Data Element list used by SAP ABAP Table /IBS/SRB_ECF_VBAL_G1 (RBD: Display Structure ECF Positions VA GAAP1)
SAP ABAP Table
/IBS/SRB_ECF_VBAL_G1 (RBD: Display Structure ECF Positions VA GAAP1) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | /IBS/E_BWAGR | RBD: Risk Provision Position | ||
| 2 | /IBS/E_INTCM | RBD: Interest Calculation Method (Financial Mathematics) | ||
| 3 | /IBS/E_OBETRV | RBD: Book Value for Srce System Contract in Contract Currncy | ||
| 4 | /IBS/E_OBLIGO | RBD: Book Value of Source System Reduced by Manual Loss | ||
| 5 | /IBS/E_RBAL | RBD: Risk Provision Position | ||
| 6 | /IBS/E_RBAL_AP | RBD: Value Adjustment Position Current Period | ||
| 7 | /IBS/E_RBAL_CH_PP | RBD: Change Balance Previous Periods | ||
| 8 | /IBS/E_RBAL_PP | RBD: Risk Provision Position Previous Periods | ||
| 9 | /IBS/E_RBAL_UN_AP | RBD: Position Unwinding Current Period | ||
| 10 | /IBS/E_RBAL_UN_PP | RBD: Position Unwinding Previous Periods | ||
| 11 | /IBS/E_RBAL_US | RBD: Position Usage | ||
| 12 | /IBS/E_RBAL_WO | RBD: Position Direct Write-Off | ||
| 13 | /IBS/E_RBARW | RBD: Currency of Risk Provision | ||
| 14 | /IBS/E_RBST_AC | RBD: Balance Sheet Transfer Inflow | ||
| 15 | /IBS/E_RBST_RE | RBD: Balance Sheet Transfer Outflow | ||
| 16 | /IBS/E_REQ | RBD: Risk Provision Requirement | ||
| 17 | /IBS/E_REQ_AP | RBD: Change Requirement for Current Period | ||
| 18 | /IBS/E_REQ_PP | RBD: Change Requirement Previous Periods | ||
| 19 | /IBS/E_REQ_UN_AP | RBD: Unwinding Requirement (Current Period) | ||
| 20 | /IBS/E_REQ_UN_PP | RBD: Unwinding Requirement (Previous Periods) | ||
| 21 | /IBS/E_REQ_US | RBD: Change Requirement Usage | ||
| 22 | /IBS/E_REQ_WO | RBD: Change Requirements (Direct Write-Off) | ||
| 23 | /IBS/E_RFLG_RLP | RBD: Indicator for Prohibition of Liability Recognition | ||
| 24 | /IBS/E_RINIT_AP | RBD: Initialization (Current Period) | ||
| 25 | /IBS/E_RINIT_PP | RBD: Initialization (Previous Periods) | ||
| 26 | /IBS/E_RINT_RATE | RBD: Initial Discount Interest Rate | ||
| 27 | /IBS/E_RINT_RATE_ACT | RBD: Current Discount Interest Rate | ||
| 28 | /IBS/E_RINT_RATE_MAN | RBD: Manually Entered Discount Interest Rate | ||
| 29 | /IBS/E_RLOSS | RBD: Source System Loss Amount | ||
| 30 | /IBS/E_RLOSS_MAN | RBD: Loss Amount Entered Manually | ||
| 31 | /IBS/E_ROP_CH | RBD: Open Position Change | ||
| 32 | /IBS/E_RPERC_EXP | RBD: Higher-Level Percentage Expectation Used | ||
| 33 | /IBS/E_RREALL_AP | RBD: Contract Reallocation Change Current Year | ||
| 34 | /IBS/E_RREALL_PP | RBD: Contract Reallocation Change Previous Year | ||
| 35 | /IBS/E_RREF_RATE | RBD: Reference Interest Rate | ||
| 36 | /IBS/E_RREF_RATE_NOM | RBD: Reference Interest Rate Nominal Amount | ||
| 37 | /IBS/E_RREF_RATE_PM | RBD: Reference Interest Rate Balancing | ||
| 38 | /IBS/E_RSUM_CF_EXP | RBD: Total Expected Cash Flow | ||
| 39 | /IBS/E_RSUM_CF_NPV | RBD: Net Present Value of Expected Cash Flows | ||
| 40 | /IBS/E_RSUM_COL_EXP | RBD: Total Expected Collateral Revenue | ||
| 41 | /IBS/E_RSUM_COL_NPV | RBD: Net Present Value of Expected Collateral Revenue | ||
| 42 | /IBS/E_RSUM_UN | RBD: Unwinding Amount | ||
| 43 | /IBS/E_RSUM_UT_EXP | RBD: Total Expected Utilization | ||
| 44 | /IBS/E_RSUM_UT_NPV | RBD: Net Present Value of Expected Utilization | ||
| 45 | /IBS/E_RSUM_UT_UN | RBD: Utilization Amount (Unwinding) | ||
| 46 | /IBS/E_RS_ABASIS | RBD: Reduce Open Contingent Liability by Manual Loss | ||
| 47 | /IBS/E_RS_BASIS | RBD: Open Contingent Liability in Contract Currency | ||
| 48 | /IBS/E_RS_PROP | RBD: Probability of Risk Provision Usage | ||
| 49 | /IBS/E_RS_PROP_DR | RBD: Usage Amount Contingent Liability | ||
| 50 | /IBS/E_SHEETNR | RBD: Fair Value Sheet | ||
| 51 | MANDT | Client |