Class Method list used by SAP ABAP Program LRECN_GUI_DEPOSITF01 (Kautionsvereinbarung - Forms)
SAP ABAP Program
LRECN_GUI_DEPOSITF01 (Kautionsvereinbarung - Forms) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | CF_RECN_CONTRACT - IS_EXT_NUMBER_ASSIGNMENT | Contract (VICNCN): Factory | ||
| 2 | CF_RECN_CONTRACT - FIND | Contract (VICNCN): Factory | ||
| 3 | CL_GUI_ALV_GRID - GET_FRONTEND_LAYOUT | ALV List Viewer | ||
| 4 | CL_GUI_ALV_GRID - REFRESH_TABLE_DISPLAY | ALV List Viewer | ||
| 5 | CL_GUI_ALV_GRID - SET_CURRENT_CELL_VIA_ID | ALV List Viewer | ||
| 6 | CL_GUI_ALV_GRID - SET_FRONTEND_LAYOUT | ALV List Viewer | ||
| 7 | CL_GUI_ALV_GRID - SET_TABLE_FOR_FIRST_DISPLAY | ALV List Viewer | ||
| 8 | CL_GUI_ALV_GRID - CONSTRUCTOR | ALV List Viewer | ||
| 9 | CL_GUI_CUSTOM_CONTAINER - CONSTRUCTOR | Container for Custom Controls in the Screen Area | ||
| 10 | CL_RECA_DATE - CREATE_DATE_RANGES | Date Management | ||
| 11 | CL_RECA_DATE_SLICES - GET_CURRENT_SLICE | Time Slot Management | ||
| 12 | CL_RECA_DATE_SLICES - IS_ENTRY_IN_CURRENT_SLICE | Time Slot Management | ||
| 13 | CL_RECA_DATE_SLICES - SET_SLICES | Time Slot Management | ||
| 14 | CL_RECDC_CALCRULE_EXT - GET_TEXT | External Calculation Formula (TIVCDCALCEXT/TIVCDCALCEXTT) | ||
| 15 | CL_RECDC_CONDITION_PROPERTY - GET_TEXT | Attribute of Condition Type (TIVCDPROP/TIVCDPROPT) | ||
| 16 | CL_RECDC_CONDITION_TYPE - GET_DETAIL | Condition Type (TIVCDCONDTYPE/TIVCDCONDTYPET) | ||
| 17 | CL_RECDC_FLOW_TYPE - GET_DETAIL | Flow Type (TIVCDFLOWTYPE/TIVCDFLOWTYPET) | ||
| 18 | CL_RECNC_CONTRACT_TYPE - GET_DETAIL_X | Contract Type (TIV26/TIV2F) | ||
| 19 | CL_RECNC_DEPOSIT_TYPE - GET_DETAIL | Security Deposit Type (TIVCNDPTYPE/TIVCNDPTYPET) | ||
| 20 | CL_RECNC_DEPOSIT_TYPE - GET_LIST_X | Security Deposit Type (TIVCNDPTYPE/TIVCNDPTYPET) | ||
| 21 | CL_RECN_DEPOSITCN_SERVICES - ADJUST_UNIQUE_CONDITION | Security Deposit Agreement: Service Methods | ||
| 22 | CL_RECN_DEPOSITCN_SERVICES - CALCULATE_DIFFERENCE | Security Deposit Agreement: Service Methods | ||
| 23 | CL_RECN_DEPOSITCN_SERVICES - DO_CURR_TRANSLATION | Security Deposit Agreement: Service Methods | ||
| 24 | CL_REEXC_COMPANY_CODE - GET_WAERS | Company Code (T001) | ||
| 25 | IF_REBP_HAS_PARTNER - GET_PARTNER_MNGR | Object with Business Partner | ||
| 26 | IF_REBP_PARTNER_MNGR - GET_LIST | Business Partner Manager (VIBPOBJREL) | ||
| 27 | IF_REBP_PARTNER_MNGR - GET_LIST_X | Business Partner Manager (VIBPOBJREL) | ||
| 28 | IF_RECA_BUS_OBJECT - GET_VALID_PERIOD | Business Object | ||
| 29 | IF_RECA_HAS_STATUS - GET_VALID_PERIOD | Object with Status | ||
| 30 | IF_RECD_CONDITION - SET_UNITPRICE | Condition | ||
| 31 | IF_RECD_CONDITION_MNGR - GET_PARENT_DATA | Manager - Conditions | ||
| 32 | IF_RECD_CONDITION_MNGR - GET_LIST | Manager - Conditions | ||
| 33 | IF_RECD_CONDITION_MNGR - DO_UPDATE | Manager - Conditions | ||
| 34 | IF_RECD_HAS_CONDITION - GET_CONDITION_MNGR | Object with Conditions | ||
| 35 | IF_RECN_ACTUAL_DEPOSIT_MNGR - INSERT_DETAIL | Actual Security Deposit Manager (VICNDPACTUAL) | ||
| 36 | IF_RECN_ACTUAL_DEPOSIT_MNGR - UPDATE_DETAIL | Actual Security Deposit Manager (VICNDPACTUAL) | ||
| 37 | IF_RECN_ACTUAL_DEPOSIT_MNGR - GET_TOTAL_ON_DATERANGE | Actual Security Deposit Manager (VICNDPACTUAL) | ||
| 38 | IF_RECN_ACTUAL_DEPOSIT_MNGR - GET_TEXT_REF | Actual Security Deposit Manager (VICNDPACTUAL) | ||
| 39 | IF_RECN_ACTUAL_DEPOSIT_MNGR - GET_LIST_X | Actual Security Deposit Manager (VICNDPACTUAL) | ||
| 40 | IF_RECN_ACTUAL_DEPOSIT_MNGR - GET_DETAIL_X | Actual Security Deposit Manager (VICNDPACTUAL) | ||
| 41 | IF_RECN_ACTUAL_DEPOSIT_MNGR - DELETE_DETAIL | Actual Security Deposit Manager (VICNDPACTUAL) | ||
| 42 | IF_RECN_ACTUAL_DEPOSIT_MNGR - COUNT | Actual Security Deposit Manager (VICNDPACTUAL) | ||
| 43 | IF_RECN_CONTRACT - GET_TERM_PAYMENT_MNGR | Contract (VICNCN) | ||
| 44 | IF_RECN_CONTRACT - SET_RECNTXT | Contract (VICNCN) | ||
| 45 | IF_RECN_CONTRACT - SET_RECNNR | Contract (VICNCN) | ||
| 46 | IF_RECN_CONTRACT - SET_RECNCNCURR | Contract (VICNCN) | ||
| 47 | IF_RECN_CONTRACT - SET_DPTARGETTYPE | Contract (VICNCN) | ||
| 48 | IF_RECN_CONTRACT - SET_BUKRS | Contract (VICNCN) | ||
| 49 | IF_RECN_CONTRACT - SET_BENOCN | Contract (VICNCN) | ||
| 50 | IF_RECN_CONTRACT - GET_VALID_PERIOD | Contract (VICNCN) | ||
| 51 | IF_RECN_CONTRACT - GET_TERM_PERIOD_MNGR | Contract (VICNCN) | ||
| 52 | IF_RECN_CONTRACT - GET_RECNENDABS | Contract (VICNCN) | ||
| 53 | IF_RECN_CONTRACT - GET_PARTNER_MNGR | Contract (VICNCN) | ||
| 54 | IF_RECN_CONTRACT - GET_DETAIL_X | Contract (VICNCN) | ||
| 55 | IF_RECN_CONTRACT - GET_CONDITION_MNGR | Contract (VICNCN) | ||
| 56 | IF_RECN_CONTRACT - GET_ACTUAL_DEPOSIT_MNGR | Contract (VICNCN) | ||
| 57 | IF_RETM_PAYMENT_MNGR - GET_DETAIL_BY_KEYDATE | Posting Term Manager (VITMPY) | ||
| 58 | IF_RETM_PERIOD_MNGR - SET_1ST_END_DATE | Term Manager | ||
| 59 | IF_RETM_PERIOD_MNGR - SET_1ST_POSTING_DATE | Term Manager | ||
| 60 | IF_RETM_PERIOD_MNGR - SET_CFPOSTINGFROM_DATE | Term Manager | ||
| 61 | IF_RETM_PERIOD_MNGR - SET_POSSDATEFROM | Term Manager | ||
| 62 | IF_RETM_PERIOD_MNGR - SET_POSSDATETO | Term Manager | ||
| 63 | IF_RETM_PERIOD_MNGR - SET_START_DATE | Term Manager |