Table list used by SAP ABAP PINF FS_TRM_SEM (FS_TRM_SEM)
SAP ABAP PINF FS_TRM_SEM (FS_TRM_SEM) is using
# Object Type Object Name Object Description Note
     
1 Table  API_FTR_GETDETAIL_A_FLOW_MULTI Other Flow Data for Transaction (Mass Data)
2 Table  API_FTR_GETDETAIL_CP_MULTI Details for Commercial Paper (Mass Data)
3 Table  API_FTR_GETDETAIL_FLOW_MULTI Flow Data for Transaction (Mass Data)
4 Table  API_FTR_GETDETAIL_FXT_MULTI Details for Foreign Exchange Transaction (Mass Data)
5 Table  AT01 Transaction Category
6 Table  AT02 Transaction Activity Category
7 Table  AT02A Transaction Code for Menu TIMN
8 Table  AT02T Transaction Activity Category: Description
9 Table  AT05 Processing Categories
10 Table  AT07 Category of Flows and Conditions
11 Table  AT08 Allocation: Application to Category of Flows and Conditions
12 Table  AT10 Transaction type
13 Table  AT100 Treasury Additions to User Master
14 Table  AT10T Name of Transaction Type
15 Table  AT10X Forex Attributes for Transaction Types
16 Table  AT11 Allocation of Condition Types to Transaction Types
17 Table  AT13 Allocation of Flow Types to Transaction Types
18 Table  AT18 Treasury: Valid Formulas
19 Table  AT19 Supplements to Flow Types
20 Table  AT20 Supplements to Condition Types
21 Table  AT51 Margin Types
22 Table  AT60 Definition of Treasury Functions for Activity Processing
23 Table  AT72T Text for unit types
24 Table  ATFTA CFM: Assign Transaction Flow Type to Update Type
25 Table  ATO1 Check Table for Option Categories
26 Table  ATO1T Text Table for ATO1
27 Table  ATOR Table of Limit Types
28 Table  ATPA Treasury: Product Type Supplements
29 Table  ATVC2 Descriptions of calculation routines
30 Table  BAPI1076 Header structure for financial product (FP)
31 Table  BAPI107600 Financial product parameter structure (general data)
32 Table  BAPI1076_ADDITIONALDATA Additional Fields for the BAPI Interface
33 Table  BAPI1076_BOND Bond parameters
34 Table  BAPI1076_BONDWARRANT Financial product parameter structure (bond warrant)
35 Table  BAPI1076_CONDITION Condition Items
36 Table  BAPI1076_CONVERTIBLEBOND Convertible bond parameters
37 Table  BAPI1076_CURRENCYWARRANT Financial product parameter structure (currency warrant)
38 Table  BAPI1076_EQUITYWARRANT Financial product parameter structure (equity warrant)
39 Table  BAPI1076_FORMULAR Formula
40 Table  BAPI1076_FUTURE Attributes for futures
41 Table  BAPI1076_INDEX Secondary index class data
42 Table  BAPI1076_INDEXWARRANT Financial product parameter structure (index warrant)
43 Table  BAPI1076_INVESTMENT Investment certificate parameters
44 Table  BAPI1076_LISTING Listing
45 Table  BAPI1076_NOTICE Termination
46 Table  BAPI1076_OPTION Attributes for options
47 Table  BAPI1076_PARTPAID Partly-Paids for Stocks and Shareholdings
48 Table  BAPI1076_PC_RANGE Range for product categories
49 Table  BAPI1076_PT_RANGE Range for product types
50 Table  BAPI1076_REFERENCE Structure for references
51 Table  BAPI1076_SECURITY_LIST Return structure for GetList method
52 Table  BAPI1076_SHARECAPITAL Stock Capital and Voting Rights
53 Table  BAPI1076_SHAREHOLDING Shareholding parameters
54 Table  BAPI1076_SN_RANGE ID numbers
55 Table  BAPI1076_STOCK Stocks parameters
56 Table  BAPI1076_SUBSCRIPTIONRIGHT Subscription rights
57 Table  BAPI1076_SUBSCRIPTPERIOD Subscription period for subscription rights
58 Table  BAPI1076_SWAP Stock Swap
59 Table  BAPI1076_WARRANTBOND Warrant bonds parameters
60 Table  BAPI2042 Financial Transaction: BUS2042 General Method Parameters
61 Table  BAPI_FTR_COND_DETAIL BAPI Structure: Display Condition Details
62 Table  BAPI_FTR_COND_FV BAPI Structure: Formula Components
63 Table  BAPI_FTR_COND_SD BAPI Structure: Single Dates
64 Table  BAPI_FTR_GETDETAIL FTR: BAPI Structure for Creating Transactions
65 Table  BAPI_FTR_GETDETAIL_CP Display Commercial Paper per BAPI
66 Table  BAPI_FTR_GETDETAIL_FTD Create Fixed-Term Deposit per BAPI
67 Table  BAPI_FTR_MAINFLOW_DETAIL FTR: BAPI Structure for Displaying Other Main Flows
68 Table  BCKVWPANLA BACKUP: Asset master
69 Table  CATRAS Extended ATRAS for update program (func.mod.ref.structure)
70 Table  DIFS_DIFF_VALUES Structure for Differentiation Values
71 Table  DIFS_SELECTION_RANGES Ranges: Differentiation Values for DB Selection
72 Table  EXBESTAND Export structure position data
73 Table  EXBESTAND_DE_MRM Drilldown: Export Position Data for Listed Options/Futures
74 Table  EXBWG Export Structure Cumulative Data (Drilldown)
75 Table  FTI_LDB_TR_POSITIONS Treasury: Positions (-> LDB)
76 Table  FTI_TRKEY Treasury: Create TRIX-SRTFD
77 Table  FTI_YS_SELECTED_FIELDS Field to Be Selected
78 Table  FTR_AVG_RATE Average Rates
79 Table  FTR_AVG_SCHEDULE Schedule with Rates
80 Table  FTR_OBJECT_KEY Structure with Object Key Fields
81 Table  FTR_REPO_DATA Structure for Repo Data
82 Table  FTR_SL_RDATA Structure for Securities Lending Data
83 Table  FTR_S_DELFZ Structure to Create a Range Table for End of Term
84 Table  KALKU Structure for Calculation Module
85 Table  REFON References between object numbers (CO object no.)
86 Table  SECURITY_BOND Bond parameters
87 Table  SECURITY_BONDWARRANT Financial product parameter structure (bond warrant)
88 Table  SECURITY_CONDITION Condition items
89 Table  SECURITY_CONVERTIBLEBOND Convertible bond parameters
90 Table  SECURITY_DB Update securities
91 Table  SECURITY_HEADER Financial product parameter structure (general data)
92 Table  SECURITY_HEADER_BOND Financial product parameter structure (bonds)
93 Table  SECURITY_HEADER_MIX_S_B Common parameters for stocks and bonds
94 Table  SECURITY_HEADER_OPTFUT Common attributes for options and futures
95 Table  SECURITY_HEADER_STOCK Parameters for stocks, investment certif. and shareholdings
96 Table  SECURITY_HEADER_WARRANT Financial product parameter structure (warrant)
97 Table  SECURITY_INDEX Secondary index class data
98 Table  SECURITY_INDEXWARRANT Financial product parameter structure (index warrant)
99 Table  SECURITY_INVESTMENT Investment certificate parameters
100 Table  SECURITY_MIX_B_C_WARRANT Common parameters for bond and currency warrants
101 Table  SECURITY_MIX_B_E_WARRANT Financial product parameter structure (equity warrant)
102 Table  SECURITY_MIX_C_E_WARRANT Common parameters for equity and currency warrants
103 Table  SECURITY_OPTION Attributes for options
104 Table  SECURITY_STOCK Stock and shareholding parameters
105 Table  SECURITY_SUBSCRIPTIONRIGHT Subscription rights
106 Table  SECURITY_WARRANTBOND Warrant bonds parameters
107 Table  TCURK Currency Code Table Supplements
108 Table  TCURL Leading Currency
109 Table  TERSINTERFACE Transfer Structure for Executable Rights
110 Table  TERSMULTIPLEDATA Fields with Several Values for Rights per Class
111 Table  TERTVWERKO Executable Rights (Header)
112 Table  TIDX_INDEX_4_DIST_FLOW_TYPE Result of the Index Value for a Dist. Flow Type
113 Table  TPMS_RANGE_BUSTRANSCAT Treasury: Structure for Range Business Transaction Category
114 Table  TPMS_R_BUKRS Ranges for company code
115 Table  TPMS_R_RANL Ranges for class number
116 Table  TPMS_R_RLDEPO Ranges for securities account
117 Table  TPMS_VALUE Value of a Component
118 Table  TRAC_ACCSYMB Account Determination: Account Symbols
119 Table  TRAC_DFTRULE1 Treasury: Assignment of Update Type to Posting Specs
120 Table  TRAC_DFTRULE2 Treasury: Assgmt of Update Type to Post. Specs per Valn Area
121 Table  TRAC_POSTRULE Treasury Account Determination: Posting Specifications
122 Table  TRBRG Authorization Group for Treasury Transactions
123 Table  TRCA_COMPANY TR-CA: Interfaces for Company Code
124 Table  TRDC_DFLOWTYPE Definition of Update Types
125 Table  TRDC_DFLOWTYPE_T Treasury: Update Type Texts
126 Table  TRDC_DFT_ASSIGN Assignment of Flow Types to Update Types
127 Table  TRFS_CLASS_POS Treasury: Mapping Structure for TRF Class Position
128 Table  TRFS_CLASS_POS_W_VALUES Treasury: Structure for TRF Class Position with Components
129 Table  TRFT_CLASS_POS Treasury: TRF Class Position
130 Table  TRFT_POS_ACCOUNT Treasury: Futures Account Master Data
131 Table  TRGC_COM_VALCL General valuation class
132 Table  TRGC_DFTSOURCASS Assign Update Types to Usages
133 Table  TRGC_PAY_REL Payment Relevance of Update Type
134 Table  TRGC_TAC_VA Assignment of Accounting Code to Valuation Area
135 Table  TRGC_TR_ACC_CODE Accounting Code
136 Table  TRGC_VAL_AREA Valuation Areas
137 Table  TRGS_COMPANY_CODE Structure to Set Up a Range Table Company Code
138 Table  TRGS_OBJECT_NUMBER Object Number
139 Table  TRGS_POSITION_ACCOUNT Futures Account
140 Table  TRGS_SECURITY_ACCOUNT Securities Account
141 Table  TRGS_SECURITY_ID Range Structure Security ID
142 Table  TRGS_VALUATION_AREA Range for Valuation Area
143 Table  TRGTS_COMP TR Position Management: Position Components (Definition)
144 Table  TRIAS Treasury: Int. Rate Adjustment - Registration and Fixing
145 Table  TRIAT Treasury: Int.Rate Adjust. - Registration and Int.Rate Adj.
146 Table  TRIX_DATA Treasury: Cluster Table Info System
147 Table  TRLS_FLOW Treasury Ledger Flows
148 Table  TRLS_FLOW_AND_TRANS Treasury Ledger Flows Including Business Transaction
149 Table  TRLS_FLOW_I Include Structure Treasury Ledger Flows
150 Table  TRLS_POSITION_ALV Treasury: Structure for Displaying Positions to be Valued
151 Table  TROPT User options
152 Table  TRSC_DFLOWTYPE Treasury: Attributes of Update Type for TRS
153 Table  TRSS_BOT9_KEY Key for Finance Object of Category "T9"
154 Table  TRSS_CC_SA_SI Structure for Company Code, Securities Account, ID Number
155 Table  TRSS_CF_FLOW Treasury: Flow Format for Cash Flow Calculation
156 Table  TRSS_CLASPOS_I Treasury: Include Struct. for Class Pos. in Securities Acct
157 Table  TRSS_POSITION_OBJECT Treasury: Structur of Class Pos. in Sec. Acct with Fin. Obj.
158 Table  TRSS_QUANTITY_RISK_INFO Structure for Transfer of Quantities to Risk
159 Table  TRST_CLASFLO CFM: Class Flows in Securities Account
160 Table  TRST_CLASPOS Treasury: Class position in Securities Account
161 Table  TW22 Securities classification
162 Table  TW51 Securities Account Statistics Key
163 Table  TWB08 Flow types per securities application subfunction
164 Table  TWD01 Treasury: Securities Account Master Data
165 Table  TWPOB Portfolio position
166 Table  TWRF Security classes relation types
167 Table  TWRFR Securities relationship type references
168 Table  TZBA Holding
169 Table  TZKN1 Fields as influencing factors for acct assignment reference
170 Table  TZKN2 Allocation of values to value groups
171 Table  TZKN6 Allocation of charact. group to acct.ass.ref. via invoice no
172 Table  TZKN7 Acct assignment reference via the invoice no.
173 Table  UAP_ENTRY_FLAGS Indicator for Initial Screen (GUI Framework)
174 Table  VBFHA Updating Table for Transaction
175 Table  VTBAFINKO Alternative Conditions
176 Table  VTBAKKU Accumulated View of a Transaction
177 Table  VTBEFINKO Extended Terms for Detail Screen Processing
178 Table  VTBFHA Transaction
179 Table  VTBFHAPO Transaction Flow
180 Table  VTBFHAPO_UNFIXED Non-Fixed Financial Transaction Flows
181 Table  VTBFHAZU Transaction Activity
182 Table  VTBFINKO Transaction Condition
183 Table  VTBMA Master Agreement
184 Table  VTBPFHAPO Treasury: Flow Shells
185 Table  VTBRATE Rate for Activity
186 Table  VTBSODOKU Selection Option Documentation for Specific Reports
187 Table  VTBTEKAL Treasury: Due Date Management
188 Table  VTBZIANP Int.Rate Adjustment
189 Table  VTB_S_BEW Data Structure for Flows (SWAP)
190 Table  VTB_S_FIN Data Structure of Swap update log
191 Table  VTB_S_GES Transaction information for Swap
192 Table  VTGFHA TR Transaction Management: Transaction Display Structure
193 Table  VTGFHAPO TR Transaction Management: Flow Display Structures
194 Table  VTGFHAZU TR Transaction Management: Activity Display Structure
195 Table  VTGZVERB Payment Details: General Maintenance Structure
196 Table  VTGZVERBX Payment Details: Change Structure
197 Table  VTIAFINKO Alternative Conditions Underlying
198 Table  VTIFHA Underlying transaction
199 Table  VTIFHAPO Underlying transaction flows
200 Table  VTIFHAZU Underlying transaction status table
201 Table  VTIFINKO Underlying transaction conditions
202 Table  VTIOF Additional Option Data
203 Table  VTIOFZU Allocation of Option/Future to Underlying
204 Table  VTIUL Underlying Objects
205 Table  VTI_MEMOUL Transfer Structure to Memory for Option Details
206 Table  VTMFHA Financial transactions from money market view
207 Table  VTMFHAZU Transaction Activity from Money Market View
208 Table  VTMHPTBWG Main flow in money market trading
209 Table  VTMHPTKOND Main terms in money market
210 Table  VTS_ADMIN Administration Data of a Transaction
211 Table  VTS_ADMINX FTR: BAPI Structure Change Information for Change Method
212 Table  VTS_BAPI_KEY_FTR Key Field Structure for BAPI Calls
213 Table  VTS_COND Condition: Structure
214 Table  VTS_COND_FORMULA_VARIABLES Condition: Form Components
215 Table  VTS_COND_SINGLE_DATES Condition: Single Dates
216 Table  VTS_CONTRACT Contract Data of Transaction
217 Table  VTS_CONTRACTX Contract Data of Transaction
218 Table  VTS_MMENTRY Create Transaction
219 Table  VTS_STATUS Status Data of Transaction
220 Table  VTVBARM_MR Treasury: Non-Cumulative Values Market Risk: Characteristics
221 Table  VTVBARW Market Risk: For a Given Date
222 Table  VTVDETA_DE Derivatives: Cumulative Values
223 Table  VTVDETA_FX Foreign Exchange: Cumulative Values
224 Table  VTVSZCVO Scenario database: exchange rate volatilities
225 Table  VTXI1 Forex Transaction Flow 1
226 Table  VTXI10 Transfer Structure for forex entry
227 Table  VWBEKI Treasury Securities: Actual Flows - Header
228 Table  VWBEPI Treasury Securities: Actual Flows - Item
229 Table  VWBEPP Treasury Securities: Planned Flows
230 Table  VWFL3 Assign Transaction Number to Position Number
231 Table  VWKMKO Corporate actions (header)
232 Table  VWKMPO Corporate actions (items)
233 Table  VWORDE Order Data
234 Table  VWPANAN Asset master/asset master relationship
235 Table  VWPANLE Interest-bearing securities
236 Table  VWPBUKR Company Code Position
237 Table  VWPDEPO Securities Account Position
238 Table  VWPSHARECAPITAL TR: Secuirity Share Capital and Votes
239 Table  VWPTERM Warrants
240 Table  VWPWPKU Security prices
241 Table  VZOPTI Treasury general option structure
242 Table  VZOPTO Structure for Option Transfer (Reporting)
243 Table  VZSKOKO Condition header for stock, subscrip.rights, investments
244 Table  VZTRIDAT Underlying transaction data structure
245 Table  VZWERTP General securities structure Treasury