Table list used by SAP ABAP Program RFFDCC00 (Cash Management: Customizing Check Program)
SAP ABAP Program
RFFDCC00 (Cash Management: Customizing Check Program) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | BAL_S_LOG | Application Log: Log header data | ||
| 2 | BAL_S_PROF | Application Log: Log Output Format Profile | ||
| 3 | CDSHW | Change documents, formatting table | ||
| 4 | DD01L | Domains | ||
| 5 | DISVARIANT | Layout (External Use) | ||
| 6 | FACM_S_RFFDCC00 | Structure for Report : RFFDCC00 (ALV Conversion) | ||
| 7 | KNB1 | Customer Master (Company Code) | ||
| 8 | LFB1 | Vendor Master (Company Code) | ||
| 9 | RF40S | Planning Transfer Structure for a Summary Record Update | ||
| 10 | SKB1 | G/L account master (company code) | ||
| 11 | SSCRFIELDS | Fields on selection screens | ||
| 12 | T001 | Company Codes | ||
| 13 | T008 | Blocking Reasons for Automatic Payment Transcations | ||
| 14 | T018C | Cash Concentration: Intermediate Acct and Amt Stipulations | ||
| 15 | T030B | Standard Posting Keys | ||
| 16 | T034 | Cash Mgmt: Determine Account Assignments/Document Splitting | ||
| 17 | T035 | Planning groups | ||
| 18 | T035D | Cash Management Account Names | ||
| 19 | T035Z | Liquidity Forecast: Payment Date Determinations/Assignments | ||
| 20 | T036 | Planning levels | ||
| 21 | T036M | Level Assignment for Earmarked Funds | ||
| 22 | T036Q | Allocating Levels for T0360 | ||
| 23 | T036R | Payment Request Levels | ||
| 24 | T036S | Planning Levels with Payment Blocks | ||
| 25 | T036V | Allocation of planning levels for Financial Assets Mgmt | ||
| 26 | T037 | Planning Types | ||
| 27 | T037A | Archiving Categories | ||
| 28 | T038 | Cash Management: Grouping Structure | ||
| 29 | T038P | Cash Management: Groupings (Checking Table) | ||
| 30 | T038V | Distribution for Cash Mgmt Position and Liquidity Forecast | ||
| 31 | T039 | Source Symbols for Cash Management | ||
| 32 | T074 | Special G/L Accounts | ||
| 33 | T074U | Special G/L Indicator Properties | ||
| 34 | TMC2F | Relevant Update Routines for Info Structures | ||
| 35 | TMC2Q | Reference as to Which Update Uses Which Program | ||
| 36 | TMC2S | Info Structures to be Updated per Business Event | ||
| 37 | TMC4 | Global Control Elements: LIS Info Structure | ||
| 38 | TRWCA | FI/CO Interface: Active Components | ||
| 39 | TRWCI | FI/CO Interface: Components installed | ||
| 40 | TRWPR | RWIN: Processes | ||
| 41 | TZPA | Financial Assets Management Product Types |