Data Element list used by SAP ABAP Table CMS_STR_RBL_SYNC (RBL Sync Structure)
SAP ABAP Table CMS_STR_RBL_SYNC (RBL Sync Structure) 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_PRD_CLASS | Product Class | |
4 | Data Element | CMS_DTE_RBL_CAPCURR | Currency of Receivable Capitals | |
5 | Data Element | CMS_DTE_RBL_CONTAMT | Amount of Receivable Contract | |
6 | Data Element | CMS_DTE_RBL_CONTCURR | Receivable Contract Currency | |
7 | Data Element | CMS_DTE_RBL_CRDSYS | Credit System | |
8 | Data Element | CMS_DTE_RBL_CURRRISK | Current Risk | |
9 | Data Element | CMS_DTE_RBL_DESCRIPTION | Description of Receivable | |
10 | Data Element | CMS_DTE_RBL_FEES | Fees Amount | |
11 | Data Element | CMS_DTE_RBL_ID | Receivable ID | |
12 | Data Element | CMS_DTE_RBL_INTEREST | Outstanding Interest Amount | |
13 | Data Element | CMS_DTE_RBL_MAXRISK | Maximum Risk | |
14 | Data Element | CMS_DTE_RBL_ORG_UNIT | Organization Unit for a Receivable | |
15 | Data Element | CMS_DTE_RBL_OTHERBANK | Indicates that the Receivable belongs to an External Bank | |
16 | Data Element | CMS_DTE_RBL_PROD | Product of Receivable | |
17 | Data Element | CMS_DTE_RBL_RISKCURR | Currency for Receivable Risk Amounts | |
18 | Data Element | CMS_DTE_RBL_STATUS | Status of Receivable | |
19 | Data Element | CMS_DTE_RBL_VALID_FROM | Date from which the Risk stands Valid | |
20 | Data Element | CMS_DTE_RBL_VALID_TO | Date until which the Risk stands Valid | |
21 | Data Element | MANDT | Client |