Data Element list used by SAP ABAP Table ICL_CDDOCOH (Collection/Disbursement Document Header of a Claim Payment)
SAP ABAP Table
ICL_CDDOCOH (Collection/Disbursement Document Header of a Claim Payment) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | AD_ADDRNUM | Address number | ||
| 2 | AGINF_KK | Clearing Information | ||
| 3 | APPDX_KK | Existing document supplements | ||
| 4 | APPLK_KK | Application area | ||
| 5 | AUGBL_KK | Clearing Document or Printed Document | ||
| 6 | AWKEY | Object key | ||
| 7 | AWSYS | Logical system of source document | ||
| 8 | AWTYP | Reference procedure | ||
| 9 | BLART_KK | Document Type | ||
| 10 | BLDAT | Document Date in Document | ||
| 11 | BLTYP_KK | Document Class | ||
| 12 | BLWAE_KK | Transaction Currency | ||
| 13 | BUDAT_KK | Posting Date in the Document | ||
| 14 | BUGRD_KK | Posting Reason (For Write-Offs And Transfer Postings) | ||
| 15 | BU_ADDSC | BP: Address Description | ||
| 16 | BU_DESCRIP | Short name of business partner | ||
| 17 | BU_PARTNER | Business Partner Number | ||
| 18 | C4EYE_KK | Check Reason for Workflows Acc. to Dual Control Principle | ||
| 19 | C4EYP_KK | Editing Process To Be Confirmed | ||
| 20 | CHKSTATE | Status of a Payment Medium | ||
| 21 | CPUDT | Accounting document entry date | ||
| 22 | CPUTM | Time of data entry | ||
| 23 | CRZTNUM | Payment Medium ID Number | ||
| 24 | EMBVT_KK | Bank Details ID of Payee | ||
| 25 | ERDAT | Date on which the record was created | ||
| 26 | ERNAM | Name of Person who Created the Object | ||
| 27 | ERTIM_KK | Time at which the object was created | ||
| 28 | ESCHDT_KK | Date of Disbursement of Check Amount to Federal State | ||
| 29 | FIKEY_KK | Reconciliation Key for General Ledger | ||
| 30 | GSBER | Business Area | ||
| 31 | GTEXT | Business area description | ||
| 32 | HBBLA_KK | Document Type for Transfer to General Ledger | ||
| 33 | HERKF_KK | Document Origin Key | ||
| 34 | HVORG_KK | Main Transaction for Line Item | ||
| 35 | ICL_CLAIM | Number of Claim | ||
| 36 | ICL_DOCAMOUNT | Amount of Collection/Disbursement Document | ||
| 37 | ICL_PAYE | Payee | ||
| 38 | ICL_PAYEDSC | Payee | ||
| 39 | ICL_PAYMENT | Number of Claim Payment | ||
| 40 | ICL_SUBCL | Subclaim | ||
| 41 | ICL_SUBCLTYPE | Subclaim Type | ||
| 42 | ICL_SUBCLTYPEN | Subclaim Type Name | ||
| 43 | J_1BBRANC_ | Business Place | ||
| 44 | MANDT | Client | ||
| 45 | OPBEL_KK | Number of Contract Accts Rec. & Payable Doc. | ||
| 46 | PRTID_KK | Identification of Partner Message from SAP Credit Management | ||
| 47 | PYMET_KK | Payment Method | ||
| 48 | REFCLAIM_VK | Reference to Payment in Claims Management System | ||
| 49 | RLGRD_KK | Return reason | ||
| 50 | STBEL_KK | Number of Reversed Document | ||
| 51 | STBUK_KK | Tax Company Code | ||
| 52 | STMET_INT_KK | Reversal Method Selected Internally | ||
| 53 | STORB_KK | Number of Reversal Document | ||
| 54 | TATYP_KK | Transaction Class of Document | ||
| 55 | TVORG_KK | Subtransaction for Document Item | ||
| 56 | TX042Z_KK | Payment Method Name | ||
| 57 | TXT30 | Text | ||
| 58 | TXT30 | Text | ||
| 59 | VERSN_KK | Version Number | ||
| 60 | VKONT_KK | Contract Account Number | ||
| 61 | VOIDREAS_KK | Reason for Check Voiding | ||
| 62 | VTRE2_KK | Additional Reference Information | ||
| 63 | VTREF_KK | Reference Specifications from Contract | ||
| 64 | WWERT_D | Translation date | ||
| 65 | XBLNR_KK | Reference document number | ||
| 66 | XBWER_KK | Document Created by Foreign Currency Valuation or Reclass. | ||
| 67 | XEIBH_KK | Create Separate Document in General Ledger | ||
| 68 | XMBEL_KK | Sample document |