Data Element list used by SAP ABAP Table RCAPTR_DISPLAY (CAPTR: Purely Display Fields)
SAP ABAP Table
RCAPTR_DISPLAY (CAPTR: Purely Display Fields) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | AD_LINE_S | One-line short form of formatted address | ||
| 2 | TB_CAPTR_TEMPLATE_TXT | Template Description Capital Transfer | ||
| 3 | TB_CT_RSALDO | Remaining Balance According to Cash Flow Calculation | ||
| 4 | TB_CT_TXT_CAPITAL_INCREASE | Text Condition Type Capital Increase | ||
| 5 | TB_CT_TXT_COMMITMENT_OF | Text Condition Type Commitment Outflow | ||
| 6 | TB_CT_TXT_DISBURSMENT_OBLIG_OF | Text Condition Type Disbursement Obligation Outflow | ||
| 7 | TB_CT_TXT_NOT_SET_REP_CAR_FORW | Text Condition Type Carry Forward Repayment Not Settled | ||
| 8 | TB_CT_TXT_REPAYMENT_SETTL_OF | Text Condition Type Repayment Settlement | ||
| 9 | TB_CT_TXT_REPAYMENT_SOURCE | Text for Repayment Condition Type in Source Loan | ||
| 10 | TB_CT_TXT_REPAYMENT_TARGET | Text for Repayment Condition Type in Target Loan | ||
| 11 | TB_DATE_FIXED_UNTIL_SOURCE | End of Fixed Period in Source Loan | ||
| 12 | TB_DATE_MARKET_INTEREST_RATE_S | Market Interest Date of Source Loan | ||
| 13 | TB_DATE_ORIG_COMMITMENT_SOURCE | Original Commitment Date in Source Loan | ||
| 14 | TB_DISBURSEMENT_RATE_SOURCE | Disbursement Rate Source Loan | ||
| 15 | TB_EXT_ORIGINAL_EFFECTIV_IR_S | External Initial Effective Interest in Source Loan | ||
| 16 | TB_FT_TXT_PRE_DISCOUNT_IF | Text Flow Type Advance Discount / Premium Inflow | ||
| 17 | TB_FT_TXT_PRE_DISCOUNT_OF | Text Flow Type Advance Discount / Premium Outflow | ||
| 18 | TB_FT_TXT_REMAINING_CAPITAL_IF | Text Flow Type Remaining Capital Inflow | ||
| 19 | TB_FT_TXT_REMAINING_CAPITAL_OF | Text Flow Type Remaining Capital Outflow | ||
| 20 | TB_FT_TXT_REMAINING_DISC_IF | Text Flow Type Remaining Discount / Premium Inflow | ||
| 21 | TB_FT_TXT_REMAINING_DISC_OF | Text Flow Type Remaining Discount / Premium Outflow | ||
| 22 | TB_FT_TXT_REPAYMENT_CARRY_FORW | Text Flow Type Repayment Carry Forward | ||
| 23 | TB_FT_TXT_SCHEDREP_CAPITAL_IF | Text for Flow Type Scheduled Repayment Inflow | ||
| 24 | TB_FT_TXT_SCHEDREP_CAPITAL_OF | Text for Flow Type Scheduled Repayment Outflow | ||
| 25 | TB_FT_TXT_UNSCHEDRED_CAP_IF | Text for Flow Type Unscheduled Repayment Inflow | ||
| 26 | TB_FT_TXT_UNSCHEDRED_CAP_OF | Text for Flow Type Unscheduled Repayment Outflow | ||
| 27 | TB_FT_TXT_VALUEDATED_CAP_IF | Text for Flow Type Value-Dated Capital Inflow | ||
| 28 | TB_FT_TXT_VALUEDATED_CAP_OF | Text for Flow Type value-Dated Capital Outflow | ||
| 29 | TB_INDICATE_T | Text Automatic Adjustment Target Loan (Registration) | ||
| 30 | TB_IND_REP_SETTLEMENT_DISPLAY | Indicator Repayment Settlement in Basic Data | ||
| 31 | TB_LOCK_USER_S | 'Note' user Locking Source Loan | ||
| 32 | TB_LOCK_USER_T | 'Note' User Locking Target Loan | ||
| 33 | TB_PARTNR_T | New Main Borrower Number | ||
| 34 | TB_PROMISED_CAPITAL_SOURCE | Commitment Capital Source Loan | ||
| 35 | TB_PROMISED_CAPITAL_TARGET | Commitment Capital Target Loan | ||
| 36 | TB_SBOTERM_COMBI | Repayment Change Indicator Capital Transfer | ||
| 37 | TB_SCONDCOLL_SOURCE | Repayment Clash Indicator in Source Loan | ||
| 38 | TB_SCONDCOLL_TARGET | Repayment Clash Indicator in Target Loan | ||
| 39 | TB_STATUS_T | Status of Target Loan | ||
| 40 | TB_TRANSFER_METHOD | Transfer Procedure | ||
| 41 | TB_TRANSFER_RATE_EFFECT | Effective Transfer Quota Capital Transfer | ||
| 42 | TB_TRANSFER_RATE_TEXT | Transfer Quota of Capital Transfer | ||
| 43 | TB_XCONDCOLL_CAPTR | Repayment Clash | ||
| 44 | TB_XCONDCOLL_CAPTR | Repayment Clash | ||
| 45 | TEXT20 | Text (20 Characters) | ||
| 46 | VVSFGKZ | Release Indicator | ||
| 47 | VVSFGKZ | Release Indicator | ||
| 48 | VVSFGST | Release status for release procedure | ||
| 49 | VVSFGST | Release status for release procedure | ||
| 50 | VVSFGST | Release status for release procedure | ||
| 51 | XBOTEXT | Text for Business Operation | ||
| 52 | XTEXT15 | Name |