Table list used by SAP ABAP Program FICDATTP (Declaration of Data)
SAP ABAP Program FICDATTP (Declaration of Data) is using
# Object Type Object Name Object Description Note
     
1 Table  T881 Ledger Master
2 Table  T881T FI-SL Ledger text
3 Table  T884T Currency translation method table: Texts
4 Table  TCURT Currency Code Names
5 Table  TF001 SAP Cons.: Global Specifications
6 Table  TF002 SAP Cons.: Assignment of Sets -> Items
7 Table  TF030 Dimension and Version-Dependent Settings
8 Table  TF100 Financial Statement Items
9 Table  TF101 FS Items: Short and Medium Texts
10 Table  TF102 FS Items: Long Texts
11 Table  TF103 Breakdown Categories
12 Table  TF104 Breakdown Categories: Name
13 Table  TF105 FS Item Categories
14 Table  TF106 FS Item Categories: Description
15 Table  TF110 Subitem Categories
16 Table  TF111 Subitem Categories: Description
17 Table  TF115 Subitems
18 Table  TF116 Subitems: Short and Medium Texts
19 Table  TF117 Subitems: Long Texts
20 Table  TF120 Consolidation Charts of Accounts
21 Table  TF121 Consolidation Charts of Accounts: Description
22 Table  TF130 FS Item Hierarchies
23 Table  TF131 Item Hierarchies: Name
24 Table  TF140 Selected FS Items
25 Table  TF150 Dimensions
26 Table  TF151 Dimensions: Texts and User-Specific Names
27 Table  TF152 Dimensions, Screen List, Consolidation Units
28 Table  TF153 Dimensions, Screen List, Consolidation Groups
29 Table  TF154 Dimensions year- and period-dependent
30 Table  TF155 Dimensions: Assign Task Groups
31 Table  TF160 Consolidation Units
32 Table  TF161 Consolidation Units: Texts
33 Table  TF162 Consolidation Unit Correspondence
34 Table  TF163 Consolidation Units, Version/Period-Based Attributes
35 Table  TF164 Consolidation Unit Year-Dependent
36 Table  TF165 Consolidation Units Version-Dependent
37 Table  TF166 Consolidation Units Version- and Period Category-Dependent
38 Table  TF167 Consolidation Units Version- and Period-Dependent
39 Table  TF168 Consolidation Units Ledger-Dependent
40 Table  TF169 Version/Period-Dependent Cons. Units: Tax Rates
41 Table  TF170 Position of Contact Person
42 Table  TF171 Position of Contact Person: Description
43 Table  TF172 Contact Person Assignments
44 Table  TF173 Reasons for Inclusion
45 Table  TF174 Reasons for Inclusion: Short and Medium Texts
46 Table  TF175 Reasons for Inclusion: Long Texts
47 Table  TF180 Consolidation Groups
48 Table  TF181 Consolidation Groups: Texts
49 Table  TF182 Consolidation Groups, Version-Dependent
50 Table  TF183 Consolidation Groups, Version- and Period Categ.-Dependent
51 Table  TF184 Consolidation Groups, Version- and Year-Dependent
52 Table  TF187 Consolidation Group Set Assignments
53 Table  TF188 Consolidation Group Assignment of Task Group
54 Table  TF189 Assignment of CG/CU, Version- and Period-Dependent
55 Table  TF190 Hierarchies
56 Table  TF191 Hierarchies: texts
57 Table  TF192 Hierarchies, Period-Dependent
58 Table  TF193 Hierarchies, Version-Dependent
59 Table  TF194 Hierarchies, Version- and Period Category-Dependent
60 Table  TF195 Hierarchy Levels
61 Table  TF196 Hierarchy Levels: Texts
62 Table  TF197 Hierarchy Levels Used
63 Table  TF198 Hierarchy Level Relationships
64 Table  TF200 Consolidation Versions
65 Table  TF201 Versions: Name
66 Table  TF202 Structure Versions
67 Table  TF203 Structure Versions: Name
68 Table  TF204 Data Entry Versions
69 Table  TF205 Data Entry Versions: Name
70 Table  TF206 Translation Method Versions
71 Table  TF207 Translation Method Versions: Name
72 Table  TF208 Exchange Rate Versions
73 Table  TF209 Exchange Rate Versions: Name
74 Table  TF210 Ledger Versions
75 Table  TF211 Ledger Versions: Name
76 Table  TF212 Versions for Selected FS Items
77 Table  TF213 Selected Item Versions: Description
78 Table  TF214 Tax Rate Versions
79 Table  TF215 Tax Rate Versions: Name
80 Table  TF216 Consolidation of Investment Method Versions
81 Table  TF217 Consolidation of Investment Method Versions: Name
82 Table  TF218 Investment Versions
83 Table  TF219 Investment Versions: Name
84 Table  TF220 Equity Versions
85 Table  TF221 Equity Versions: Name
86 Table  TF222 Hidden Reserve (Fair Value Adjustment) Versions
87 Table  TF223 Hidden Reserve Versions: Name
88 Table  TF224 Versions of Eliminated Hidden Reserves (FVA)
89 Table  TF225 Versions of Eliminated Hidden Reserves: Name
90 Table  TF226 Retained Earnings Versions
91 Table  TF227 Retained Earnings Versions: Name
92 Table  TF228 Versions of Goodwill
93 Table  TF229 Versions of goodwill: Description
94 Table  TF240 Consolidation Frequencies
95 Table  TF241 Consolidation Frequencies: Name
96 Table  TF242 Consolidation Periods
97 Table  TF310 Data Entry Groups
98 Table  TF311 Data Entry Groups: Name
99 Table  TF320 Financial Data Types
100 Table  TF321 Financial Data Types: Description
101 Table  TF325 Period Categories
102 Table  TF326 Period Categories: Name
103 Table  TF330 Data Entry Groups: Layout Assignments
104 Table  TF340 Data Entry Profiles
105 Table  TF350 Download: Assign CG PC Path
106 Table  TF360 Download: Selection Parameters for Special Download
107 Table  TF361 Download: Selection Parameters for General Download
108 Table  TF370 Equivalency Table in MC Validations
109 Table  TF390 Selected Items for Carryforwards
110 Table  TF400 Currency Translation Methods
111 Table  TF410 Currency Translation Methods: Entries
112 Table  TF411 Translation Methods: Entries for Subassignments
113 Table  TF415 FS Items for Posting Trans. Diffs with Effect on Earnings
114 Table  TF420 Exchange Rate Indicators
115 Table  TF421 Exchange Rate Indicators: Description
116 Table  TF425 Exchange Rate Indicators: ER Type Assignments
117 Table  TF500 Document Types
118 Table  TF501 Document Types: Name
119 Table  TF502 Postable Item Categories
120 Table  TF503 Chart-Based Document Type Attributes
121 Table  TF505 Version-Based Document Type Attributes
122 Table  TF510 Validation of Consolidation Documents
123 Table  TF530 Task Groups
124 Table  TF531 Task Groups: Name
125 Table  TF532 Task Groups: Task Assignments
126 Table  TF533 Task Groups: Preceding Tasks
127 Table  TF540 Consolidation Tasks
128 Table  TF541 Consolidation Tasks: Name
129 Table  TF542 Consolidation Tasks, Version-Dependent
130 Table  TF543 Consolidation Tasks: Assignments of Methods and Doc.Types
131 Table  TF544 Tasks: Task Group Exceptions
132 Table  TF545 Consolidation Tasks: Exceptions for Cons Units
133 Table  TF550 Methods
134 Table  TF551 Methods: Name
135 Table  TF555 Methods for Interunit Elimination
136 Table  TF556 Methods for IU Elimination: Item Set Assignments
137 Table  TF557 Methods: Threshold Value for Posting Differences
138 Table  TF570 Tasks for Manual Posting - Document Type Assignments
139 Table  TF575 Tasks for CG Changes: Document Type Assignments
140 Table  TF600 Consolidation of Investments Methods
141 Table  TF605 C/I Methods: Assignments
142 Table  TF620 Changes in Investments
143 Table  TF625 Group Shares
144 Table  TF630 Changes in Investee Equity
145 Table  TF635 Goodwill/Neg.Goodwill
146 Table  TF635A Goodwill/Neg.Goodwill
147 Table  TF650 C/I Activity Numbers
148 Table  TF651 Activity Numbers - Sequence
149 Table  TF655 C/I Entry of Activities: Default Values
150 Table  TF660 Equity Holdings Adjustments
151 Table  TF661 Equity Holdings Adjustments by Upper Unit
152 Table  TF690 C/I - System Utilization
153 Table  TF695 Selected Items for Consolidation of Investments
154 Table  TFIN010 Consolidation Unit Integration
155 Table  TFV100 Internal table: items and their short/medium texts
156 Table  TFV115 Internal table: sub-items with short/medium texts