Data Element list used by SAP ABAP Table GLE_ECS_STR_FI_OUTPUT_EDIT (FI item data (original, posted, current) corr. to ECS item)
SAP ABAP Table
GLE_ECS_STR_FI_OUTPUT_EDIT (FI item data (original, posted, current) corr. to ECS item) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | /SAPPSPRO/LONGNUM | Smart Number | ||
| 2 | ABPER_RF | Settlement period | ||
| 3 | ABSBT | Credit Management: Hedged Amount | ||
| 4 | ABUKR | Company Code which will be Cleared Against | ||
| 5 | ACBTR | Amount or tax amount in the currency of the currency types | ||
| 6 | ACBTR_FIX | Fixed Part of Amount in Currency of Currency Type | ||
| 7 | ACCOUNTING_PRINCIPLE | Accounting Principle | ||
| 8 | ACC_STATUS_NEW | New Status of Transferred Document | ||
| 9 | ACC_STATUS_OLD | Previous Status of Transferred Document | ||
| 10 | ACC_SUBSET | Defines subset of components for the FI/CO interface | ||
| 11 | ACFBT | Amnt Eligible for Cash Disc.in the Curr.of the Curr.Types | ||
| 12 | ACQBS | Withholding Tax Base Amnt in the Currency of the Curr.Types | ||
| 13 | ACQBT | Amnt Exempt from Withhold.Tax in the Curr.of the Curr.Types | ||
| 14 | ACSBS | Tax base amount in the currency of the currency types | ||
| 15 | ACSKT | Cash Discount Amount in the Currency of the Currency Types | ||
| 16 | ADRNR | Address | ||
| 17 | AFABE_D | Real depreciation area | ||
| 18 | AGZEI | Clearing Item | ||
| 19 | AIBN1 | Original asset that was transferred | ||
| 20 | AIBN2 | Original asset that was transferred | ||
| 21 | ALTKT | Account Number in Group | ||
| 22 | ANBWA | Asset Transaction Type | ||
| 23 | ANLN1 | Main Asset Number | ||
| 24 | ANLN1 | Main Asset Number | ||
| 25 | ANLN2 | Asset Subnumber | ||
| 26 | ANLN2 | Asset Subnumber | ||
| 27 | AUDAT_CC | Payment cards: Authorization date | ||
| 28 | AUFNR | Order Number | ||
| 29 | AUFTYP | Order category | ||
| 30 | AUGBL | Document Number of the Clearing Document | ||
| 31 | AUGCP | Clearing Entry Date | ||
| 32 | AUGDT | Clearing Date | ||
| 33 | AUNUM | Payment cards: Authorization number | ||
| 34 | AUTIM | Payment cards: Authorization time | ||
| 35 | AUTRA | Payment cards: Authoriz. reference code of clearing house | ||
| 36 | AUTWR | Payment cards: Authorized amount | ||
| 37 | AWORG | Reference organisational units | ||
| 38 | AWORG_REB | Invoice reference: Reference organization for inv. reference | ||
| 39 | AWORG_REV | Reversal: Reverse Document Reference Organization | ||
| 40 | AWREF | Reference document number | ||
| 41 | AWREF_REB | Invoice reference: Document number for invoice reference | ||
| 42 | AWREF_REV | Reversal: Reverse Document Reference Document Number | ||
| 43 | AWTYP | Reference procedure | ||
| 44 | AWTYP | Reference procedure | ||
| 45 | AWTYP | Reference procedure | ||
| 46 | BEKNZ | Debit/credit indicator | ||
| 47 | BELNR_D | Accounting Document Number | ||
| 48 | BEMOT | Accounting Indicator | ||
| 49 | BKLAS | Valuation Class | ||
| 50 | BKTXT | Document Header Text | ||
| 51 | BLART | Document type | ||
| 52 | BLDAT | Document Date in Document | ||
| 53 | BPMNG | Quantity in order price quantity unit | ||
| 54 | BPRME | Order Price Unit (purchasing) | ||
| 55 | BP_SUBVO | Budget Subtype | ||
| 56 | BRGEW_15 | Gross weight | ||
| 57 | BSCHL | Posting Key | ||
| 58 | BSTAT_D | Document Status | ||
| 59 | BUALT | Amount posted in alternative price control | ||
| 60 | BUDAT | Posting Date in the Document | ||
| 61 | BUKRS | Company Code | ||
| 62 | BUPLA | Business Place | ||
| 63 | BUSTW | Posting string for values | ||
| 64 | BUZEI | Number of Line Item Within Accounting Document | ||
| 65 | BUZID | Identification of the Line Item | ||
| 66 | BVTYP | Partner bank type | ||
| 67 | BWART | Movement type (inventory management) | ||
| 68 | BWKEY | Valuation area | ||
| 69 | BWMOD | Valuation grouping code | ||
| 70 | BWTAR_D | Valuation type | ||
| 71 | BZDAT | Asset Value Date | ||
| 72 | CACCT | G/L offsetting acct number | ||
| 73 | CCACT | G/L Account Number for Payment Card Receivables | ||
| 74 | CCARDEC_GUID | Reference to Encrypted Payment Card Data | ||
| 75 | CCBTC | Payment cards: Settlement run | ||
| 76 | CCFOL | Payment cards: Payment card suffix | ||
| 77 | CCINS | Payment cards: Card type | ||
| 78 | CCNAME | Payment Cards: Name of Cardholder | ||
| 79 | CCNUM | Payment cards: Card number | ||
| 80 | CCTYP | Payment cards: Card category | ||
| 81 | CESSION_KZ | Accounts Receivable Pledging Indicator | ||
| 82 | CIM_COUNT | Internal counter | ||
| 83 | CKML_ALPROCNR | Procurement alternative/process | ||
| 84 | CKML_MLBWG | Movement Type Group for ML Update | ||
| 85 | CK_AUFNR_ORG | Original Order Number | ||
| 86 | CK_KALNR1 | Cost Estimate Number - Product Costing | ||
| 87 | CK_LSQTY | Last Settlement Amount in Current Period (Production Order) | ||
| 88 | CK_MLNPRD | Do not break down price differences in profit center acctg | ||
| 89 | CK_ML_ABST | Material Price Determination: Control | ||
| 90 | CK_ML_MAAC | Material ledger activated at material level | ||
| 91 | CK_PRQTY | Base Quantity for Invoice Verification Price Differences | ||
| 92 | CK_URZEILE | Original item in material or invoice document | ||
| 93 | CK_ZEILE | Item in material or invoice verification document | ||
| 94 | CO_AUFPL | Routing number of operations in the order | ||
| 95 | CO_KAABS | Account assignment type: reconciliation object | ||
| 96 | CO_KAAUF | Account assignment type: Order | ||
| 97 | CO_KAERG | Business segment account assignment type | ||
| 98 | CO_KAIMO | Account Assignment Type: Real Estate Object | ||
| 99 | CO_KAKDA | Account Assignment Type: Sales Order | ||
| 100 | CO_KAKST | Account Assignment Type: Cost Center | ||
| 101 | CO_KAKTR | Account Assignment Type: Cost Object | ||
| 102 | CO_KANPL | Account Assignment Type: Network | ||
| 103 | CO_KAPRO | Project account assignment type | ||
| 104 | CO_KAPRZ | Account Assignment Type: Business Process | ||
| 105 | CO_KASAT | Account Assignment Type Not Used | ||
| 106 | CO_POSNR | Order item number | ||
| 107 | CO_PRZNR | Business Process | ||
| 108 | CPUDT | Accounting document entry date | ||
| 109 | CPUTM | Time of data entry | ||
| 110 | CSOUR | Payment cards: Entry mode | ||
| 111 | CURRTYP | Currency Type | ||
| 112 | CURSR | Source Currency for Currency Translation | ||
| 113 | CURSR | Source Currency for Currency Translation | ||
| 114 | CURT1 | Currency type of the first local currency | ||
| 115 | CURT2 | Currency Type of Second Local Currency | ||
| 116 | CURT3 | Currency Type of Third Local Currency | ||
| 117 | CURTP | Currency type and valuation view | ||
| 118 | DABRBEZ | Reference date for settlement | ||
| 119 | DATAB_CC | Payment cards: Valid from | ||
| 120 | DATBI_CC | Payment Cards: Valid To | ||
| 121 | DBBLG | Recurring Entry Document Number | ||
| 122 | DIEKZ | Service indicator (foreign payment) | ||
| 123 | DMBE2 | Amount in Second Local Currency | ||
| 124 | DMBE3 | Amount in Third Local Currency | ||
| 125 | DMBTR | Amount in local currency | ||
| 126 | DMBTX | Amount in Local Currency for Tax Distribution | ||
| 127 | DMBTX | Amount in Local Currency for Tax Distribution | ||
| 128 | DMBTX | Amount in Local Currency for Tax Distribution | ||
| 129 | DOCLN6 | Six-Character Posting Item for Ledger | ||
| 130 | DTAT16 | Instruction key 1 | ||
| 131 | DTAT17 | Instruction key 2 | ||
| 132 | DTAT18 | Instruction key 3 | ||
| 133 | DTAT19 | Instruction key 4 | ||
| 134 | DZAEHK | Condition counter | ||
| 135 | DZBD1P | Cash discount percentage 1 | ||
| 136 | DZBD1T | Cash discount days 1 | ||
| 137 | DZBD2P | Cash Discount Percentage 2 | ||
| 138 | DZBD2T | Cash discount days 2 | ||
| 139 | DZBD3T | Net Payment Terms Period | ||
| 140 | DZBFIX | Fixed Payment Terms | ||
| 141 | DZEKKN | Sequential Number of Account Assignment | ||
| 142 | DZFBDT | Baseline date for due date calculation | ||
| 143 | DZINKZ | Exempted from Interest Calculation | ||
| 144 | DZLSCH | Payment method | ||
| 145 | DZLSPR | Payment Block Key | ||
| 146 | DZTERM | Terms of payment key | ||
| 147 | DZUMSK | Target Special G/L Indicator | ||
| 148 | DZUONR | Assignment number | ||
| 149 | EBELN | Purchasing Document Number | ||
| 150 | EBELP | Item Number of Purchasing Document | ||
| 151 | EKORG | Purchasing organization | ||
| 152 | EMPFB | Payee/Payer | ||
| 153 | EPRCTR | Partner profit center for elimination of internal business | ||
| 154 | ERFME | Unit of entry | ||
| 155 | ERFMG | Quantity in unit of entry | ||
| 156 | ESRNR | POR subscriber number | ||
| 157 | ESRPZ | POR check digit | ||
| 158 | ESRRE | POR reference number | ||
| 159 | EXCLUDE_FLG | PPA Exclude Indicator | ||
| 160 | EXCLUDE_FLG | PPA Exclude Indicator | ||
| 161 | FAGL_LDGRP | Ledger Group | ||
| 162 | FBUDA | Date When Services Rendered | ||
| 163 | FB_PSEGMENT | Partner Segment for Segmental Reporting | ||
| 164 | FB_SEGMENT | Segment for Segmental Reporting | ||
| 165 | FCVAL | Indicator: Line Item Contains Foreign Currency Valuation | ||
| 166 | FDGRP | Planning Group | ||
| 167 | FDLEV | Planning Level | ||
| 168 | FDTAG | Planning Date | ||
| 169 | FDWBT | Planned Amount in Document or G/L Account Currency | ||
| 170 | FIELDNAME | Field Name | ||
| 171 | FIKRS | Financial Management Area | ||
| 172 | FILKD | Account Number of the Branch | ||
| 173 | FIPOS | Commitment Item | ||
| 174 | FISTL | Funds Center | ||
| 175 | FKART | Billing Type | ||
| 176 | FKBER | Functional Area | ||
| 177 | FKDAT | Billing date for billing index and printout | ||
| 178 | FKIMG | Actual billed quantity | ||
| 179 | FKLMG | Billing quantity in stockkeeping unit | ||
| 180 | FKTYP | Billing Category | ||
| 181 | FMCMMTSTR | FM Commitment String For Budgetary Ledger | ||
| 182 | FM_COHORT | Reporting Year for Cohort | ||
| 183 | FM_FUND | Fund | ||
| 184 | FM_GMVKZ | Item is in Execution | ||
| 185 | FM_LEGIS | Type of Legislation | ||
| 186 | FM_MEASURE | Funded Program | ||
| 187 | FM_NBUD | Not budget-relevant | ||
| 188 | FM_PFUND | Partner Fund | ||
| 189 | FM_PUBLAW | Public Law Cited | ||
| 190 | FM_SRTYPE | Type of Additional Receivable | ||
| 191 | GBETR | Hedged Amount in Foreign Currency | ||
| 192 | GEWEI | Weight Unit | ||
| 193 | GJAHR | Fiscal Year | ||
| 194 | GKOAR | Offsetting Account Type | ||
| 195 | GKONT | Offsetting Account Number | ||
| 196 | GLE_DTE_ADB_AVERAGE_AMOUNT | ADB: Average Amount | ||
| 197 | GLE_DTE_ADB_AVERAGE_AMOUNT | ADB: Average Amount | ||
| 198 | GLE_DTE_ADB_AVERAGE_AMOUNT | ADB: Average Amount | ||
| 199 | GLE_DTE_ADB_AVERAGE_AMOUNT | ADB: Average Amount | ||
| 200 | GLE_DTE_ECS_ORIG_BUKRS | Source Company Code from Cross-Company-Code Posting | ||
| 201 | GLE_ECS_DTE_UI_FI_STATUS | Text for FI Status for UI of ECS Item | ||
| 202 | GLE_FXR_DTE_RATE2X28 | Market Data Exchange Rate 2 | ||
| 203 | GLE_FXR_DTE_RATE3X28 | Market Data Exchange Rate 3 | ||
| 204 | GLE_FXR_DTE_RATEX28 | Market Data Exchange Rate | ||
| 205 | GLPROCESS | Business Transaction | ||
| 206 | GLPROCVARI | Business Transaction Variant | ||
| 207 | GLUPM | Update Method for FM - FI-CA Integration | ||
| 208 | GLVOR | Business Transaction | ||
| 209 | GM_GRANT_NBR | Grant | ||
| 210 | GM_GRANT_PARTNER | Partner Grant | ||
| 211 | GRPID_BKPF | Batch Input Session Name | ||
| 212 | GSBER | Business Area | ||
| 213 | GSBER_GP | Business area reported to the partner | ||
| 214 | GVTYP | P&L statement account type | ||
| 215 | H2STE | Tax Amount in Local Currency 2 | ||
| 216 | H3STE | Tax Amount in Local Currency 3 | ||
| 217 | HBKID | Short key for a house bank | ||
| 218 | HKMAT | Material-related origin | ||
| 219 | HKONT | General Ledger Account | ||
| 220 | HKTID | ID for account details | ||
| 221 | HOART | Type of origin object (EC-PCA) | ||
| 222 | HRKFT | Origin Group as Subdivision of Cost Element | ||
| 223 | HWAE2 | Currency Key of Second Local Currency | ||
| 224 | HWAE3 | Currency Key of Third Local Currency | ||
| 225 | HWAER | Local Currency | ||
| 226 | HWBAS | Tax Base Amount in Local Currency | ||
| 227 | HWSTE | Tax Amount in Local Currency | ||
| 228 | HZUON | Assignment Number for Special G/L Accounts | ||
| 229 | IMKEY | Internal Key for Real Estate Object | ||
| 230 | ISTAT_ACC | Item History | ||
| 231 | JV_BILIND | Payroll Type | ||
| 232 | JV_CONDCOD | Joint Venture Indicator (Condition Key) | ||
| 233 | JV_EGROUP | Equity group | ||
| 234 | JV_ETYPE | Equity type | ||
| 235 | JV_NAME | Joint venture | ||
| 236 | JV_PART | Partner account number | ||
| 237 | JV_PRODPER | Production Month (Date to find period and year) | ||
| 238 | JV_RECID_M | Indicator: Recovery Indicator Set Manually. | ||
| 239 | JV_RECIND | Recovery Indicator | ||
| 240 | J_1ABRNCH | Branch number | ||
| 241 | J_1ADISC | Indicator: entry represents a discount document | ||
| 242 | J_1ADTYP_D | Distribution Type for Employment Tax | ||
| 243 | J_1AGICD_D | Activity Code for Gross Income Tax | ||
| 244 | J_1AINDXSP | Inflation Index | ||
| 245 | J_1ANOPG | Number of pages of invoice | ||
| 246 | J_OBJNR | Object number | ||
| 247 | KAPPL | Application | ||
| 248 | KBETR | Rate (condition amount or percentage) | ||
| 249 | KBLERLKZ | Completion indicator for line item | ||
| 250 | KBLNR | Document Number for Earmarked Funds | ||
| 251 | KBLPOS | Earmarked Funds: Document Item | ||
| 252 | KBL_AWORG | Earmarked Funds: Reference Organization Units | ||
| 253 | KBL_AWPOS | Earmarked Funds: Reference Line Item | ||
| 254 | KBL_AWREF | Earmarked Funds: Reference Document Number | ||
| 255 | KBL_AWTYP | Earmarked Funds: Reference Object Type | ||
| 256 | KDAUF | Sales Order Number | ||
| 257 | KDPOS | Item number in Sales Order | ||
| 258 | KIDNO | Payment Reference | ||
| 259 | KINAK | Condition is inactive | ||
| 260 | KKBER | Credit control area | ||
| 261 | KNTTP | Account assignment category | ||
| 262 | KNTYP | Condition Cat.: Frt, Tax, Basic Price=Revenue, Price, Cost | ||
| 263 | KNUMH | Condition record number | ||
| 264 | KNUMV | Number of the document condition | ||
| 265 | KOAID | Condition class | ||
| 266 | KOART | Account type | ||
| 267 | KOKRS | Controlling Area | ||
| 268 | KOSTL | Cost Center | ||
| 269 | KRUEK | Condition is Relevant for Accrual (e.g. Freight) | ||
| 270 | KSCHA | Condition Type | ||
| 271 | KSTAR | Cost Element | ||
| 272 | KSTAZ | Indicator for Statistical Line Items | ||
| 273 | KSTRG | Cost Object | ||
| 274 | KTOSL | Transaction Key | ||
| 275 | KUNAG | Sold-to party | ||
| 276 | KUNNR | Customer Number | ||
| 277 | KURS2 | Exchange Rate for the Second Local Currency | ||
| 278 | KURS3 | Exchange Rate for the Third Local Currency | ||
| 279 | KURSF | Exchange rate | ||
| 280 | KURSK | Exchange Rate for Pricing and Statistics | ||
| 281 | KURSR | Hedged Exchange Rate | ||
| 282 | KURST | Exchange Rate Type | ||
| 283 | KURST | Exchange Rate Type | ||
| 284 | KWERT | Condition Value | ||
| 285 | KZBEW | Movement Indicator | ||
| 286 | KZBTR_FI | Original Reduction Amount in Local Currency | ||
| 287 | KZBWS | Valuation of Special Stock | ||
| 288 | KZUML | Stock Transfer/Transfer Posting | ||
| 289 | KZVBR | Consumption posting | ||
| 290 | LAND1_ACNT | Customer/Vendor Country | ||
| 291 | LANDL | Supplying Country | ||
| 292 | LIFNR | Account Number of Vendor or Creditor | ||
| 293 | LINETYPE | Item category | ||
| 294 | LOCID_CC | Payment cards: Point of receipt for the transaction | ||
| 295 | LOGSYSTEM | Logical System | ||
| 296 | LOGVO | Logical Transaction | ||
| 297 | LOKKT | Account Number in the Local Chart of Accounts | ||
| 298 | LOTKZ | Lot Number for Documents | ||
| 299 | LSTAR | Activity Type | ||
| 300 | LZBKZ | State central bank indicator | ||
| 301 | MABER | Dunning Area | ||
| 302 | MADAT | Date of Last Dunning Notice | ||
| 303 | MAHNS_D | Dunning Level | ||
| 304 | MANSP | Dunning block | ||
| 305 | MATNR | Material Number | ||
| 306 | MAT_KDAUF | Sales order number of valuated sales order stock | ||
| 307 | MAT_KDPOS | Sales Order Item of Valuated Sales Order Stock | ||
| 308 | MAT_LIFNR | Valuated Vendor Stocks | ||
| 309 | MAT_PSPNR | Valuated customer stock WBS element | ||
| 310 | MEINS | Base Unit of Measure | ||
| 311 | MENGE_D | Quantity | ||
| 312 | MERCH | Payment cards: Merchant ID at the clearing house | ||
| 313 | MONAT | Fiscal period | ||
| 314 | MSCHL | Dunning key | ||
| 315 | MTART | Material type | ||
| 316 | MWSKX | Tax Code for Distribution | ||
| 317 | MWSKX | Tax Code for Distribution | ||
| 318 | MWSKX | Tax Code for Distribution | ||
| 319 | MWSKZ | Tax on sales/purchases code | ||
| 320 | MWST2 | Tax Amount in Second Local Currency | ||
| 321 | MWST3 | Tax Amount in Third Local Currency | ||
| 322 | MWSTS | Tax Amount in Local Currency | ||
| 323 | NAVFW | Non-Deductible Input Tax (in Document Currency) | ||
| 324 | NEBTR | Net Payment Amount | ||
| 325 | NPLNR | Network Number for Account Assignment | ||
| 326 | NTGEW_15 | Net weight | ||
| 327 | OBZEI | Number of Line Item in Original Document | ||
| 328 | OLD_DOC_NUMBER | Temporary document number when calculating taxes | ||
| 329 | PARGB | Trading partner's business area | ||
| 330 | PCA_WIP_CAT | Work in Process Categories for Profit Center Accounting | ||
| 331 | PENRC | Reason for Late Payment | ||
| 332 | PERNR_D | Personnel Number | ||
| 333 | POPTSATZ | Real Estate Option Rate | ||
| 334 | POSAR | Item type | ||
| 335 | POSNR | Item number of the SD document | ||
| 336 | POSNR_ACC | Accounting Document Line Item Number | ||
| 337 | POSNR_VA | Sales Document Item | ||
| 338 | POSNR_VA | Sales Document Item | ||
| 339 | PPRCTR | Partner Profit Center | ||
| 340 | PRCTR | Profit Center | ||
| 341 | PROCE | Transaction for which CO interface is accessed | ||
| 342 | PROJK_BI | Project Account Assignment (PS_PSP_PNR Batch Input Field) | ||
| 343 | PRVRG | Business transaction for validations | ||
| 344 | PRVRG_SV | Business transaction for status management | ||
| 345 | PSTYP | Item category in purchasing document | ||
| 346 | PSWBT | Amount for Updating in General Ledger | ||
| 347 | PSWSL | Update Currency for General Ledger Transaction Figures | ||
| 348 | PS_PSP_PNR | Work Breakdown Structure Element (WBS Element) | ||
| 349 | PYAMT | Amount in Payment Currency | ||
| 350 | PYCUR | Currency for Automatic Payment | ||
| 351 | QSSKZ | Withholding Tax Code | ||
| 352 | RANL | Contract Number | ||
| 353 | RANTYP | Contract Type | ||
| 354 | RASSC | Company ID of trading partner | ||
| 355 | REBZG | Number of the Invoice the Transaction Belongs to | ||
| 356 | REBZG_CHECK | Check Indicator for REBZG Checks in ACC Interface | ||
| 357 | REBZJ | Fiscal Year of the Relevant Invoice (for Credit Memo) | ||
| 358 | REBZT | Follow-On Document Type | ||
| 359 | REBZZ | Line Item in the Relevant Invoice | ||
| 360 | REGIO | Region (State, Province, County) | ||
| 361 | REINDAT | Invoice Receipt Date | ||
| 362 | RKEOBJNR | Profitability Segment Number (CO-PA) | ||
| 363 | RLDNR | Ledger | ||
| 364 | RMVCT | Transaction type | ||
| 365 | RR_RELTYP | Revenue recognition category | ||
| 366 | RSTGR | Reason Code for Payments | ||
| 367 | SAEARDOID | SAP ArchiveLink: Document ID | ||
| 368 | SAEOBJART | Document type | ||
| 369 | SAKNR | G/L Account Number | ||
| 370 | SAMNR | Invoice List Number | ||
| 371 | SBEWART | Flow Type | ||
| 372 | SCMG_CASE_GUID | Technical Case Key (Case GUID) | ||
| 373 | SCOPE_CV | Object Class | ||
| 374 | SDSTR | Third-Party Order Processing | ||
| 375 | SECCO | Section Code | ||
| 376 | SETTL | Payment cards: Settlement carried out | ||
| 377 | SFKBER | Partner Functional Area | ||
| 378 | SGTXT | Item Text | ||
| 379 | SHKZG | Debit/Credit Indicator | ||
| 380 | SHKZG | Debit/Credit Indicator | ||
| 381 | SHKZG_VA | Returns Item | ||
| 382 | SKNT2 | Cash Discount Amount in Second Local Currency | ||
| 383 | SKNT3 | Cash Discount Amount in Third Local Currency | ||
| 384 | SKNTO | Cash discount amount in local currency | ||
| 385 | SKOST | Sender cost center | ||
| 386 | SOBKZ | Special Stock Indicator | ||
| 387 | SPART | Division | ||
| 388 | STBLG | Reverse Document Number | ||
| 389 | STBUK | Tax Company Code | ||
| 390 | STCEG | VAT Registration Number | ||
| 391 | STGRD | Reason for Reversal | ||
| 392 | STHTX | Tax Amount as Statistical Information in Co. Code Currency | ||
| 393 | STODT | Planned Date for the Reverse Posting | ||
| 394 | STTAX | Tax Amount as Statistical Information in Document Currency | ||
| 395 | STUNR | Level Number | ||
| 396 | SYTABIX | Row Index of Internal Tables | ||
| 397 | TAXIT | Indicator: Tax Item | ||
| 398 | TAX_POSNR | Tax document item number | ||
| 399 | TBTKZ | Indicator: Subsequent Debit/Credit | ||
| 400 | TCODE | Transaction Code | ||
| 401 | TPKNZ | Transfer Price Indicator | ||
| 402 | TRMID | Payment cards: Terminal | ||
| 403 | TXBH2 | Tax Base/Original Tax Base in Second Local Currency | ||
| 404 | TXBH3 | Tax Base/Original Tax Base in Third Local Currency | ||
| 405 | TXDAT | Date for defining tax rates | ||
| 406 | TXJCD | Tax Jurisdiction | ||
| 407 | TXJCD_DEEP | Tax Jurisdiction Code - Jurisdiction for Lowest Level Tax | ||
| 408 | TXJCD_LEVEL | Tax jurisdiction code level | ||
| 409 | TXKRS_BKPF | Exchange Rate for Taxes | ||
| 410 | UMMAT | Receiving/issuing material | ||
| 411 | UMRD2 | Translation Date Type for Second Local Currency | ||
| 412 | UMRD3 | Translation Date Type for Third Local Currency | ||
| 413 | UMSKZ | Special G/L Indicator | ||
| 414 | UMSOK | Special stock indicator for physical stock transfer | ||
| 415 | UMWRK | Receiving plant/issuing plant | ||
| 416 | USNAM | User name | ||
| 417 | UZAWE | Payment method supplement | ||
| 418 | VALUT | Fixed Value Date | ||
| 419 | VALUTYP | Valuation View | ||
| 420 | VBELN | Sales and Distribution Document Number | ||
| 421 | VBELN_VA | Sales Document | ||
| 422 | VBELN_VA | Sales Document | ||
| 423 | VBTYP | SD document category | ||
| 424 | VERSN_ABGR | Results Analysis Version | ||
| 425 | VKBUR | Sales office | ||
| 426 | VKGRP | Sales group | ||
| 427 | VKORG | Sales Organization | ||
| 428 | VKWRT | Value at sales prices including value-added tax | ||
| 429 | VOLEH | Volume unit | ||
| 430 | VOLUM_15 | Volume | ||
| 431 | VORGN | Transaction Type for General Ledger | ||
| 432 | VORNR | Operation/Activity Number | ||
| 433 | VPRSV | Price control indicator | ||
| 434 | VRKME | Sales unit | ||
| 435 | VTWEG | Distribution Channel | ||
| 436 | VVABWZE | Alternative payee | ||
| 437 | VVBEACTDATE | Date of Service | ||
| 438 | VVBVTYPABW | Bank type of alternative payer | ||
| 439 | VVINTRENO | Internal Real Estate Master Data Code | ||
| 440 | VVREITNOTAXCORR | Do Not Consider Item in Input Tax Correction | ||
| 441 | VVREITUSEDIFFOPTRATE | Use Different Option Rate | ||
| 442 | WAERS | Currency Key | ||
| 443 | WAERS | Currency Key | ||
| 444 | WEBUD | Goods receipt posting date | ||
| 445 | WERKS_D | Plant | ||
| 446 | WERTU | Value Updating in Material Master Record | ||
| 447 | WMWST | Tax amount in document currency | ||
| 448 | WT_KEY | Grouping key for withholding tax information | ||
| 449 | WWERT_D | Translation date | ||
| 450 | XAKON | Indicator: CO account assignment field filled automatically | ||
| 451 | XAUTO | Indicator: Line item automatically created | ||
| 452 | XBGBB | Posting for offsetting entry | ||
| 453 | XBILK | Indicator: Account is a balance sheet account? | ||
| 454 | XBLNR1 | Reference Document Number | ||
| 455 | XEGDR | Indicator: Triangular deal within the EU ? | ||
| 456 | XFILKD | Indicator: Break off branch/head office relationship | ||
| 457 | XFLAG | New Input Values | ||
| 458 | XINVE | Indicator: Capital Goods Affected? | ||
| 459 | XLIFO | LIFO/FIFO-relevant | ||
| 460 | XMFRW | Indicator: Update quantity in RW | ||
| 461 | XMWST | Calculate tax automatically | ||
| 462 | XNEGP | Indicator: Negative posting | ||
| 463 | XOBEW | Vendor Stock Valuation Indicator | ||
| 464 | XPKON | Check account assignment | ||
| 465 | XREF1 | Business partner reference key | ||
| 466 | XREF1_HD | Reference Key 1 Internal for Document Header | ||
| 467 | XREF2 | Business partner reference key | ||
| 468 | XREF2_HD | Reference Key 2 Internal for Document Header | ||
| 469 | XREF3 | Reference key for line item | ||
| 470 | XSKRL | Indicator: Line item not liable to cash discount? | ||
| 471 | XSPLITMOD | Item changed by document splitting | ||
| 472 | XUMBW | Revaluation | ||
| 473 | XUMSW | Indicator: Sales-Related Item ? |