Table/Structure Field list used by SAP ABAP Program LISAUTO_SICRLACPOF53 (Interface to ISIA-layer (Event Handle))
SAP ABAP Program
LISAUTO_SICRLACPOF53 (Interface to ISIA-layer (Event Handle)) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | BAPIRETURN1 - MESSAGE | Message Text | ||
| 2 | BAPIRETURN1 - MESSAGE_V1 | Message Variable | ||
| 3 | BAPIRETURN1 - MESSAGE_V2 | Message Variable | ||
| 4 | BAPIRETURN1 - MESSAGE_V3 | Message Variable | ||
| 5 | BAPIRETURN1 - MESSAGE_V4 | Message Variable | ||
| 6 | BAPIRETURN1 - NUMBER | Message Number | ||
| 7 | BAPIRETURN1 - TYPE | Message type: S Success, E Error, W Warning, I Info, A Abort | ||
| 8 | BAPIRETURN1 - ID | Message Class | ||
| 9 | ISI_ACCT - CUSTOMER | Number of returnable packaging location | ||
| 10 | ISI_ACCT - VENDOR_TYPE | Partner type of returnable packaging exchange partner | ||
| 11 | ISI_ACCT - VENDOR | Account Number of Vendor or Creditor | ||
| 12 | ISI_ACCT - UNIT | Base Unit of Measure | ||
| 13 | ISI_ACCT - SEQNO | Posting sequence number of returnable packaging account | ||
| 14 | ISI_ACCT - ROLEACM | Role of location in account statement | ||
| 15 | ISI_ACCT - RET_MATERIAL | Returnable packaging | ||
| 16 | ISI_ACCT - PARNR | Output Partner | ||
| 17 | ISI_ACCT - NRART | Type of partner number | ||
| 18 | ISI_ACCT - CUSTOMER_TYPE | Partner type of returnable packaging location | ||
| 19 | ISI_ACCT - CUSTOMER_EXT | Description of Object at Partner | ||
| 20 | ISI_ACCT - BUKRS | Company Code | ||
| 21 | ISI_ACCT - ACST_CTRL | Statement control for returnable packaging account | ||
| 22 | ISI_ACCT - ACST_CREATE_CTRL | Control for Creation and Sending of RP Account Statements | ||
| 23 | ISI_ACCT - ACCTNO | Returnable packaging account | ||
| 24 | ISI_ACCT - ACCTBAL | Current Account Balance in Base Unit of Measure | ||
| 25 | ISI_ACCT_ACST - BALDATE_OLD | Old Posting Date (Balance Carried Forward) | ||
| 26 | ISI_ACCT_ACST - PARTNO | Sequence number for RP account postings per acct and deltype | ||
| 27 | ISI_ACCT_ACST - MIME_DATA | ISI_ACCT_ACST-MIME_DATA | ||
| 28 | ISI_ACCT_ACST - BALDATE | Acct statement date | ||
| 29 | ISI_ACCT_ACST - ITEM_DISP | New Input Values | ||
| 30 | ISI_ACCT_ACST - ACCTNO | Returnable packaging account | ||
| 31 | ISI_ACCT_APP - DATA | ISI_ACCT_APP-DATA | ||
| 32 | ISI_ACCT_APP - DATA_DETAIL | ISI_ACCT_APP-DATA_DETAIL | ||
| 33 | ISI_ACCT_APP - DISPLAY_CONTROL | ISI_ACCT_APP-DISPLAY_CONTROL | ||
| 34 | ISI_ACCT_APP - HELP | ISI_ACCT_APP-HELP | ||
| 35 | ISI_ACCT_APP - SEL_ACCT_LIST | ISI_ACCT_APP-SEL_ACCT_LIST | ||
| 36 | ISI_ACCT_CONTROL - DISPLAY | Display control | ||
| 37 | ISI_ACCT_CONTROL - DISPLAY_MES | Display control for messages | ||
| 38 | ISI_ACCT_CONTROL - USE_ACSTCREA | Usage creation function of statements for all accounts | ||
| 39 | ISI_ACCT_CONTROL - USE_ONLY20 | Usage of the 2.0 functionality only | ||
| 40 | ISI_ACCT_DATA - SEQNO | Posting sequence number of returnable packaging account | ||
| 41 | ISI_ACCT_DATA - VENDOR_TYPE | Partner type of returnable packaging exchange partner | ||
| 42 | ISI_ACCT_DATA - SEL_ACCT | Checkbox | ||
| 43 | ISI_ACCT_DATA - ROLEACM | Role of location in account statement | ||
| 44 | ISI_ACCT_DATA - RET_MATERIAL | Returnable packaging | ||
| 45 | ISI_ACCT_DATA - POSTNEW | Postings Which Are Not Contained in Any Statement Yet | ||
| 46 | ISI_ACCT_DATA - STATUS | Comment | ||
| 47 | ISI_ACCT_DATA - UNIT | Base Unit of Measure | ||
| 48 | ISI_ACCT_DATA - USE_ACSTCREA | Usage creation (delete) function of statements per account | ||
| 49 | ISI_ACCT_DATA - USE_MATCH | Usage of SWP machting functionalitiy per account | ||
| 50 | ISI_ACCT_DATA - USE_OUTPUT | Usage of SWP output functionality per account | ||
| 51 | ISI_ACCT_DATA - VENDOR | Account Number of Vendor or Creditor | ||
| 52 | ISI_ACCT_DATA - CUSTOMER | Number of returnable packaging location | ||
| 53 | ISI_ACCT_DATA - ACCTNO | Returnable packaging account | ||
| 54 | ISI_ACCT_DATA - PARTNO | Sequence number for RP account postings per acct and deltype | ||
| 55 | ISI_ACCT_DATA - ACCTBAL | Current Account Balance in Base Unit of Measure | ||
| 56 | ISI_ACCT_DATA - ACST_CHNGTYPE | Processing status of account statement/transaction | ||
| 57 | ISI_ACCT_DATA - ACST_CPSTATEHD | Matching status of returnable packaging account statement | ||
| 58 | ISI_ACCT_DATA - ACST_CREATE_CTRL | Control for Creation and Sending of RP Account Statements | ||
| 59 | ISI_ACCT_DATA - ACST_CTRL | Statement control for returnable packaging account | ||
| 60 | ISI_ACCT_DATA - BALDATE_OLD | Old Posting Date (Balance Carried Forward) | ||
| 61 | ISI_ACCT_DATA - BUKRS | Company Code | ||
| 62 | ISI_ACCT_DATA - CUSTOMER_EXT | Description of Object at Partner | ||
| 63 | ISI_ACCT_DATA - CUSTOMER_TYPE | Partner type of returnable packaging location | ||
| 64 | ISI_ACCT_DATA - NRART | Type of partner number | ||
| 65 | ISI_ACCT_DATA - PARNR | Output Partner | ||
| 66 | ISI_ACCT_DETAIL - ACCTNO | Returnable packaging account | ||
| 67 | ISI_ACCT_DETAIL - ACST_STRUCT | ISI_ACCT_DETAIL-ACST_STRUCT | ||
| 68 | ISI_ACCT_DETAIL - POSTINGS_STRUCT | ISI_ACCT_DETAIL-POSTINGS_STRUCT | ||
| 69 | ISI_ACCT_DETAIL - TEXT | ISI_ACCT_DETAIL-TEXT | ||
| 70 | ISI_ACCT_HELP - SUPPLIER | ISI_ACCT_HELP-SUPPLIER | ||
| 71 | ISI_ACCT_MESSAGE - MESSAGES | ISI_ACCT_MESSAGE-MESSAGES | ||
| 72 | ISI_ACCT_MESSAGE - MES_FLAG | Message type: S Success, E Error, W Warning, I Info, A Abort | ||
| 73 | ISI_ACCT_POST - UNIT | Base Unit of Measure | ||
| 74 | ISI_ACCT_POSTINGS - POSTINGS | ISI_ACCT_POSTINGS-POSTINGS | ||
| 75 | ISI_ACCT_SEL - LAST_DAYS | Number of days | ||
| 76 | ISI_ACCT_SEL - REF_DOCNO | Document Number for Transaction | ||
| 77 | ISI_ACCT_SEL - RET_MATNR | Returnable packaging | ||
| 78 | ISI_ACCT_SEL - SUPPLIER | Account Number of Vendor or Creditor | ||
| 79 | ISI_ACCT_SEL - CUSTOMER_EXT | Description of Object at Partner | ||
| 80 | ISI_TEXT - TLINE | ISI_TEXT-TLINE | ||
| 81 | ISI_VENDOR - LIFNR | Account Number of Vendor or Creditor | ||
| 82 | RLACCT - ACCTNO | Returnable packaging account | ||
| 83 | RLACSTHD - BALDATE_OLD | Old Posting Date (Balance Carried Forward) | ||
| 84 | RLACSTHD - PARTNO | Sequence number for RP account postings per acct and deltype | ||
| 85 | RLACSTHD - BALDATE | Acct statement date | ||
| 86 | RLACSTHD - ACCTNO | Returnable packaging account | ||
| 87 | RLACSTHD_I - ACCTNO | Returnable packaging account | ||
| 88 | RLACSTHD_I - BALDATE | Acct statement date | ||
| 89 | RLACSTHD_I - BALDATE_OLD | Old Posting Date (Balance Carried Forward) | ||
| 90 | RLACSTHD_I - PARTNO | Sequence number for RP account postings per acct and deltype | ||
| 91 | RLIDSELAC - POST_FOR_DAYS | RLIDSELAC-POST_FOR_DAYS | ||
| 92 | RLPOLS_HEAD - ACCTME | Account Unit of Measure | ||
| 93 | RLPOLS_ITEM - ACCTME | Account Unit of Measure | ||
| 94 | SYST - DYNNR | ABAP System Field: Current Dynpro Number | ||
| 95 | TLINE - TDLINE | Text Line |