Class Method list used by SAP ABAP Program LFTI_LDB_PB_SELF07 (Include LFTI_LDB_PB_SELF07)
SAP ABAP Program
LFTI_LDB_PB_SELF07 (Include LFTI_LDB_PB_SELF07) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | CA_POSITION_TRL - GET_OID_BY_REF | Agent Treasury Ledger Position | ||
| 2 | CB_VALUATION_TRANSACTION_TLV - CREATE_PERSISTENT | Base Agent Treasury: Valuation Business Transaction | ||
| 3 | CL_ACCUMULATOR_TRG - ACCUMULATE_FLOWS | Treasury: Accumulator | ||
| 4 | CL_ACCUMULATOR_TRG - CONSTRUCTOR | Treasury: Accumulator | ||
| 5 | CL_ACCUMULATOR_TRG - GET_VALUES | Treasury: Accumulator | ||
| 6 | CL_ACCUMULATOR_TRG - RESET_VALUES | Treasury: Accumulator | ||
| 7 | CL_FLOW_SELECTOR_DIF - CONSTRUCTOR | Selector for Flows | ||
| 8 | CL_FLOW_SELECTOR_DIF - TO_STRING | Selector for Flows | ||
| 9 | CL_POSITION_TRL - GETATTRIBUTES | Treasury Ledger Position | ||
| 10 | CL_POSITION_TRL - GETCURRENCIES | Treasury Ledger Position | ||
| 11 | CL_POSITION_TRL - GETDIFFVALUES | Treasury Ledger Position | ||
| 12 | CL_POS_MAN_PROC_RULE_TRG - CLS_GET_FX_PRICE_DATA | Position Management Procedure | ||
| 13 | CL_POS_MAN_PROC_RULE_TRG - CLS_GET_TI_DATA | Position Management Procedure | ||
| 14 | CL_POS_MAN_PROC_RULE_TRG - CLS_GET_PRICE_DATA | Position Management Procedure | ||
| 15 | CL_POS_MAN_PROC_RULE_TRG - CLS_GET_FE_DATA | Position Management Procedure | ||
| 16 | CL_POS_MAN_PROC_RULE_TRG - CLS_GET_AMORT_DATA | Position Management Procedure | ||
| 17 | CL_POS_MAN_PROC_RULE_TRG - CLS_GET_ALL_COMPONENTS | Position Management Procedure | ||
| 18 | CL_RATE_SERVER_VAL - GET_CASH_VALUE | Treasury: Determination of Key Date Exchange Rates | ||
| 19 | CL_RATE_SERVER_VAL - GET_DEAL_DATA_FORWARD | Treasury: Determination of Key Date Exchange Rates | ||
| 20 | CL_RATE_SERVER_VAL - GET_DEAL_DATA_FX | Treasury: Determination of Key Date Exchange Rates | ||
| 21 | CL_RATE_SERVER_VAL - GET_EXCHANGE_RATE | Treasury: Determination of Key Date Exchange Rates | ||
| 22 | CL_RATE_SERVER_VAL - GET_SECURITY_PRICE | Treasury: Determination of Key Date Exchange Rates | ||
| 23 | CL_RATE_SERVER_VAL - GET_SWAP_RATE | Treasury: Determination of Key Date Exchange Rates | ||
| 24 | CL_VALUATION_TRANSACTION_TLV - GETU_MESSAGES | Valuation Business Transaction | ||
| 25 | CL_VALUATION_TRANSACTION_TLV - GETU_STEPS | Valuation Business Transaction | ||
| 26 | CL_VALUATION_TRANSACTION_TLV - VALUE_POSITION | Valuation Business Transaction | ||
| 27 | IF_ASSESSABLE_POSITION_VAL - GET_DIFF_VALUES | Treasury: Position Can Be Valued | ||
| 28 | IF_OS_CA_SERVICE - GET_OID_BY_REF | Interface for Services (Class Agent) |