Domain list used by SAP ABAP PINF _ABA_DEFAULT (_ABA_DEFAULT)
SAP ABAP PINF
_ABA_DEFAULT (_ABA_DEFAULT) is using
pages: 1 2
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | TFMSRHY | Update rule | ||
| 2 | TFMSRHYZAP | Rule for date update for interest rate adjustment | ||
| 3 | TFMSRUNDVF | Rounding indicator for prepayment interest (FIMA) | ||
| 4 | TFMSRUNIT | Rounding unit in FiMa | ||
| 5 | TFMSSALBAS | Indicator for debit position/incoming pmnt (internal FiMa) | ||
| 6 | TFMSSPLIT | Reason for Split | ||
| 7 | TFMSSTAFF | Type of scaled calculation | ||
| 8 | TFMSTCKNOT | Internal FiMa indicator for unit-quoted securities | ||
| 9 | TFMSVMOVE | FiMa indicator: Shift settlement date | ||
| 10 | TFMSZBMETH | Interest calculation method indic. (financial mathematics) | ||
| 11 | TFMURHY | Unit for Frequency | ||
| 12 | TFMVRELDAT | Reference Date for Calculation Date | ||
| 13 | TFMXTEXT60 | Text with length 60 (financial mathematics) | ||
| 14 | TFMXTEXT99 | Text with length 99 (financial mathematics) | ||
| 15 | TFMZIREFKU | Internal interest reference code for financial mathematics | ||
| 16 | TFMZRELDAT | Reference Date for Interest Rate Determination Date | ||
| 17 | TFM_AMMRHYZV | Interest Settlement Frequency for Exponential Interest Calc. | ||
| 18 | TFM_CALC_MODE | Calculation Mode: Alternative Effective Interest Calculation | ||
| 19 | TFM_CURRKEY | Currency Key | ||
| 20 | TFM_DEC6_5 | Decimal Number | ||
| 21 | TFM_DEC_20_14 | Decimal Number | ||
| 22 | TFM_INT5 | Integer 5 | ||
| 23 | TFM_IRRMETHOD | Method for Determining Internal Rate of Return | ||
| 24 | TFM_JANNVERR | Settle Annuity Installment | ||
| 25 | TFM_JSOFTILG | Begin with Repayment Immediately | ||
| 26 | TFM_KBKOND | Currency-independent FiMa condition amount | ||
| 27 | TFM_PERIODICITY | Type of Installment Payment | ||
| 28 | TFM_PEXCHRATE | Exchange Rate | ||
| 29 | TFM_PPAYMENT | Payment Rate | ||
| 30 | TFM_PPAYMENT_INTERN | Payment Rate (FIMA Internal for Mapping Time Periods) | ||
| 31 | TFM_REPAYMENT_TYPE | Repayment Type | ||
| 32 | TFM_SAEND | Change indicator for FiMa flow records (cash flow) | ||
| 33 | TFM_SBASIS | Calculation base indicator | ||
| 34 | TFM_SDISCOUNT | Discounting Category | ||
| 35 | TFM_SEQUENCE | Processing Sequence of Conditions | ||
| 36 | TFM_SFIXING | Fixing Category | ||
| 37 | TFM_SIRUNIT | Time Unit for the Interest Rate | ||
| 38 | TFM_SKEYDAY | Key Date for Date Update | ||
| 39 | TFM_SROUND | Round (Up, Down or to the Nearest) | ||
| 40 | TFM_SWOHER | Indicator for the source of a FiMa flow record | ||
| 41 | TFM_SZAWS | Payment form (at start of period, mid-period, at period end) | ||
| 42 | TFM_WAERS | Internal currency key used by SAP financial mathematics | ||
| 43 | TFM_WRTV12 | 12-Character Value Field with +/- Sign | ||
| 44 | TFM_WRTV7 | 7-character value field with +/- sign (internal FiMa) | ||
| 45 | TFM_WRTV9 | 9-figure value field with +/- sign | ||
| 46 | TIMEUNIT | Duration unit | ||
| 47 | TRIG_MOD | Trigger type: 1 = individual, 2 = mass | ||
| 48 | TXT132 | SAP-EIS: Text of length 132 | ||
| 49 | T_FORMBE | Formula identification | ||
| 50 | T_GSTAGE | Number of working days | ||
| 51 | T_RPERFORM | Name of a form routine | ||
| 52 | T_SFMETH | Method for determining the next due date | ||
| 53 | T_SVMETH | Method for determining the next value date | ||
| 54 | T_SWERK | Working Day Shift | ||
| 55 | T_XFELD04 | Treasury text, length 04 | ||
| 56 | T_XTEXT08 | Treasury text, length 8 | ||
| 57 | T_XTEXT30 | Treasury text, length 30 | ||
| 58 | UPS_OBJTYP | ALE Distribution Packet: Object Type | ||
| 59 | USGFL | Usage indicator | ||
| 60 | VVSBASTYP | InvMath.-internal calculation base type | ||
| 61 | VVSEXCLVON | Exclusive indicator for the start date of a period | ||
| 62 | VVSFANT | Indicator for due date-related FiMa calculations | ||
| 63 | VVSINCL | Inclusive ID for beginning and end of a calculation period | ||
| 64 | VVSINCLBIS | Inclusive indicator for end date of a period | ||
| 65 | VVSINCLVER | Inclusive indicator for settlement date (Cash flow) | ||
| 66 | VVSTGBASIS | Base Day Method of the Interest Calculation Method | ||
| 67 | VVSTGMETH | Daily Method | ||
| 68 | VVSULT | Month-end indicator | ||
| 69 | VVSZEITANT | Indicator for pro rate calculations in cash flow | ||
| 70 | XKBEZ | General short description | ||
| 71 | XO_COMPARE_RESULT | Comparison Results | ||
| 72 | XO_OBJECT_KEY | General Key Parameters | ||
| 73 | XO_OBJECT_NAME | Object Name | ||
| 74 | ZIREFKU | Interest reference ID |