Table/Structure Field list used by SAP ABAP Program DBFTI_BW_CFM_VALUESSEL (Selektionen der logischen Datenbank FTI_BW_CFM_VALUES)
SAP ABAP Program
DBFTI_BW_CFM_VALUESSEL (Selektionen der logischen Datenbank FTI_BW_CFM_VALUES) is using
# | Object Type | Object Name | Object Description | Note |
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1 | ![]() |
FTI_ADDSEL - BILST_REF_B | Positions: Remaining Term/Overdue Period Based On | |
2 | ![]() |
FTI_ADDSEL - BILST_REF_F | Flows: Remaining Term/Overdue Period Based On | |
3 | ![]() |
FTI_ADDSEL - BILST2 | Reference Date | |
4 | ![]() |
FTI_LDB_TR_CASH_FLOWS - WZBETR | Payment Currency | |
5 | ![]() |
FTI_LDB_TR_PARAMETERS - FLG_NO_NULL | Hide Zero Records | |
6 | ![]() |
FTI_LDB_TR_PARAMETERS - VVRANLWI | No. of the secondary index description for class data | |
7 | ![]() |
FTI_LDB_TR_PARAMETERS - FLG_ONLY_POS_WITH_FLOW | Indicator: Only Positions With Flows in Selection Period | |
8 | ![]() |
FTI_LDB_TR_PARAMETERS - FLG_OTC | Product Group OTC (MM, FX, DE): Yes/No | |
9 | ![]() |
FTI_LDB_TR_PARAMETERS - FLG_REVERSED_FLOWS | Process Reversed Flows (for Query) | |
10 | ![]() |
FTI_LDB_TR_PARAMETERS - FLG_SE | Product Group Securities: Yes/No | |
11 | ![]() |
FTI_LDB_TR_PARAMETERS - FTI_MARKET_BUFFER_CTRL | Control Risk Mgmt Buffer for Logical Database Reporting | |
12 | ![]() |
FTI_LDB_TR_PARAMETERS - ISTYPE | Industry System | |
13 | ![]() |
FTI_LDB_TR_PARAMETERS - KURSA | Price type for evaluations | |
14 | ![]() |
FTI_LDB_TR_PARAMETERS - KURSB | Rate Calculation | |
15 | ![]() |
FTI_LDB_TR_PARAMETERS - NUMBR | Number of translation key in currency translation | |
16 | ![]() |
FTI_LDB_TR_PARAMETERS - RSTICH | Key date reference | |
17 | ![]() |
FTI_LDB_TR_PARAMETERS - RSTICH_PB | Key Date Reference for Parallel Books | |
18 | ![]() |
FTI_LDB_TR_PARAMETERS - FLG_LOF | Product Group Listed Derivatives (Futures): Yes/No | |
19 | ![]() |
FTI_LDB_TR_PARAMETERS - FLG_LO | Product Group Loans: Yes/No | |
20 | ![]() |
FTI_LDB_TR_PARAMETERS - FLG_LEAD_FOL_CCY_LOGIC | Interpret. Leading/Following Currency for Exchange Transact. | |
21 | ![]() |
FTI_LDB_TR_PARAMETERS - FLG_HISTORIC_ACCASSREF | Indicator: Historical Account Assignment Reference | |
22 | ![]() |
FTI_LDB_TR_PARAMETERS - FLG_EXCL_PLAN | Exclude Plan Data (for Query) | |
23 | ![]() |
FTI_LDB_TR_PARAMETERS - FLG_COUPLING_SECACCGRP | Interpret Assignment of Sec. Account to Sec. Account Group | |
24 | ![]() |
FTI_LDB_TR_PARAMETERS - FLG_CONDENSE | Summarize Results (for Query) | |
25 | ![]() |
FTI_LDB_TR_PARAMETERS - FLG_CF_SIGN | Indicator: Plus/Minus Sign for Payment Amount | |
26 | ![]() |
FTI_LDB_TR_PARAMETERS - FLG_BALLOG_DB_SAVE | Save Application Log (CFM)? - Yes/No | |
27 | ![]() |
FTI_LDB_TR_PARAMETERS - DEAL_KEYDATE | Key Date | |
28 | ![]() |
FTI_LDB_TR_PARAMETERS - CALC_CCY | Evaluation Currency | |
29 | ![]() |
FTI_LDB_TR_PARAMETERS - AUSWT | Evaluation Type (Risk Management) | |
30 | ![]() |
FTI_LDB_TR_PARAMETERS - ANZGW | Display Currency |