Table list used by SAP ABAP Program TPC00F02 (FICTPC00: forms: request append)
SAP ABAP Program
TPC00F02 (FICTPC00: forms: request append) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | E071K | Change & Transport System: Key Entries of Requests/Tasks | ||
| 2 | FC00_S_FPROP | Field Attributes | ||
| 3 | T009 | Fiscal Year Variants | ||
| 4 | T009T | Fiscal year variant names | ||
| 5 | T241Q | Text table for currency translation type | ||
| 6 | T242Q | Currency translation type | ||
| 7 | T881 | Ledger Master | ||
| 8 | T881T | FI-SL Ledger text | ||
| 9 | TCURF | Conversion Factors | ||
| 10 | TCURV | Exchange rate types for currency translation | ||
| 11 | TCURW | Usage of Exchange Rate Types | ||
| 12 | TF001 | SAP Cons.: Global Specifications | ||
| 13 | TF002 | SAP Cons.: Assignment of Sets -> Items | ||
| 14 | TF003 | SAP Cons.: Assignments of Items --> Sets | ||
| 15 | TF030 | Dimension and Version-Dependent Settings | ||
| 16 | TF040 | Default Values for Subassignments | ||
| 17 | TF100 | Financial Statement Items | ||
| 18 | TF101 | FS Items: Short and Medium Texts | ||
| 19 | TF102 | FS Items: Long Texts | ||
| 20 | TF103 | Breakdown Categories | ||
| 21 | TF103A | Breakdown Categories: Breakdown Info per Subassignment | ||
| 22 | TF104 | Breakdown Categories: Name | ||
| 23 | TF105 | FS Item Categories | ||
| 24 | TF106 | FS Item Categories: Description | ||
| 25 | TF110 | Subitem Categories | ||
| 26 | TF111 | Subitem Categories: Description | ||
| 27 | TF115 | Subitems | ||
| 28 | TF116 | Subitems: Short and Medium Texts | ||
| 29 | TF117 | Subitems: Long Texts | ||
| 30 | TF120 | Consolidation Charts of Accounts | ||
| 31 | TF121 | Consolidation Charts of Accounts: Description | ||
| 32 | TF130 | FS Item Hierarchies | ||
| 33 | TF131 | Item Hierarchies: Name | ||
| 34 | TF140 | Selected FS Items | ||
| 35 | TF141 | Selected FS Items | ||
| 36 | TF150 | Dimensions | ||
| 37 | TF151 | Dimensions: Texts and User-Specific Names | ||
| 38 | TF152 | Dimensions, Screen List, Consolidation Units | ||
| 39 | TF153 | Dimensions, Screen List, Consolidation Groups | ||
| 40 | TF154 | Dimensions year- and period-dependent | ||
| 41 | TF155 | Dimensions: Assign Task Groups | ||
| 42 | TF160 | Consolidation Units | ||
| 43 | TF161 | Consolidation Units: Texts | ||
| 44 | TF162 | Consolidation Unit Correspondence | ||
| 45 | TF163 | Consolidation Units, Version/Period-Based Attributes | ||
| 46 | TF164 | Consolidation Unit Year-Dependent | ||
| 47 | TF165 | Consolidation Units Version-Dependent | ||
| 48 | TF166 | Consolidation Units Version- and Period Category-Dependent | ||
| 49 | TF167 | Consolidation Units Version- and Period-Dependent | ||
| 50 | TF168 | Consolidation Units Ledger-Dependent | ||
| 51 | TF169 | Version/Period-Dependent Cons. Units: Tax Rates | ||
| 52 | TF170 | Position of Contact Person | ||
| 53 | TF171 | Position of Contact Person: Description | ||
| 54 | TF172 | Contact Person Assignments | ||
| 55 | TF173 | Reasons for Inclusion | ||
| 56 | TF174 | Reasons for Inclusion: Short and Medium Texts | ||
| 57 | TF175 | Reasons for Inclusion: Long Texts | ||
| 58 | TF180 | Consolidation Groups | ||
| 59 | TF181 | Consolidation Groups: Texts | ||
| 60 | TF182 | Consolidation Groups, Version-Dependent | ||
| 61 | TF183 | Consolidation Groups, Version- and Period Categ.-Dependent | ||
| 62 | TF183A | Consolidation Groups - Restricted Task Groups | ||
| 63 | TF184 | Consolidation Groups, Version- and Year-Dependent | ||
| 64 | TF187 | Consolidation Group Set Assignments | ||
| 65 | TF188 | Consolidation Group Assignment of Task Group | ||
| 66 | TF189 | Assignment of CG/CU, Version- and Period-Dependent | ||
| 67 | TF190 | Hierarchies | ||
| 68 | TF191 | Hierarchies: texts | ||
| 69 | TF192 | Hierarchies, Period-Dependent | ||
| 70 | TF193 | Hierarchies, Version-Dependent | ||
| 71 | TF194 | Hierarchies, Version- and Period Category-Dependent | ||
| 72 | TF195 | Hierarchy Levels | ||
| 73 | TF196 | Hierarchy Levels: Texts | ||
| 74 | TF197 | Hierarchy Levels Used | ||
| 75 | TF198 | Hierarchy Level Relationships | ||
| 76 | TF200 | Consolidation Versions | ||
| 77 | TF201 | Versions: Name | ||
| 78 | TF202 | Structure Versions | ||
| 79 | TF203 | Structure Versions: Name | ||
| 80 | TF204 | Data Entry Versions | ||
| 81 | TF205 | Data Entry Versions: Name | ||
| 82 | TF206 | Translation Method Versions | ||
| 83 | TF207 | Translation Method Versions: Name | ||
| 84 | TF208 | Exchange Rate Versions | ||
| 85 | TF209 | Exchange Rate Versions: Name | ||
| 86 | TF210 | Ledger Versions | ||
| 87 | TF211 | Ledger Versions: Name | ||
| 88 | TF212 | Versions for Selected FS Items | ||
| 89 | TF213 | Selected Item Versions: Description | ||
| 90 | TF214 | Tax Rate Versions | ||
| 91 | TF215 | Tax Rate Versions: Name | ||
| 92 | TF216 | Consolidation of Investment Method Versions | ||
| 93 | TF217 | Consolidation of Investment Method Versions: Name | ||
| 94 | TF218 | Investment Versions | ||
| 95 | TF219 | Investment Versions: Name | ||
| 96 | TF220 | Equity Versions | ||
| 97 | TF221 | Equity Versions: Name | ||
| 98 | TF222 | Hidden Reserve (Fair Value Adjustment) Versions | ||
| 99 | TF223 | Hidden Reserve Versions: Name | ||
| 100 | TF224 | Versions of Eliminated Hidden Reserves (FVA) | ||
| 101 | TF225 | Versions of Eliminated Hidden Reserves: Name | ||
| 102 | TF226 | Retained Earnings Versions | ||
| 103 | TF227 | Retained Earnings Versions: Name | ||
| 104 | TF228 | Versions of Goodwill | ||
| 105 | TF229 | Versions of goodwill: Description | ||
| 106 | TF230 | Task Versions | ||
| 107 | TF231 | Task Versions: Names | ||
| 108 | TF232 | Reclassifications Version | ||
| 109 | TF233 | Reclassification Versions: Description | ||
| 110 | TF234 | Versions for Elimination of IU Profit/Loss in Inventory | ||
| 111 | TF235 | Versions for Elim. IU Profit/Loss in Inventory: Descriptions | ||
| 112 | TF236 | Versions: Attributes | ||
| 113 | TF237 | Attribute Versions: Description | ||
| 114 | TF240 | Consolidation Frequencies | ||
| 115 | TF241 | Consolidation Frequencies: Name | ||
| 116 | TF242 | Consolidation Periods | ||
| 117 | TF250 | Periods, Opened/Closed | ||
| 118 | TF260 | Overall Status of CG/CU - Data Monitor | ||
| 119 | TF261 | CG/CU: Detail Status of Tasks - Data Monitor | ||
| 120 | TF262 | History of Data Entry Layouts | ||
| 121 | TF270 | CG/CU Overall Status of Consolidation Monitor | ||
| 122 | TF271 | CG/CU: Detail Status of Tasks - Consolidation Monitor | ||
| 123 | TF280 | User-Defined Tasks | ||
| 124 | TF310 | Data Entry Groups | ||
| 125 | TF311 | Data Entry Groups: Name | ||
| 126 | TF320 | Financial Data Types | ||
| 127 | TF321 | Financial Data Types: Description | ||
| 128 | TF325 | Period Categories | ||
| 129 | TF326 | Period Categories: Name | ||
| 130 | TF330 | Data Entry Groups: Layout Assignments | ||
| 131 | TF340 | Data Entry Profiles | ||
| 132 | TF350 | Download: Assign CG PC Path | ||
| 133 | TF360 | Download: Selection Parameters for Special Download | ||
| 134 | TF361 | Download: Selection Parameters for General Download | ||
| 135 | TF362 | Download: Selection Parameters for Downloading Fin. Data | ||
| 136 | TF370 | Equivalency Table in MC Validations | ||
| 137 | TF380 | SAP Cons.: Upload Methods | ||
| 138 | TF381 | Upload Methods: Texts | ||
| 139 | TF382 | Upload Methods: Field Catalogs | ||
| 140 | TF390 | Selected Items for Carryforwards | ||
| 141 | TF400 | Currency Translation Methods | ||
| 142 | TF410 | Currency Translation Methods: Entries | ||
| 143 | TF411 | Translation Methods: Entries for Subassignments | ||
| 144 | TF415 | FS Items for Posting Trans. Diffs with Effect on Earnings | ||
| 145 | TF420 | Exchange Rate Indicators | ||
| 146 | TF421 | Exchange Rate Indicators: Description | ||
| 147 | TF425 | Exchange Rate Indicators: ER Type Assignments | ||
| 148 | TF500 | Document Types | ||
| 149 | TF501 | Document Types: Name | ||
| 150 | TF502 | Postable Item Categories | ||
| 151 | TF505 | Version-Based Document Type Attributes | ||
| 152 | TF506 | Document Types: Field-Dependent Properties | ||
| 153 | TF510 | Validation of Consolidation Documents | ||
| 154 | TF515 | Journal Entry Layout: Field Names | ||
| 155 | TF516 | Journal Entry Layout: Description | ||
| 156 | TF517 | Journal Entry Layout: Field Names | ||
| 157 | TF530 | Task Groups | ||
| 158 | TF531 | Task Groups: Name | ||
| 159 | TF532 | Task Groups: Task Assignments | ||
| 160 | TF533 | Task Groups: Preceding Tasks | ||
| 161 | TF540 | Consolidation Tasks | ||
| 162 | TF541 | Consolidation Tasks: Name | ||
| 163 | TF542 | Consolidation Tasks, Version-Dependent | ||
| 164 | TF543 | Consolidation Tasks: Assignments of Methods and Doc.Types | ||
| 165 | TF544 | Tasks: Task Group Exceptions | ||
| 166 | TF545 | Consolidation Tasks: Exceptions for Cons Units | ||
| 167 | TF550 | Methods | ||
| 168 | TF551 | Methods: Name | ||
| 169 | TF555 | Methods for Interunit Elimination | ||
| 170 | TF556 | Methods for IU Elimination: Item Set Assignments | ||
| 171 | TF556A | IU Elimination Methods: Allocation of Addtl Acct Assignments | ||
| 172 | TF557 | Methods: Threshold Value for Posting Differences | ||
| 173 | TF558 | IU Elimination Methods: Reclassi. for Proportional Cons. | ||
| 174 | TF560 | Methods for Reclassification | ||
| 175 | TF560A | Reclassification Methods: Fields | ||
| 176 | TF562 | Assignment of Method/Doc. Type to Task in Reclassification | ||
| 177 | TF570 | Tasks for Manual Posting - Document Type Assignments | ||
| 178 | TF575 | Tasks for CG Changes: Document Type Assignments | ||
| 179 | TF580 | Product Groups | ||
| 180 | TF581 | Product Groups: Description | ||
| 181 | TF584 | Assignment of Inventory Item to Product Group | ||
| 182 | TF585 | Inventory Data | ||
| 183 | TF586 | Supplier Data | ||
| 184 | TF592 | Elimination of IU Profit/Loss in Inventory: FS Items | ||
| 185 | TF592A | Elimination of IU Profit/Loss in Inventory: FS Items | ||
| 186 | TF593 | Subassignments of Inventory Items | ||
| 187 | TF595 | Elimination of IU Profit/Loss in Inventory: Tasks | ||
| 188 | TF599 | Global Settings for Elim. of IU P/L in Inventory | ||
| 189 | TF600 | Consolidation of Investments Methods | ||
| 190 | TF602 | C/I Methods: Cons Chart of Accounts-Based Settings | ||
| 191 | TF605 | C/I Methods: Assignments | ||
| 192 | TF610 | Tasks for the Consolidation of Investments | ||
| 193 | TF615 | C/I Tasks: Assignment of Document Types | ||
| 194 | TF616 | C/I Activities/Acctg Techniques: Document Type Assignments | ||
| 195 | TF625 | Group Shares | ||
| 196 | TF640 | Fair Value Adjustments | ||
| 197 | TF641 | Fair Value Adjustments: Subnumber | ||
| 198 | TF642 | Fair Value Adjustments: Name | ||
| 199 | TF643 | Fair Value Adjustments: Version/Date-Sensitive | ||
| 200 | TF644 | Fair Value Adjustments: Cons Chart of Accounts-Sensitive | ||
| 201 | TF655 | C/I Entry of Activities: Default Values | ||
| 202 | TF656 | Activities - Default Sequence | ||
| 203 | TF658 | Activities: Reported Items - Equity | ||
| 204 | TF665 | Scope of Reported Data for the Equity Method | ||
| 205 | TF666 | Scope of Reported Data for Equity Method - Descriptions | ||
| 206 | TF667 | Reported Items for Equity Holdings Adjustments | ||
| 207 | TF690 | C/I - System Utilization | ||
| 208 | TF691 | C/I - Global Settings | ||
| 209 | TF692 | Global Chart of Accounts-Based Settings for C/I | ||
| 210 | TF693 | Subitems for Equity Aging Report | ||
| 211 | TF695 | Selected Items for Consolidation of Investments | ||
| 212 | TF696 | Posting Items for the Equity Method | ||
| 213 | TFIN000 | Independent Characteristic Values for Consolidation Type | ||
| 214 | TFIN001 | ID Combination Rules for Cons Type and Cons Org. Unit | ||
| 215 | TFIN002 | Assignment of Consolidation Types and Dimensions | ||
| 216 | TFIN010 | Consolidation Unit Integration | ||
| 217 | X030L | Nametab Header, Database Structure DDNTT | ||
| 218 | X031L | Nametab Structure, Database Structure DDNTF |