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 |