Data Element list used by SAP ABAP Table FVVDREPAYMENT (Change Document Structure; Generated by RSSCD000)
SAP ABAP Table FVVDREPAYMENT (Change Document Structure; Generated by RSSCD000) is using
# Object Type Object Name Object Description Note
     
1 Data Element  BUKRS Company Code
2 Data Element  CDCHNGIND Change type (U, I, E, D)
3 Data Element  DGUEL Date Condition Effective from
4 Data Element  DZAHLS Block Key for Payment
5 Data Element  DZLSCH Payment method
6 Data Element  KOSTL Cost Center
7 Data Element  KUNNR Customer Number
8 Data Element  MABER Dunning Area
9 Data Element  MANDT Client
10 Data Element  MANSP Dunning block
11 Data Element  RANL Contract Number
12 Data Element  RBO Business Operation Number (Loans)
13 Data Element  SARCHIV Archiving Category Indicator
14 Data Element  SBEWART Flow Type
15 Data Element  SBO_STATUS Loans: Business operation status
16 Data Element  SBWHR Position Currency (Currency of Position Amount)
17 Data Element  SBWHR Position Currency (Currency of Position Amount)
18 Data Element  SEPA_MNDID Unique Referene to Mandate per Payment Recipient
19 Data Element  SGTXT Item Text
20 Data Element  SKALID Factory calendar
21 Data Element  SNOTIZ Indicator for stored memo
22 Data Element  SZEGEN Generate incoming payment immediately
23 Data Element  TB_AACCRUED Payments Accrued
24 Data Element  TB_ADDFLOWS Other Flows
25 Data Element  TB_AINS_CREDIT Insurance Credit Memos (Credit)
26 Data Element  TB_AINS_DEBIT Insurance Receivables (Debit)
27 Data Element  TB_AINTDIEM Interest per Day
28 Data Element  TB_APROJECTED Projected Payments
29 Data Element  TB_BAVVWR Available Disbursement Obligation on Due Date
30 Data Element  TB_BBASIS_REPAY Base Amount for Repayment Change
31 Data Element  TB_BBBWHR Gross Payoff Amount
32 Data Element  TB_BBNWHR Net Payoff Amount
33 Data Element  TB_BHNWHR Payoff Amount in Local Currency
34 Data Element  TB_BKOND_REPAY Payment Installment for Repayment Change
35 Data Element  TB_BRPWR Remaining Capital at the End of the Fixed Period
36 Data Element  TB_BRPWR_FAELL Remaining Capital on Due Date
37 Data Element  TB_BRVWR Available Capital on Due Date
38 Data Element  TB_BVTYP Bank Details ID
39 Data Element  TB_CLI_CALCULATION_DATE CLI: Key Date for Calculation of Credit Life Insurance
40 Data Element  TB_CLI_INSURANCE Single Premium for Credit Life Insurance
41 Data Element  TB_CLI_RECALC_CONTR Credit Life Insurance Reimbursement
42 Data Element  TB_CREDITS Credit Balance
43 Data Element  TB_DANGAM_REPAY Creation Date for the Offer
44 Data Element  TB_DANGBIS_REPAY End of the Validity Period of the Offer
45 Data Element  TB_DANNAHME_REPAY Acceptance Date of the Offer
46 Data Element  TB_DCOM_STATUS Last Change to Communication Status
47 Data Element  TB_DEFERRAL_FROM Start of Deferral Period
48 Data Element  TB_DEFPAYMENTS Deferred Payments
49 Data Element  TB_DELFZ_WITHOUT_REPAY Previous Term End Without Payoff (Calculated)
50 Data Element  TB_DELFZ_WITH_REPAY New Term End With Payoff
51 Data Element  TB_DFAELLR Due Date of Business Operation
52 Data Element  TB_DFPOSPO Date of Earliest Possible Payoff
53 Data Element  TB_DGUEL_KP_REPAY Repayment Change Effective From
54 Data Element  TB_DKUEND_REPAY Date of Receipt of Notice
55 Data Element  TB_DUNNING_DATE_REPAY Date of Last Dunning Notice
56 Data Element  TB_DUNNING_LEVEL_REPAY Last Dunning Level
57 Data Element  TB_ENFORCM_PAYM Collector
58 Data Element  TB_FELD1 Amount Field 1
59 Data Element  TB_FELD2 Amount Field 2
60 Data Element  TB_FELD3 Amount Field 3
61 Data Element  TB_FELD4 Amount Field 4
62 Data Element  TB_FIRST_POS_NOTICE Earliest Possible Notice Date
63 Data Element  TB_ICONSIDER Transfer CLI Difference
64 Data Element  TB_INTERIM_ACCOUNT Receivables Interim Account
65 Data Element  TB_IOA_CALCULATION_RESULT Interest on Arrears Calculated
66 Data Element  TB_JNODOIP Blocked by Payoff: No Open Item Clearing for Loan
67 Data Element  TB_JNODOIP Blocked by Payoff: No Open Item Clearing for Loan
68 Data Element  TB_JREGPAYMENTS Treatment of Regular Payments
69 Data Element  TB_JREPAY_SETTLEMENT Repayment Settlement
70 Data Element  TB_LIFE_REPAY Current Total Term of the Loan in Months
71 Data Element  TB_LOLIINBAL Calculated Difference for Credit Life Insurance
72 Data Element  TB_MCOM_STATUS Communication Status
73 Data Element  TB_MQUOTE Business Operation Is Payoff Quote Or Payoff
74 Data Element  TB_MREQUESTOR Business Partner Requesting Payoff (BP Number)
75 Data Element  TB_NOINS No Insurance Calculation
76 Data Element  TB_NONSETTLEDREPAY Repayment not Settled
77 Data Element  TB_NOTICE_STATI_OLD Contract Status Before Activation of Notice
78 Data Element  TB_NO_INST_OLD Previous Total of Loan Installments
79 Data Element  TB_NO_REG_SETTLEMENT Available Capital Contains Regular Repayments
80 Data Element  TB_OUTSTANDING Payments Outstanding Until Payoff Due Date
81 Data Element  TB_OVERDUE_ITEMS Overdue Items
82 Data Element  TB_OVERDUE_ITEMS_REPAY Arrears of Contract Capital as a Percentage
83 Data Element  TB_PARTNR_REPAY Payer of Payoff
84 Data Element  TB_PARTREDUCTION Reduction
85 Data Element  TB_PAYDATE Payment Date
86 Data Element  TB_PKOND_REPAY Repayment Rate for Repayment Change
87 Data Element  TB_PROPPAYMENTS Proportional Payments
88 Data Element  TB_PSSDKURS Exchange Rate For Net Posted Borrower's Notes
89 Data Element  TB_REGPAYMENTS Regular Payments
90 Data Element  TB_REJECT_REASON Reason for Rejection
91 Data Element  TB_REMIT_CODE Remittance Code
92 Data Element  TB_REMIT_INFO SEPA Payment Notes Information
93 Data Element  TB_REPAY_BNWHR Nominal Payoff Amount
94 Data Element  TB_REPAY_DEFSZ Date of End of Fixed-Rate Period
95 Data Element  TB_REPAY_REASON Payoff Reason
96 Data Element  TB_SBEWART Payoff Flow Type
97 Data Element  TB_SBOTERM Repayment Change During Partial Payoff
98 Data Element  TB_SBRUTTO Gross procedure
99 Data Element  TB_SCONDCOLL Repayment Clash
100 Data Element  TB_SFGKZA Release Workflow Indicator for the Business Operation
101 Data Element  TB_SINCL Inclusive Indicator for Due Date
102 Data Element  TB_SKOART Partial Payoff: Condition Type for Repayment ChangeC
103 Data Element  TB_SKUEND_REPAY Reason for Notice
104 Data Element  TB_SNETTO Net procedure
105 Data Element  TB_SPAYSIM Indicator: Full Clearing for Actual Principle 1
106 Data Element  TB_SRELSTAT Internal Release Status in the Business Operations
107 Data Element  TB_STOP Technical Key for Stop
108 Data Element  TB_SVULT Month-End Indicator for Due Date
109 Data Element  TB_SZART Payment transaction
110 Data Element  TEXT15 Text (15 characters)
111 Data Element  UZAWE Payment method supplement
112 Data Element  VVDEFSZ Date of fixed period end
113 Data Element  VVKURSF Exchange rate
114 Data Element  VVSBUST Posting control key
115 Data Element  VVSINCL Inclusive indicator for beginning and end of a period
116 Data Element  VVSKALID2 Calendar ID 2 (valid in connection with calendar ID 1)
117 Data Element  XCONDPAYDATA Keep Payment Data for Condition-Based Flows Acc to Cond.
118 Data Element  XFELD Checkbox
119 Data Element  XNODUNN Exclude Loan from Dunning Run
120 Data Element  XNODUNN Exclude Loan from Dunning Run