Data Element list used by SAP ABAP Table DIMA_A1_DI (IO: Direct Input Structure for Partner-Insurance Object)
SAP ABAP Table
DIMA_A1_DI (IO: Direct Input Structure for Partner-Insurance Object) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | ABART_VK | Invoicing Type | ||
| 2 | ABVTY_EXT_KK | Bank ID in External System for Outgoing Payments | ||
| 3 | ABVTY_EXT_KK | Bank ID in External System for Outgoing Payments | ||
| 4 | ABVTY_KK | Bank Details ID for Outgoing Payments | ||
| 5 | ABVTY_KK | Bank Details ID for Outgoing Payments | ||
| 6 | ABWRA_BPEXT | Number of alternative payment recipient in external system | ||
| 7 | ABWRA_BPEXT | Number of alternative payment recipient in external system | ||
| 8 | ABWRA_KK | Alternative Payee | ||
| 9 | ABWRA_KK | Alternative Payee | ||
| 10 | ABWRE_BPEXT | Number of alternative payer in the external system | ||
| 11 | ABWRE_KK | Alternative Payer | ||
| 12 | ACTKEY_KK | Activity key for conditional business locks | ||
| 13 | ADRRA_KK | Address Number for Alternative Payee | ||
| 14 | ADRRA_KK | Address Number for Alternative Payee | ||
| 15 | ADRRE_KK | Address Number for Alternative Payer | ||
| 16 | AD_ADDRNUM | Address number | ||
| 17 | ALKEY_VK | Algorithm Key | ||
| 18 | ANZRA_KK | Multiple Alternative Payment Recipients? | ||
| 19 | ATKEY_KK | Split Type for Outgoing Payments | ||
| 20 | AUGRP_MD | Insurance Object: Authorization Group | ||
| 21 | AZAWE_KK | Outgoing Payment Methods | ||
| 22 | BROK_NOTE_PER_MD | FS-CD: Reporting Interval for Broker Data | ||
| 23 | BROK_PER_OFF_C_MD | FS-CD: Shift for Period Item in Days | ||
| 24 | BROK_PER_POS_MD | FS-CD: Item Within a Reporting Interval | ||
| 25 | BROSTMTYP_MD | FS-CD: Broker Report Category | ||
| 26 | BU_ADEXT | Address number in external system | ||
| 27 | BU_AKTYP | Activity Category | ||
| 28 | BU_BPEXT | Business Partner Number in External System | ||
| 29 | BU_BPEXT | Business Partner Number in External System | ||
| 30 | BU_BPEXT | Business Partner Number in External System | ||
| 31 | BU_BPEXT | Business Partner Number in External System | ||
| 32 | BU_BPEXT | Business Partner Number in External System | ||
| 33 | BU_BPEXT | Business Partner Number in External System | ||
| 34 | BU_BPEXT | Business Partner Number in External System | ||
| 35 | BU_BPEXT | Business Partner Number in External System | ||
| 36 | BU_BPEXT | Business Partner Number in External System | ||
| 37 | BU_BPEXT | Business Partner Number in External System | ||
| 38 | BU_BPEXT | Business Partner Number in External System | ||
| 39 | BU_BPEXT | Business Partner Number in External System | ||
| 40 | BU_BPEXT | Business Partner Number in External System | ||
| 41 | BU_CHIND | Change category | ||
| 42 | BU_CHIND | Change category | ||
| 43 | BU_CHIND | Change category | ||
| 44 | BU_CHIND | Change category | ||
| 45 | BU_CHIND | Change category | ||
| 46 | BU_PARTNER | Business Partner Number | ||
| 47 | BU_PARTNER | Business Partner Number | ||
| 48 | BU_PARTNER | Business Partner Number | ||
| 49 | BU_PARTNER | Business Partner Number | ||
| 50 | BU_PARTNER | Business Partner Number | ||
| 51 | BU_PARTNER | Business Partner Number | ||
| 52 | BU_PARTNER | Business Partner Number | ||
| 53 | BU_PARTNER | Business Partner Number | ||
| 54 | BU_PARTNER | Business Partner Number | ||
| 55 | BU_RLTYP | BDT: Object part | ||
| 56 | BU_RLTYP | BDT: Object part | ||
| 57 | BU_RLTYP | BDT: Object part | ||
| 58 | BU_RLTYP | BDT: Object part | ||
| 59 | BU_RLTYP | BDT: Object part | ||
| 60 | BU_RLTYP | BDT: Object part | ||
| 61 | BU_RLTYP | BDT: Object part | ||
| 62 | BU_RLTYP | BDT: Object part | ||
| 63 | BU_RLTYP | BDT: Object part | ||
| 64 | CCID_IN_KK | Payment Card ID for Incoming Payments | ||
| 65 | CCID_OUT_KK | Payment Card ID for Outgoing Payments | ||
| 66 | CCID_OUT_KK | Payment Card ID for Outgoing Payments | ||
| 67 | CHAR15 | Char 15 | ||
| 68 | CHAR2 | Version Number Component | ||
| 69 | CHAR2 | Version Number Component | ||
| 70 | CHNAME_BUS_MD | Business User That Changed IO | ||
| 71 | CHNAME_BUS_MD | Business User That Changed IO | ||
| 72 | CLARIFACC_BRO | Subledger Clarification Account for Broker | ||
| 73 | COLLECT_MD | FS-CD: Indicator: Broker Executes Collections/Disbursements | ||
| 74 | COLL_BILL_GPART_EXT_VK | External Number for Business Partner for Collective Invoice | ||
| 75 | COLL_BILL_GPART_VK | Business partner in a collective invoice | ||
| 76 | COLL_BILL_VKONT_EXT_VK | External Number for Contract Account for Collective Invoice | ||
| 77 | COLL_BILL_VKONT_VK | Contract acct in a collective invoice | ||
| 78 | COPRC_KK | Correspondence Variant | ||
| 79 | CORR_ACKEY_KK | Correspondence - Activity Key | ||
| 80 | CORR_ACKEY_KK | Correspondence - Activity Key | ||
| 81 | CORR_MAHNV_KK | Correspondence Dunning Procedure | ||
| 82 | CORR_PARTNER_KK | Correspondence Recipient ID | ||
| 83 | CORR_PARTNER_KK | Correspondence Recipient ID | ||
| 84 | CORR_REC_SUBST_KK | Alternative or Additional Correspondence Recipient | ||
| 85 | CORR_ROLE_KK | Correspondence Roles | ||
| 86 | COTYP_KK | Correspondence Type | ||
| 87 | CPAR_ACTIVE_MD | IO: Correspondence Params Active for Ins. Object-Partner | ||
| 88 | CRNAME_BUS_MD | Business User That Created IO | ||
| 89 | CRNAME_BUS_MD | Business User That Created IO | ||
| 90 | CRTVAR_MD | IO: Creation Variant for Automatic Account Creation | ||
| 91 | DATE_C_MD | FS-CD: Date for Insurance Object in CHAR Format (YYYYMMDD) | ||
| 92 | DATE_C_MD | FS-CD: Date for Insurance Object in CHAR Format (YYYYMMDD) | ||
| 93 | DATE_C_MD | FS-CD: Date for Insurance Object in CHAR Format (YYYYMMDD) | ||
| 94 | DATE_C_MD | FS-CD: Date for Insurance Object in CHAR Format (YYYYMMDD) | ||
| 95 | DATE_C_MD | FS-CD: Date for Insurance Object in CHAR Format (YYYYMMDD) | ||
| 96 | DATE_C_MD | FS-CD: Date for Insurance Object in CHAR Format (YYYYMMDD) | ||
| 97 | DATE_C_MD | FS-CD: Date for Insurance Object in CHAR Format (YYYYMMDD) | ||
| 98 | DATE_C_MD | FS-CD: Date for Insurance Object in CHAR Format (YYYYMMDD) | ||
| 99 | EARRA_KK | External address no. for alternative payee | ||
| 100 | EARRA_KK | External address no. for alternative payee | ||
| 101 | EARRE_KK | External address no. for alt. payer | ||
| 102 | EBVTY_EXT_KK | Bank Detail ID for Incoming Payments in the External System | ||
| 103 | EBVTY_KK | Bank Details ID for Incoming Payments | ||
| 104 | EIGBV_KK | Own Bank Details | ||
| 105 | EZAWE_KK | Incoming Payment Method | ||
| 106 | FDATE_C_KK | Lock valid from | ||
| 107 | FDATE_C_KK | Lock valid from | ||
| 108 | FDGRP_KK | Planning Group | ||
| 109 | FDGRP_KK | Planning Group | ||
| 110 | GPARV_KK | Business Partner Acting as Payer in Payment Transactions | ||
| 111 | GRACE_PERIOD_MD | FS-CD: Period for Posting with Shifted Due Date | ||
| 112 | GRACE_VALUE_DI_MD | FS-CD: No. of Periods for Posting with Shifted Due Date | ||
| 113 | IDENTNUM_C_KK | FS-CD: Do not Fill Field in DI, Int. Counter, 32-Char UUID | ||
| 114 | IDENTNUM_C_KK | FS-CD: Do not Fill Field in DI, Int. Counter, 32-Char UUID | ||
| 115 | IKEY_KK | Interest Key | ||
| 116 | INSOBEZ_MD | IO: Name of an Insurance Object | ||
| 117 | INSOBJECTEXT_MD | Insurance Object Number in External System | ||
| 118 | INSOBJECTEXT_MD | Insurance Object Number in External System | ||
| 119 | INSOBJECTEXT_MD | Insurance Object Number in External System | ||
| 120 | INSOBJECTEXT_MD | Insurance Object Number in External System | ||
| 121 | INSOBJECTTYPC_MD | IO: External Insurance Object Category | ||
| 122 | INSOBJECT_COMM_MD | IO: Identification for a Broker Commission Contract | ||
| 123 | INSOBJECT_MD | Identification for an Insurance Object | ||
| 124 | INSOBJECT_MD | Identification for an Insurance Object | ||
| 125 | INTPEROFF_DI | FS-CD: Interest Calculation Base Days | ||
| 126 | INTPER_MD | FS-CD: Interest Calculation Base Period | ||
| 127 | KTDEP_EXT_VK | External Number for Clearing Account | ||
| 128 | KTDEP_VK | Clearing Account | ||
| 129 | KZVER_VK | Indicator: Clear Variable | ||
| 130 | LOCKR_KK | Lock Reason | ||
| 131 | LOCKR_KK | Lock Reason | ||
| 132 | LOOBJ_KK | Lock object | ||
| 133 | LOTYP_KK | Lock Object Category | ||
| 134 | LOTYP_KK | Lock Object Category | ||
| 135 | MVARI_VK | Dunning Variant | ||
| 136 | ORD_KK | Classification Key | ||
| 137 | PARTNER_OPOST_MD | IO: Partner from Which Posting Data Is Transferred | ||
| 138 | PAY_PAR_ACT_MD | IO: Settings Active for Insurance Object Flag | ||
| 139 | PKEY_VK | Payment Plan Key | ||
| 140 | POGRU_VK | Grouping Category for Open Items | ||
| 141 | POKEY_VK | Payment Option Key | ||
| 142 | POVER_VK | Summarization Category for Open Items | ||
| 143 | PROID_KK | Process Code (Example: Dunning, Payment) | ||
| 144 | PROID_KK | Process Code (Example: Dunning, Payment) | ||
| 145 | REST_KK | Flag: Payment Recipient Receives Remaining Amount | ||
| 146 | SEPA_MNDID | Unique Referene to Mandate per Payment Recipient | ||
| 147 | STUPEROFF_DI | Deferral Base Days | ||
| 148 | STUPER_SC | Deferral Base Period | ||
| 149 | SYTABIX | Row Index of Internal Tables | ||
| 150 | TDATE_C_KK | Lock Valid To | ||
| 151 | TDATE_C_KK | Lock Valid To | ||
| 152 | TIME_C_MD | IO: Time for Insurance Object in CHAR Format (HHMMSS) | ||
| 153 | VKONA_KK | Contract account number in legacy system | ||
| 154 | VKONA_KK | Contract account number in legacy system | ||
| 155 | VKONA_KK | Contract account number in legacy system | ||
| 156 | VKONA_KK | Contract account number in legacy system | ||
| 157 | VKONT_KK | Contract Account Number | ||
| 158 | VKONT_KK | Contract Account Number | ||
| 159 | VKONV_KK | Contract account used for payment transactions | ||
| 160 | VKTYP_KK | Contract Account Category | ||
| 161 | VTREF_KK | Reference Specifications from Contract | ||
| 162 | XAKONTO_MD | FS-CD: Reserve and Record Payments on Account | ||
| 163 | XARCHIVE_MD | FS-CD: Deletion Flag | ||
| 164 | XCHANGEACCOUNT_MD | IO: Account Change Flag | ||
| 165 | XCOINS_ACT_BROK_MD | FS-CD: Flag: Broker Transfers Coinsurance Shares | ||
| 166 | XPOSCAT_VK | Category for Broker Report | ||
| 167 | XPOSCAT_VK | Category for Broker Report | ||
| 168 | XPOSCAT_VK | Category for Broker Report | ||
| 169 | XPOSCAT_VK | Category for Broker Report | ||
| 170 | XPOST_AFTER_PYM_MD | FS-CD: Only Post Broker Report After Payment Receipt | ||
| 171 | X_DEL_BROKER_MD | IO: Direct Input: Broker Assignment Deletion |