Data Element list used by SAP ABAP Table BAPI_RE_CASHFLOW_PAY_INT (Partner-Related Cash Flow)
SAP ABAP Table BAPI_RE_CASHFLOW_PAY_INT (Partner-Related Cash Flow) is using
# Object Type Object Name Object Description Note
     
1 Data Element  AMMRHY Frequency in months
2 Data Element  ATTRHY Frequency in Days
3 Data Element  BITER Amount in floating point format for recursive determination
4 Data Element  BU_DESCRIP_LONG Description of a Business Partner
5 Data Element  BU_PARTNER Business Partner Number
6 Data Element  DBEAR Last Edited on
7 Data Element  DBERBIS End of Calculation Period
8 Data Element  DBERVON Start of Calculation Period
9 Data Element  DDISPO Payment Date
10 Data Element  DERF First Entered on
11 Data Element  DFAELL Due date
12 Data Element  DVALUT Calculation Date
13 Data Element  FDLEV Planning Level
14 Data Element  FDUPD Flag as to whether record enters cash management + forecast
15 Data Element  KBLNR Document Number for Earmarked Funds
16 Data Element  KBLPOS Earmarked Funds: Document Item
17 Data Element  PKOND Percentage rate for condition items
18 Data Element  RBEAR Employee ID
19 Data Element  RBHER Editing Source
20 Data Element  RECAARDELETEIND Deletion Indicator for Archiving
21 Data Element  RECAIDENT Complete Object Identification, for Example BE 1000/123
22 Data Element  RECAINTRENO Internal Key of Real Estate Object
23 Data Element  RECAOBJNR Object Number
24 Data Element  RECAOBJNR Object Number
25 Data Element  RECAPROCESSID Process Identification -> Accounting Reference Number
26 Data Element  RECDCALCDUEDATE Calculated Due Date
27 Data Element  RECDCFCURR Condition Currency of Cash Flow Item
28 Data Element  RECDCFLCCURR Local Currency of Cash Flow Item
29 Data Element  RECDCFLCTAXVALUE Sales/Purch. Tax Amount of Cash Flow Item in Local Currency
30 Data Element  RECDCFLCVALUEGROSS Gross Amount of Cash Flow Item in Local Currency
31 Data Element  RECDCFLCVALUENET Net Amount of Cash Flow Item in Local Currency
32 Data Element  RECDCFPAYGUID GUID (RAW16) for Payment-Related Cash Flow
33 Data Element  RECDCFSTATUS Indicates Status of Flow
34 Data Element  RECDCFTAXVALUE Tax on Sales/Purch. of Cash Flow Item in Condition Currency
35 Data Element  RECDCFVALUEGROSS Gross Amount of Cash Flow Item in Condition Currency
36 Data Element  RECDCFVALUENET Net Amount of Cash Flow Item in Condition Currency
37 Data Element  RECDCONDDELETE Deletion Indicator for Condition
38 Data Element  RECDCONDGUID GUID (RAW16) for Conditions
39 Data Element  RECDCONDTYPE Condition Type
40 Data Element  RECDDOCUMENTDATE Document Date
41 Data Element  RECDFLOWTYPE Flow Type
42 Data Element  RECDFLOWTYPE Flow Type
43 Data Element  RECDISGROSS Condition Amount Is Gross Amount
44 Data Element  RECDMODDUEDATE Modified Due Date
45 Data Element  RECDOBJNRCALC Object Number for Calculation
46 Data Element  RECDORIGDUEDATE Original Due Date
47 Data Element  RECDORIGDUEDATE Original Due Date
48 Data Element  RECDORIGFLOWTYPE Original Flow Type
49 Data Element  RECDPOSTINGDATE Posting Date
50 Data Element  RECDREFFLOWREL Type of Relationship Between Flow Type and Refer.Flow Type
51 Data Element  RECDREFFLOWREL Type of Relationship Between Flow Type and Refer.Flow Type
52 Data Element  RECDREFGUID GUID (RAW16) for Document References in Cash Flow
53 Data Element  RECDREVERSALFORGUID GUID (RAW16) for 'Reversal for' References
54 Data Element  RECDTAXDATE Date of Calculation of Sales/Purchase Tax
55 Data Element  RECDTERMNOAJ Number of Adjustment Term
56 Data Element  RECDTERMNOMR Number of Peak Sales Term
57 Data Element  RECDTERMNOOA Number of Organizational Assignment Term
58 Data Element  RECDTERMNOPY Number of Posting Term
59 Data Element  RECDTERMNORH Number of Frequency Term
60 Data Element  RECDTERMNOSR Number of Sales Term
61 Data Element  RECDTERMNOWT Number of Withholding Tax Term
62 Data Element  RECDVALIDFROM Date from when condition is valid
63 Data Element  RECDVALUATIONDATE Date for Translation of Contract Currency to Local Currency
64 Data Element  RECDWHEREFROM Flow Origin
65 Data Element  RECDXCONDCURR Condition Currency Name
66 Data Element  RECDXCONDITION Condition Type Name
67 Data Element  RECDXFLOWTYPE Name of Flow Type
68 Data Element  RECDXFLOWTYPE Name of Flow Type
69 Data Element  RECDXLOCALCURR Local Currency Name
70 Data Element  REHER Source of initial entry
71 Data Element  RERASEAPSTATUS Status of Advance Payment Relevant to SCS
72 Data Element  RERATAXGROUP Tax Group
73 Data Element  RERATAXTYPE Tax Type
74 Data Element  RERAXMTAXGROUP Name of Tax Group
75 Data Element  RERAXMTAXTYPE Name of Tax Type
76 Data Element  RERF Entered by
77 Data Element  SBERECH Grace Period Interest Method
78 Data Element  SBEWEGRP Flow record group in cash flow calculator
79 Data Element  SBEWFIMA Calculation category for cash flow calculator
80 Data Element  SFULT Month-End Indicator for Due Date
81 Data Element  SKONDGRP Condition group in cash flow calculator
82 Data Element  SPLANIST Plan/actual record/record to be released indicator
83 Data Element  SSTCKKZ Accrued interest method
84 Data Element  SSTCKTG Accrued interest: Daily method
85 Data Element  SZBMETH Interest Calculation Method
86 Data Element  TBEAR Last Edited at
87 Data Element  TB_DZFEST Interest rate fixing date
88 Data Element  TB_JZINSRE Exponential Interest Calculation
89 Data Element  TERF Time of Initial Entry
90 Data Element  TFMASEKUNDEN Number of Seconds
91 Data Element  TFMASTUECK No. of units for unit-quoted securities (fin. mathematics)
92 Data Element  TFMATAGE Number of Days
93 Data Element  TFMBBASISU Original calculation basis (e.g. for interval calculation)
94 Data Element  TFMBBWHR2 Amount
95 Data Element  TFMBOGRENZ Upper Limit for Amt
96 Data Element  TFMBUGRENZ Lower Limit for Amount
97 Data Element  TFMKARZINS Interest amount on diff. betw. clearing/pmnt date (int.FIMA)
98 Data Element  TFMPRUNIT Rounding Unit
99 Data Element  TFMSBASFIX Indicator for fixing calculation base
100 Data Element  TFMSKALIDWT Interest Calendar
101 Data Element  TFMSOFVERR Indicator for Immediate Settlement (Financial Mathematics)
102 Data Element  TFMSPAEXCL Exclusive Indicator for Start Date of a Period
103 Data Element  TFMSPAULT Month-End Indicator for Start Date of a Period
104 Data Element  TFMSPEINCL Inclusive Indicator for End Date of a Period
105 Data Element  TFMSPEULT Month-End Indicator for End of a Period
106 Data Element  TFMSSALBAS Indicator for debit position/incoming pmnt (internal FiMa)
107 Data Element  TFMSSTAFF Type of Scaled Calculation
108 Data Element  TFMSTCKNOT Internal FiMa indicator for unit-quoted securities
109 Data Element  TFMWHRKOND Currency of Condition Item
110 Data Element  TFM_AMMRHYZV Interest Settlement Frequency for Exponential Interest Calc.
111 Data Element  TFM_ARHYREL Relative Frequency
112 Data Element  TFM_BBASIS Calculation Base Amount
113 Data Element  TFM_BBASISUNIT Base Unit for Rounding
114 Data Element  TFM_BBWHR Amount which changes position
115 Data Element  TFM_BKOND Condition item currency amount
116 Data Element  TFM_BNWHR Nominal amount
117 Data Element  TFM_JANNVERR Settle Annuity Installment
118 Data Element  TFM_JEFFZREL Relevant for Effective Interest Rate
119 Data Element  TFM_JINTRADAY Intraday Interest Calculation
120 Data Element  TFM_JRATENFIX Keep Installment
121 Data Element  TFM_JSOFTILG Begin with Repayment Immediately
122 Data Element  TFM_KBKOND Currency-independent FiMa condition amount
123 Data Element  TFM_PDISCOUNT Percentage Discount Rate
124 Data Element  TFM_PPAYMENT Payment Rate
125 Data Element  TFM_SAEND Change Indicator for FiMa Flow Records
126 Data Element  TFM_SBASIS Calculation Base Reference
127 Data Element  TFM_SDISCOUNT Discounting Category
128 Data Element  TFM_SFKEYDAY Key Date for Update of Due Date
129 Data Element  TFM_SORT Sort indicator for financial mathematic calculations
130 Data Element  TFM_SROUND Rounding Category
131 Data Element  TFM_SVKEYDAY Key Date for Update of Calculation Date
132 Data Element  TFM_SWOHER Source of flow record
133 Data Element  TFM_TBERBIS Time of End of Calculation Period
134 Data Element  TFM_TBERVON Time of Start of Calculation Period
135 Data Element  TFM_TIKALK Imputed annuity repayment amount (internal FiMa)
136 Data Element  TFM_TVALUT Time of Calculation Date
137 Data Element  TXJCD Tax Jurisdiction
138 Data Element  VVAPERTAGE No. of days of a (calculation) period in cash flow
139 Data Element  VVDBPERIOD Period start
140 Data Element  VVDEPERIOD Period End
141 Data Element  VVDPKOND Determination date for percentage rate of condition items
142 Data Element  VVDVERRECH Settlement date
143 Data Element  VVJGESUCHT Int. indicator for alternative calculations
144 Data Element  VVRBEWEIND Reference index for a FiMa flow record
145 Data Element  VVRKONDIND Reference index for an investment mathematical item
146 Data Element  VVSEXCLVON Exclusive Indicator for the Start of a Calculation Period
147 Data Element  VVSFANT Indicator for due date-related FiMa calculations
148 Data Element  VVSFINCL Inclusive Indicator for Due Date
149 Data Element  VVSFLAT Indicator 'Traded flat',i.e.no accrued interest calculation
150 Data Element  VVSINCL Inclusive indicator for beginning and end of a period
151 Data Element  VVSINCLBIS Inclusive Indicator for the End of a Calculation Period
152 Data Element  VVSINCLVER Inclusive Indicator for Clearing Date
153 Data Element  VVSRUNDVF Rounding of interim results for prepayments
154 Data Element  VVSTGBASIS Base Days Method
155 Data Element  VVSTGMETH Daily Method
156 Data Element  VVSULTBIS Month-End Indicator for the End of a Calculation Period
157 Data Element  VVSULTVERR Month-End Indicator for Clearing Date
158 Data Element  VVSULTVON Month-End Indicator for Start of a Calculation Period
159 Data Element  VVSVINCL Inclusive indicator for value date
160 Data Element  VVSVULT Month-End Indicator for Value Date
161 Data Element  VVSZEITANT Indicator for Pro Rata Temporis Calculations