Data Element list used by SAP ABAP PINF FCL_TYPES (FCL_TYPES)
SAP ABAP PINF
FCL_TYPES (FCL_TYPES) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | FCL_DTE_AADDAMT | Additional Amount for Automatic Scaled Calculation | ||
| 2 | FCL_DTE_AADDAMTLIM | Amount Limit for Automatic Scaled Calculation | ||
| 3 | FCL_DTE_AAMT | Amount of the Amount Item | ||
| 4 | FCL_DTE_AAMTLIM_CD_LOW | Lower Limit for Amount for Condition Determination | ||
| 5 | FCL_DTE_AAMTLIM_CD_UP | Amount Upper Limit for Condition Determination | ||
| 6 | FCL_DTE_AAMTLIM_LOW | Lower Limit for Amount | ||
| 7 | FCL_DTE_AAMTLIM_UP | Upper Limit for Amt | ||
| 8 | FCL_DTE_AAMTMAX | Maximum Amount | ||
| 9 | FCL_DTE_AAMTMIN | Minimum Amount | ||
| 10 | FCL_DTE_AAMTTRIV | Trivial Amount | ||
| 11 | FCL_DTE_AAMT_CUTB | Reduction Amount | ||
| 12 | FCL_DTE_AFREEAMT | Exemption | ||
| 13 | FCL_DTE_AMMRHYZV | Interest Settlement Frequency for Exponential Interest Calc. | ||
| 14 | FCL_DTE_CAL_INT_METH | Factory Calendar for Interest Calculation | ||
| 15 | FCL_DTE_CAMT | Currency | ||
| 16 | FCL_DTE_CAMT_POST | Payment Currency | ||
| 17 | FCL_DTE_DATETYPE | Value-Date/Posting Date-Based | ||
| 18 | FCL_DTE_DDATE | Date of the Cash Flow Calculator | ||
| 19 | FCL_DTE_DORGVALIDFROM | Original Valid-From Date | ||
| 20 | FCL_DTE_DORGVALIDTO | Original Valid-To Date | ||
| 21 | FCL_DTE_DSTARTDATE | First Calculation Date for Date Update | ||
| 22 | FCL_DTE_DVALIDFROM | Valid-From Date | ||
| 23 | FCL_DTE_DVALIDTO | Valid-To Date | ||
| 24 | FCL_DTE_FCORRESPONDENCE | Generate Correspond. | ||
| 25 | FCL_DTE_FCOUNT_AMOUNT | Amount Counter | ||
| 26 | FCL_DTE_FEXPINT | Exponential/Linear Interest Calculation | ||
| 27 | FCL_DTE_FFILTERED | Filtering Status of Condition | ||
| 28 | FCL_DTE_FFIXEDPERIOD | Update With Fixed Periods | ||
| 29 | FCL_DTE_FINCREM | Replacement Category | ||
| 30 | FCL_DTE_FINDCOND | Individual Condition | ||
| 31 | FCL_DTE_FKEYD_BUS | Key Date = Working Day | ||
| 32 | FCL_DTE_FNO_INHERITANCE | Condition is not Inherited | ||
| 33 | FCL_DTE_FORMULA_APPL | Read Formula From Application Database | ||
| 34 | FCL_DTE_FRELATION | Condition Has Relationships | ||
| 35 | FCL_DTE_FROUND | Rounding Type | ||
| 36 | FCL_DTE_FSTARTDATEINC | Inclusive Indicator for Start Date | ||
| 37 | FCL_DTE_FSTARTDATEULT | Month-End Indicator for Start Date | ||
| 38 | FCL_DTE_FX_RATE_DEC | Fixed Exchange Rate | ||
| 39 | FCL_DTE_FZEROCOND | Condition Form | ||
| 40 | FCL_DTE_IBASIS_MERGENO | Ordinal Number for Conditions in Condition Merger | ||
| 41 | FCL_DTE_ICOMP | Condition Component | ||
| 42 | FCL_DTE_ICOND | Condition GUID | ||
| 43 | FCL_DTE_IDIFFVALUE | Differentiation Value | ||
| 44 | FCL_DTE_IFORMULA | Formula Reference | ||
| 45 | FCL_DTE_ILIST | Condition List | ||
| 46 | FCL_DTE_IMERGENO | Ordinal Number for Conditions in Condition Merger | ||
| 47 | FCL_DTE_IORDNO | Ordinal Number for Relationships | ||
| 48 | FCL_DTE_IPOSNO | Level Item Counter | ||
| 49 | FCL_DTE_IVARIABLE | Variable in the Interest Formula of an Amount Item | ||
| 50 | FCL_DTE_NCHRGCOUNT | Maximum Number of Items | ||
| 51 | FCL_DTE_NCOUNTLIM | Item Limit | ||
| 52 | FCL_DTE_NDAYS | Number of days | ||
| 53 | FCL_DTE_NDAYS_PAY | Number of Days (Payment Date) | ||
| 54 | FCL_DTE_NDIVISOR | Divisor | ||
| 55 | FCL_DTE_NFREECOUNT | No. of Free Items | ||
| 56 | FCL_DTE_NFREECOUNT_POS | Nr. of Free Items (Position) | ||
| 57 | FCL_DTE_NNUMDETSHIFT | Shift of Calculation Period: Number of Units | ||
| 58 | FCL_DTE_NREFDATNUM | Shift of Reference Date: Number of Units | ||
| 59 | FCL_DTE_NREFSTARTNUM | Shift of Reference Date for Start Date: Number of Units | ||
| 60 | FCL_DTE_NREPPERIOD | Number of Period Units | ||
| 61 | FCL_DTE_NSECONDS | Number of Seconds (With +/- Sign) | ||
| 62 | FCL_DTE_NTOLDAYMAX | Tolerance Days Val.Dte.Max. | ||
| 63 | FCL_DTE_NTOLDAYMIN | Tolerance Days Val.Dte.Min. | ||
| 64 | FCL_DTE_OAMTCATG | Amount Category | ||
| 65 | FCL_DTE_OAMTLIM_REF | Reference Amount Limit | ||
| 66 | FCL_DTE_OBALANCEBASE | Basis of Balances | ||
| 67 | FCL_DTE_OBALANCECATG | Balance Category | ||
| 68 | FCL_DTE_OBASEREFEVAL | Calculation Basis | ||
| 69 | FCL_DTE_OCAL1 | Calendar 1 | ||
| 70 | FCL_DTE_OCAL2 | Calendar 2 | ||
| 71 | FCL_DTE_OCAL3 | Calendar 3 | ||
| 72 | FCL_DTE_OCAL4 | Calendar 4 | ||
| 73 | FCL_DTE_OCAL5 | Calendar 5 | ||
| 74 | FCL_DTE_OCALCCATG | Calculation Category | ||
| 75 | FCL_DTE_OCONDSOURCE | Condition Origin | ||
| 76 | FCL_DTE_OCONDTYPE | Condition Type | ||
| 77 | FCL_DTE_OCOUNTER_IN_SET | Item Counter | ||
| 78 | FCL_DTE_ODATECATG | Date Category | ||
| 79 | FCL_DTE_ODATERULE | Update Rule | ||
| 80 | FCL_DTE_ODATESHIFT | Working Day Shift | ||
| 81 | FCL_DTE_ODATESHIFT_PAY | Working Day Shift for Payment Date | ||
| 82 | FCL_DTE_ODAYTYPE | Day Type | ||
| 83 | FCL_DTE_ODETPRD | Determination Period ID | ||
| 84 | FCL_DTE_ODIFFCATG_0 | Differentiation Category | ||
| 85 | FCL_DTE_ODIFFCATG_1 | Differentiation Category | ||
| 86 | FCL_DTE_ODIFFCATG_2 | Differentiation Category | ||
| 87 | FCL_DTE_ODIFFCATG_3 | Differentiation Category | ||
| 88 | FCL_DTE_ODIFFCATG_4 | Differentiation Category | ||
| 89 | FCL_DTE_OINSTMETH | Amout Determination Category for Payment Condition | ||
| 90 | FCL_DTE_OINTREF | Interest Reference | ||
| 91 | FCL_DTE_OINTREF_CUTB | Reference Interest Rate Reduction | ||
| 92 | FCL_DTE_OINTREF_ORG | Interest Reference - Original Value of Margin | ||
| 93 | FCL_DTE_OIRUNIT | Time Unit for Interest Rate | ||
| 94 | FCL_DTE_OITEMCOUNTER | Counter | ||
| 95 | FCL_DTE_OKEYDATE | Key Date | ||
| 96 | FCL_DTE_OKEYDATES40 | Several Key Dates, CHAR Field With 1 Byte per Day | ||
| 97 | FCL_DTE_OLEVEL | Tiered or Interval Calculation | ||
| 98 | FCL_DTE_OLEVELEVAL | Levels for Condition Determination | ||
| 99 | FCL_DTE_OLEVELTOFREVAL | Tier is Upper/Lower Limit for Condition Determination | ||
| 100 | FCL_DTE_OLEVELTOFROM | Condition Item (Upper/Lower Limit) | ||
| 101 | FCL_DTE_OLISTTYP | Condition Group Type | ||
| 102 | FCL_DTE_OPCALC | Calculation Method for Early Withdrawal Penalty | ||
| 103 | FCL_DTE_OPERIODCATG | Period Category | ||
| 104 | FCL_DTE_OPULLDATE | Shift Due Date | ||
| 105 | FCL_DTE_OREFDATE | Reference Date | ||
| 106 | FCL_DTE_OREFDATSETDATE | Shift of Reference Date: Key date | ||
| 107 | FCL_DTE_OREFSTARTDATE | Reference Date for Start Date | ||
| 108 | FCL_DTE_OREFUND | Category for Interest Reimbursement | ||
| 109 | FCL_DTE_ORELCONDTYPE | Ref. Cond. Type | ||
| 110 | FCL_DTE_ORELDATECATG | Reference Date Category | ||
| 111 | FCL_DTE_ORELDATESHIFT | Reference to Referral Date After Working Day Shift | ||
| 112 | FCL_DTE_ORELMISC | Reference Category for Date Category Adjustment | ||
| 113 | FCL_DTE_ORELTYPE | Relationship Type | ||
| 114 | FCL_DTE_OREPUNIT | Period Unit | ||
| 115 | FCL_DTE_ORES_METH_TYPE | Result Calculation Type | ||
| 116 | FCL_DTE_ORHYTHMCATG | Frequency Category | ||
| 117 | FCL_DTE_OSETTLEMENT | Type of Clearing | ||
| 118 | FCL_DTE_OSTATUS | Status of Component or Item (Amount / Date) | ||
| 119 | FCL_DTE_OTIMELIM | Reason for Assignment of Condition | ||
| 120 | FCL_DTE_OTIMEPROPCALC | Charge Calculation Method | ||
| 121 | FCL_DTE_OTIMESET_TYPE | Val.Date Det.Category | ||
| 122 | FCL_DTE_OTIME_TYPE | Date Type | ||
| 123 | FCL_DTE_OTRNOVRCLASS | Turnover Class | ||
| 124 | FCL_DTE_OTRNOVRCLBASE | Balancing Method | ||
| 125 | FCL_DTE_OUSEPRD | Use Period | ||
| 126 | FCL_DTE_OWAIVEPRD | Waiver Period IDs | ||
| 127 | FCL_DTE_OWAIVETOFROM | Waive from | ||
| 128 | FCL_DTE_PERC_DAY | Percentage or Number of Days | ||
| 129 | FCL_DTE_PFLUCT | Fluctuation Margin | ||
| 130 | FCL_DTE_RINTMAX | Maximum Interest | ||
| 131 | FCL_DTE_RINTMAXC | Strike Price Upper Limit | ||
| 132 | FCL_DTE_RINTMAXD | Maximum Interest Increase | ||
| 133 | FCL_DTE_RINTMAX_CUTB | Maximum Interest Reduction | ||
| 134 | FCL_DTE_RINTMIN | Minimum Interest | ||
| 135 | FCL_DTE_RINTMIND | Maximum Interest Reduction | ||
| 136 | FCL_DTE_RINTMINF | Strike Price Lower Limit | ||
| 137 | FCL_DTE_RINTMIN_CUTB | Minimum Interest Reduction | ||
| 138 | FCL_DTE_RINTREFINCREM | Markup/Markdown of Reference Interest Rate | ||
| 139 | FCL_DTE_RPERCENTAGE | Percentage Rate | ||
| 140 | FCL_DTE_RPERCENTAGE_CUTB | Perecentage Reduction | ||
| 141 | FCL_DTE_RPERCENT_ORG | Percentage - Original Value for Margin | ||
| 142 | FCL_DTE_STARTEXCL | The Start of the Settlement Period is Exclusive | ||
| 143 | FCL_DTE_SZBMETH | Interest Calculation Method | ||
| 144 | FCL_DTE_TTIME | Time of the Cash Flow Calculator | ||
| 145 | FCL_DTE_TVALIDFROM | Valid-From Time | ||
| 146 | FCL_DTE_TVALIDTO | Valid-To Time | ||
| 147 | FCL_DTE_UREFDATUNIT | Shift of Reference Date: Unit | ||
| 148 | FCL_DTE_UREFSTARTUNIT | Shift of Reference Date for Start Date: Unit | ||
| 149 | FCL_DTE_UROUNDUNIT | Rounding Unit | ||
| 150 | FCL_DTE_USE_START_EXCL | Excluding Start of Period of Use | ||
| 151 | FCL_DTE_UUNITDETSHIFT | Shift of Determination Period: Unit | ||
| 152 | FCL_DTE_XCOND | Description of Condition |