Table list used by SAP ABAP Program LJBRTTOP (Include LJBRTTOP)
SAP ABAP Program LJBRTTOP (Include LJBRTTOP) is using
# | Object Type | Object Name | Object Description | Note |
---|---|---|---|---|
1 | Table | AT40 | Calculation Categories of Cash Flow Calculator | |
2 | Table | ATRMO | Valuation control | |
3 | Table | ATSYC | Default Settings for Risk Evaluations | |
4 | Table | ATVMO | Calculation Methods Risk Management | |
5 | Table | BSAS | Accounting: Secondary Index for G/L Accounts (Cleared Items) | |
6 | Table | BSIS | Accounting: Secondary Index for G/L Accounts | |
7 | Table | INDEXD | Index definition (security index) | |
8 | Table | INDEXW | Index Values (Secur. Index) | |
9 | Table | JBDBSTD | SAP Banking: Positions | |
10 | Table | JBDBSTW | Position Values | |
11 | Table | JBDOBJ1 | Object Table for Financial Transactions, General Part | |
12 | Table | JBDUBPO | Position Items for Non-Interest-Bearing Position | |
13 | Table | JBDUBST | SAP Banking: Non-Interest-Bearing Position | |
14 | Table | JBRACCOUNT | RM BP Update Administration for Account Balances | |
15 | Table | JBRALF | Due Date Scenario - Items | |
16 | Table | JBRAMOUNT | RM: Account Balance Summarization in Base Portfolio | |
17 | Table | JBRBPBEST | RM: Structure for JBRBEST + BP Supplements | |
18 | Table | JBRBPCFV | RM: BP Update Administration for Cash Flows | |
19 | Table | JBRBPFART | RM: Update Type for Objects per View | |
20 | Table | JBRBPKSV | RM BP Update Administration for Account Balances | |
21 | Table | JBRBPWPV | RM: BP Update Administration for Positions/Securities | |
22 | Table | JBRBSTD | RM: Base Portfolios - Single Positions (until F3.03) | |
23 | Table | JBRBSTV | RM: Base Portfolio for Position Management | |
24 | Table | JBRCFART | Cash flow type | |
25 | Table | JBRCFEV | Cash Flow Evaluation - Assignment | |
26 | Table | JBRCFKAP | RM: Aggregated Capital Commitment Cash Flows per BP | |
27 | Table | JBRCFZINS | RM: Aggregated Fixed-Interest Cash Flows per BP | |
28 | Table | JBREGSH | RM Base Portfolio for Single Transactions | |
29 | Table | JBRIDXG | Allocation Class - Index | |
30 | Table | JBRKON | RM: Account Balance Summarization in Base Portfolio | |
31 | Table | JBROBJ1 | RM: Definition of Fields/Characteristics Specific to RM | |
32 | Table | JBRSAEV | Assign Balance Type to Yield Curve for Evaluation | |
33 | Table | JBRSART | Balance Type for Characterizing an Account Balance | |
34 | Table | JBRUBSTV | RM: Base Portfolio - Management of Non-Int-Bearing Positions | |
35 | Table | JBRVRSA | Assignment of Summarization Rule to Balance Type | |
36 | Table | SAKOMBUKR | Generated Table for View SAKOMBUKR | |
37 | Table | SKB1 | G/L account master (company code) | |
38 | Table | T001 | Company Codes | |
39 | Table | TZB0A | Definition of flow types | |
40 | Table | TZPA | Financial Assets Management Product Types | |
41 | Table | VTBFHA | Transaction | |
42 | Table | VTBFHAPO | Transaction Flow | |
43 | Table | VTBFHAZU | Transaction Activity | |
44 | Table | VTBFINKO | Transaction Condition | |
45 | Table | VTIDERI | Master Data Listed Options and Futures | |
46 | Table | VTVFGKO | Technical Transaction Category - Header Information | |
47 | Table | VTV_PARA | TR_MRM: Parameter string | |
48 | Table | VWBEPP | Treasury Securities: Planned Flows | |
49 | Table | VWORDE | Order Data | |
50 | Table | VWPANLA | Asset master for securities | |
51 | Table | VWPANLE | Interest-bearing securities | |
52 | Table | VWPBUKR | Company Code Position | |
53 | Table | VZSKOKO | Condition header for stock, subscrip.rights, investments | |
54 | Table | VZZKOKO | Table condition header | |
55 | Table | VZZKOPO | Table condition items |