Table list used by SAP ABAP Program LJBTRTOP (Include: Select-Statement Nr. 4)
SAP ABAP Program LJBTRTOP (Include: Select-Statement Nr. 4) is using
# | Object Type | Object Name | Object Description | Note |
---|---|---|---|---|
1 | Table | AT56R | Supplements to Analysis System for Table T056R | |
2 | Table | ATPA | Treasury: Product Type Supplements | |
3 | Table | BKK42 | Current Account Master Data: Operative Data | |
4 | Table | DD01L | Domains | |
5 | Table | DD03L | Table Fields | |
6 | Table | DD03V | Table fields view | |
7 | Table | DD07V | Generated Table for View | |
8 | Table | DDPRH | R/3 DD: Log header | |
9 | Table | DFIES | DD Interface: Table Fields for DDIF_FIELDINFO_GET | |
10 | Table | DNTAB | DD interface: nametab definition for GET_NAMETAB | |
11 | Table | GLT0 | G/L account master record transaction figures | |
12 | Table | INRI | Number ranges function module interface structure | |
13 | Table | JBD11 | IS-B: Extended interest rate table | |
14 | Table | JBD14 | Yield Curve Types (Header Information) | |
15 | Table | JBDBLAN | Country-Specific Data | |
16 | Table | JBDBPKR | IS-B: Determination of the Costing Rule | |
17 | Table | JBDBSTD | SAP Banking: Positions | |
18 | Table | JBDBSTK | Positions for Single Transaction Costing | |
19 | Table | JBDBSTW | Position Values | |
20 | Table | JBDFRIS | Maturity Pattern for Core Deposits Products | |
21 | Table | JBDFRVL | SAP Banking: Volume Distribution for Existing Core Deposits | |
22 | Table | JBDGSCH | IS-B: Transaction Master Data | |
23 | Table | JBDKKON | SAP Banking: Business Partner Account | |
24 | Table | JBDKKOW | Account Balances | |
25 | Table | JBDKOKO | Condition Header | |
26 | Table | JBDKOPO | Condition Items | |
27 | Table | JBDKRVF | Assignment of Procedures for Costing Rules | |
28 | Table | JBDKUMS | Turnovers for Business Partner Accounts | |
29 | Table | JBDLSZA | Type 2 Cash Flow Disturbance (Shifting of a Payment) | |
30 | Table | JBDMKAZ | Display of Required/Optional Control | |
31 | Table | JBDOBJ1 | Object Table for Financial Transactions, General Part | |
32 | Table | JBDOBJZU | STC Additional Data for Financial Object | |
33 | Table | JBDSERV | SAP Banking: Master Table for Service Transactions | |
34 | Table | JBDST1 | Bank PA - Fixed Part of Line Items | |
35 | Table | JBDSTAMM | Structure for Securities Master Data | |
36 | Table | JBDT001 | Bank Company Code | |
37 | Table | JBDTZK01 | Condition Types for Variable Transactions | |
38 | Table | JBDUKOW | JBDKKOW + Update Mode | |
39 | Table | JBDWFF | Bank PA - Value Fields (Fixed Costing Components) | |
40 | Table | JBDZSEK | Cash Flow (Effective Capital and NIM between Payment Dates) | |
41 | Table | JBDZSKO | Cash Flow Header | |
42 | Table | JBDZSTR | Cash Flow | |
43 | Table | JBDZSVO | Cash Flow (Volume Information) | |
44 | Table | JBDZSZT | SAP Banking: Cash Flow (Interest and Repayment Schedule) | |
45 | Table | JBIBBEW | General Structure for Position Flows | |
46 | Table | JBIBBWF | Position Flows for Position Update | |
47 | Table | JBIBSTK | Structure for Costing Positions | |
48 | Table | JBIDBSF | Criteria for Determining the Position Object Number | |
49 | Table | JBIERR | Internal Table for Storing Errors | |
50 | Table | JBIFHAPO | Structure for Forex Flows | |
51 | Table | JBIFRIS | Structure for Core Deposit Products | |
52 | Table | JBIKKOF | Structure for Fixing Dates for Variable Transactions | |
53 | Table | JBISTWF | Standard Value Fields for all Operating Concerns | |
54 | Table | JBIT001 | Company Code Table for Costing | |
55 | Table | JBITSAL | Structure for Daily Balances | |
56 | Table | JBITWRT | Daily Values for Days <> 1 | |
57 | Table | JBIUB | Non-Interest-Bearing Positions + Additions for Costing | |
58 | Table | JBIUBPO | Position Items; BUKRS | |
59 | Table | JBIUBSD | Structure for Position Master Updates | |
60 | Table | JBIUBSW | Structure for Position Value Updates | |
61 | Table | JBIXFRV | Volume Assignment for Core Deposit Products, Costing | |
62 | Table | JBIXGSC | Transaction Master + Additional Information for Costing | |
63 | Table | JBIXKKO | Account Master + Additional Info. for Costing | |
64 | Table | JBIXOBJ | Processing Structure for Transferring Objects | |
65 | Table | JBRBEST | General Risk Management position structure | |
66 | Table | JBRBEWEG | General structure for Risk Management flows | |
67 | Table | JBROPTI | General Risk Management option structure | |
68 | Table | JBTBEWZUSA | Additional Information for Flow Types | |
69 | Table | JBTBREL | Relevance Indicator for Flow Types | |
70 | Table | JBTDATE | Structure for Accessing MCM table | |
71 | Table | JBTKABC | Assignment of CO-ABC Templates to Costing Rules | |
72 | Table | JBTKREG | Costing Rule | |
73 | Table | JBTKREG_SPREADS | Markups/Markdowns on Opportunity Interest | |
74 | Table | JBTKZEIT | Costing Times | |
75 | Table | JBTLFDT | Structure of Daily Values | |
76 | Table | JBTOBJ1 | Segment Table for Financial Transactions, STC Part | |
77 | Table | JBTOP | Transfer Structure for Opportunity Interest | |
78 | Table | JBTOZGW | Weighting of Opportunity Interest Rate | |
79 | Table | JBTVERT | Costing Procedure Texts | |
80 | Table | JBVDATE | Condition Dates for Yield Curves | |
81 | Table | JBVTOBJ | Generated Table for View | |
82 | Table | JBVTOBJE | Extended Object Structure for Costing | |
83 | Table | RJBTKL | SAP Banking: Structure for Transferring Domain Fixed Values | |
84 | Table | SPROT_K | SAP Banking: Error Table for Costing | |
85 | Table | SPROT_U | Log Generation Interface | |
86 | Table | SPROT_X | IS-B: Interface for Error Handling | |
87 | Table | T001 | Company Codes | |
88 | Table | T009B | Fiscal year variant periods | |
89 | Table | T056R | Interest reference definition | |
90 | Table | T100 | Messages | |
91 | Table | TCURR | Exchange Rates | |
92 | Table | TDBBB | Allocation of program-internal flow types | |
93 | Table | TKA00 | Control parameters for controlling areas | |
94 | Table | TKA01 | Controlling Areas | |
95 | Table | TKA07 | Fiscal-Year Dependent Version Parameters | |
96 | Table | TKB9F | Assignment of cost element grps to CO-PA value fields | |
97 | Table | TKEB | Management for Operating Concerns (Client-Specific) | |
98 | Table | TKEBL | Assignment: Ledger -> operating concern | |
99 | Table | TZB0A | Definition of flow types | |
100 | Table | TZB0T | Flow types text table | |
101 | Table | TZBBB | Allocation of program-internal flow types | |
102 | Table | TZBZ | Company code: Additional data | |
103 | Table | TZK01 | Condition types | |
104 | Table | TZK02 | Condition group, condition group - condition type allocation | |
105 | Table | TZPA | Financial Assets Management Product Types | |
106 | Table | TZPAB | Financial Assets Management product types | |
107 | Table | TZUNI | Currency units | |
108 | Table | VDARL | Loans | |
109 | Table | VDBEPP | Flow Data - Planned Item | |
110 | Table | VTBFHA | Transaction | |
111 | Table | VTBFHAPO | Transaction Flow | |
112 | Table | VTBFHAZU | Transaction Activity | |
113 | Table | VTBFINKO | Transaction Condition | |
114 | Table | VTIDERI | Master Data Listed Options and Futures | |
115 | Table | VVZZKOPO | View of VZZKOPO with additional info. from VKOPOSTEU | |
116 | Table | VWBEKI | Treasury Securities: Actual Flows - Header | |
117 | Table | VWBEPI | Treasury Securities: Actual Flows - Item | |
118 | Table | VWBEPP | Treasury Securities: Planned Flows | |
119 | Table | VWBEVI | Generated Table for View | |
120 | Table | VWPAKTI | Stock, subscription rights, investment certificates | |
121 | Table | VWPANLA | Asset master for securities | |
122 | Table | VWPANLE | Interest-bearing securities | |
123 | Table | VWPBUKR | Company Code Position | |
124 | Table | VWPDEPO | Securities Account Position | |
125 | Table | VWPTERM | Warrants | |
126 | Table | VZZBEPP | Transaction data - Planned and actual item | |
127 | Table | VZZEFFZ | Flow of payments | |
128 | Table | VZZKOKO | Table condition header | |
129 | Table | VZZKOPO | Table condition items |