Table list used by SAP ABAP Program LJBDPTOP (LJBDPTOP)
SAP ABAP Program LJBDPTOP (LJBDPTOP) is using
# Object Type Object Name Object Description Note
     
1 Table  AT31 Predefined Variables for FIMA Formulas
2 Table  AT40 Calculation Categories of Cash Flow Calculator
3 Table  BP000 Business Partner Master (General Data)
4 Table  BPPARTNER_ROLE Business Partner: Partner Number, External Number and Role
5 Table  CDPOS Change document items
6 Table  CSKS Cost Center Master Data
7 Table  DD04L Data elements
8 Table  DD07V Generated Table for View
9 Table  INRI Number ranges function module interface structure
10 Table  IONRA General Object Number and Object Keys
11 Table  JBDBAEND Position Changes
12 Table  JBDBEWE Position Flows Generated by Position Changes
13 Table  JBDBPKR IS-B: Determination of the Costing Rule
14 Table  JBDBSTD SAP Banking: Positions
15 Table  JBDBSTK Positions for Single Transaction Costing
16 Table  JBDBSTS Position Control
17 Table  JBDBSTW Position Values
18 Table  JBDGSCH IS-B: Transaction Master Data
19 Table  JBDKKON SAP Banking: Business Partner Account
20 Table  JBDKOKOADDON Additional Information on Table VZZKOKO
21 Table  JBDLSZA Type 2 Cash Flow Disturbance (Shifting of a Payment)
22 Table  JBDMKAZ Display of Required/Optional Control
23 Table  JBDMKSECU Addition to Req./Opt.Control for Security Class Data
24 Table  JBDOBJ1 Object Table for Financial Transactions, General Part
25 Table  JBDOBJZU STC Additional Data for Financial Object
26 Table  JBDST1 Bank PA - Fixed Part of Line Items
27 Table  JBDTVWF Table/Administration Fields
28 Table  JBDZSKO Cash Flow Header
29 Table  JBDZSTR Cash Flow
30 Table  JBDZSZT SAP Banking: Cash Flow (Interest and Repayment Schedule)
31 Table  JBIBEPP Enhancement of Structure VDBEPP
32 Table  JBIMKTR Structure for Determining Required/Optional Control
33 Table  JBISTRU Structure for Dictionary Objects
34 Table  JBISTWF Standard Value Fields for all Operating Concerns
35 Table  JBIUDAR IS-B: Loans Transfer
36 Table  JBIUPDAR Loan Transfer; Loan Conditions, Header, Item
37 Table  JBIUPZST Extended Transfer Structure for Cash Flows
38 Table  JBIUZST IS-B: Data Transfer Structure for Cash Flow
39 Table  JBIXOBJ Processing Structure for Transferring Objects
40 Table  JBIXWPO EDT Extended Securities Order
41 Table  JBRCFADD RM: Additional Information for Cash Flow Updating
42 Table  JBTKREG Costing Rule
43 Table  JBTOBJ1 Segment Table for Financial Transactions, STC Part
44 Table  JBTOBJP Commission Fields for Financial Transactions
45 Table  KNA1 General Data in Customer Master
46 Table  NRIV Number Range Intervals
47 Table  ONR00 General Object Number
48 Table  RJBTKL SAP Banking: Structure for Transferring Domain Fixed Values
49 Table  RMESSKOKO Internal structure for function module KOKO_KOPO_MESSAGE
50 Table  RMF60IO Help Structure for General Table Transfer to Update Program
51 Table  SHVALUE Value table for help system
52 Table  SKA1 G/L Account Master (Chart of Accounts)
53 Table  SKB1 G/L account master (company code)
54 Table  SPROT_U Log Generation Interface
55 Table  SPROT_X IS-B: Interface for Error Handling
56 Table  SPRT1 Partner table
57 Table  T001 Company Codes
58 Table  T003 Document Types
59 Table  T037S Account Assignment References acc. to Transaction Type
60 Table  T056R Interest reference definition
61 Table  TBSL Posting Key
62 Table  TCURB Exchange Rate Calculation Indicator
63 Table  TCURC Currency Codes
64 Table  TCURR Exchange Rates
65 Table  TCURV Exchange rate types for currency translation
66 Table  TDBBB Allocation of program-internal flow types
67 Table  TDPZ6 CML Correspondence Role Type
68 Table  TERTVWERKO Executable Rights (Header)
69 Table  TFACD Factory calendar definition
70 Table  TGSB Business Areas
71 Table  TJBD_VDARL_ARCH Archiving Status for Loans
72 Table  TKA02 Controlling area assignment
73 Table  TKEB Management for Operating Concerns (Client-Specific)
74 Table  TKEBL Assignment: Ledger -> operating concern
75 Table  TPZ6 BP: Business Partner - Role Type
76 Table  TWD01 Treasury: Securities Account Master Data
77 Table  TWH01 Stock exchange table
78 Table  TWPOB Portfolio position
79 Table  TZAF Product categories
80 Table  TZB03 Flow categories
81 Table  TZB0A Definition of flow types
82 Table  TZBZ Company code: Additional data
83 Table  TZC37 Financial Assets Management status definition
84 Table  TZDEA Trader register
85 Table  TZK01 Condition types
86 Table  TZK02 Condition group, condition group - condition type allocation
87 Table  TZK0A Condition type texts (Table TZK01)
88 Table  TZPA Financial Assets Management Product Types
89 Table  TZPAB Financial Assets Management product types
90 Table  TZRE External role
91 Table  TZST Reasons for reversal
92 Table  TZUNI Currency units
93 Table  VDARL Loans
94 Table  VDBEPP Flow Data - Planned Item
95 Table  VDGPO Loan: Relationship Partner/Role Object
96 Table  VTBFHA Transaction
97 Table  VTBKOND Transfer Structure of Cash Flow Calculator for Conditions
98 Table  VVZZKOPO View of VZZKOPO with additional info. from VKOPOSTEU
99 Table  VWBEKI Treasury Securities: Actual Flows - Header
100 Table  VWBEPI Treasury Securities: Actual Flows - Item
101 Table  VWBEVI Generated Table for View
102 Table  VWORDE Order Data
103 Table  VWPANAN Asset master/asset master relationship
104 Table  VWPANLA Asset master for securities
105 Table  VWPANLE Interest-bearing securities
106 Table  VWPTERM Warrants
107 Table  VZBEST Treasury general portfolio structure
108 Table  VZBEWEG General structure of treasury transactions
109 Table  VZGPO Partner/role object relationship
110 Table  VZPARO Partner / Role / Object relationship
111 Table  VZSKOKO Condition header for stock, subscrip.rights, investments
112 Table  VZZKOKO Table condition header
113 Table  VZZKOPA Alternative condition item - conditions
114 Table  VZZKOPO Table condition items