Table/Structure Field list used by SAP ABAP Program LIEDPF1S (FILL_SEGMENT_IDB02)
SAP ABAP Program
LIEDPF1S (FILL_SEGMENT_IDB02) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | BNKA - BANKA | Name of bank | ||
| 2 | BNKA - ADRNR | Address number | ||
| 3 | BNKA - SWIFT | SWIFT/BIC for International Payments | ||
| 4 | BNKA - ORT01 | City | ||
| 5 | BNKA - BRNCH | Bank Branch | ||
| 6 | BNKA - BANKS | Bank country key | ||
| 7 | BNKA - BANKL | Bank Keys | ||
| 8 | BNKA - BNKLZ | Bank number | ||
| 9 | E1IDB02 - FIIBRANCH | E1IDB02-FIIBRANCH | ||
| 10 | E1IDB02 - FIIXPGRO | Post Office Bank Current Account | ||
| 11 | E1IDB02 - FIIQUALI | Type of Bank Details | ||
| 12 | E1IDB02 - FIIKWAER | Account Currency | ||
| 13 | E1IDB02 - FIIKONTO | Account Number | ||
| 14 | E1IDB02 - FIIKNAME | Account Holder | ||
| 15 | E1IDB02 - FIIKNAM2 | Account Holder - 2nd Line | ||
| 16 | E1IDB02 - FIIBLAND | Bank Country | ||
| 17 | E1IDB02 - FIIBKUKN | Bank ID | ||
| 18 | E1IDB02 - FIIBKUCD | Bank ID Type | ||
| 19 | E1IDB02 - FIIBKONT | Bank Control Key | ||
| 20 | E1IDB02 - COMNART1 | Type of Communication Number | ||
| 21 | E1IDB02 - COMNART2 | Type of Communication Number | ||
| 22 | E1IDB02 - COMNUMM1 | Communication Number | ||
| 23 | E1IDB02 - COMNUMM2 | Communication Number | ||
| 24 | E1IDB02 - CTABNAME | Contact Person/Department | ||
| 25 | E1IDB02 - FIIBKCDE | Bank ID Type | ||
| 26 | E1IDB02 - FIIBKENN | Bank ID | ||
| 27 | E1IDB02 - FIIBKNAM | Bank Name | ||
| 28 | E1IDB02 - FIIBKORT | Bank City | ||
| 29 | E1IDIBA - FIIQUALI | E1IDIBA-FIIQUALI | ||
| 30 | E1IDIBA - IBAN | E1IDIBA-IBAN | ||
| 31 | E1IDIBA - SWIFT_CODE | E1IDIBA-SWIFT_CODE | ||
| 32 | EDIDC - DOCTYP | IDoc Type | ||
| 33 | REGUD - ZIBAN | IBAN of the Payee | ||
| 34 | REGUD - ZBRCH | Bank Branch | ||
| 35 | REGUD - ZBORT | City of the Payee's Bank | ||
| 36 | REGUD - ZBNKA | Name of the Payee's Bank | ||
| 37 | REGUD - UBRCH | Bank Branch | ||
| 38 | REGUD - UBORT | Our Bank City | ||
| 39 | REGUD - UBNKA | Our Bank Name | ||
| 40 | REGUD - AUSTO | Place of Issue | ||
| 41 | REGUD - AUST1 | Issuer on the Form | ||
| 42 | REGUD - UIBAN | IBAN at our House Bank | ||
| 43 | REGUH - ZBNKL | Bank number of the payee's bank | ||
| 44 | REGUH - ZSWIF | SWIFT/BIC for International Payments | ||
| 45 | REGUH - ZIBAN | IBAN of the Payee | ||
| 46 | REGUH - ZBUKR | Paying company code | ||
| 47 | REGUH - ZBNKY | Bank key of the payee's bank | ||
| 48 | REGUH - ZBNKS | Country Key | ||
| 49 | REGUH - ZBNKN | Bank account number of the payee | ||
| 50 | REGUH - ZBKON | Bank Control Key of the Payee's Bank | ||
| 51 | REGUH - VBLNR | Document Number of the Payment Document | ||
| 52 | REGUH - UBNKY | Bank key of our bank | ||
| 53 | REGUH - UBNKL | Bank number of our bank | ||
| 54 | REGUH - LIFNR | Account Number of Vendor or Creditor | ||
| 55 | REGUH - KOINH | Account Holder Name | ||
| 56 | REGUH - HKTID | ID for account details | ||
| 57 | REGUH - HBKID | Short key for a house bank | ||
| 58 | REGUH - BTYP3 | Type of bank in a bank chain (correspondent, intermediary) | ||
| 59 | REGUH - BTYP2 | Type of bank in a bank chain (correspondent, intermediary) | ||
| 60 | REGUH - BTYP1 | Type of bank in a bank chain (correspondent, intermediary) | ||
| 61 | REGUH - BKREF | Reference specifications for bank details | ||
| 62 | REGUH - UBNKS | Bank country key | ||
| 63 | SADR - TELF1 | Addresses: telephone no. | ||
| 64 | SADR - TELFX | Fax number | ||
| 65 | SYST - FDPOS | ABAP System Field: Occurrence in Byte or Character String | ||
| 66 | SYST - INDEX | ABAP System Field: Loop Index | ||
| 67 | T005 - INTCA | Country ISO code | ||
| 68 | T012 - NAME1 | Name of contact person | ||
| 69 | T012 - TELF1 | First telephone number | ||
| 70 | T012K - BANKN | Bank account number | ||
| 71 | T012K - BKONT | Bank Control Key | ||
| 72 | T012K - REFZL | Reference Information | ||
| 73 | T012K - WAERS | Currency Key |