Data Element list used by SAP ABAP Table RECP_TERM_PAYMENT_SPLIT_C (Posting Terms - Split for Posting Rule)
SAP ABAP Table
RECP_TERM_PAYMENT_SPLIT_C (Posting Terms - Split for Posting Rule) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | AD_ADDRNUM | Address number | ||
| 2 | BANKA | Name of bank | ||
| 3 | BANKK | Bank Keys | ||
| 4 | BANKL | Bank number | ||
| 5 | BANKS | Bank country key | ||
| 6 | BGRUP | Bank group (bank network) | ||
| 7 | BRNCH | Bank Branch | ||
| 8 | BU_ACCOUNT_CHECK | Bank Account Check Digit | ||
| 9 | BU_ACCOUNT_ID | Bank Account Number (New) | ||
| 10 | BU_ACCOUNT_TYPE | Bank Account Type | ||
| 11 | BU_BANKACCNAME | Name of Bank Account | ||
| 12 | BU_BANKK | Bank Key | ||
| 13 | BU_BANKN | Bank Account Number | ||
| 14 | BU_BANKS | Bank Country Key | ||
| 15 | BU_BANK_GUID | Bank GUID | ||
| 16 | BU_BKEXT | Bank details ID in external system | ||
| 17 | BU_BKONT | Bank Control Key | ||
| 18 | BU_BKREF | Reference Details for Bank Details | ||
| 19 | BU_BKVID | Bank details ID | ||
| 20 | BU_BK_MOVE_DATE | Date of Change to Bank Details (BP) | ||
| 21 | BU_BK_VALID_FROM | Validity Start of Business Partner Bank Details | ||
| 22 | BU_BK_VALID_TO | Validity End of Business Partner Bank Details | ||
| 23 | BU_IBAN | IBAN (International Bank Account Number) | ||
| 24 | BU_KOINH | Account Holder Name | ||
| 25 | BU_MOVE_BKVID | ID of Target Details for Change of Bank Details (BP) | ||
| 26 | BU_PARTNER | Business Partner Number | ||
| 27 | BU_PARTNER | Business Partner Number | ||
| 28 | BU_XEZER | Indicator: Collection Authorization | ||
| 29 | CHECKMETH | Check digit calculation method | ||
| 30 | ERDAT_BF | Date on which the record was created | ||
| 31 | ERNAM_BF | Name of person who created the object | ||
| 32 | IBAN_RULE | IBAN Rule | ||
| 33 | LAND1 | Country Key | ||
| 34 | LOEVM | Deletion Indicator | ||
| 35 | MANDT | Client | ||
| 36 | MANDT | Client | ||
| 37 | ORT01_GP | City | ||
| 38 | PRQ_BICKY | Key of a BIC+ data record (Swift) | ||
| 39 | PRQ_RCC | Routing control code | ||
| 40 | PSKTO_CH | Post office bank current account number | ||
| 41 | REBPXPARTNER | Name/Address of Business Partner | ||
| 42 | RECABOOL | General Yes/No Field | ||
| 43 | RECABOOL | General Yes/No Field | ||
| 44 | RECAEQUINUM | Equivalence Number | ||
| 45 | RECAINTRENO | Internal Key of Real Estate Object | ||
| 46 | RECAXDATERANGE | Time Period (Text) | ||
| 47 | REGIO | Region (State, Province, County) | ||
| 48 | RERABANKDETAILID | Bank Details ID | ||
| 49 | RERADUNNAREA | Dunning Area | ||
| 50 | RERADUNNBLOCK | Dunning Block | ||
| 51 | RERAPYMTBLOCK | Payment block key | ||
| 52 | RERAPYMTMETH | Payment Method | ||
| 53 | RERAPYMTTERM | Terms of Payment Key | ||
| 54 | RETMCDSPLITNO | Number of Condition Split | ||
| 55 | RETMHASROUNDDIFF | Rounding Differences | ||
| 56 | RETMSEPAMNDID | SEPA Mandate: Unique Reference to Mandate per Vendor | ||
| 57 | RETMSEPARECCRDID | SEPA Mandate: Creditor ID | ||
| 58 | RETMTERMNO | Term Number | ||
| 59 | RETMTERMNO | Term Number | ||
| 60 | RETMTERMTYPE | Term Category | ||
| 61 | RETMTERMVALIDFROM | Valid-From Date of Term | ||
| 62 | RETMTERMVALIDTO | Valid-To Date of Term | ||
| 63 | SDD_B2B | Support of SEPA B2B Direct Debit | ||
| 64 | SDD_COR1 | Support of SEPA COR1 Direct Debit | ||
| 65 | SDD_RTRANS | Support of SEPA Returned Debits (R Transactions) | ||
| 66 | STRAS_GP | House number and street | ||
| 67 | SWIFT | SWIFT/BIC for International Payments | ||
| 68 | VERS_BF | Format of File with Bank Data | ||
| 69 | XPGRO | Post Office Bank Current Account |