Data Element list used by SAP ABAP Table FAGL_FC_VAL_SCRN (Foreign Currency Valuation: Selection Screen)
SAP ABAP Table
FAGL_FC_VAL_SCRN (Foreign Currency Valuation: Selection Screen) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | ALLGALTK | Issue Alternative Account Number | ||
| 2 | ALLGBDAT | Posting Date of the Posting | ||
| 3 | ALLGBINA | Batch Input Session Name | ||
| 4 | ALLGBUPE | Posting Period of the Posting | ||
| 5 | ALLGEDAT | Document Date of the Batch Input Posting | ||
| 6 | ALLGLINE | Additional Header | ||
| 7 | ALLGSBUP | Posting Period: Reverse Posting | ||
| 8 | ALLGSDAT | Posting Date of the Reverse Batch Input Posting | ||
| 9 | ALLGSTOR | Reversal of Postings | ||
| 10 | ALLGTEST | Test Run | ||
| 11 | ALLGZBUKR | Target Company Code for Evaluation | ||
| 12 | BELNR_D | Accounting Document Number | ||
| 13 | BUKRS | Company Code | ||
| 14 | BWBER | Valuation Area for FI Year-End Closing | ||
| 15 | CURT2 | Currency Type of Second Local Currency | ||
| 16 | CURT3 | Currency Type of Third Local Currency | ||
| 17 | F010DEBI | Indicator: Select Customers | ||
| 18 | F010KRED | Indicator: Select Vendors ? | ||
| 19 | F100GRACCTS | Delivery Costs | ||
| 20 | F100RESET | Reset Valuation Run | ||
| 21 | F100WERE | Valuate GR/IR Accounts | ||
| 22 | F100XFIL | File Name for Extract | ||
| 23 | F123SAKN | Select G/L Accounts | ||
| 24 | F123SAKN | Select G/L Accounts | ||
| 25 | FAGL_AUTO_PARAMETERS | Determine Parameter Automatically | ||
| 26 | FAGL_BAL_VAL | Valuate G/L Account Balances | ||
| 27 | FAGL_CHECKBOX | Checkbox | ||
| 28 | FAGL_CHECKBOX | Checkbox | ||
| 29 | FAGL_CHECKBOX | Checkbox | ||
| 30 | FAGL_CHECKBOX | Checkbox | ||
| 31 | FAGL_FCV_MONTHLY | Valuation During Year (With Reversal) | ||
| 32 | FAGL_FCV_XREM | Translate Valuation Difference | ||
| 33 | FAGL_FCV_YEAR_END | Year-End Valuation (No Reversal) | ||
| 34 | FAGL_FC_LGOITRGT_LDGRP | Target Group for Item Valuation Postings | ||
| 35 | FAGL_PARALLEL_PROCESSING | Use Parallel Processes for Processing | ||
| 36 | FAGL_PARALLEL_PROC_NUMBER | Maximum Number of Parallel Processes | ||
| 37 | FAGL_PARALLEL_SELECTION | Use Parallel Processes for Selection | ||
| 38 | FAGL_POST_BATCH | Store Valuations in Batch Input Session | ||
| 39 | FAGL_POST_DIRECT | Post Valuation Immediately | ||
| 40 | FAGL_PROT_LOG_DISPLAY | Output Log | ||
| 41 | FAGL_PROT_LOG_LIST_RESTRICT | Restrict Log List | ||
| 42 | FAGL_PROT_LOG_SAVE | Save Log | ||
| 43 | FAGL_PROT_LOG_SAVE_AS | Log Name | ||
| 44 | FAGL_REVERSAL_REASON | Reason for Reversal or Inverse Posting | ||
| 45 | FAGL_TRGT_LDGRP | Target Group for Balance Valuation Postings | ||
| 46 | GJAHR | Fiscal Year | ||
| 47 | HKONT | General Ledger Account | ||
| 48 | HKONT | General Ledger Account | ||
| 49 | HKONT | General Ledger Account | ||
| 50 | KDFSL | Key for Exchange Rate Differences in Foreign Currency Accts | ||
| 51 | KUNNR | Customer Number | ||
| 52 | LIFNR | Account Number of Vendor or Creditor | ||
| 53 | SBEWBALANCE | Valuate Period Balance Only | ||
| 54 | SBEWPLC | Also Valuate P&L Account | ||
| 55 | SBEWSTAG | Valuation Key Date | ||
| 56 | SLIS_VARI | Layout | ||
| 57 | SPTA_RFCGR | Server Group for Parallel Processing | ||
| 58 | WAERS | Currency Key |