Table list used by SAP ABAP Program RFFDIS50_PDF (Bank Correspondence)
SAP ABAP Program RFFDIS50_PDF (Bank Correspondence) is using
# | Object Type | Object Name | Object Description | Note |
---|---|---|---|---|
1 | Table | ADDR1_SEL | Address selection parameter | |
2 | Table | ADRS | Address formating function module transfer structure | |
3 | Table | BNKA | Bank master record | |
4 | Table | FACM_ACC_S_RFFDIS50 | FACM_ACC_S_RFFDIS50 | |
5 | Table | FDES | Cash Management and Forecast: Memo Records | |
6 | Table | FDIS50_TAB | Form transfer structure for RFFDIS50 | |
7 | Table | REGUH_BF | Payment Data (Neutral Communication Structure) | |
8 | Table | RFPDO1 | Include the Program-Specific Parameter Documentation | |
9 | Table | RFSDO | Inclusion of Program-Specific Select Option Documentation | |
10 | Table | SADR | Address Management: Company Data | |
11 | Table | SCREEN | Structure Description for the System Data Object SCREEN | |
12 | Table | SFPDOCPARAMS | Form Parameters for Form Processing | |
13 | Table | SFPGENERIC | Structure for Generic Search Help | |
14 | Table | SFPOUTPUTPARAMS | Form Processing Output Parameter | |
15 | Table | SKB1 | G/L account master (company code) | |
16 | Table | T001 | Company Codes | |
17 | Table | T005 | Countries | |
18 | Table | T012 | House Banks | |
19 | Table | T012K | House Bank Accounts | |
20 | Table | T018D | Forms for Cash Management and Forecast | |
21 | Table | T035D | Cash Management Account Names | |
22 | Table | T042T | Text modules for payment forms | |
23 | Table | THEAD | SAPscript: Text Header | |
24 | Table | TIBAN | IBAN | |
25 | Table | TSP03 | Spool: Printer declaration |