Data Element list used by SAP ABAP Table CMS_STR_SEC_ACC_SCR (Screen structure for Securities account details)
SAP ABAP Table
CMS_STR_SEC_ACC_SCR (Screen structure for Securities account details) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | BKONT | Bank Control Key | ||
| 2 | CMS_DTE_ADMINORG_KEY | Administration Organizational Unit (Key conversion) | ||
| 3 | CMS_DTE_AST_GUID | GUID for Table CMS_AST | ||
| 4 | CMS_DTE_AST_NOMINAL_VALUE | Nominal Value of the Asset | ||
| 5 | CMS_DTE_AST_NOMINAL_VALUE_CURR | Currency of Nominal value | ||
| 6 | CMS_DTE_AST_PURCHASE_PRICE | Purchase Price of the Asset | ||
| 7 | CMS_DTE_AST_PUR_PRICE_CURR | Currency of Purchase Price | ||
| 8 | CMS_DTE_AST_PUR_PRICE_DATE | Date of Purchase | ||
| 9 | CMS_DTE_AST_TYP | Asset Type | ||
| 10 | CMS_DTE_AST_VALUE | Final Asset Value | ||
| 11 | CMS_DTE_AST_VALUE_CURR | Currency of the Final Asset Value | ||
| 12 | CMS_DTE_ATT_ID_TY_AST004 | Liquidation Reason | ||
| 13 | CMS_DTE_BANKAREA | Bank Area in Collateral Management | ||
| 14 | CMS_DTE_LIQ_ACC_NUMBER | Account number for liquidation proceeds | ||
| 15 | CMS_DTE_LIQ_BNK_CTRY_KY | Bank country key | ||
| 16 | CMS_DTE_LIQ_BNK_KEY | Bank Key | ||
| 17 | CMS_DTE_QTY | Quantity | ||
| 18 | CMS_DTE_REC_AT | Asset Value Recording Timestamp | ||
| 19 | CMS_DTE_SAS_PAR_GUID | Asset Guid as a parent GUID for a sub-asset | ||
| 20 | CMS_DTE_SEC_ACC_BANK_NAME | Depository bank name of securities account | ||
| 21 | CMS_DTE_SEC_ACC_DESC | Description of the Securities Account | ||
| 22 | CMS_DTE_SEC_ACC_GUID | GUID for securities account | ||
| 23 | CMS_DTE_SEC_ACC_NUMBER | Securities Account Identification Number | ||
| 24 | CMS_DTE_SEC_ACC_REF_NO | ID of a Securities Account Referenced from External System | ||
| 25 | CMS_DTE_SEC_ACC_VAL_AMT | Value of the Securities Account | ||
| 26 | CMS_DTE_SEC_ACC_VAL_CURR | Currency of Securities Account Value | ||
| 27 | CMS_DTE_SEC_ACC_VAL_DATE | Date of last valuation | ||
| 28 | CMS_DTE_SEC_CH_AT | Last Changed At | ||
| 29 | CMS_DTE_SEC_CH_BY | Last Changed By | ||
| 30 | CMS_DTE_SEC_CH_ON | Last Changed on | ||
| 31 | CMS_DTE_SEC_CR_AT | Created At | ||
| 32 | CMS_DTE_SEC_CR_BY | Securities Add-On User | ||
| 33 | CMS_DTE_SEC_CR_ON | Created On | ||
| 34 | CMS_DTE_SEC_DEPO_BNK_ID | Depository Bank Identification | ||
| 35 | CMS_DTE_SEC_END_DATE | Valuation End date | ||
| 36 | CMS_DTE_SEC_IND_FREQUENCY | Indicator : Valuation Frequency of Securities Account | ||
| 37 | CMS_DTE_SEC_IND_LND_RTE | Indicates that the asset has a default lending rate or not | ||
| 38 | CMS_DTE_SEC_IND_SFTY_DISC | Indicates that the asset has a default sfty discount or not | ||
| 39 | CMS_DTE_SEC_LIQD_CURR | Currency of Liquidation value | ||
| 40 | CMS_DTE_SEC_LIQD_DATE | Date of Liquidation of Collateral | ||
| 41 | CMS_DTE_SEC_LIQD_TYP | Liquidation type | ||
| 42 | CMS_DTE_SEC_LIQD_VALUE | Proceeds obtained from liquidation of the collateral | ||
| 43 | CMS_DTE_SEC_LRTE_PCT1 | Lending rate 1 | ||
| 44 | CMS_DTE_SEC_ORG_UNIT1 | Organizational Unit 1: Assets | ||
| 45 | CMS_DTE_SEC_ORG_UNIT2 | Organizational Unit 2: Assets | ||
| 46 | CMS_DTE_SEC_ORG_UNIT3 | Organizational Unit 3: Assets | ||
| 47 | CMS_DTE_SEC_ORG_UNIT4 | Organizational Unit 4: Assets | ||
| 48 | CMS_DTE_SEC_ORG_UNIT5 | Organizational Unit 5: Assets | ||
| 49 | CMS_DTE_SEC_RISK_CODE | Risk Code | ||
| 50 | CMS_DTE_SEC_SAFETY_AMT | Safety discount as an amount | ||
| 51 | CMS_DTE_SEC_SAFETY_AMT_CURR | Currency of the Safety discount amount | ||
| 52 | CMS_DTE_SEC_SAFETY_DSCNT | Safety discount | ||
| 53 | CMS_DTE_SEC_START_DATE | Valuation Start date | ||
| 54 | CMS_DTE_SEC_VALN_FREQ_PERIOD | Period of revaluation for securities | ||
| 55 | CMS_DTE_SYS_STAT_LINE | System Status | ||
| 56 | CMS_DTE_SYS_STAT_LINE | System Status | ||
| 57 | CMS_DTE_UNIT | Unit of Measure of Quantity | ||
| 58 | CMS_DTE_USR_STAT_LINE | User Status | ||
| 59 | CMS_DTE_USR_STAT_LINE | User Status | ||
| 60 | ORT01_GP | City | ||
| 61 | STRAS_GP | House number and street |