearing in Document | ||
| 153 | BAPIDFKKCL - SUB_TRANS | Subtransaction for Document Item | ||
| 154 | BAPIDFKKCL - SUMM_ITEM_CHNGED | Ssummarization line item changed | ||
| 155 | BAPIDFKKCL - SUMM_ITEM_NUMBER | Summarization item number | ||
| 156 | BAPIDFKKCL - TAXJURCODE | Tax Jurisdiction | ||
| 157 | BAPIDFKKCL - TAX_ACCT | Account for posting taxes for down payments | ||
| 158 | BAPIDFKKCL - TAX_AMOUNT | Tax amount in transaction currency with +/- sign | ||
| 159 | BAPIDFKKCL - TAX_AMOUNT_CLEAR | Tax Amount in Clearing Currency | ||
| 160 | BAPIDFKKCL - TAX_AMOUNT_GL | Tax Amount for Update in General Ledger | ||
| 161 | BAPIDFKKCL - TAX_AMOUNT_LOC_CURR | Tax Amount in Local Currency with +/- Sign | ||
| 162 | BAPIDFKKCL - TAX_AMOUNT_OITEM | Tax Amount of An Open Item in Document Currency | ||
| 163 | BAPIDFKKCL - TAX_AMOUNT_PAR2_CURR | Tax amount in second parallel currency | ||
| 164 | BAPIDFKKCL - TAX_AMOUNT_PAR3_CURR | Tax amount in third parallel currency | ||
| 165 | BAPIDFKKCL - TAX_CATEGORY | Tax type | ||
| 166 | BAPIDFKKCL - TAX_CODE | Tax on sales/purchases code | ||
| 167 | BAPIDFKKCL - TAX_DATE | Decisive Date for Calculating Taxes | ||
| 168 | BAPIDFKKCL - TEXT | Item text | ||
| 169 | BAPIDFKKCL - TRADE_ID | Company ID of trading partner | ||
| 170 | BAPIDFKKCL - TRAN_RATE | Exchange rate | ||
| 171 | BAPIDFKKCL - VAL_DATE | Value date for clearing | ||
| 172 | BAPIDFKKCL - W_TAX_AMOUNT | Withholding Tax Amount in Document Currency | ||
| 173 | BAPIDFKKCL - W_TAX_BASE | Tax Base Amount | ||
| 174 | BAPIDFKKCL - W_TAX_CODE | Withholding Tax Code | ||
| 175 | BAPIDFKKCL - W_TAX_LICAT | Line Item Category From Withholding Tax View | ||
| 176 | BAPIDFKKCL - W_TAX_STATUS | Withholding Tax Processing Status | ||
| 177 | BAPIDFKKCL - W_TAX_SUPPL | Withholding Tax Supplement | ||
| 178 | BAPIDFKKCL - XREPETPOS | Expanded Repetition Item | ||
| 179 | FKKCL - ABRZO | Upper Limit of the Billing Period | ||
| 180 | FKKCL - ABRZU | Lower Limit of Settlement Period | ||
| 181 | FKKCL - ABWBL | Number of the substitute FI-CA document | ||
| 182 | FKKCL - ABWTP | Category of substitute document in FI-CA | ||
| 183 | FKKCL - APPLK | Application area | ||
| 184 | FKKCL - AQSB2 | Proportional Withholding Tax Amount In Local Currency 2 | ||
| 185 | FKKCL - AQSB3 | Proportional Withholding Tax Amount In Local Currency 3 | ||
| 186 | FKKCL - AQSBH | Proportional Withholding Tax Amount In Local Currency | ||
| 187 | FKKCL - AQSBO | Proportional Withholding Tax Amount In Item Currency | ||
| 188 | FKKCL - AQSBW | Proportional Withholding Tax Amount In Transaction Currency | ||
| 189 | FKKCL - ASKT2 | Proportional cash discount in local currency 2 | ||
| 190 | FKKCL - ASKT3 | Proportional cash discount in local currency 3 | ||
| 191 | FKKCL - ASKTH | Proportional cash discount in local currency | ||
| 192 | FKKCL - ASKTO | Proportional cash discount amount in item currency | ||
| 193 | FKKCL - ASKTW | Proportional cash discount in transaction currency | ||
| 194 | FKKCL - ASTKZ | Statistical Key of the Initiating Item | ||
| 195 | FKKCL - AUGB2 | Clearing Amount in Second Local Currency (With +/- Sign) | ||
| 196 | FKKCL - AUGB3 | Clearing Amount in Third Local Currency (With +/- Sign) | ||
| 197 | FKKCL - AUGBD | Clearing document posting date | ||
| 198 | FKKCL - AUGBH | Clearing amount in local currency with +/- sign | ||
| 199 | FKKCL - AUGBL | Clearing Document or Printed Document | ||
| 200 | FKKCL - AUGBO | Clearing Amount in Open Item Currency | ||
| 201 | FKKCL - AUGBS | Tax amount in clearing currency | ||
| 202 | FKKCL - AUGBT | Clearing amount in clearing currency | ||
| 203 | FKKCL - AUGBW | Clearing Amount in Transaction Currency (With +/- Sign) | ||
| 204 | FKKCL - AUGDT | Clearing date | ||
| 205 | FKKCL - AUGOB | Item Canceled | ||
| 206 | FKKCL - AUGRD | Clearing Reason | ||
| 207 | FKKCL - AUGRS | Clearing restriction | ||
| 208 | FKKCL - AUGST | Clearing status | ||
| 209 | FKKCL - AUGVD | Value date for clearing | ||
| 210 | FKKCL - AUGWA | Clearing currency | ||
| 211 | FKKCL - AVKEY | Payment Advice Note | ||
| 212 | FKKCL - AZVDG | Document Group for Summarized Display | ||
| 213 | FKKCL - BETR2 | Amount in second parallel currency with +/- sign | ||
| 214 | FKKCL - BETR3 | Amount in third parallel currency with +/- sign | ||
| 215 | FKKCL - BETRH | Amount In Local Currency With +/- Signs | ||
| 216 | FKKCL - BETRW | Amount in Transaction Currency with +/- Sign | ||
| 217 | FKKCL - BLART | Document Type | ||
| 218 | FKKCL - BLDAT | Document Date in Document | ||
| 219 | FKKCL - BUDAT | Posting Date in the Document | ||
| 220 | FKKCL - BUDGETYEAR | Original Year for FM Account Assignment | ||
| 221 | FKKCL - BUKRS | Company Code | ||
| 222 | FKKCL - EMADR | Address number | ||
| 223 | FKKCL - EMBVT | Bank Details ID of Payee | ||
| 224 | FKKCL - EMCRD | Alternative Payment Card ID in Document | ||
| 225 | FKKCL - EMGPA | Alternative business partner for payments | ||
| 226 | FKKCL - EUROU | Status of Euro Conversion | ||
| 227 | FKKCL - FAEDN | Due date for net payment | ||
| 228 | FKKCL - FAEDS | Due Date for Cash Discount | ||
| 229 | FKKCL - FDGRP | Planning Group | ||
| 230 | FKKCL - FDLEV | Planning level | ||
| 231 | FKKCL - FDWBT | Planned Amount in Document or G/L Account Currency | ||
| 232 | FKKCL - FDZTG | Additional Days for Cash Management | ||
| 233 | FKKCL - FINRE | Contract Account of Final Recipient | ||
| 234 | FKKCL - FIPEX | Commitment item | ||
| 235 | FKKCL - FISTL | Funds Center | ||
| 236 | FKKCL - FITPR | Tax type | ||
| 237 | FKKCL - FKBER | Functional Area | ||
| 238 | FKKCL - FMTYP | Update Method for FM - FI-CA Integration | ||
| 239 | FKKCL - FONDS | Fund | ||
| 240 | FKKCL - GPART | Business Partner Number | ||
| 241 | FKKCL - GRANT_NBR | Grant | ||
| 242 | FKKCL - GRKEY | Grouping Key for Displaying Open Items | ||
| 243 | FKKCL - GSBER | Business Area | ||
| 244 | FKKCL - HKONT | General ledger account | ||
| 245 | FKKCL - HVORG | Main Transaction for Line Item | ||
| 246 | FKKCL - IKEY | Interest Key | ||
| 247 | FKKCL - INFOZ | Doubtful Item Entry/Individual Value Adjustment | ||
| 248 | FKKCL - INKPS | Collection Item | ||
| 249 | FKKCL - INSEL | Indicator: Partial Selection of Postings | ||
| 250 | FKKCL - KOFIZ | Account Determination ID | ||
| 251 | FKKCL - KONTL | Acct assnmnt string for industry-specific account assngments | ||
| 252 | FKKCL - KONTT | Account Assignment Category | ||
| 253 | FKKCL - KURSF | Exchange rate | ||
| 254 | FKKCL - MAHNV | Dunning Procedure | ||
| 255 | FKKCL - MANSP | Dunning Lock Reason | ||
| 256 | FKKCL - MEASURE | Funded Program | ||
| 257 | FKKCL - MWSKO | Account for posting taxes for down payments | ||
| 258 | FKKCL - MWSKZ | Tax on sales/purchases code | ||
| 259 | FKKCL - MWVKO | Account for offsetting tax posting in down payments | ||
| 260 | FKKCL - NAUG2 | Net clearing amount in second local currency | ||
| 261 | FKKCL - NAUG3 | Net clearing amount in third local currency | ||
| 262 | FKKCL - NAUGH | Net clearing amount in local currency | ||
| 263 | FKKCL - NAUGO | Net clearing amount in currency of the open item | ||
| 264 | FKKCL - NAUGW | Net clearing amount in transaction currency | ||
| 265 | FKKCL - NETT2 | Net amount in second local currency with +/- sign | ||
| 266 | FKKCL - NETT3 | Net amount in third local currency with +/- sign | ||
| 267 | FKKCL - NETTH | Net amount in local currency with +/- signs | ||
| 268 | FKKCL - NETTO | Net amount (+/-) in item currency | ||
| 269 | FKKCL - NETTW | Net amount in transaction currency with +/- sign | ||
| 270 | FKKCL - NRZAS | Payment Form Number | ||
| 271 | FKKCL - OPBEL | Number of Contract Accts Rec. & Payable Doc. | ||
| 272 | FKKCL - OPSTA | Dunning indicator | ||
| 273 | FKKCL - OPTXT | Item text | ||
| 274 | FKKCL - OPUPK | Item number in contract account document | ||
| 275 | FKKCL - OPUPW | Repetition Item in Contract Account Document | ||
| 276 | FKKCL - OPUPZ | Subitem for a Partial Clearing in Document | ||
| 277 | FKKCL - ORIBT | Posting amount of an open item in document currency | ||
| 278 | FKKCL - ORIGFIKRS | Original FM Area for FM Account Assignment | ||
| 279 | FKKCL - ORISB | Tax amount of an open item in document currency | ||
| 280 | FKKCL - ORIWA | Document currency of open item | ||
| 281 | FKKCL - PERNR | Personnel Number | ||
| 282 | FKKCL - PERSL | Key for Period Assignment | ||
| 283 | FKKCL - PSWBT | Amount for Updating in General Ledger | ||
| 284 | FKKCL - PSWSL | Update Currency for General Ledger Transaction Figures | ||
| 285 | FKKCL - PSWTX | Tax Amount for Update in General Ledger | ||
| 286 | FKKCL - PYGRP | Grouping field for automatic payments | ||
| 287 | FKKCL - PYMET | Payment Method | ||
| 288 | FKKCL - QBSHB | Withholding Tax Amount (in Document Currency) | ||
| 289 | FKKCL - QSPTP | Line Item Category From Withholding Tax View | ||
| 290 | FKKCL - QSSEW | Withholding Tax Supplement | ||
| 291 | FKKCL - QSSHB | Tax Base Amount | ||
| 292 | FKKCL - QSSKZ | Withholding Tax Code | ||
| 293 | FKKCL - QSSTA | Withholding Tax Processing Status | ||
| 294 | FKKCL - QSZNR | Certificate Number of the Withholding Tax Exemption | ||
| 295 | FKKCL - RFUPK | Reference Item In FI-CA Document | ||
| 296 | FKKCL - SBET2 | Tax amount in second parallel currency | ||
| 297 | FKKCL - SBET3 | Tax amount in third parallel currency | ||
| 298 | FKKCL - SBETH | Tax Amount in Local Currency With +/- Sign | ||
| 299 | FKKCL - SBETW | Tax Amount in Transaction Currency with +/- Sign | ||
| 300 | FKKCL - SCTAX | Tax Portion in FI-CA Local Currency | ||
| 301 | FKKCL - SEGMENT | Segment for Segmental Reporting | ||
| 302 | FKKCL - SKFBT | Amount eligible for cash discount in document currency | ||
| 303 | FKKCL - SKTO2 | Cash discount amount in local currency 2 with +/- sign | ||
| 304 | FKKCL - SKTO3 | Cash discount amount in local currency 3 with +/- sign | ||
| 305 | FKKCL - SKTOH | Cash discount amount (+/-) in local currency | ||
| 306 | FKKCL - SKTOO | Cash discount amount (+/-) in item currency | ||
| 307 | FKKCL - SKTOW | Cash discount amount in transaction currency with +/- sign | ||
| 308 | FKKCL - SKTPA | Accepted cash discount rate | ||
| 309 | FKKCL - SKTPZ | Cash discount rate | ||
| 310 | FKKCL - SPART | Division | ||
| 311 | FKKCL - SPERZ | Interest Lock Reason | ||
| 312 | FKKCL - SPPOS | Posting lock key | ||
| 313 | FKKCL - SPZAH | Lock Reason for Automatic Payment | ||
| 314 | FKKCL - STAKZ | Type of statistical item | ||
| 315 | FKKCL - STRKZ | Tax Code for Other Taxes | ||
| 316 | FKKCL - STTAX | Tax Amount as Statistical Information in Document Currency | ||
| 317 | FKKCL - STUDT | Deferral to | ||
| 318 | FKKCL - SUBAP | Subapplication in Contract Accounts Receivable and Payable | ||
| 319 | FKKCL - TVORG | Subtransaction for Document Item | ||
| 320 | FKKCL - TXDAT | Decisive Date for Calculating Taxes | ||
| 321 | FKKCL - TXJCD | Tax Jurisdiction | ||
| 322 | FKKCL - VBUND | Company ID of trading partner | ||
| 323 | FKKCL - VERDP | Summarization item number | ||
| 324 | FKKCL - VERKZ | Item Can Only Be Cleared | ||
| 325 | FKKCL - VKONT | Contract Account Number | ||
| 326 | FKKCL - VTRE2 | Additional Reference Information | ||
| 327 | FKKCL - VTREF | Reference Specifications from Contract | ||
| 328 | FKKCL - WAERS | Transaction Currency | ||
| 329 | FKKCL - WHANG | Number of repetition items | ||
| 330 | FKKCL - WHANZ | Number of Items for this Repetition Group | ||
| 331 | FKKCL - WHGRP | Repetition group | ||
| 332 | FKKCL - XAESP | Printing - No Changes Possible | ||
| 333 | FKKCL - XAKTP | Indicator: Items activated ? | ||
| 334 | FKKCL - XAKTS | Indicator: Cash discount activated ? | ||
| 335 | FKKCL - XANZA | Item is a Down Payment/Down Payment Request | ||
| 336 | FKKCL - XAUGP | Check Sample Record Clearing | ||
| 337 | FKKCL - XBLNR | Reference document number | ||
| 338 | FKKCL - XCHNG | Ssummarization line item changed | ||
| 339 | FKKCL - XCLON | Clear Items Without Follow-On Posting | ||
| 340 | FKKCL - XDETV | Distribution amounts changed manually | ||
| 341 | FKKCL - XEIPH | Create Line Item in General Ledger | ||
| 342 | FKKCL - XMANL | Exclude Item from Dunning Run | ||
| 343 | FKKCL - XMARK | Item selected | ||
| 344 | FKKCL - XMEMO | Items not yet in database | ||
| 345 | FKKCL - XRAGL | Clearing posting reversed | ||
| 346 | FKKCL - XTAUS | Item Split | ||
| 347 | FKKCL - XVERD | Displayed Item Is Summarized | ||
| 348 | FKKCL - XWHPO | Expanded Repetition Item | ||
| 349 | FKKCLBT - AQSB2 | Proportional Withholding Tax Amount In Local Currency 2 | ||
| 350 | FKKCLBT - AQSB3 | Proportional Withholding Tax Amount In Local Currency 3 | ||
| 351 | FKKCLBT - AQSBH | Proportional Withholding Tax Amount In Local Currency | ||
| 352 | FKKCLBT - AQSBO | Proportional Withholding Tax Amount In Item Currency | ||
| 353 | FKKCLBT - AQSBW | Proportional Withholding Tax Amount In Transaction Currency | ||
| 354 | FKKCLBT - ASKT2 | Proportional cash discount in local currency 2 | ||
| 355 | FKKCLBT - ASKT3 | Proportional cash discount in local currency 3 | ||
| 356 | FKKCLBT - ASKTH | Proportional cash discount in local currency | ||
| 357 | FKKCLBT - ASKTO | Proportional cash discount amount in item currency | ||
| 358 | FKKCLBT - ASKTW | Proportional cash discount in transaction currency | ||
| 359 | FKKCLBT - AUGB2 | Clearing Amount in Second Local Currency (With +/- Sign) | ||
| 360 | FKKCLBT - AUGB3 | Clearing Amount in Third Local Currency (With +/- Sign) | ||
| 361 | FKKCLBT - AUGBH | Clearing amount in local currency with +/- sign | ||
| 362 | FKKCLBT - AUGBO | Clearing Amount in Open Item Currency | ||
| 363 | FKKCLBT - AUGBW | Clearing Amount in Transaction Currency (With +/- Sign) | ||
| 364 | FKKCLBT - NAUG2 | Net clearing amount in second local currency | ||
| 365 | FKKCLBT - NAUG3 | Net clearing amount in third local currency | ||
| 366 | FKKCLBT - NAUGH | Net clearing amount in local currency | ||
| 367 | FKKCLBT - NAUGO | Net clearing amount in currency of the open item | ||
| 368 | FKKCLBT - NAUGW | Net clearing amount in transaction currency | ||
| 369 | FKKCLBT - NETT2 | Net amount in second local currency with +/- sign | ||
| 370 | FKKCLBT - NETT3 | Net amount in third local currency with +/- sign | ||
| 371 | FKKCLBT - NETTH | Net amount in local currency with +/- signs | ||
| 372 | FKKCLBT - NETTO | Net amount (+/-) in item currency | ||
| 373 | FKKCLBT - NETTW | Net amount in transaction currency with +/- sign | ||
| 374 | FKKCLBT - ORIBT | Posting amount of an open item in document currency | ||
| 375 | FKKCLBT - ORISB | Tax amount of an open item in document currency | ||
| 376 | FKKCLBT - SKTO2 | Cash discount amount in local currency 2 with +/- sign | ||
| 377 | FKKCLBT - SKTO3 | Cash discount amount in local currency 3 with +/- sign | ||
| 378 | FKKCLBT - SKTOH | Cash discount amount (+/-) in local currency | ||
| 379 | FKKCLBT - SKTOO | Cash discount amount (+/-) in item currency | ||
| 380 | FKKCLBT - SKTOW | Cash discount amount in transaction currency with +/- sign | ||
| 381 | FKKOP - ABRZO | Upper Limit of the Billing Period | ||
| 382 | FKKOP - ABRZU | Lower Limit of Settlement Period | ||
| 383 | FKKOP - ABWBL | Number of the substitute FI-CA document | ||
| 384 | FKKOP - ABWTP | Category of substitute document in FI-CA | ||
| 385 | FKKOP - APPLK | Application area | ||
| 386 | FKKOP - ASTKZ | Statistical Key of the Initiating Item | ||
| 387 | FKKOP - AUGBD | Clearing document posting date | ||
| 388 | FKKOP - AUGBL | Clearing Document or Printed Document | ||
| 389 | FKKOP - AUGBS | Tax amount in clearing currency | ||
| 390 | FKKOP - AUGBT | Clearing amount in clearing currency | ||
| 391 | FKKOP - AUGDT | Clearing date | ||
| 392 | FKKOP - AUGOB | Item Canceled | ||
| 393 | FKKOP - AUGRD | Clearing Reason | ||
| 394 | FKKOP - AUGRS | Clearing restriction | ||
| 395 | FKKOP - AUGST | Clearing status | ||
| 396 | FKKOP - AUGVD | Value date for clearing | ||
| 397 | FKKOP - AUGWA | Clearing currency | ||
| 398 | FKKOP - BETR2 | Amount in second parallel currency with +/- sign | ||
| 399 | FKKOP - BETR3 | Amount in third parallel currency with +/- sign | ||
| 400 | FKKOP - BETRH | Amount In Local Currency With +/- Signs | ||
| 401 | FKKOP - BETRW | Amount in Transaction Currency with +/- Sign | ||
| 402 | FKKOP - BLART | Document Type | ||
| 403 | FKKOP - BLDAT | Document Date in Document | ||
| 404 | FKKOP - BUDAT | Posting Date in the Document | ||
| 405 | FKKOP - BUDGETYEAR | Original Year for FM Account Assignment | ||
| 406 | FKKOP - BUKRS | Company Code | ||
| 407 | FKKOP - EMADR | Address number | ||
| 408 | FKKOP - EMBVT | Bank Details ID of Payee | ||
| 409 | FKKOP - EMCRD | Alternative Payment Card ID in Document | ||
| 410 | FKKOP - EMGPA | Alternative business partner for payments | ||
| 411 | FKKOP - EUROU | Status of Euro Conversion | ||
| 412 | FKKOP - FAEDN | Due date for net payment | ||
| 413 | FKKOP - FAEDS | Due Date for Cash Discount | ||
| 414 | FKKOP - FDGRP | Planning Group | ||
| 415 | FKKOP - FDLEV | Planning level | ||
| 416 | FKKOP - FDWBT | Planned Amount in Document or G/L Account Currency | ||
| 417 | FKKOP - FDZTG | Additional Days for Cash Management | ||
| 418 | FKKOP - FINRE | Contract Account of Final Recipient | ||
| 419 | FKKOP - FIPEX | Commitment item | ||
| 420 | FKKOP - FISTL | Funds Center | ||
| 421 | FKKOP - FITPR | Tax type | ||
| 422 | FKKOP - FKBER | Functional Area | ||
| 423 | FKKOP - FMTYP | Update Method for FM - FI-CA Integration | ||
| 424 | FKKOP - FONDS | Fund | ||
| 425 | FKKOP - GPART | Business Partner Number | ||
| 426 | FKKOP - GRANT_NBR | Grant | ||
| 427 | FKKOP - GRKEY | Grouping Key for Displaying Open Items | ||
| 428 | FKKOP - GSBER | Business Area | ||
| 429 | FKKOP - HKONT | General ledger account | ||
| 430 | FKKOP - HVORG | Main Transaction for Line Item | ||
| 431 | FKKOP - IKEY | Interest Key | ||
| 432 | FKKOP - INFOZ | Doubtful Item Entry/Individual Value Adjustment | ||
| 433 | FKKOP - INKPS | Collection Item | ||
| 434 | FKKOP - KOFIZ | Account Determination ID | ||
| 435 | FKKOP - KONTL | Acct assnmnt string for industry-specific account assngments | ||
| 436 | FKKOP - KONTT | Account Assignment Category | ||
| 437 | FKKOP - KURSF | Exchange rate | ||
| 438 | FKKOP - MAHNV | Dunning Procedure | ||
| 439 | FKKOP - MANSP | Dunning Lock Reason | ||
| 440 | FKKOP - MEASURE | Funded Program | ||
| 441 | FKKOP - MWSKO | Account for posting taxes for down payments | ||
| 442 | FKKOP - MWSKZ | Tax on sales/purchases code | ||
| 443 | FKKOP - MWVKO | Account for offsetting tax posting in down payments | ||
| 444 | FKKOP - OPBEL | Number of Contract Accts Rec. & Payable Doc. | ||
| 445 | FKKOP - OPSTA | Dunning indicator | ||
| 446 | FKKOP - OPTXT | Item text | ||
| 447 | FKKOP - OPUPK | Item number in contract account document | ||
| 448 | FKKOP - OPUPW | Repetition Item in Contract Account Document | ||
| 449 | FKKOP - OPUPZ | Subitem for a Partial Clearing in Document | ||
| 450 | FKKOP - ORIGFIKRS | Original FM Area for FM Account Assignment | ||
| 451 | FKKOP - PERNR | Personnel Number | ||
| 452 | FKKOP - PERSL | Key for Period Assignment | ||
| 453 | FKKOP - PSWBT | Amount for Updating in General Ledger | ||
| 454 | FKKOP - PSWSL | Update Currency for General Ledger Transaction Figures | ||
| 455 | FKKOP - PSWTX | Tax Amount for Update in General Ledger | ||
| 456 | FKKOP - PYGRP | Grouping field for automatic payments | ||
| 457 | FKKOP - PYMET | Payment Method | ||
| 458 | FKKOP - QBSHB | Withholding Tax Amount (in Document Currency) | ||
| 459 | FKKOP - QSPTP | Line Item Category From Withholding Tax View | ||
| 460 | FKKOP - QSSEW | Withholding Tax Supplement | ||
| 461 | FKKOP - QSSHB | Tax Base Amount | ||
| 462 | FKKOP - QSSKZ | Withholding Tax Code | ||
| 463 | FKKOP - QSZNR | Certificate Number of the Withholding Tax Exemption | ||
| 464 | FKKOP - RFUPK | Reference Item In FI-CA Document | ||
| 465 | FKKOP - SBET2 | Tax amount in second parallel currency | ||
| 466 | FKKOP - SBET3 | Tax amount in third parallel currency | ||
| 467 | FKKOP - SBETH | Tax Amount in Local Currency With +/- Sign | ||
| 468 | FKKOP - SBETW | Tax Amount in Transaction Currency with +/- Sign | ||
| 469 | FKKOP - SCTAX | Tax Portion in FI-CA Local Currency | ||
| 470 | FKKOP - SEGMENT | Segment for Segmental Reporting | ||
| 471 | FKKOP - SKFBT | Amount eligible for cash discount in document currency | ||
| 472 | FKKOP - SKTPZ | Cash discount rate | ||
| 473 | FKKOP - SPART | Division | ||
| 474 | FKKOP - SPERZ | Interest Lock Reason | ||
| 475 | FKKOP - SPZAH | Lock Reason for Automatic Payment | ||
| 476 | FKKOP - STAKZ | Type of statistical item | ||
| 477 | FKKOP - STRKZ | Tax Code for Other Taxes | ||
| 478 | FKKOP - STTAX | Tax Amount as Statistical Information in Document Currency | ||
| 479 | FKKOP - STUDT | Deferral to | ||
| 480 | FKKOP - SUBAP | Subapplication in Contract Accounts Receivable and Payable | ||
| 481 | FKKOP - TVORG | Subtransaction for Document Item | ||
| 482 | FKKOP - TXDAT | Decisive Date for Calculating Taxes | ||
| 483 | FKKOP - TXJCD | Tax Jurisdiction | ||
| 484 | FKKOP - VBUND | Company ID of trading partner | ||
| 485 | FKKOP - VERKZ | Item Can Only Be Cleared | ||
| 486 | FKKOP - VKONT | Contract Account Number | ||
| 487 | FKKOP - VTRE2 | Additional Reference Information | ||
| 488 | FKKOP - VTREF | Reference Specifications from Contract | ||
| 489 | FKKOP - WAERS | Transaction Currency | ||
| 490 | FKKOP - WHANG | Number of repetition items | ||
| 491 | FKKOP - WHGRP | Repetition group | ||
| 492 | FKKOP - XAESP | Printing - No Changes Possible | ||
| 493 | FKKOP - XANZA | Item is a Down Payment/Down Payment Request | ||
| 494 | FKKOP - XAUGP | Check Sample Record Clearing | ||
| 495 | FKKOP - XBLNR | Reference document number | ||
| 496 | FKKOP - XEIPH | Create Line Item in General Ledger | ||
| 497 | FKKOP - XMANL | Exclude Item from Dunning Run | ||
| 498 | FKKOP - XRAGL | Clearing posting reversed | ||
| 499 | FKKOP - XTAUS | Item Split | ||
| 500 | FKKOP - XWHPO | Expanded Repetition Item |