Table list used by SAP ABAP Program VZBR0MAI (Include VZBR0MAI)
SAP ABAP Program
VZBR0MAI (Include VZBR0MAI) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | ADDR1_SEL | Address selection parameter | ||
| 2 | ADRS | Address formating function module transfer structure | ||
| 3 | BP1030 | BP: Business partner - reporting data | ||
| 4 | BUS050_BTR | CBP: Relationship cat. structure (RANGE) | ||
| 5 | BUT050 | BP relationships/role definitions: General data | ||
| 6 | BUT053 | BP Relationship: Company Interest | ||
| 7 | DD07V | Generated Table for View | ||
| 8 | INDX | System Table INDX | ||
| 9 | REVAL | Evaluation - Evaluation, determination of price gain | ||
| 10 | RLOAM | Capital - Transfer structure | ||
| 11 | SADR | Address Management: Company Data | ||
| 12 | T001 | Company Codes | ||
| 13 | T016T | Industry Names | ||
| 14 | T056P | Reference interest table | ||
| 15 | T093C | Company codes in Asset Accounting | ||
| 16 | TB020 | BP legal forms: Texts | ||
| 17 | TB032T | BP Legal Entity: Texts | ||
| 18 | TCURC | Currency Codes | ||
| 19 | TDZW | IS-IS: Payment terms with adjustment days | ||
| 20 | TDZWT | IS-IS: Payment terms with adjustment days | ||
| 21 | TW21 | Funds category | ||
| 22 | TW53T | Listing key - Text table | ||
| 23 | TZ11 | Stock indicator | ||
| 24 | TZ27 | Allocation: Valuation area for internal stock indicator | ||
| 25 | TZ28T | Asset Type in acc. with Reg.Acctng Requirements / Text | ||
| 26 | TZ37T | Text table provision of security according to app. 5 R5/97 | ||
| 27 | TZ43 | Relationship Table for Fund Categories - Pure Bond Funds | ||
| 28 | TZA11 | Output control acc. to circular R96 appendix 11 | ||
| 29 | TZA11R | Values for classifying appendices acc. to R96/11 | ||
| 30 | TZA11R1 | Values for Classifying Appendix 10 According to R5/97 | ||
| 31 | TZB0C | Flow category texts | ||
| 32 | TZBAG | Output control for BAV reports | ||
| 33 | TZBR | Relationship table for contracting party classification | ||
| 34 | TZBZ | Company code: Additional data | ||
| 35 | TZK01 | Condition types | ||
| 36 | TZPA | Financial Assets Management Product Types | ||
| 37 | TZPAT | Financial Assets Management product type texts | ||
| 38 | TZR96 | Circular R5/97 Control Table for Report Program RFVZBR00 | ||
| 39 | VTBACFL | Treasury - Transfer structure ACCUMULATION | ||
| 40 | VTBFIMA | General FiMa fields | ||
| 41 | VWBEPP | Treasury Securities: Planned Flows | ||
| 42 | VWBEVI | Generated Table for View | ||
| 43 | VWPANLA | Asset master for securities | ||
| 44 | VWPBONO | Securities listing | ||
| 45 | VWPDEP1 | Securities account position (VWPDEPO) +add. fields | ||
| 46 | VWSPRT1 | Sec. partner data (debtor-issuer) (SPRT1/SANS1/PARZJ) | ||
| 47 | VWZZBEPP | View of collectors VWBEPP, VWBEKI, VWBEPI | ||
| 48 | VZBAVV | Variable BAV Master Data | ||
| 49 | VZBAVV1 | Database View of BAV Master Data with Additional Fields | ||
| 50 | VZBAVZ | Stock totals for PRF-O | ||
| 51 | VZZBEPP | Transaction data - Planned and actual item | ||
| 52 | VZZEFFZ | Flow of payments | ||
| 53 | VZZKOKO | Table condition header | ||
| 54 | VZZKOPO | Table condition items | ||
| 55 | V_VWPANLA | Generated Table for View |