Table/Structure Field list used by SAP ABAP Program MF271F10 (Rollup: List output)
SAP ABAP Program
MF271F10 (Rollup: List output) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | ECMCA - RUNIT | Base Unit of Measure | ||
| 2 | ECMCA - COICU | Investee unit | ||
| 3 | ECMCA - YRACQ | Year of acquisition | ||
| 4 | ECMCA - TSL | Value in Transaction Currency | ||
| 5 | ECMCA - SUBIT | Subitem | ||
| 6 | ECMCA - SITYP | Subitem category | ||
| 7 | ECMCA - RTCUR | Currency Key | ||
| 8 | ECMCA - RITEM | Financial statement item | ||
| 9 | ECMCA - RITCLG | Consolidation chart of accounts | ||
| 10 | ECMCA - RBUPTR | Partner unit | ||
| 11 | ECMCA - DOCTY | Document type | ||
| 12 | ECMCA - HSL | Value in local currency | ||
| 13 | ECMCA - KSL | Value in group currency | ||
| 14 | ECMCA - MSL | Quantity | ||
| 15 | ECMCA - PLEVL | Posting level | ||
| 16 | ECMCA - PRACQ | Period of Acquisition | ||
| 17 | ECMCA - RBUNIT | Consolidation unit | ||
| 18 | ECMCA - RCONGR | Consolidation group | ||
| 19 | ECMCT - RITEM | Financial statement item | ||
| 20 | FC01BASE - BUNIT | Consolidation unit | ||
| 21 | FC01BASE - CONGR | Consolidation group | ||
| 22 | FC01BASE - PERID_DISP | Period | ||
| 23 | FC01BASE - RYEAR_DISP | Fiscal year | ||
| 24 | FC01BASE - TXTMI | Medium text | ||
| 25 | SYST - LISEL | ABAP System Field: Content of Selected List Line | ||
| 26 | SYST - VLINE | ABAP System Field: Vertical Line for List | ||
| 27 | SYST - UZEIT | ABAP System Field: Current Time of Application Server | ||
| 28 | SYST - LANGU | ABAP System Field: Language Key of Text Environment | ||
| 29 | SYST - DATUM | ABAP System Field: Current Date of Application Server | ||
| 30 | SYST - MANDT | ABAP System Field: Client ID of Current User | ||
| 31 | T881 - GCURR | Currency key of the ledger currency | ||
| 32 | TF101 - ITCLG | Consolidation chart of accounts | ||
| 33 | TF101 - ITEM | Financial statement item | ||
| 34 | TF101 - LANGU | Language Key | ||
| 35 | TF101 - TXTMI | Medium text for FS items | ||
| 36 | TF121 - ITCLG | Consolidation chart of accounts | ||
| 37 | TF121 - LANGU | Language Key | ||
| 38 | TF121 - TXT | Description | ||
| 39 | TF150 - DIMEN | Dimension | ||
| 40 | TF150 - PCUIND | Substitute the partner unit during the rollup | ||
| 41 | TF151 - TXTSH | Short text | ||
| 42 | TF160 - BUNIT | Consolidation unit | ||
| 43 | TF161 - BUNIT | Consolidation unit | ||
| 44 | TF161 - DIMEN | Dimension | ||
| 45 | TF161 - LANGU | Language Key | ||
| 46 | TF161 - MANDT | Client | ||
| 47 | TF161 - TXTMI | Medium text | ||
| 48 | TF180 - CONGR | Consolidation group | ||
| 49 | TF184 - CURR | Local currency | ||
| 50 | TF189 - CUIND | The assigned node is a consolidation unit | ||
| 51 | TF190 - HRCHY | Hierarchy | ||
| 52 | TF191 - TXTMI | Medium text | ||
| 53 | TF200 - RVERS | Consolidation (end-result) version |