Data Element list used by SAP ABAP Table FTR_GDPDU_STR_SEC_FLOW (Securities Flow with Reversal Information and AWKEY)
SAP ABAP Table FTR_GDPDU_STR_SEC_FLOW (Securities Flow with Reversal Information and AWKEY) is using
# Object Type Object Name Object Description Note
     
1 Data Element  ABASTAGE Number of base days in a calculation period
2 Data Element  ASTUECK Number of units for unit-quoted securities
3 Data Element  AWKEY Object key
4 Data Element  AWKEY Object key
5 Data Element  BBASIS Calculation base amount
6 Data Element  BBWHR Amount in position currency
7 Data Element  BBWHR Amount in position currency
8 Data Element  BCWHR Settlement Amount
9 Data Element  BELNR_D Accounting Document Number
10 Data Element  BELNR_D Accounting Document Number
11 Data Element  BELNR_D Accounting Document Number
12 Data Element  BELNR_D Accounting Document Number
13 Data Element  BHWHR Amount in local currency
14 Data Element  BLART Document type
15 Data Element  BLDAT Document Date in Document
16 Data Element  BNWHR Nominal amount
17 Data Element  BSCHL Posting Key
18 Data Element  BSCHL Posting Key
19 Data Element  BSCHL Posting Key
20 Data Element  BSCHL Posting Key
21 Data Element  BUDAT Posting Date in the Document
22 Data Element  BUDAT Posting Date in the Document
23 Data Element  BUKRS Company Code
24 Data Element  BWKURS Security price for unit quotation
25 Data Element  DANFIBU Date of transferal to FiAc
26 Data Element  DANJRNL Date of transferal to journal
27 Data Element  DBEAR Last Edited on
28 Data Element  DBERBIS End of Calculation Period
29 Data Element  DBERVON Start of Calculation Period
30 Data Element  DBEST6B Date for §6b EstG relevant postings
31 Data Element  DBESTAND Position value date
32 Data Element  DERF First Entered on
33 Data Element  DEVALPOST Date of period-end closing
34 Data Element  DFAELL Due date
35 Data Element  DGUEL_KP Condition Item Valid From
36 Data Element  DORDER Order day
37 Data Element  DUMMY_3 Dummy function
38 Data Element  DUMMY_3 Dummy function
39 Data Element  DVORGANG Activity date
40 Data Element  DZLSCH Payment method
41 Data Element  GJAHR Fiscal Year
42 Data Element  GJAHR Fiscal Year
43 Data Element  GJAHR Fiscal Year
44 Data Element  GJAHR Fiscal Year
45 Data Element  GSBER Business Area
46 Data Element  HKONT General Ledger Account
47 Data Element  JONLAEN Indicator for fixing a flow record
48 Data Element  JZINSBAS Flow in interest base
49 Data Element  JZINSZPT Interest date
50 Data Element  J_OBJNR Object number
51 Data Element  KMNR Corporate Action Number
52 Data Element  KOSTL Cost Center
53 Data Element  KUNNR Customer Number
54 Data Element  KURSF Exchange rate
55 Data Element  KURSF Exchange rate
56 Data Element  MANDT Client
57 Data Element  MONAT Fiscal period
58 Data Element  MONAT Fiscal period
59 Data Element  NORDEXT External order number
60 Data Element  NSTUFE Level number of condition item for recurring payments
61 Data Element  NVORGANG Activity number
62 Data Element  PEFFZINS Effective Interest Rate
63 Data Element  PKOND Percentage rate for condition items
64 Data Element  PRQ_KEYNO Key Number for Payment Request
65 Data Element  PWKURS Security price for percentage quotation
66 Data Element  RBANKK Bank account
67 Data Element  RBEAR Employee ID
68 Data Element  RBELKPF Number of flow header
69 Data Element  RBHER Editing Source
70 Data Element  RDEALER Trader
71 Data Element  REHER Source of initial entry
72 Data Element  RERF Entered by
73 Data Element  RHABEN Account for credit posting
74 Data Element  RKONTRA_NEW Reference to Counterparty
75 Data Element  RLDEPO Securities Account
76 Data Element  RREFKONT Account Assignment Reference in Financial Assets Management
77 Data Element  RSOLL Account for debit posting
78 Data Element  RVORGANG Securities-Activity
79 Data Element  RZKHABE Credit interim account
80 Data Element  RZKSOLL Debit interim account
81 Data Element  SBEWART Flow Type
82 Data Element  SBEWFIMA Calculation category for cash flow calculator
83 Data Element  SBEWZITI Flow category
84 Data Element  SBWHR Position Currency (Currency of Position Amount)
85 Data Element  SCWHR Settlement Currency
86 Data Element  SECPOSITIONNUMBER Position number
87 Data Element  SEFFMETH Effective Interest Method (Financial Mathematics)
88 Data Element  SEVALPOST PEC for flow executed indicator yes/no
89 Data Element  SKOART Condition Type (Smallest Subdivision of Condition Records)
90 Data Element  SNWHR Currency of nominal amount
91 Data Element  SREFBEW Reference flow type
92 Data Element  SSPESEN Expenses key
93 Data Element  SSTATI Status of data record
94 Data Element  SSTCKKZ Accrued interest method
95 Data Element  SSTCKTG Accrued interest: Daily method
96 Data Element  SSTOGRD Reason for Reversal
97 Data Element  SSTORNO Reversal indicator
98 Data Element  STBLG Reverse Document Number
99 Data Element  SWHRT Currency swap indicator
100 Data Element  SZBMETH Interest Calculation Method
101 Data Element  TBEAR Last Edited at
102 Data Element  TB_DZFEST Interest rate fixing date
103 Data Element  TB_JZINSRE Exponential Interest Calculation
104 Data Element  TB_MERKM Characteristics
105 Data Element  TB_REFER Internal Reference
106 Data Element  TB_RFHA Financial Transaction
107 Data Element  TB_RHABKI Short key for own house bank
108 Data Element  TB_RHKTID Short key for house bank account
109 Data Element  TB_RPBANK Partner bank details
110 Data Element  TB_RPZAHL_NEW Payer/payee
111 Data Element  TB_SPAYRQK Generate payment request
112 Data Element  TB_SPRSNGK Individual payment
113 Data Element  TB_SWOHER Treasury: Source of flow
114 Data Element  TB_SZART Payment transaction
115 Data Element  TB_ZUOND Assignment
116 Data Element  TERF Time of Initial Entry
117 Data Element  TER_HEADNUMBER ID number of exercised right
118 Data Element  TFMSKALIDWT Interest Calendar
119 Data Element  TFMSPAEXCL Exclusive Indicator for Start Date of a Period
120 Data Element  TFMSPAULT Month-End Indicator for Start Date of a Period
121 Data Element  TFMSPEINCL Inclusive Indicator for End Date of a Period
122 Data Element  TFMSPEULT Month-End Indicator for End of a Period
123 Data Element  TFM_PPAYMENT Payment Rate
124 Data Element  TIDX_INDEX_VALUE_NO_RATIO Index Value (Independent of Basis)
125 Data Element  TKGV Manages status of the related price gains/losses flows
126 Data Element  TPM_BUSTRANSCAT Business Transaction Category
127 Data Element  TPM_BUSTRANSID Identifier of the Distributor Business Transaction
128 Data Element  TPM_LOT_ID Identifier of the Lot
129 Data Element  TPM_MIGR_CFM10 Status of Flow Related to Migration to CFM 1.0
130 Data Element  TPM_MIGR_ERP20 Status of Flow Related to Migration to ERP2.0
131 Data Element  TRSEDOCNR Document number of security posting document
132 Data Element  TRSEDOCNR Document number of security posting document
133 Data Element  UANFIBU Time of transfer to financial accounting
134 Data Element  VVAPERTAGE No. of days of a (calculation) period in cash flow
135 Data Element  VVATAGE Number of days
136 Data Element  VVBSWHR Market value
137 Data Element  VVDBPERIOD Period start
138 Data Element  VVDCOUPON Coupon date of next delivered coupon
139 Data Element  VVDEPERIOD Period End
140 Data Element  VVDPKOND Determination date for percentage rate of condition items
141 Data Element  VVDSCHLUSS Date of business closing
142 Data Element  VVDSTOCK Premium reserve fund date
143 Data Element  VVDVERRECH Settlement date
144 Data Element  VVDWERTST Value date / planning day
145 Data Element  VVDZINVAL Interest Value Date/Calculation Date
146 Data Element  VVJSTOCK Premium reserve fund-relevant indicator
147 Data Element  VVKEYOBJ Internal key for object
148 Data Element  VVKWKURS Security price
149 Data Element  VVRANLW Security ID Number
150 Data Element  VVREFRLDEP Reference sec.acct for sec.acct transfer (inflow/outflow)
151 Data Element  VVRHANDPL Exchange
152 Data Element  VVRPNNR Daybook no.
153 Data Element  VVRZBANK_NEW Paying Bank
154 Data Element  VVSBUCHA Indicator for postings to accruals/deferrals accounts
155 Data Element  VVSCOUPON Coupon ID for interest and accrued interest calculation
156 Data Element  VVSEXCLVON Exclusive Indicator for the Start of a Calculation Period
157 Data Element  VVSFLAT Indicator 'Traded flat',i.e.no accrued interest calculation
158 Data Element  VVSHERK Origin indicator: 'From planned record/actual record'
159 Data Element  VVSINCL Inclusive indicator for beginning and end of a period
160 Data Element  VVSINCLBIS Inclusive Indicator for the End of a Calculation Period
161 Data Element  VVSINCLBIS Inclusive Indicator for the End of a Calculation Period
162 Data Element  VVSINCLVER Inclusive Indicator for Clearing Date
163 Data Element  VVSINTEB Financial Assets Management internal level
164 Data Element  VVSREFZITI Refer.flow category in accrual/deferral flow records
165 Data Element  VVSRUNIT Currency unit
166 Data Element  VVSSOLHAB Debit/credit indicator
167 Data Element  VVSSWHR Stock price currency
168 Data Element  VVSTGBASIS Base Days Method
169 Data Element  VVSTGMETH Daily Method
170 Data Element  VVSULTBIS Month-End Indicator for the End of a Calculation Period
171 Data Element  VVSULTVERR Month-End Indicator for Clearing Date
172 Data Element  VVSULTVON Month-End Indicator for Start of a Calculation Period
173 Data Element  VVSVORGKZ Activity indicator for debit/credit control
174 Data Element  VVSVULT Month-End Indicator for Value Date
175 Data Element  VVTSCHLUSS Time of business closing
176 Data Element  XZUSATZ Assignment