Data Element list used by SAP ABAP Table CMS_STR_IR_DETAIL (not used / Receivable Structure for Interface and BAdI)
SAP ABAP Table CMS_STR_IR_DETAIL (not used / Receivable Structure for Interface and BAdI) is using
# Object Type Object Name Object Description Note
     
1 Data Element  CMS_DTE_ADMINORG Administration Organizational Unit
2 Data Element  CMS_DTE_IND_CREDIT Indicator to specify if Receivable is Credit/Debit to Bank
3 Data Element  CMS_DTE_POSID Receivable Position ID
4 Data Element  CMS_DTE_PRD_CLASS Product Class
5 Data Element  CMS_DTE_RBL_AMT Receivable Amount
6 Data Element  CMS_DTE_RBL_AMT Receivable Amount
7 Data Element  CMS_DTE_RBL_AMT Receivable Amount
8 Data Element  CMS_DTE_RBL_AMT Receivable Amount
9 Data Element  CMS_DTE_RBL_CAPCURR Currency of Receivable Capitals
10 Data Element  CMS_DTE_RBL_CAPCURR Currency of Receivable Capitals
11 Data Element  CMS_DTE_RBL_CAPCURR Currency of Receivable Capitals
12 Data Element  CMS_DTE_RBL_CAPCURR Currency of Receivable Capitals
13 Data Element  CMS_DTE_RBL_CAPCURR Currency of Receivable Capitals
14 Data Element  CMS_DTE_RBL_CAPCURR Currency of Receivable Capitals
15 Data Element  CMS_DTE_RBL_CAPCURR Currency of Receivable Capitals
16 Data Element  CMS_DTE_RBL_CAPCURR Currency of Receivable Capitals
17 Data Element  CMS_DTE_RBL_CAPCURR Currency of Receivable Capitals
18 Data Element  CMS_DTE_RBL_CAPCURR Currency of Receivable Capitals
19 Data Element  CMS_DTE_RBL_CONTAMT Amount of Receivable Contract
20 Data Element  CMS_DTE_RBL_CONTCURR Receivable Contract Currency
21 Data Element  CMS_DTE_RBL_CRDSYS Credit System
22 Data Element  CMS_DTE_RBL_CURRRISK Current Risk
23 Data Element  CMS_DTE_RBL_DEBT_ARREARS Debt in arrears
24 Data Element  CMS_DTE_RBL_DESCRIPTION Description of Receivable
25 Data Element  CMS_DTE_RBL_DRAWDOWN Drawdown of Receivable
26 Data Element  CMS_DTE_RBL_FEES Fees Amount
27 Data Element  CMS_DTE_RBL_FIXED_FROM Start Date of Fixed Period of Receivable Conditions
28 Data Element  CMS_DTE_RBL_FIXED_TO End Date of Fixed Period of Receivable Conditions
29 Data Element  CMS_DTE_RBL_ID Receivable ID
30 Data Element  CMS_DTE_RBL_INTEREST Outstanding Interest Amount
31 Data Element  CMS_DTE_RBL_MAXRISK Maximum Risk
32 Data Element  CMS_DTE_RBL_OBLIG Disbursement Obligation
33 Data Element  CMS_DTE_RBL_ORG_UNIT Organization Unit for a Receivable
34 Data Element  CMS_DTE_RBL_OTHERBANK Indicates that the Receivable belongs to an External Bank
35 Data Element  CMS_DTE_RBL_PROD Product of Receivable
36 Data Element  CMS_DTE_RBL_REFCRDSYS Reference to Credit System
37 Data Element  CMS_DTE_RBL_REFID Receivable Id
38 Data Element  CMS_DTE_RBL_RISKCURR Currency for Receivable Risk Amounts
39 Data Element  CMS_DTE_RBL_STATUS Status of Receivable
40 Data Element  CMS_DTE_RBL_UTIL Utilization Amount
41 Data Element  CMS_DTE_RBL_VALID_FROM Date from which the Risk stands Valid
42 Data Element  CMS_DTE_RBL_VALID_TO Date until which the Risk stands Valid