Data Element list used by SAP ABAP Table FVD_IF_IA_CONDITIONS_CHANGE (Loans: Change Condition Items (Investor Contract))
SAP ABAP Table FVD_IF_IA_CONDITIONS_CHANGE (Loans: Change Condition Items (Investor Contract)) is using
# Object Type Object Name Object Description Note
     
1 Data Element  AFGSTAGE Number of working days to due date
2 Data Element  AFGSTAGEVZ +/- sign for number of working days for due date
3 Data Element  AMMRHY Frequency in months
4 Data Element  ATTRHY Frequency in Days
5 Data Element  AVGSTAGE Number of working days for value date
6 Data Element  AVGSTAGEVZ +/- sign for number of working days for value date
7 Data Element  AZGSTAGE Number of working days for interest fixing
8 Data Element  BBASIS Calculation base amount
9 Data Element  BKOND Condition item currency amount
10 Data Element  BP_PARTNR_NEW Business Partner Number
11 Data Element  BVTYP Partner bank type
12 Data Element  DALLGEM General date
13 Data Element  DFAELL Due date
14 Data Element  DGUEL_KP Condition Item Valid From
15 Data Element  DVALUT Calculation Date
16 Data Element  DZLSCH Payment method
17 Data Element  DZLSPR Payment Block Key
18 Data Element  DZLSPR Payment Block Key
19 Data Element  JNULLKON Condition Form
20 Data Element  JSOFVERR Immediate settlement
21 Data Element  KURSF Exchange rate
22 Data Element  LIFNR Account Number of Vendor or Creditor
23 Data Element  PKOND Percentage rate for condition items
24 Data Element  RECNGFZLSCH Payment method for credit memos
25 Data Element  RKONT Quota number
26 Data Element  SBERECH Grace Period Interest Method
27 Data Element  SEPA_MNDID Unique Referene to Mandate per Payment Recipient
28 Data Element  SFULT Month-End Indicator for Due Date
29 Data Element  SKALID Factory calendar
30 Data Element  SKOART Condition Type (Smallest Subdivision of Condition Records)
31 Data Element  SWHRKOND Currency of Condition Item
32 Data Element  SZAWS Payment form (at start of period, mid-period, at period end)
33 Data Element  SZBMETH Interest Calculation Method
34 Data Element  SZEGEN Generate incoming payment immediately
35 Data Element  SZKALRI Calendar direction for interest rate fixing
36 Data Element  SZSREF Reference Interest Rate
37 Data Element  SZSREFVZ +/- sign / reference interest rate operator
38 Data Element  TB_JPROZR Percentage Calculation
39 Data Element  TB_JZINSRE Exponential Interest Calculation
40 Data Element  TB_SDWERK Working Day Shift for Payment Date
41 Data Element  TB_SFVMETH Update method for calculation date/due date
42 Data Element  TFMSBASFIX Indicator for fixing calculation base
43 Data Element  TFMSFRANZ Shift Due Date
44 Data Element  TFMSKALIDWT Interest Calendar
45 Data Element  TFM_AMMRHYZV Interest Settlement Frequency for Exponential Interest Calc.
46 Data Element  TFM_PFLUCT Fluctuation margin
47 Data Element  TFM_SROUND Rounding Category
48 Data Element  TXJCD Tax Jurisdiction
49 Data Element  VVDPKOND Determination date for percentage rate of condition items
50 Data Element  VVDZSREF Date fixing for benchmark interest rate in cash flow
51 Data Element  VVJGESUCHT Int. indicator for alternative calculations
52 Data Element  VVKBKOND Condition amount independent of currency
53 Data Element  VVSBASIS Calculation base reference
54 Data Element  VVSBULT Month-end indicator for calculation date
55 Data Element  VVSBUST Posting control key
56 Data Element  VVSFANT Indicator for due date-related FiMa calculations
57 Data Element  VVSFINCL Inclusive Indicator for Due Date
58 Data Element  VVSFKALRI Calculation of periods with flexible valid-to date?
59 Data Element  VVSFMETH Method for determining the next due date
60 Data Element  VVSFORMREF Formula reference for the cash flow calculator
61 Data Element  VVSFWERK Shift due date to working day
62 Data Element  VVSINCL Inclusive indicator for beginning and end of a period
63 Data Element  VVSKALID2 Calendar ID 2 (valid in connection with calendar ID 1)
64 Data Element  VVSKOPO Detailed identification for condition items
65 Data Element  VVSRUNDVF Rounding of interim results for prepayments
66 Data Element  VVSVARNAME Description of variables in cash flow calculator
67 Data Element  VVSVMETH Method for determining the next value date
68 Data Element  VVSVWERK Shift calculation date to working day
69 Data Element  VVSZEITANT Indicator for Pro Rata Temporis Calculations
70 Data Element  VVSZINSANP Cross-referenced condition grp for interest rate adjustment
71 Data Element  VVSZWERK Shift to working day for interest fixing date
72 Data Element  VVSZWKEY Payment form with adjustment days