Table/Structure Field list used by SAP ABAP Program RFEBSC10_NACC (Post Check Deposit Data Entered Externally)
SAP ABAP Program RFEBSC10_NACC (Post Check Deposit Data Entered Externally) is using
# Object Type Object Name Object Description Note
     
1 Table/Structure Field  FEBSCSA - BANKN Bank account number
2 Table/Structure Field  FEBSCSA - BUDAT_E Posting Date in the Document
3 Table/Structure Field  FEBSCSA - BWAER Currency Key
4 Table/Structure Field  FEBSCSA - GRP01 Session name for bank postings
5 Table/Structure Field  FEBSCSA - GRP02 Session name for subledger accounting
6 Table/Structure Field  FEBSCSA - GRUPPE Group
7 Table/Structure Field  FEBSCSA - KURSF Exchange rate (external check entry interface)
8 Table/Structure Field  FEBSCSA - VALUT_E Fixed Value Date
9 Table/Structure Field  FEBSCSA - VGMAN_E Transaction
10 Table/Structure Field  FEBSCSA - WAERS Currency Key
11 Table/Structure Field  FEBSCSA - BANKL Bank Keys
12 Table/Structure Field  RFPDO1 - FEBEINLES Import bank statement
13 Table/Structure Field  RFPDO1 - FEBPCUPLD PC Upload
14 Table/Structure Field  RFPDO1 - FEBPAUSZ Print Bank Statement
15 Table/Structure Field  RFPDO1 - FEBNEBBU Generate postings for subledger
16 Table/Structure Field  RFPDO1 - FEBBNKBU Generate bank postings
17 Table/Structure Field  RFPDO2 - FEBBATCH Run using background processing
18 Table/Structure Field  RFPDO2 - FEBBUPRO Print posting log
19 Table/Structure Field  RFPDO2 - FEBSCEXS1 Find bank details in customer master record
20 Table/Structure Field  RFPDO2 - FEBSCFNAM File name
21 Table/Structure Field  RFPDO2 - FEBSCGRPS Check whether deposit list(s) is already in system
22 Table/Structure Field  RFPDO2 - FEBSCTSTL Check File Only
23 Table/Structure Field  RFPDO2 - FEBSTAT Print statistics
24 Table/Structure Field  RFPDO2 - FEBVALUT Assign value date to account