Table list used by SAP ABAP Program LTPM_TRAC_VPOST1F00 (LTPM_TRAC_VPOST1F00)
SAP ABAP Program LTPM_TRAC_VPOST1F00 (LTPM_TRAC_VPOST1F00) is using
# | Object Type | Object Name | Object Description | Note |
---|---|---|---|---|
1 | Table | CSKS | Cost Center Master Data | |
2 | Table | CSKT | Cost Center Texts | |
3 | Table | E071K | Change & Transport System: Key Entries of Requests/Tasks | |
4 | Table | SKA1 | G/L Account Master (Chart of Accounts) | |
5 | Table | SKAT | G/L Account Master Record (Chart of Accounts: Description) | |
6 | Table | T001 | Company Codes | |
7 | Table | T004 | Directory of Charts of Accounts | |
8 | Table | T004T | Chart of Account Names | |
9 | Table | T037R | Texts for T037S | |
10 | Table | T037S | Account Assignment References acc. to Transaction Type | |
11 | Table | TGSB | Business Areas | |
12 | Table | TGSBT | Business Area Names | |
13 | Table | TRACC_AA_REF | Treasury: Account Assignment Reference | |
14 | Table | TRACC_AA_REF_T | Treasury: Text Table Account Assignment Reference | |
15 | Table | TRACC_ACCASSREF1 | OLD: TR: Account Assignment Ref. Allocation Old->New | |
16 | Table | TRACC_ACCSYMBREP | Acct Determination: Replacement of Acct Symbols by G/L Accts | |
17 | Table | TRACC_ADDACCDATA | Additional Acct Assignments Dependent on Acct Assignm. Ref. | |
18 | Table | TRACC_DFT_REL | Posting Relevant Update Types | |
19 | Table | TRACC_GROUP | Definition of Grouping Characteristic Values | |
20 | Table | TRACC_GROUP_T | Description of Grouping Characteristic Values | |
21 | Table | TRACC_POST_REL | Exclude Product Types from Posting | |
22 | Table | TRACV_AA_REF | Generated Table for View | |
23 | Table | TRACV_ACCASSREF | Generated Table for View | |
24 | Table | TRACV_ACCASSREF1 | Generated Table for View | |
25 | Table | TRACV_ACCSYMREP | Generated Table for View | |
26 | Table | TRACV_ACCSYMREP1 | Generated Table for View | |
27 | Table | TRACV_ACCSYMREP2 | Generated Table for View | |
28 | Table | TRACV_ADDACCDATA | Generated Table for View | |
29 | Table | TRACV_DFTRULE1 | Generated Table for View | |
30 | Table | TRACV_DFTRULE2 | Generated Table for View | |
31 | Table | TRACV_DFT_REL | Generated Table for View | |
32 | Table | TRACV_GROUP | Generated Table for View | |
33 | Table | TRACV_POSTRULE | Generated Table for View | |
34 | Table | TRACV_POST_REL | Generated Table for View | |
35 | Table | TRAC_ACCASSREF | OLD: Valuation Area-Dependent Account Assignment Refs | |
36 | Table | TRAC_ACCASSREF_T | OLD: Text Table for Account Assignment References | |
37 | Table | TRAC_ACCSYMB | Account Determination: Account Symbols | |
38 | Table | TRAC_ACCSYMBREP1 | OLD: Prelim. Solution for Acct Det.: Acct Symbol Replacement | |
39 | Table | TRAC_ACCSYMBREP2 | OLD: Prelim. Solut.: Replace Acct Symbols per Acct Ass.Ref. | |
40 | Table | TRAC_ACCSYMB_T | Treasury Account Determination: Text Table for Acct Symbols | |
41 | Table | TRAC_DFTRULE1 | Treasury: Assignment of Update Type to Posting Specs | |
42 | Table | TRAC_DFTRULE2 | Treasury: Assgmt of Update Type to Post. Specs per Valn Area | |
43 | Table | TRAC_POSTRULE | Treasury Account Determination: Posting Specifications | |
44 | Table | TRAC_POSTRULE_T | Treasury Account Determination: Text Table Posting Specs | |
45 | Table | TRDC_DFLOWTYPE | Definition of Update Types | |
46 | Table | TRDC_DFLOWTYPE_T | Treasury: Update Type Texts | |
47 | Table | TRGC_TR_ACC_CODE | Accounting Code | |
48 | Table | TRGC_VAL_AREA | Valuation Areas | |
49 | Table | TZPA | Financial Assets Management Product Types | |
50 | Table | TZPAT | Financial Assets Management product type texts | |
51 | Table | VIMDESC | Control block structure for view maintenance | |
52 | Table | VIMSTATUS | Processing status vector for view maintenance |