Table list used by SAP ABAP PINF _FS-CD_DEFAULT (_FS-CD_DEFAULT)
SAP ABAP PINF
_FS-CD_DEFAULT (_FS-CD_DEFAULT) is using
pages: 1 2
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | BAPICD_ACCOUNT | FS-CD: BAPI Structure for Contract Account Data | ||
| 2 | BAPICD_ACCOUNTX | FS-CD: BAPI Change Structure for Contract Account Data | ||
| 3 | BAPICD_ACCOUNT_CH | FS-CD: BAPI Structure for Contract Account Data (Change) | ||
| 4 | BAPICD_ACCOUNT_CHX | FS-CD: BAPI Change Struct. for FS-CD Ctr. Acct Data (Change) | ||
| 5 | BAPICD_ACCOUNT_PARTNER | OBSOLETE: Use BAPICD_ACCOUNT_PART | ||
| 6 | BAPICD_ACCOUNT_PARTNERX | OBSOLETE: Use BAPICD_AMOUNT_PARTX | ||
| 7 | BAPICD_ACCOUNT_PARTNER_CORR | OBSOLETE: User BAPICD_ACCOUNT_PART_CORR | ||
| 8 | BAPICD_ACCOUNT_PARTNER_CORRX | OBSOLETE: Use BAPICD_ACCOUNT_PART_CORRX | ||
| 9 | BAPICD_ACCOUNT_PARTNER_CORR_D | OBSOLETE: Use BAPICD_AMOUNT_PART_CORR_D | ||
| 10 | BAPICD_ACCOUNT_PARTNER_D | OBSOLETE: Use BPICD_ACCOUNT_PART_D | ||
| 11 | BAPICD_ACCOUNT_PARTNER_LOCK | OBSOLETE: Use BAPICD_ACCOUNT_PART_LOCK | ||
| 12 | BAPICD_ACCOUNT_PARTNER_LOCKX | OBSOLETE: Use BAPICD_ACCOUNT_PART_LOCKX | ||
| 13 | BAPICD_ACCOUNT_PARTNER_LOCK_D | OBSOLETE: Use BAPICD_ACCOUNT_PART_LOCK_D | ||
| 14 | BAPICD_ACCOUNT_TAX | FS-CD: BAPI Structure for Account Tax Data | ||
| 15 | BAPICD_ACCOUNT_TAXX | FS-CD: BAPI Change Structure for Account Tax Data | ||
| 16 | BAPICD_ACCOUNT_TAX_D | FS-CD: BAPI Structure for Account Tax Data (Display) | ||
| 17 | BAPICD_INSOBJ | FS-CD: BAPI Structure for Insurance Object Data (Creation) | ||
| 18 | BAPICD_INSOBJX | FS-CD: BAPI Change Structure for IO Data (Creation) | ||
| 19 | BAPICD_INSOBJ_CH | FS-CD: BAPI Structure for Insurance Object Data (Change) | ||
| 20 | BAPICD_INSOBJ_CHX | FS-CD: BAPI Change Structure for IO Data (Change) | ||
| 21 | BAPICD_INSOBJ_D | FS-CD: BAPI Structure for Insurance Object Data (Display) | ||
| 22 | BAPICD_INSOBJ_PARTNER | FS-CD: BAPI Structure for IO Partner Data (Creation) | ||
| 23 | BAPICD_INSOBJ_PARTNERX | FS-CD: BAPI Change Structure for IO Partner Data (Creation) | ||
| 24 | BAPICD_INSOBJ_PARTNER_ACC | BAPI Structure for FS-CD Insurance Object Account Data | ||
| 25 | BAPICD_INSOBJ_PARTNER_ACCX | BAPI Change Param Structure for FS-CD Insobject Account Data | ||
| 26 | BAPICD_INSOBJ_PARTNER_ACC_D | BAPI Structure for FS-CD Insurance Obj. Account Data (Disp) | ||
| 27 | BAPICD_INSOBJ_PARTNER_BRK_A | FS-CD: BAPI Structure IO Partner Broker Ass. (Creation) | ||
| 28 | BAPICD_INSOBJ_PARTNER_BRK_ACH | BAPI Structure for IO Partner-Broker Assignment (Change) | ||
| 29 | BAPICD_INSOBJ_PARTNER_BRK_ACHX | FS-CD: BAPI Change Structure IO Partner Broker Ass. (Change) | ||
| 30 | BAPICD_INSOBJ_PARTNER_BRK_AX | FS-CD: BAPI Change Struct. IO Partner-Broker Ass. (Creation) | ||
| 31 | BAPICD_INSOBJ_PARTNER_BRK_A_D | FS-CD: BAPI Structure IO Partner-Broker Assignment (Display) | ||
| 32 | BAPICD_INSOBJ_PARTNER_BROKER | FS-CD: BAPI Structure Insurance Object-Partner Broker Data | ||
| 33 | BAPICD_INSOBJ_PARTNER_BROKERX | FS-CD: BAPI Change Structure IO Partner Broker Data | ||
| 34 | BAPICD_INSOBJ_PARTNER_BROKER_D | FS-CD: BAPI Structure IO Partner Broker Data (Display) | ||
| 35 | BAPICD_INSOBJ_PARTNER_CH | FS-CD: BAPI Structure for IO Partner Data (Change) | ||
| 36 | BAPICD_INSOBJ_PARTNER_CHX | FS-CD: BAPI Change Structure for IO Partner Data (Change) | ||
| 37 | BAPICD_INSOBJ_PARTNER_CORR | FS-CD: BAPI Structure IO Partner Correspondence Data | ||
| 38 | BAPICD_INSOBJ_PARTNER_CORRX | FS-CD: BAPI Change Structure IO Partner Correspondence Data | ||
| 39 | BAPICD_INSOBJ_PARTNER_CORR_D | FS-CD: BAPI Structure IO Partner Corr. Data (Display) | ||
| 40 | BAPICD_INSOBJ_PARTNER_D | FS-CD: BAPI Structure for IO Partner Data (Display) | ||
| 41 | BAPICD_INSOBJ_PARTNER_LOCK | FS-CD: BAPI Structure Insurance Object-Partner Lock Data | ||
| 42 | BAPICD_INSOBJ_PARTNER_LOCKX | FS-CD: BAPI Change Structure IO Partner Lock Data | ||
| 43 | BAPICD_INSOBJ_PARTNER_LOCK_D | FS-CD: BAPI Structure IO-Partner Lock Data (Display) | ||
| 44 | BAPICD_PAYPLAN_CHANGE | BAPI Struture for FS-CD Payplan (Change) | ||
| 45 | BAPICD_PAYPLAN_CREATE | BAPI Structure for FS-CD Payplan (Create) | ||
| 46 | BAPICD_PAYPLAN_CREATEX | BAPI Change Parameter Structure for FS-CD Payplan Create | ||
| 47 | BAPICD_PAYPLAN_GD | BAPI Structure for FS-CD Payplan (Get Detail) | ||
| 48 | BAPI_CD_ACCOUNT_CONTROL | FS-CD: BAPI: Control Structure for Contract Account | ||
| 49 | BAPI_CD_INSOBJ_CONTROL | FS-CD: BAPI: Control Structure for Insurance Object | ||
| 50 | BAPI_TE_DIMAIOB | FS-CD: BAPI: Customer Extensions for Table DIMAIOB | ||
| 51 | BAPI_TE_DIMAIOBPAR | FS-CD: BAPI: Customer Extensions for Table DIMAIOBPAR | ||
| 52 | BAPI_TE_FKKVKP_V | FS-CD: BAPI: Cust. Extensions for Table FKKVKP (Insurance) | ||
| 53 | BAPI_TE_FKKVK_V | FS-CD: BAPI: Customer Extensions for Table FKKVK (Insurance) | ||
| 54 | BAPI_TE_SVVSCPOS_B | Customer Extensions for Table SVVSCPOS_B (Insurance) | ||
| 55 | BAPI_TE_VVSCPOS | Customer Extensions for Table VVSCPOS (Insurance) | ||
| 56 | BESTAND | Root nodes of LDB insurance data | ||
| 57 | CDOC_DIMABROKER | Change Document Structure; Generated by RSSCD000 | ||
| 58 | CDOC_DIMAIOBPAR | Change Document Structure; Generated by RSSCD000 | ||
| 59 | CDOC_DIMAPARCORR | Change Document Structure; Generated by RSSCD000 | ||
| 60 | CDTESTDATA | Cluster Table for Correspondence Data | ||
| 61 | CDTOOL_1_STRUC | Help Structure for Search Help SH_CD_TOOL_1 | ||
| 62 | COINS_POSTING_DATA | Coinsurance Reporting: Posting Data | ||
| 63 | DIMAAWREFST | AWREF for COPA-Reversal FS-CD | ||
| 64 | DIMABROKER | IO: Broker-Specific Data in FS-CD | ||
| 65 | DIMACOPAST | Reversal of Contracts in CO-PA | ||
| 66 | DIMAIOB | IO: Header Data for Insurance Object in FS-CD | ||
| 67 | DIMAIOBPAR | IO: Insurance Object-Partner Relationship in FS-CD | ||
| 68 | DIMAIOBPAR_CUST | IO: Cust. Fields for Insurance Object-Partner Relationship | ||
| 69 | DIMAIOBPAR_KEY_S | IO: Structure with All Key Fields for Table DIMAIOBPAR | ||
| 70 | DIMAIOBPAR_RE | OBSOLETE: Extended Insurance Object-Partner Relationship | ||
| 71 | DIMAIOB_CUST | IO: Customer Fields for Insurance Object | ||
| 72 | DIMAPARBROK | IO: Insurance Object-Broker Relationship in FS-CD | ||
| 73 | DIMAPARCORR | IO: Correspondence for Ins. Object <-> Partner Relationship | ||
| 74 | DIMAPARPPLAN | IO: Payment Plan Changes in Insurance Object | ||
| 75 | DIMAPARPPLAN_REV | Payment Plan: Reversal Table for Whole Payment Plan | ||
| 76 | DIMAPARSCPOS | IO: Change to Scheduling Items | ||
| 77 | DIMAPA_REV_DETA | Payment Plan: Reversal Table Detail Payment Plan | ||
| 78 | DIMA_A1_DI | IO: Direct Input Structure for Partner-Insurance Object | ||
| 79 | DIMA_A_DI | IO: Direct Input Structure for Insurance Object | ||
| 80 | FKK_ITAXREP_IT | Tax Report Data: Italy | ||
| 81 | FKK_MAD_DINTEREST | ISCD Deposit Interest Calc.: Add. Data Structure in Activity | ||
| 82 | FKK_MAD_VOCURRSW | FS-CD Currency Change: Additional Data Structure in Activity | ||
| 83 | FKK_MAD_VOINTEREST | FS-CD: Bal. Int. Calc.: Structure for Addtl Data in Activity | ||
| 84 | FSCD_COV_ACC | Structure for the Contract Account Attribute | ||
| 85 | FSCD_COV_CONTR | Structure for the Contract Account Attribute | ||
| 86 | FSCD_COV_INFO_ACCTBALA | Strctr for Infomod. Accnt Balance Attribute (FKKINFOMOD1000) | ||
| 87 | FSCD_COV_PARD | Screen Structure for Transaction EHVD | ||
| 88 | FSCD_MASTER_DATA_DESCRIPTIONS | Screen Structure Names for Master Data Triple | ||
| 89 | INS_INSOBJECT | OBSOLETE: Do Not Use | ||
| 90 | ISCD_LOCK_DI | Lock Data for FS-CD in Direct Input | ||
| 91 | ISCD_NO_LOCK_DI | Non-Lock Data in FS-CD in Direct Input | ||
| 92 | ISISCD_CNTRBALA_STR_CONTRBALAN | Balance Notification Header | ||
| 93 | ISISCD_CNTRBALA_STR_ITEM | Line Items for Balance Notification | ||
| 94 | ISISCD_CNTRBALA_STR_ITEMOLD | Old Line Items for Balance Notification | ||
| 95 | ISISCD_CNTRBALA_STR_SALDO | Balance in Transaction Currency | ||
| 96 | ISISCD_CNTRBALA_STR_SALDOEURO | Balance in EURO | ||
| 97 | ISISCD_COINS_STR_CONTAINER | Correspondence Header | ||
| 98 | ISISCD_CONTRBAL_STR_APPENDIX | Contract Statement Appendix | ||
| 99 | ISISCD_CONTRBAL_STR_CLEARING | Clearing for Contract Statement | ||
| 100 | ISISCD_CONTRBAL_STR_CONTRBALA | Header for Balanced Contract Statement | ||
| 101 | ISISCD_CONTRBAL_STR_ITEM | Items for Contract Statement | ||
| 102 | ISISCD_CONTRBAL_STR_TRANS_IN | Transfer Postings: To Contract Statement | ||
| 103 | ISISCD_CONTRBAL_STR_TRANS_OUT | Transfer Postings: From Contract Statement | ||
| 104 | ISISCD_CORR_DUN_STR_DUNN_EURO | Dunning Charges in Euro | ||
| 105 | ISISCD_CORR_DUN_STR_DUNN_HEAD | Header Data | ||
| 106 | ISISCD_CORR_DUN_STR_DUNN_ITEM | Dunning Lines | ||
| 107 | ISISCD_CO_NOTE_STR_COGLLINES | General Ledger Items for Original Document | ||
| 108 | ISISCD_CO_NOTE_STR_COLINES | Business Partner Items for Original Document | ||
| 109 | ISISCD_CO_NOTE_STR_COSTS | Coinsurance Shares for Costs | ||
| 110 | ISISCD_CO_NOTE_STR_DOCBPLINES | Business Partner Lines for Coinsurance Document | ||
| 111 | ISISCD_CO_NOTE_STR_DOCGLLINES | Business Partner Lines for Coinsurance Document | ||
| 112 | ISISCD_CO_NOTE_STR_NOTIFICATI | Coinsurance Notification Header | ||
| 113 | ISISCD_CO_NOTE_STR_PCCOGLLINE | General Ledger Items for Original Document | ||
| 114 | ISISCD_CO_NOTE_STR_PCCOLINES | Business Partner Items for Original Document | ||
| 115 | ISISCD_CO_NOTE_STR_PCCOSTS | Costs for Coinsurance Shares | ||
| 116 | ISISCD_CO_NOTE_STR_PCGLLINES | General Ledger Items for Original Document | ||
| 117 | ISISCD_CO_NOTE_STR_PCLINES | Business Partner Items for Original Document | ||
| 118 | ISISCD_CO_NOTE_STR_PREMCLAIMS | Coinsurance Shares for Premiums and Claims | ||
| 119 | ISISCD_DEPOT_A_STR_NOTIFICATI | Insufficient Coverage Letter Header | ||
| 120 | ISISCD_DEPOT_A_STR_OBJECTRELA | Deposit Contract Relationship - Deposit Holder | ||
| 121 | ISISCD_DEPOT_A_STR_PAYGROUP | Payment Groups | ||
| 122 | ISISCD_DEPOT_A_STR_PAYLINE | Payment Lines | ||
| 123 | ISISCD_DEPOT_P_STR_ACCOUNT | Contract Accounts for Insufficient Coverage Letter | ||
| 124 | ISISCD_DEPOT_P_STR_NOTIFICATI | Insufficient Coverage Letter Header | ||
| 125 | ISISCD_DEPOT_P_STR_OBJECTRELA | Deposit Contract Relationship - Deposit Holder | ||
| 126 | ISISCD_DEPOT_P_STR_PAYGROUP | Payment Groups | ||
| 127 | ISISCD_DEPOT_P_STR_PAYLINE | Payment Lines | ||
| 128 | ISISCD_DEPO_CLS_STR_DEPCLOSE | Expand Deposit | ||
| 129 | ISISCD_DEPO_CLS_STR_INTHIST | Interest History | ||
| 130 | ISISCD_DEPO_CLS_STR_NEW_ITEMS | New Posted Items | ||
| 131 | ISISCD_DEPO_CLS_STR_OLD_ITEMS | Written-Off Items | ||
| 132 | ISISCD_DUNNING_STR_BUPA | Correspondence Recipient | ||
| 133 | ISISCD_DUNNING_STR_CHARGES | Charges for Policyholder | ||
| 134 | ISISCD_DUNNING_STR_CONT_ACCT | Contract Account | ||
| 135 | ISISCD_DUNNING_STR_DUNN_EURO | Dunning Charges in Euro | ||
| 136 | ISISCD_DUNNING_STR_DUNN_HEAD | Dunning Notice Header | ||
| 137 | ISISCD_DUNNING_STR_DUNN_ITEM | Items Due for Dunning (Technical Data) | ||
| 138 | ISISCD_DUNNING_STR_DU_EURO | Billing Information | ||
| 139 | ISISCD_DUNNING_STR_DU_HI_EURO | Contract Account | ||
| 140 | ISISCD_DUNNING_STR_INS_DUNN_H | Due Items | ||
| 141 | ISISCD_DUNNING_STR_INVOICING | Interest and Dunning Charges | ||
| 142 | ISISCD_DUNNING_STR_OPEN_ITEM | Dunned Items (Technical Data) | ||
| 143 | ISISCD_DUNNING_STR_ORG_BUPA | Policyholder | ||
| 144 | ISISCD_INSTALL_STR_BUPA | Business Partner | ||
| 145 | ISISCD_INSTALL_STR_CONTRACT | Insurance Object | ||
| 146 | ISISCD_INSTALL_STR_II_EURO | Euro Amount for a New Document | ||
| 147 | ISISCD_INSTALL_STR_INSTALITEM | New Documents in the Installment Plan | ||
| 148 | ISISCD_INSTALL_STR_INSTALL | FS-CD Installment Plan | ||
| 149 | ISISCD_INSTALL_STR_OI_EURO | Euro Amount of Original Document | ||
| 150 | ISISCD_INSTALL_STR_ORIGINITEM | Original Docs in Installment Plan | ||
| 151 | ISISCD_INTEREST_STR_HEAD | Insurance Object | ||
| 152 | ISISCD_INTEREST_STR_ZINSZEITR | Interest Periods | ||
| 153 | ISISCD_INVOICE_STR_ACCOUNT | Contract Account | ||
| 154 | ISISCD_INVOICE_STR_BANK | Bank ID for Incoming Payments | ||
| 155 | ISISCD_INVOICE_STR_BK_ACCOUNT | Bank Account Number for Incoming Payments | ||
| 156 | ISISCD_INVOICE_STR_BUPA | Business Partner | ||
| 157 | ISISCD_INVOICE_STR_INVOICE | FS-CD Invoice | ||
| 158 | ISISCD_INVOICE_STR_ITEM | Invoice Items | ||
| 159 | ISISCD_INVOICE_STR_IT_EURO | Invoice Items with Euro Amounts | ||
| 160 | ISISCD_INVOICE_STR_IV_EURO | FS-CD Invoices with Amounts in Euros | ||
| 161 | ISISCD_INVOICE_STR_RELATION | Contract Account - Business Partner - Relationship | ||
| 162 | ISISCD_OFFER_STR_ACCOUNT | Contract Account | ||
| 163 | ISISCD_OFFER_STR_BANK | Bank Key for Incoming Payments | ||
| 164 | ISISCD_OFFER_STR_BK_ACCOUNT | Bank Account for Incoming Payments | ||
| 165 | ISISCD_OFFER_STR_BUPA | Business Partner | ||
| 166 | ISISCD_OFFER_STR_ITEM | Quotation Items | ||
| 167 | ISISCD_OFFER_STR_IT_EURO | Quotation Items with Euro Amounts | ||
| 168 | ISISCD_OFFER_STR_OFFER | FS-CD Quotation | ||
| 169 | ISISCD_OFFER_STR_OF_EURO | FS-CD Quotation with Euro Amounts | ||
| 170 | ISISCD_OFFER_STR_RELATION | Contract Account - Business Partner - Relationship | ||
| 171 | ISISCD_PFANDGL_STR_BUPA | Correspondence Recipient | ||
| 172 | ISISCD_PFANDGL_STR_CHARGES | Interest and Dunning Charges | ||
| 173 | ISISCD_PFANDGL_STR_CONT_ACCT | Contract Account | ||
| 174 | ISISCD_PFANDGL_STR_DUNN_HEAD | Dunning Notice Header | ||
| 175 | ISISCD_PFANDGL_STR_DUNN_ITEM | Dunned Items (Technical Data) | ||
| 176 | ISISCD_PFANDGL_STR_INS_DUNN_H | Contract-Related Dunning History | ||
| 177 | ISISCD_PFANDGL_STR_INVOICING | Billing Information | ||
| 178 | ISISCD_PFANDGL_STR_OPEN_ITEM | Due Items | ||
| 179 | ISISCD_PFANDGL_STR_ORG_BUPA | Policyholder | ||
| 180 | ISISCD_PFANDGL_STR_PF_EURO | Dunning Headers - Euro Amounts | ||
| 181 | ISISCD_PFANDGL_STR_PF_HI_EURO | Dunning History - Euro Amounts | ||
| 182 | ISISCD_TAXCERT_STR_CONTAINER | Correspondence Container Information | ||
| 183 | ISISCD_TAXCERT_STR_ITEM | Tax Office Certificate Items | ||
| 184 | ISISPP_EXM | Test zo | ||
| 185 | ITCP_SAL | Structure for Shortened Payment Balances | ||
| 186 | LVK35 | Work Area for Processing Account Values | ||
| 187 | LVKDF1 | Work Field for SAPLVKDF | ||
| 188 | LVKKH | Work Fields for SAPLVKKH | ||
| 189 | LVKKHF | Help Structure for Field Status Grouping | ||
| 190 | PAYH_VKX | Total Structure for Enhancements for Payment (Insur.) | ||
| 191 | PAYH_VKX_01 | Structure for Enhancements to Payment, EnhanceType 01 | ||
| 192 | PPPOS_REV | Payment Plan: Reversal Table for Payment Plan Item | ||
| 193 | PPPOS_REV_DETA | Payment Plan: Reversal Table Detail Payment Plan Item | ||
| 194 | RFSCD_RI | Dialog Fields for SAPLFSCD_RI | ||
| 195 | RSINTERVAL | Sel. Criteria for BP | ||
| 196 | SACB_DYNP_FIELDS | FS-CD: Structure for Display Fields | ||
| 197 | SAPRVVITAXSS | Tax Reporting for Italy: Selection | ||
| 198 | SBUBERV710 | Help Structure for Posting Area V710 | ||
| 199 | SCHARGE_SC | RSA Charges Help Structure | ||
| 200 | SCR_LA | test zo | ||
| 201 | SIMABROKER_DI | IO: DI: Broker Coll. Data on Insurance Object-Partner Rel. | ||
| 202 | SIMABROKER_RFC | IO: RFC: Broker Collections Data for Ins. Obj. Partner-Rel. | ||
| 203 | SIMADI2 | FS-CD: Direct Input, Header Record (Record Cat. 2) | ||
| 204 | SIMAINFO | IO: Information for Insurance Object | ||
| 205 | SIMAIOBPAR_DI | IO: DI: Data for Insurance Object-Partner Relationship | ||
| 206 | SIMAIOBPAR_LOCKS_DI | IO: DI: Locks on Insurance Object-Partner Relationship | ||
| 207 | SIMAIOBPAR_LOCKS_RFC | IO: RFC: Locks on Insurance Object-Partner Relationship | ||
| 208 | SIMAIOBPAR_RE_DI | OBSOLETE: DIMAIOBPAR_RE Is no Longer Supported | ||
| 209 | SIMAIOBPAR_RE_DI_INT | OBSOLETE: DIMAIOBPAR_RE Is no Longer Supported | ||
| 210 | SIMAIOBPAR_RE_RFC | OBSOLETE: DIMAIOBPAR_RE Is no Longer Supported | ||
| 211 | SIMAIOB_DI | IO: DI: Header Data for Insurance Object | ||
| 212 | SIMAIOB_HDR_DI | IO: DI: Header Data for DIMAIOB and BDT Control Data | ||
| 213 | SIMAIOB_INIT | IO: DI: Header Data for DIMAIOB (Same as Selection Mask) | ||
| 214 | SIMAPARBROK_DI | IO: DI: Broker Data for Ins. Object-Partner Relationship | ||
| 215 | SIMAPARBROK_RFC | IO: RFC: Broker Data for Insurance Object-Partner Rel. | ||
| 216 | SIMAPARCORR_DI | IO: DI: Alt. Correspondence Data for Ins. Obj.-Partner Rel. | ||
| 217 | SIMAPARCORR_RFC | IO: RFC: Alt. Correspondence Data for Ins. Obj.-Partner Rel. | ||
| 218 | SIMA_0000_DYNP_1000 | OBSOLETE: Use DIMAIOBPAR | ||
| 219 | SIMA_0000_DYNP_1200 | OBSOLETE: Use DIMAPARBROK | ||
| 220 | SIMA_0000_DYNP_1201 | OBSOLETE: Use DIMAPARBROK | ||
| 221 | SIMA_0000_DYNP_1400 | OBSOLETE: Use DIMAPARCORR | ||
| 222 | SIMA_0000_DYNP_1401 | OBSOLETE: Use DIMAIOBPAR or SIMACORV | ||
| 223 | SIMA_0000_DYNP_1600 | OBSOLETE: Use DIMABROKER | ||
| 224 | SIMA_0000_DYNP_1700 | OBSOLETE: Use DIMAIOBPAR or SIMA_CLAIM | ||
| 225 | SIMA_0000_DYNP_1800 | OBSOLETE: DIMAIOBPAR_RE Is no Longer Supported | ||
| 226 | SIMA_0000_DYNP_1801 | OBSOLETE: DIMAIOBPAR_RE Is no Longer Supported | ||
| 227 | SIMA_0000_DYNP_CUST | OBSOLET: Cust. Fields for Ins. Obj.-Partner Rel. | ||
| 228 | SIMA_3100_DYNP_0200 | OBSOLETE: Use DIMAIOB | ||
| 229 | SIMA_AF_BROK | OBSOLETE: Do Not Use | ||
| 230 | SIMA_AF_CORR | OBSOLETE: Do Not Use | ||
| 231 | SIMA_AF_GP | OBSOLETE: Do Not Use | ||
| 232 | SIMA_AF_IOB | OBSOLETE: Do Not Use | ||
| 233 | SIMA_BASE | IO: Basic Data for Ins. Obj.-Partner Relationship in FS-CD | ||
| 234 | SIMA_BASE_DI | IO: DI: Basic Data for Ins. Object-Partner Relationship | ||
| 235 | SIMA_BASE_RE | OBSOLETE: DIMAIOBPAR_RE Is no Longer Supported | ||
| 236 | SIMA_BROK | FS-CD: Broker Data (for Display) | ||
| 237 | SIMA_BROKER | IO: Broker-Specific Data | ||
| 238 | SIMA_BROKER_ALL | IO: Other Broker-Specific Data | ||
| 239 | SIMA_BROPOSCAT | IO: Item Categories for Broker Report | ||
| 240 | SIMA_CLAIM | IO: Claim-Specific Fields for Insurance Object | ||
| 241 | SIMA_CORV | IO: Correspondence Variant for IO-Partner Relationship | ||
| 242 | SIMA_CORV_DI | IO: DI: Correspondence Data for Ins. Object-Partner Rel. | ||
| 243 | SIMA_CRT_ACC_DEF | OBSOLETE: Do Not Use | ||
| 244 | SIMA_DUNN | IO: Dunning Data for Ins. Object <-> Partner Relationship | ||
| 245 | SIMA_ERAE_DATA | IO: Entry and Last Change of Insurance Object | ||
| 246 | SIMA_EXT_NUMBERS | IO: DI: External Numbers for Direct Input | ||
| 247 | SIMA_INSOBJ_DISP | IO: Display Insurance Object Data in Acct and Partner Dialog | ||
| 248 | SIMA_IOBPAR | IO: Structure for Insurance Object-Partner Relationship | ||
| 249 | SIMA_IOB_DEF | IO: Default Values for Creating an Insurance Object | ||
| 250 | SIMA_IP | IO: Help Structure Insurance Object-Partner Key | ||
| 251 | SIMA_LOCKS | IO: Locks for Insurance Object | ||
| 252 | SIMA_PARCORR | IO: Alt. Correspondence for Partner<->Insurance Object | ||
| 253 | SIMA_PAYM | IO: Payment Data to Ins.Object <-> Partner Relationship | ||
| 254 | SIMA_PAYM_DI | IO: DI: Payment Data for Ins. Obj.<->Partner Relationship | ||
| 255 | SIMA_PAYP | IO: Payment Plan Data | ||
| 256 | SIMA_PAYP_DI | IO: DI: Payt Plan Data for Ins. Object-Partner Relationship | ||
| 257 | SIMA_PAYP_DISP | IO: Screen Fields Payment Plan | ||
| 258 | SIMA_RE | OBSOLETE: DIMAIOBPAR_RE Is no Longer Supported | ||
| 259 | SIMA_R_INSOBJ | IO: Range Structure for Insurance Object | ||
| 260 | SIMA_R_INSOBJTYP | IO: Ranges Structure for Insurance Object Category | ||
| 261 | SIMA_SEL_RES_IP | IO: Structure for Result of Contracts Selection | ||
| 262 | SIMA_TEST | OBSOLETE: Do Not Use | ||
| 263 | SIMA_TEST_01 | OBSOLETE: Do Not Use | ||
| 264 | SIPAYCHKIT | Line Item Data to Check for Automatic Payability | ||
| 265 | SIREPCL_TA | Money Laundering Law Help Structure | ||
| 266 | SI_BONI_V_DI | OBSOLETE: Do Not Use | ||
| 267 | SI_CPD | FS-CD Direct Input Transaction Data | ||
| 268 | SI_EXT | External Numbers In Payment Plan Interface | ||
| 269 | SI_FAKTURA | Connection Scheduling-Invoice Interface | ||
| 270 | SI_TFK002AV | FS-CD Contract Acct Category Enhancement | ||
| 271 | SI_VVSC_SCHED_INFO | Structure for Transferring Scheduling Information for Indiv. | ||
| 272 | SPOSNR | Structure for POSNR | ||
| 273 | STL_TCASE | Screen Structure for VKTT | ||
| 274 | STTMSG | Test Tool FS-CD: Messages per Object | ||
| 275 | SVSFKKOP | Insurance: Data for Displaying Items in OI Accounting | ||
| 276 | SVVKKMHIST_PER | Dunning History: Periods for Denying Claims or Benefits | ||
| 277 | SVVSCC_TVS010H | IS-IS Scheduling: Periodic Distribution Help Structure | ||
| 278 | SVVSCDATE | Structure for Date Transfer | ||
| 279 | SVVSCDI | Payt Plans Totals Records Struct. f. Direct Input Payt Plans | ||
| 280 | SVVSCDI_C | Characteristics for Cumulating DI Payment Plans | ||
| 281 | SVVSCDI_PROT | Totals per Job for DI | ||
| 282 | SVVSCDI_SUM | Totals per Job for DI | ||
| 283 | SVVSCDI_V | Value Fields for Cumulating DI for Payment Plans | ||
| 284 | SVVSCINST | Help Structure for Determining Payment Installments | ||
| 285 | SVVSCITEM | svvscitemscitem | ||
| 286 | SVVSCITEM_M | Distribution Help Structure | ||
| 287 | SVVSCITEM_SIM | Help Structure for Simulating the Scheduling Documents | ||
| 288 | SVVSCMSG | Help Structure for Messages in a Check | ||
| 289 | SVVSCMSG_X | Bill scheduling: Interface for Error Processing | ||
| 290 | SVVSCOP | Help Structure for Documents | ||
| 291 | SVVSCOPERW | Scheduling Item Help Structure - OI | ||
| 292 | SVVSCPO | IS-IS Scheduling: Payment Options Help Structure | ||
| 293 | SVVSCPOS | Structure of Scheduling Items | ||
| 294 | SVVSCPOSITION | Dialog Fields for Scheduling Items | ||
| 295 | SVVSCPOS_B | Structure of Scheduling Items (Direct Input) | ||
| 296 | SVVSCPOS_CR | Structure of Scheduling Items | ||
| 297 | SVVSCPOS_DI | Bill Scheduling: Direct Input Transfer Structure | ||
| 298 | SVVSCPOS_ESR_DI | Payment Plan: Direct Input Data for VVSCPOSESR | ||
| 299 | SVVSCREVERSE | Cancelled Documents Help Structure | ||
| 300 | SVVSC_COPA | Transfer Structure for Reversing CO-PA Contract Chars. | ||
| 301 | SVVSC_DOC_ITEM_DATA | Scheduling Structure for Posting of Single Documents | ||
| 302 | SVVSC_MSG | Log Generation Interface | ||
| 303 | TFSCD_COV_CLUB | FSCD: Levels Cluster Builder Business Partner Environment | ||
| 304 | TFSCD_COV_CLUBH | FSCD: Hierarchy Cluster Builder Business Partner Environment | ||
| 305 | TFSCD_COV_CLUBT | IS-PS-CA: Set Hierarchy Cluster Builder Business Part. Envir | ||
| 306 | TFSCD_COV_PAR | Ins: Parameter Cluster Builder Business Partner Environment | ||
| 307 | TIMA_CRT_ACC | IO: Creation Variants for Account Creation | ||
| 308 | TIMA_CRT_ACCT | IO: Creation Variants Text Table for Automatic Acct Creation | ||
| 309 | TIMA_CRT_ACC_DEF | IO: Default Values for Automatic Account Creation | ||
| 310 | TIMA_CRT_RULES | Obsolete | ||
| 311 | TIMA_CRT_RULEST | Obsolete | ||
| 312 | TIMA_OTYP | IO: Categories for Insurance Object | ||
| 313 | TIMA_OTYPC_DEF | IO: Default Values for Creating an Insurance Object | ||
| 314 | TIMA_OTYPT | IO: Texts for Insurance Object Categories | ||
| 315 | TIMA_OTYP_ASGN | IO: Assigning External Insurance Object Categories to Groups | ||
| 316 | TIMA_OTYP_CUST | IO: Customizable Insurance Object Categories | ||
| 317 | TIMA_OTYP_CUSTT | IO: Texts for Customizable Insurance Object Categories | ||
| 318 | TIMA_OTYP_GRP | IO: Key for Grouping External Insurance Object Categories | ||
| 319 | TIMA_OTYP_GRPT | IO: Text Table for Grouping Key | ||
| 320 | TIMA_VKTYP_DEF | IO: Ctr. Acct Category Default Vals for Contr. Acct Creation | ||
| 321 | TINS_COV_PAR | IS-PS-CA: Parameter Cluster Builder Business Partner Environ | ||
| 322 | TKKV007A | Insurance Tax Schedule | ||
| 323 | TKKV007AT | Insurance Tax Determination Procedure (Texts) | ||
| 324 | TKKV007B | Insurance Tax Determination Procedure (Assignment) | ||
| 325 | TKKV007C | Customizing to Determine Insurance Tax Schedule | ||
| 326 | TKKV007D | Insurance Tax Categories (Assignment) | ||
| 327 | TKKV007DT | Insurance Tax Categories (Texts) | ||
| 328 | TKKV007E | Assignment of Other Tax Codes to Tax Category | ||
| 329 | TKKV033C | Acct Determination: Modules | ||
| 330 | TKKV033C_CUST | Account Determination: Control | ||
| 331 | TKKV033C_CUST2 | Account Determination: Control | ||
| 332 | TKKVABGRD | Cancellation Reason | ||
| 333 | TKKVABGRDT | Cancellation Reason Texts | ||
| 334 | TKKVAKTIV | Activities and/or Notes for the Clerk | ||
| 335 | TKKVAUTH | RFC Functions with Auth. Protection | ||
| 336 | TKKVAUTHT | RFC Funtions with Auth. Protection | ||
| 337 | TKKVBAKT | Banks for Payment | ||
| 338 | TKKVBASIC | FS-CD Basic Settings | ||
| 339 | TKKVBL2TP | Conversion of Doc Type to Item Cat | ||
| 340 | TKKVBLART | Document Type Control | ||
| 341 | TKKVBLARTS | Field Status Control - Doc Type | ||
| 342 | TKKVBLARTT | Text Table for Document Type Control | ||
| 343 | TKKVBLERM | Conversion Table Data Medium Item in Doc Type | ||
| 344 | TKKVBLTYP | Table for Doc Categories | ||
| 345 | TKKVBLTYPT | Text Table for Doc Cats | ||
| 346 | TKKVBUGRD | Posting Reasons | ||
| 347 | TKKVBUGRDT | Posting Reason Texts | ||
| 348 | TKKVCOPA | Field Assignment Table | ||
| 349 | TKKVDTSTR | Control Table DME File Processing Austria | ||
| 350 | TKKVFAART | Invoicing Types | ||
| 351 | TKKVFAARTDATA | Invoicing Types - Non-Key Fields | ||
| 352 | TKKVFAARTKEY | Invoicing Types - Key Fields | ||
| 353 | TKKVFAARTT | Invoicing Type Texts | ||
| 354 | TKKVFAART_PYMET | Additional Payment Methods also for Invoice | ||
| 355 | TKKVFOART | Receiv. Types | ||
| 356 | TKKVFOARTT | Name of Receivable Type | ||
| 357 | TKKVHVTV | FS-CD Transactions | ||
| 358 | TKKVHVTVT | FS-CD Transactions: Texts | ||
| 359 | TKKVIACT | Processing Contracts w. Acct Bal. Int. Calc. - Activities | ||
| 360 | TKKVIACTDEF | Processing IO w. Acct Bal. Int. Calc. - Activity Definition | ||
| 361 | TKKVIACTDEFT | Curr. Chge Acct Bal. Int. Calc. - Def. of Activities (Texts) | ||
| 362 | TKKVIHVOR | FS-CD Internal Transactions | ||
| 363 | TKKVIHVORT | FS-CD Internal Transactions | ||
| 364 | TKKVINTCURR | Contracts with Acct Bal. Int. Calc.: Permitted Curr. Change | ||
| 365 | TKKVINVER | Dunning Information Procedure | ||
| 366 | TKKVINVERT | Dunning Texts Information Procedure | ||
| 367 | TKKVISUMA | Bal. Int. Calc.: Summarization Cat. Assignment to IO Cats | ||
| 368 | TKKVISUMCAT | Bal. Int. Calc.: Summarization Cats for Interest Items | ||
| 369 | TKKVISUMCATT | Summarization Balance Interest Calculation Texts | ||
| 370 | TKKVISUMF | Balance Interest Calculation: Summarization Criteria | ||
| 371 | TKKVITVOR | FS-CD Internal Subtransactions | ||
| 372 | TKKVITVORT | Text Table Internal Subtransactions FS-CD | ||
| 373 | TKKVIVV | Assign Internal Sub-Transactions to External Transactions | ||
| 374 | TKKVKONTO | Account Control | ||
| 375 | TKKVMAHNV | Dunning Proc. for Jurisdiction, Receivable, Product Group | ||
| 376 | TKKVMAKT | Dunning Activities | ||
| 377 | TKKVMVARI | Dunning Var. | ||
| 378 | TKKVMVARIT | Dunning Var. Texts | ||
| 379 | TKKVMZAHL | Validation Table for Automatic Payment | ||
| 380 | TKKVNFAEL | Function Modules for Determining Later Due Dates | ||
| 381 | TKKVPNTYP | Item Categories | ||
| 382 | TKKVPNTYPT | Item Categ. Texts | ||
| 383 | TKKVPOGRU | Scheduling Debit Entry: Open Item Grouping | ||
| 384 | TKKVPOGRUFE | Debit Transfer Scheduling: Grouping Criteria | ||
| 385 | TKKVPOGRUT | Item Grouping Texts | ||
| 386 | TKKVPOVER | Scheduling Debit Entry: Item Summarization | ||
| 387 | TKKVPOVERFE | Scheduling Debit Transfer: Summarization Criteria | ||
| 388 | TKKVPOVERFEOPK | Scheduling Debit Transfer: Summarization Criteria | ||
| 389 | TKKVPOVEROPK | Scheduling Debit Entry: Item Summarization | ||
| 390 | TKKVPOVEROPKT | Item Summarization Texts | ||
| 391 | TKKVPOVERT | Item Summarization Texts | ||
| 392 | TKKVPRGRP | Product Groups | ||
| 393 | TKKVPRGRPT | LOB Texts | ||
| 394 | TKKVPYCORR | Customizing for Insufficient Deposit Coverage Correspondence | ||
| 395 | TKKVRBART | Legal Rel. Type Check Table | ||
| 396 | TKKVRBARTT | Legal Rel. Type Texts | ||
| 397 | TKKVSLART | Selection Type for Clearing | ||
| 398 | TKKVTELE010A | Ins. Dunning: Telephone Collections: STATUS Determination | ||
| 399 | TKKVTELE010B | Ins. Dunning: Telephone Collections: STATUS Specification | ||
| 400 | TKKVTELE010BT | Ins. Dunning: Tel. Collections: STATUS Texts Specification | ||
| 401 | TKKVUVFRI | Clearing: Offsetting Intervals Prior to Due Date | ||
| 402 | TKKVUVFRIT | Clearing: Clearing Deadline Variant Prior to Due Date (Text) | ||
| 403 | TKKVUVORD | Clearing: Sorting Fields Priority | ||
| 404 | TKKVUVSRT | Clearing: Sorting Variants | ||
| 405 | TKKVUVSRTT | Clearing: Sorting Variants (Texts) | ||
| 406 | TKKVUVVAR | Clearing Variants | ||
| 407 | TKKVUVVART | Clearing Variant Texts | ||
| 408 | TKKVVERD | Summarization Control of FI-CA Line Items | ||
| 409 | TKKVVKKC | Control Table for Invoice Fields | ||
| 410 | TKKVVKKM | Modif. No. for Invoice Fields | ||
| 411 | TKKVVKKMT | Text Table for Modif. No. for Invoice Fields | ||
| 412 | TKKVZAFRQ | Payment Frequencies | ||
| 413 | TKKVZAFRQT | Payment Frequency Texts | ||
| 414 | TKKV_ICOPA | Field Assignment Table | ||
| 415 | TKKV_REPCL_IT | Money Laundering Law Reporting: Ins. Types Subj. to Rptg | ||
| 416 | TKKV_REPCL_TA | Money Laundering Law Reporting: Transactions Subj. to Rptg | ||
| 417 | TKKV_T1 | Test: Quantity of Customizing Tables | ||
| 418 | TLXXVAL | Insurance Type | ||
| 419 | TOOL_ACT_U | User Fields for Insurance Object in VKTT | ||
| 420 | TOOL_IOT_U | User Fields for Insurance Object in VKTT | ||
| 421 | TOOL_PAT_U | User Fields for Insurance Object in VKTT | ||
| 422 | TOOL_SCT_U | Test Tool FS-CD Payment Plan Customer Enhancements | ||
| 423 | TOOL_USER_SCR | Additional Insurance Account Assignment | ||
| 424 | TTOOL01 | Test Parameter(s) | ||
| 425 | TVKKS | Menu Description for FS-CD Office | ||
| 426 | TVS010A | IS-IS Scheduling: Payment Option | ||
| 427 | TVS010AT | IS-IS Scheduling: Paymt Option Texts | ||
| 428 | TVS010B | IS-IS Scheduling: Paymt Plan | ||
| 429 | TVS010BT | IS-IS Scheduling: Paymt Plan Texts | ||
| 430 | TVS010H | IS-IS Scheduling: Percentage Distribution in Paymt Plan | ||
| 431 | TVS010I | IS-IS Scheduling: Assignment of Activities to Posting Event | ||
| 432 | TVS010J | IS-IS Scheduling: Assignment of Activities to Change Event | ||
| 433 | TVS020A | IS-IS Scheduling: Assigning Payment Plan to Payment Option | ||
| 434 | TVS020B | IS-IS Scheduling: Permitted Payt Plan Change to Paymt Option | ||
| 435 | TVS020D | IS-IS Scheduling: Activities for Paymt Plan Change | ||
| 436 | TVS030A | IS-IS Scheduling: Activity Definition for Paymt Plan Change | ||
| 437 | TVS030AT | IS-IS Scheduling: Activity Definition for Paymt Plan Change | ||
| 438 | TVS030B | IS-IS Scheduling: Posting Event Definition for Payment Plan | ||
| 439 | TVS030BT | IS-IS Scheduling: Posting Event Definition for Payment Plan | ||
| 440 | TVS030C | IS-IS Scheduling: Activity Def. Payment Plan Posting Events | ||
| 441 | TVS030CT | IS-IS Scheduling: Activity Def. Payment Plan Posting Events | ||
| 442 | TVS030D | IS-IS Scheduling: Change Event Def. for Scheduling Item | ||
| 443 | TVS030DT | IS-IS Scheduling: Change Event Def. for Scheduling Item | ||
| 444 | TVS030E | IS-IS Scheduling: Activity Def. Payment Plan Change Events | ||
| 445 | TVS030ET | IS-IS Scheduling: Activity Def. Payment Plan Change Events | ||
| 446 | TVS040A | IS-IS Scheduling: Clearing Algorithm for Cust.-Init. Payts | ||
| 447 | TVS040AT | IS-IS Scheduling: Clearing Algorithm for Cust.-Init. Payts | ||
| 448 | TVS040B | Customer-Initiated Payment: Sorting | ||
| 449 | TVS040BFE | Customer-Initiated Payment: Sort Criteria | ||
| 450 | TVS040BFET | Item Sort Texts | ||
| 451 | TVS040BT | Customer-Initiated Payment: Text Sorting | ||
| 452 | TVSC_FSTATUS | Field Status for Fields in Scheduling | ||
| 453 | V018_DYNP_2000 | Screen 2000 - Fields | ||
| 454 | VK17_CONTRBALA_DYNP_1000 | Screen Structure VK17_CONTRBALA 1000 | ||
| 455 | VKCONTRACT | FS-CD: Legal Relationship | ||
| 456 | VKKB_DYNP_3000 | Screen Structure VKKB 3000 | ||
| 457 | VKKB_DYNP_3100 | Screen Structure VKKB 3100 | ||
| 458 | VKKB_DYNP_3200 | Screen Structure VKKB 3100 | ||
| 459 | VKKB_DYNP_3300 | Screen Structure VKKB 3300 | ||
| 460 | VKKINTERESTHIST | Int. Calc. History for Deposit Acct | ||
| 461 | VKKK033 | Acct Determination Structure: Posting Reasons | ||
| 462 | VKKK1000 | Parameter Structure for Acct Query | ||
| 463 | VKKK1100 | Acct Information Via SOM Interface | ||
| 464 | VKKK1200 | FS-CD Transport Structures for Locks | ||
| 465 | VKKKANKO | Account Creation w/SOM Interface | ||
| 466 | VKKKAUTHCH | Authorization Check Structure | ||
| 467 | VKKKBLART | Interface Determine Document Type for Lot Processing | ||
| 468 | VKKKBLERM | Interface Determine Document Type for Lot Processing | ||
| 469 | VKKKCUSTKD | Customer Structure Doc Header Posting Data Interface Non-Key | ||
| 470 | VKKKCUSTKK | Customer Structure Doc Header Posting Data Interface Key | ||
| 471 | VKKKCUSTKO | Cust. Struct. Doc Header Posting Data Interface | ||
| 472 | VKKKCUSTOD | Cust. Structure Single Doc Posting Data Interface Non-Key | ||
| 473 | VKKKCUSTOK | Cust. Structure Single Doc Posting Data Interface Key | ||
| 474 | VKKKCUSTOP | Customer Structure Single Doc Posting Data Interface | ||
| 475 | VKKKDBEX | Exported Recurring Docs in RFC | ||
| 476 | VKKKDBIM | Imported Recurring Docs in RFC | ||
| 477 | VKKKFERR | Error Structure | ||
| 478 | VKKKFKO | Structure Doc Header Posting Data Interface | ||
| 479 | VKKKFKODAT | Non-Key Fields of Struct vkkkfko | ||
| 480 | VKKKFKOKEY | Key Fields of Structure vkkkfko | ||
| 481 | VKKKFOP | Structure Single Doc Posting Data Interface | ||
| 482 | VKKKFOPDAT | Non-Key Fields of Structure vkkkfop | ||
| 483 | VKKKFOPKEY | Key fields of structure vkkkfop | ||
| 484 | VKKKFPARA | Posting Data Transfer Parameters | ||
| 485 | VKKKFPR | Structure Check Posting Data | ||
| 486 | VKKKFST_F4 | F4 Help for Posting Data Transfer Program | ||
| 487 | VKKKFSUM | Structure of Totals Row in Posting Data Transfer Interface | ||
| 488 | VKKKFSUMTB | Structure Summary Table Posting Data Interface | ||
| 489 | VKKKGPAN | Request BPART Data from the External System | ||
| 490 | VKKKGP_ANF | Request Structure for Partner Data Determination | ||
| 491 | VKKKGP_DAT | Partner Address Data for Printing | ||
| 492 | VKKKGP_ERG | Profitability Structure for Partner Data Determination | ||
| 493 | VKKKHOSTF4 | F4 Help for Posting Data Transfer Program | ||
| 494 | VKKKIBLART | Ranges Structure for Doc Types | ||
| 495 | VKKKIBLTAB | Transfer Structure for Doc Types | ||
| 496 | VKKKIBLTYP | Range Structure for Doc Cat | ||
| 497 | VKKKIBTTAB | Transfer Structure for Doc Cat | ||
| 498 | VKKKIBUKRS | Range structure for company codes | ||
| 499 | VKKKIBUTAB | Transfer structure for company codes | ||
| 500 | VKKKIGPART | Ranges Structure for Business Partners |