Data Element list used by SAP ABAP Table KOMLFK_1 (Copy of komlfk)
SAP ABAP Table
KOMLFK_1 (Copy of komlfk) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | /SAPPO/BAPI_DTE_ORDER_ID | Postprocessing Order ID | ||
| 2 | AEDAT | Last Changed On | ||
| 3 | AMTBL_CM | Released credit value of the document | ||
| 4 | BEZEI40 | Description | ||
| 5 | BLART | Document type | ||
| 6 | BLDAT | Document Date in Document | ||
| 7 | BRTWERT_RL | Gross Value of Invoice List Item | ||
| 8 | BRTWRD_LF | Agency Business: Gross Value of Doc.Currency (Customr-Side) | ||
| 9 | BRTWR_LF | Agenncy Business: Gross value in document currency | ||
| 10 | BUKRS | Company Code | ||
| 11 | BVAL | Boolean | ||
| 12 | CHAR1 | Single-Character Flag | ||
| 13 | CORR_VKONT_KK | Contract Account Number | ||
| 14 | CTLPC_CM | Credit management: Risk category | ||
| 15 | DIEKZ | Service indicator (foreign payment) | ||
| 16 | DOCTYPE | Agency Business: Document Category | ||
| 17 | DZBD1P | Cash discount percentage 1 | ||
| 18 | DZBD2P | Cash Discount Percentage 2 | ||
| 19 | DZBD2T | Cash discount days 2 | ||
| 20 | DZBD3T | Net Payment Terms Period | ||
| 21 | DZBDET | Cash (Prompt Payment) Discount Days | ||
| 22 | DZLSCH | Payment method | ||
| 23 | DZTERM | Terms of payment key | ||
| 24 | DZUONR | Assignment number | ||
| 25 | EKGRP | Purchasing group | ||
| 26 | EKORG | Purchasing organization | ||
| 27 | ERDAT | Date on which the record was created | ||
| 28 | ERNAM | Name of Person who Created the Object | ||
| 29 | ERZET | Entry time | ||
| 30 | FKSTO | Billing document is cancelled | ||
| 31 | FSL_COUNTER | FSL: Counter Reading | ||
| 32 | FSL_SERVCONF_ID | FSL: Service Confirmation ID | ||
| 33 | FSL_UNIT | FSL: Unit of Measurement | ||
| 34 | HWAER | Local Currency | ||
| 35 | ICONNAME | Name of an Icon | ||
| 36 | INCO1 | Incoterms (part 1) | ||
| 37 | INCO2 | Incoterms (part 2) | ||
| 38 | ITCUG | CIG Number for Vendor | ||
| 39 | ITCUP | CUP number for Vendor | ||
| 40 | KALSM_D | Procedure (Pricing, Output Control, Acct. Det., Costing,...) | ||
| 41 | KALSM_D | Procedure (Pricing, Output Control, Acct. Det., Costing,...) | ||
| 42 | KALSM_D | Procedure (Pricing, Output Control, Acct. Det., Costing,...) | ||
| 43 | KALSM_D | Procedure (Pricing, Output Control, Acct. Det., Costing,...) | ||
| 44 | KALSM_D | Procedure (Pricing, Output Control, Acct. Det., Costing,...) | ||
| 45 | KAPPL | Application | ||
| 46 | KIDNO | Payment Reference | ||
| 47 | KKBER | Credit control area | ||
| 48 | KKBTX | Description of the credit control area | ||
| 49 | KLIBT | Credit Control Amount | ||
| 50 | KNUMA | Agreement (various conditions grouped together) | ||
| 51 | KNUMV | Number of the document condition | ||
| 52 | KNUMV | Number of the document condition | ||
| 53 | KNUMV | Number of the document condition | ||
| 54 | KSTEU | Condition control | ||
| 55 | KUNDEUINR | Customer VAT registration number | ||
| 56 | KUNRE | Bill-to party | ||
| 57 | KUNRG | Payer | ||
| 58 | KURST | Exchange Rate Type | ||
| 59 | KWERT_KOA_RL | Value of the condition deduction with immed. effect f. doc. | ||
| 60 | KWERT_RLD | Value of Remuneration List Condition (Customer-Side) | ||
| 61 | LANDL | Supplying Country | ||
| 62 | LFAKS | Agency business: cancelled (reversed) document | ||
| 63 | LIEFRUINR | Vendor VAT registration number | ||
| 64 | LIFRE | Different Invoicing Party | ||
| 65 | LOGSYS | Logical system | ||
| 66 | LZBKZ | State central bank indicator | ||
| 67 | MANDT | Client | ||
| 68 | MONAT | Fiscal period | ||
| 69 | MWSBP | Tax amount in document currency | ||
| 70 | MWSBPD | Tax amount in document currency (customer-side) | ||
| 71 | MWSBP_KOA_RL | Tax proportion of the cond. deduction valid w. immed. effect | ||
| 72 | MWSBP_RLD | Invoice list condition tax (customer-side) | ||
| 73 | NAFKT | Settlement Type | ||
| 74 | NAFKT | Settlement Type | ||
| 75 | NAVNW | Non-deductible input tax | ||
| 76 | NETWR | Net Value in Document Currency | ||
| 77 | NETWR | Net Value in Document Currency | ||
| 78 | NETWR | Net Value in Document Currency | ||
| 79 | NETWR | Net Value in Document Currency | ||
| 80 | NETWR | Net Value in Document Currency | ||
| 81 | NETWRD_LF | Agency value: Net Value in Document Currency (Customer-Side) | ||
| 82 | NETWR_LF | Agency Business: Net value in document currency | ||
| 83 | POSNR | Item number of the SD document | ||
| 84 | PREXTST40 | Description | ||
| 85 | PRQ_PARNO | Business Partner | ||
| 86 | PRSOK | Pricing is OK | ||
| 87 | RRLCG | AB-RRLE: Condition Type Group | ||
| 88 | RRLPA | AB-RRLE: Remuneration List Partner | ||
| 89 | SAEARDOID | SAP ArchiveLink: Document ID | ||
| 90 | SAEOBJART | Document type | ||
| 91 | SCHZW_BSEGD | Customer payment method | ||
| 92 | SELKZ | Selection flag | ||
| 93 | SEPA_MNDID | Unique Referene to Mandate per Payment Recipient | ||
| 94 | SKFBP | Amount eligible for cash discount in document currency | ||
| 95 | SKFBP | Amount eligible for cash discount in document currency | ||
| 96 | SPART | Division | ||
| 97 | STAFO | Update group for statistics update | ||
| 98 | STCUR | Exchange rate for statistics | ||
| 99 | SUM_RL | Invoice list final amount | ||
| 100 | TESTRUN | Switch to Simulation Session for Write BAPIs | ||
| 101 | TIMESTAMPL | UTC Time Stamp in Long Form (YYYYMMDDhhmmssmmmuuun) | ||
| 102 | UPDKZ_D | Update indicator | ||
| 103 | VKBUR | Sales office | ||
| 104 | VKGRP | Sales group | ||
| 105 | VKORG | Sales Organization | ||
| 106 | VTWEG | Distribution Channel | ||
| 107 | WAERL | Currency of Agency Document | ||
| 108 | WAERS_CM | Currency key of credit control area | ||
| 109 | WARCHIV | Agency business: Document is archived | ||
| 110 | WB2_EXPENSE_CALC_TYPE | GT Expenses: Calculation Type | ||
| 111 | WB2_EXPENSE_CLASS | GT Expenses: Expense Class | ||
| 112 | WB2_EXPENSE_POSTING_TYPE | GT Expenses: Posting Type of Expenses | ||
| 113 | WB2_EXPENSE_REFERENCE_VALUE | Global Trade Reference Value for Expenses | ||
| 114 | WB2_EXPENSE_REF_VALUE_REF | Ref. Field for GT Expenses Ref. Value (Currency, %, Unit) | ||
| 115 | WB2_EXP_DOCUMENT_SETTLED | GT Expenses: Document Settled | ||
| 116 | WB2_MODE | Mode of the Step of a Business Process | ||
| 117 | WB2_PARTNER_EXP_TYPE | Classificationm of Partner for Expense Documents | ||
| 118 | WB2_STEP | Business Process Step | ||
| 119 | WB2_STEP | Business Process Step | ||
| 120 | WB2_STEP | Business Process Step | ||
| 121 | WB2_TEW_TYPE | Trading Execution Workbench Type | ||
| 122 | WBELN | Document number of inbound invoice | ||
| 123 | WBELN_AG | Agency Business: Document Number | ||
| 124 | WBELN_RL | Agency Business: Document Number of Remuneration List | ||
| 125 | WBRTW | Agency business: Gross invoice amount in doc. currency | ||
| 126 | WBTYP | Settlement request: Payment type | ||
| 127 | WCOLLECTION | Document Summarization Attribute | ||
| 128 | WCONTRACT | Referencing Contract Number | ||
| 129 | WCONTRACT_TYPE | Contract Type for Contract Number | ||
| 130 | WDIFF | Vendor billing document: IV difference, exclusive of tax | ||
| 131 | WFART | Agency business: Billing document type | ||
| 132 | WFART_RL | Remuneration List Type, Vendor Billing Document | ||
| 133 | WFBSK | Status for transfer to accounting | ||
| 134 | WFDAT | Agency business: Posting date | ||
| 135 | WFDAT_RL | Agency Business: Posting Date for the Remuneration List | ||
| 136 | WFGRU | Agency business: Reason for activity | ||
| 137 | WFTYP | Agency business: Billing category | ||
| 138 | WKOPAR | Agency Business: Condition Determin. Level, Payment Docs | ||
| 139 | WKOPAR | Agency Business: Condition Determin. Level, Payment Docs | ||
| 140 | WKUFIX | Indicator: Fixing of exchange rate | ||
| 141 | WKURS | Exchange Rate | ||
| 142 | WKURS_P1 | Agency business: Exchange rate of vendor payment currency | ||
| 143 | WKURS_P2 | Agency business: Exchange rate of customer payment currency | ||
| 144 | WKWERT_RL | Value of the Remuneration List Condition of a Document | ||
| 145 | WLF_ACC_RELEASE_IND | Document was Transferred to Accounting | ||
| 146 | WLF_ACC_RELEVANCE_IND | Document is Relevant for Transfer to Accounting | ||
| 147 | WLF_AGENCY_ID_CODE | AB: Agency of Standard ID for Invoice Document | ||
| 148 | WLF_BANK_DATA | Agency Document: Bank Data Was Entered for Document | ||
| 149 | WLF_BONUS_ACTIVE_CUSTOMER | Subsequent Settlement Active for Customer | ||
| 150 | WLF_BONUS_ACTIVE_VENDOR | Subsequent Settlement Active for Vendor | ||
| 151 | WLF_BTD_ID | BusinessTransactionDocumentID | ||
| 152 | WLF_BUKRS_CUSTOMER_REGU | AB: Company Code - Customer | ||
| 153 | WLF_CANCEL_DOC_IND | Document is a Reversal Document | ||
| 154 | WLF_COLLECTION_BLOCK | AB: Block for Collection of Settlement Requests | ||
| 155 | WLF_COLLECTION_STATUS | AB: Status for Collection of Settlement Requests | ||
| 156 | WLF_CORR_DOCUMENT | AB: Adjustment Document | ||
| 157 | WLF_CPDK_ADDR | Agency Business: Address of One-Time Customer | ||
| 158 | WLF_CPDL_ADDR | Agency Business: Address - One-Time Vendor | ||
| 159 | WLF_DISTRIBUTION_INCOMPLETE | Distribution Incomplete | ||
| 160 | WLF_D_LAND1TX | Tax Destination Country | ||
| 161 | WLF_D_LANDTX | Tax Departure Country | ||
| 162 | WLF_EXP_SETTLE_DOC | Global Trade Expenses: Settlement Document | ||
| 163 | WLF_FKSTO_PART | Partial Reversal | ||
| 164 | WLF_FKSTO_PARTY | Cancelled Partner | ||
| 165 | WLF_HWAER_BUKRS_CUSTOMER | Deviating Local Currency in Customer Company Code | ||
| 166 | WLF_IDOBJ_CUSTOMER | AB: Identification Object Customer | ||
| 167 | WLF_IDOBJ_TYPE_CUSTOMER | AB: Identification Object Type Customer | ||
| 168 | WLF_IDOBJ_TYPE_VENDOR | AB: Identification Object Type Vendor | ||
| 169 | WLF_IDOBJ_VENDOR | AB: Identification Object Vendor | ||
| 170 | WLF_INCOMPLETENESS_REASON | Incompleteness Reason | ||
| 171 | WLF_INCOTERMS_ACTIVE | Agency Business: Incoterms Active | ||
| 172 | WLF_INTRASTAT_FLOW_DOC | Type of Goods Flow for Intrastat Declarations | ||
| 173 | WLF_INTRASTAT_RELEVANT | Document is Relevant for Intrastat Declarations | ||
| 174 | WLF_IS_COLLECTION | AD: Document Is Collective Document | ||
| 175 | WLF_IV_ACCRUAL | Accrual | ||
| 176 | WLF_IV_CHECK_TYPE_HEAD | Type of Check (Header) | ||
| 177 | WLF_LIFNR_FI | Alternative Creditor | ||
| 178 | WLF_LIFNR_FI_NAME1 | AB: Name of Alternative Creditor | ||
| 179 | WLF_LINES | Address Line | ||
| 180 | WLF_LINES | Address Line | ||
| 181 | WLF_LINES | Address Line | ||
| 182 | WLF_LINES | Address Line | ||
| 183 | WLF_LINES_LIFNR_FI | Address of Alternative Creditor | ||
| 184 | WLF_NAME1_ADRS_D | Name 1 of a Customer | ||
| 185 | WLF_NAME1_ADRS_D | Name 1 of a Customer | ||
| 186 | WLF_NAME1_ADRS_K | Name 1 of a Vendor | ||
| 187 | WLF_NAME1_ADRS_K | Name 1 of a Vendor | ||
| 188 | WLF_NO_INCOTERM_DETERMINATION | Agency Business: No Incoterm Determination | ||
| 189 | WLF_NO_TEXT | No Texts Exist | ||
| 190 | WLF_POSTING_RULE_A | AB: Special Posting Rule for Provisions with Settlements | ||
| 191 | WLF_POSTING_RULE_D | AB: Debtor Posting Rule | ||
| 192 | WLF_POSTING_RULE_K | AB: Creditor Posting Rule | ||
| 193 | WLF_POST_PARTY | Posting Partner | ||
| 194 | WLF_PROCESS_TYPE | Process Category | ||
| 195 | WLF_REAL_PRICING_REAL | Real Pricing for Remuneration Lists | ||
| 196 | WLF_REFERENCE_SETTLEMENT_DATE | AD: Reference Settlement Date | ||
| 197 | WLF_REF_USE_CASE | Use Case | ||
| 198 | WLF_RFBSK_COMBINED_SETTLEMENT | Posting Status for Combined Settlement | ||
| 199 | WLF_SCHEME_A_ID | AB: ID of the Organization that Maintains the ID Scheme | ||
| 200 | WLF_SCHEME_ID | AB: Identifier for the ID Scheme | ||
| 201 | WLF_SETTEL_DOC_IND | Document is a Settlement Document for Planned Expenses | ||
| 202 | WLF_SETTLEMENT_BLOCK_C | AB: Settlement Block - Customer | ||
| 203 | WLF_SETTLEMENT_BLOCK_V | AB: Settlement Block - Vendor | ||
| 204 | WLF_SETTLEMENT_DATE | Settlement Date | ||
| 205 | WLF_SETTLEMENT_DOCTYPE_C | AB: Settlement Document Type - Customer | ||
| 206 | WLF_SETTLEMENT_DOCTYPE_V | AB: Settlement Document Type - Vendor | ||
| 207 | WLF_SETTLEMENT_METHOD | AB: Settlement Procedure | ||
| 208 | WLF_SETTLEMENT_PARTY | AB: Settlement Partner | ||
| 209 | WLF_SETTLEMENT_STATUS_C | AB: Settlement Status - Customer | ||
| 210 | WLF_SETTLEMENT_STATUS_V | AB: Settlement Status - Vendor | ||
| 211 | WLF_SPLITT_ACTIVE | FI Document Split Active | ||
| 212 | WLF_USE_CASE_GUID | AB: GUID for Use Case | ||
| 213 | WLF_USE_CASE_TYPE | Use Case Type | ||
| 214 | WLF_WITHHOLDING_TAX_ACTIVE | AB: Extended Withholding Tax Active | ||
| 215 | WLF_WKURS_CUSTOMER | Deviating Exchange Rate in Customer Company Code | ||
| 216 | WLF_XREF_RRL | AB: Remuneration List Number in FI Documents Original Docs | ||
| 217 | WMWSBP_RL | Tax of Remuneration List Conditions | ||
| 218 | WNETW | Agency business: Net invoice amount in doc. currency | ||
| 219 | WPYAMT_P1 | Agency business: Amount in payment currency of vendor | ||
| 220 | WPYAMT_P2 | Agency business: Amount in payment currency of customer | ||
| 221 | WPYCUR_P1 | Currency for automatic payment (vendor-side) | ||
| 222 | WPYCUR_P2 | Currency for automatic payment (customer-side) | ||
| 223 | WRART | Agency business: Payment type | ||
| 224 | WRTYP | Entry category: payment | ||
| 225 | WSETTLE_CATEGORY | Settlement Attributes | ||
| 226 | WSTATE | Agency business: Application status | ||
| 227 | WSTATG | Agency business: Status group | ||
| 228 | WSTBU | Agency Business: Post Tax Amounts | ||
| 229 | WSTWAE | Agency Business: Statistics Currency | ||
| 230 | WTAXCAL | Vendor billing document: calculate tax for tax code | ||
| 231 | WTAXD | Settlement request: Different tax allowed | ||
| 232 | WUF_CONTEXT | Context | ||
| 233 | WUVPRS | Agency business: Item incomplete re. price determination | ||
| 234 | WVALDD | Fixed Value Date (Customer) | ||
| 235 | WVALDT | Fixed Value Date | ||
| 236 | WVALTD | Additional Value Days (Customer) | ||
| 237 | WVALTG | Additional value days | ||
| 238 | WWERT_D | Translation date | ||
| 239 | WZBD1PD | Cash discount percentage 1 customer | ||
| 240 | WZBD1TD | Cash Discount Period for Customer | ||
| 241 | WZBD2PD | Cash Discount Percentage 2 Customer | ||
| 242 | WZBD2TD | Cash discount period 2 customer | ||
| 243 | WZBD3TD | Deadline for Customer Net Condition | ||
| 244 | WZFBD | Copy Payment Data from Remuneration List to Billing Docs | ||
| 245 | WZLSPL | Reset Payment Block During Remuneration List Run | ||
| 246 | WZTERMD | Terms of Payment Key for Customer | ||
| 247 | W_LIFZE | Agency business: Payee | ||
| 248 | XBLNR1 | Reference Document Number | ||
| 249 | XCPDK | Indicator: Is the account a one-time account? | ||
| 250 | XCPDK | Indicator: Is the account a one-time account? | ||
| 251 | XEGDR | Indicator: Triangular deal within the EU ? | ||
| 252 | XFELD | Checkbox | ||
| 253 | XFELD | Checkbox | ||
| 254 | XFELD | Checkbox | ||
| 255 | XFELD | Checkbox | ||
| 256 | XFELD | Checkbox | ||
| 257 | XFELD | Checkbox | ||
| 258 | XFELD | Checkbox | ||
| 259 | XFELD | Checkbox | ||
| 260 | XFELD | Checkbox | ||
| 261 | XFELD | Checkbox | ||
| 262 | XFELD | Checkbox |