Table/Structure Field list used by SAP ABAP Program LFKBF0F01 (Include LFBMACBALF02)
SAP ABAP Program
LFKBF0F01 (Include LFBMACBALF02) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | BKK42 - CONDGR1 | Condition Group: Interest | ||
| 2 | BKK42 - CONDAREA | Condition Area | ||
| 3 | BKKTERM - CERT_NO | BCA Time deposit certificate number | ||
| 4 | BKKTERM - INCREASE | Amount | ||
| 5 | BKKTERM - LATEST_TERMSTART | Term Start | ||
| 6 | BKKTERM - REDUCTION | Amount | ||
| 7 | BKKTERM - TERM | Term Duration | ||
| 8 | BKKTERM - TERMSTART | Term Start | ||
| 9 | BKKTERM - TERM_END | End of Term | ||
| 10 | BKKTERM - TERM_PUNIT | Period Unit for Term | ||
| 11 | BKKTERM - TERM_STATUS | Term Agreement Status | ||
| 12 | BKKTERM - BKKRS | Bank Area | ||
| 13 | BKK_STR_BKK40 - BKKRS | Bank Area | ||
| 14 | BKK_STR_BKK58 - DEPOSIT_TCUR | Account Currency | ||
| 15 | BKK_STR_BKK58 - ORIGIN_TERM | Original Term | ||
| 16 | BKK_STR_BKK58 - ORIGIN_TERMUNIT | Period Unit for Term | ||
| 17 | BKK_STR_TERM_MASTER_DATA - BKKRS | Bank Area | ||
| 18 | BKK_STR_TERM_MASTER_DATA - DEPOSIT_TCUR | Account Currency | ||
| 19 | BKK_STR_TERM_MASTER_DATA - ORIGIN_TERM | Original Term | ||
| 20 | BKK_STR_TERM_MASTER_DATA - ORIGIN_TERMUNIT | Period Unit for Term | ||
| 21 | IBKK42_S2 - CONDAREA | Condition Area | ||
| 22 | IBKK42_S3 - CONDGR1 | Condition Group: Interest | ||
| 23 | IBKK_TD_S1 - CERT_NO | BCA Time deposit certificate number | ||
| 24 | IBKK_TD_S1 - XINCREASE | Contract Amount Adjustment Type | ||
| 25 | IBKK_TD_S1 - TERM_STATUS | Term Agreement Status | ||
| 26 | IBKK_TD_S1 - TERM_PUNIT | Period Unit for Term | ||
| 27 | IBKK_TD_S1 - TERM_END | End of Term | ||
| 28 | IBKK_TD_S1 - TERMSTART | Term Start | ||
| 29 | IBKK_TD_S1 - TERM | Term Duration | ||
| 30 | IBKK_TD_S1 - ORIGIN_TERMUNIT | Period Unit for Term | ||
| 31 | IBKK_TD_S1 - ORIGIN_TERM | Original Term | ||
| 32 | IBKK_TD_S1 - LATEST_TERMSTART | Latest Term Start | ||
| 33 | IBKK_TD_S1 - DURATION_INTEREST | Term Duration in Interest Days | ||
| 34 | IBKK_TD_S1 - DURATION_CALENDAR | Term Duration in Calendar days | ||
| 35 | IBKK_TD_S1 - CURRENCY | Currency of Current Account | ||
| 36 | IBKK_TD_S1 - AMOUNT | Amount | ||
| 37 | IBKK_TD_S2 - AMOUNT | Amount | ||
| 38 | IBKK_TD_S2 - DURATION_CALENDAR | Term Duration in Calendar days | ||
| 39 | IBKK_TD_S2 - DURATION_INTEREST | Term Duration in Interest Days | ||
| 40 | IBKK_TD_S2 - XINCREASE | Contract Amount Adjustment Type | ||
| 41 | SCXTAB_CONTROL - LINES | SCXTAB_CONTROL-LINES | ||
| 42 | SYST - STEPL | ABAP System Field: Current Step Loop or Table Control Line |