Data Element list used by SAP ABAP Table REEX_DART_REDOC_CFPAY (DART: Cash Flow Item for RE Document)
SAP ABAP Table
REEX_DART_REDOC_CFPAY (DART: Cash Flow Item for RE Document) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | AMMRHY | Frequency in months | ||
| 2 | ATTRHY | Frequency in Days | ||
| 3 | BITER | Amount in floating point format for recursive determination | ||
| 4 | BUKRS | Company Code | ||
| 5 | BUKRS | Company Code | ||
| 6 | BU_PARTNER | Business Partner Number | ||
| 7 | DBEAR | Last Edited on | ||
| 8 | DBERBIS | End of Calculation Period | ||
| 9 | DBERVON | Start of Calculation Period | ||
| 10 | DDISPO | Payment Date | ||
| 11 | DERF | First Entered on | ||
| 12 | DFAELL | Due date | ||
| 13 | DVALUT | Calculation Date | ||
| 14 | FDGRP | Planning Group | ||
| 15 | FDLEV | Planning Level | ||
| 16 | FDUPD | Flag as to whether record enters cash management + forecast | ||
| 17 | MANDT | Client | ||
| 18 | MWSKZ | Tax on sales/purchases code | ||
| 19 | PKOND | Percentage rate for condition items | ||
| 20 | RBEAR | Employee ID | ||
| 21 | RBHER | Editing Source | ||
| 22 | RECAARDELETEIND | Deletion Indicator for Archiving | ||
| 23 | RECACTDATEACT | Actual Translation Date | ||
| 24 | RECACTDATEACT | Actual Translation Date | ||
| 25 | RECACTDATEREQ | Planned Translation Date | ||
| 26 | RECACTLCGROSSAMOUNT | Gross Amount in Local Currency | ||
| 27 | RECACTLCNETAMOUNT | Net Amount in Local Currency | ||
| 28 | RECACTLCTAXAMOUNT | Tax Amount in Local Currency | ||
| 29 | RECACTPOSTCDCURR | Post in Condition Currency | ||
| 30 | RECACTRATE | Exchange Rate | ||
| 31 | RECACTRATE | Exchange Rate | ||
| 32 | RECACTRULE | Currency Translation Rule | ||
| 33 | RECAINTRENO | Internal Key of Real Estate Object | ||
| 34 | RECAOBJNR | Object Number | ||
| 35 | RECAOBJNR | Object Number | ||
| 36 | RECDCALCDUEDATE | Calculated Due Date | ||
| 37 | RECDCFCURR | Condition Currency of Cash Flow Item | ||
| 38 | RECDCFLCCURR | Local Currency of Cash Flow Item | ||
| 39 | RECDCFLCTAXVALUE | Sales/Purch. Tax Amount of Cash Flow Item in Local Currency | ||
| 40 | RECDCFLCVALUEGROSS | Gross Amount of Cash Flow Item in Local Currency | ||
| 41 | RECDCFLCVALUENET | Net Amount of Cash Flow Item in Local Currency | ||
| 42 | RECDCFPAYGUID | GUID (RAW16) for Payment-Related Cash Flow | ||
| 43 | RECDCFSPLITBASIS | Cash Flow Record Was Basis for Split | ||
| 44 | RECDCFSPLITFORGUID | GUID (RAW16) of Cash Flow Record That Was Split | ||
| 45 | RECDCFSTATUS | Indicates Status of Flow | ||
| 46 | RECDCFTAXVALUE | Tax on Sales/Purch. of Cash Flow Item in Condition Currency | ||
| 47 | RECDCFVALUEGROSS | Gross Amount of Cash Flow Item in Condition Currency | ||
| 48 | RECDCFVALUENET | Net Amount of Cash Flow Item in Condition Currency | ||
| 49 | RECDCONDGUID | GUID (RAW16) for Conditions | ||
| 50 | RECDCONDTYPE | Condition Type | ||
| 51 | RECDCTDATEFROMCFPOS | Use Translation Date from Cash Flow | ||
| 52 | RECDDOCUMENTDATE | Document Date | ||
| 53 | RECDFLOWTYPE | Flow Type | ||
| 54 | RECDFLOWTYPE | Flow Type | ||
| 55 | RECDFOLLOWUPFORGUID | GUID (RAW16) for 'Follow-Up Posting for' References | ||
| 56 | RECDISGROSS | Condition Amount Is Gross Amount | ||
| 57 | RECDMODDUEDATE | Modified Due Date | ||
| 58 | RECDORIGDUEDATE | Original Due Date | ||
| 59 | RECDORIGDUEDATE | Original Due Date | ||
| 60 | RECDORIGFLOWTYPE | Original Flow Type | ||
| 61 | RECDPOSTINGDATE | Posting Date | ||
| 62 | RECDREFFLOWREL | Type of Relationship Between Flow Type and Refer.Flow Type | ||
| 63 | RECDREFFLOWREL | Type of Relationship Between Flow Type and Refer.Flow Type | ||
| 64 | RECDREFGUID | GUID (RAW16) for Document References in Cash Flow | ||
| 65 | RECDREVERSALBYGUID | GUID (RAW16) for 'Reversed by' References | ||
| 66 | RECDREVERSALFORGUID | GUID (RAW16) for 'Reversal for' References | ||
| 67 | RECDTAXDATE | Date of Calculation of Sales/Purchase Tax | ||
| 68 | RECDTERMNOAJ | Number of Adjustment Term | ||
| 69 | RECDTERMNOMR | Number of Peak Sales Term | ||
| 70 | RECDTERMNOOA | Number of Organizational Assignment Term | ||
| 71 | RECDTERMNOPY | Number of Posting Term | ||
| 72 | RECDTERMNORH | Number of Frequency Term | ||
| 73 | RECDTERMNOSR | Number of Sales Term | ||
| 74 | RECDTERMNOWT | Number of Withholding Tax Term | ||
| 75 | RECDVALIDFROM | Date from when condition is valid | ||
| 76 | RECDVALUATIONDATE | Date for Translation of Contract Currency to Local Currency | ||
| 77 | RECDWHEREFROM | Flow Origin | ||
| 78 | RECNNUMBER | Contract Number | ||
| 79 | REHER | Source of initial entry | ||
| 80 | RERAREFDOCID | Reference Key of Document | ||
| 81 | RERASEAPSTATUS | Status of Advance Payment Relevant to SCS | ||
| 82 | RERATAXGROUP | Tax Group | ||
| 83 | RERATAXTYPE | Tax Type | ||
| 84 | RERF | Entered by | ||
| 85 | RETMCDSPLITNO | Number of Condition Split | ||
| 86 | SBERECH | Grace Period Interest Method | ||
| 87 | SBEWEGRP | Flow record group in cash flow calculator | ||
| 88 | SBEWFIMA | Calculation category for cash flow calculator | ||
| 89 | SFULT | Month-End Indicator for Due Date | ||
| 90 | SKONDGRP | Condition group in cash flow calculator | ||
| 91 | SPLANIST | Plan/actual record/record to be released indicator | ||
| 92 | SSTCKKZ | Accrued interest method | ||
| 93 | SSTCKTG | Accrued interest: Daily method | ||
| 94 | SZBMETH | Interest Calculation Method | ||
| 95 | TBEAR | Last Edited at | ||
| 96 | TB_DZFEST | Interest rate fixing date | ||
| 97 | TB_JZINSRE | Exponential Interest Calculation | ||
| 98 | TERF | Time of Initial Entry | ||
| 99 | TFMASEKUNDEN | Number of Seconds | ||
| 100 | TFMASTUECK | No. of units for unit-quoted securities (fin. mathematics) | ||
| 101 | TFMATAGE | Number of Days | ||
| 102 | TFMBBASISU | Original calculation basis (e.g. for interval calculation) | ||
| 103 | TFMBBWHR2 | Amount | ||
| 104 | TFMBOGRENZ | Upper Limit for Amt | ||
| 105 | TFMBUGRENZ | Lower Limit for Amount | ||
| 106 | TFMKARZINS | Interest amount on diff. betw. clearing/pmnt date (int.FIMA) | ||
| 107 | TFMPRUNIT | Rounding Unit | ||
| 108 | TFMSBASFIX | Indicator for fixing calculation base | ||
| 109 | TFMSKALIDWT | Interest Calendar | ||
| 110 | TFMSOFVERR | Indicator for Immediate Settlement (Financial Mathematics) | ||
| 111 | TFMSPAEXCL | Exclusive Indicator for Start Date of a Period | ||
| 112 | TFMSPAULT | Month-End Indicator for Start Date of a Period | ||
| 113 | TFMSPEINCL | Inclusive Indicator for End Date of a Period | ||
| 114 | TFMSPEULT | Month-End Indicator for End of a Period | ||
| 115 | TFMSSALBAS | Indicator for debit position/incoming pmnt (internal FiMa) | ||
| 116 | TFMSSTAFF | Type of Scaled Calculation | ||
| 117 | TFMSTCKNOT | Internal FiMa indicator for unit-quoted securities | ||
| 118 | TFMWHRKOND | Currency of Condition Item | ||
| 119 | TFM_AMMRHYZV | Interest Settlement Frequency for Exponential Interest Calc. | ||
| 120 | TFM_ARHYREL | Relative Frequency | ||
| 121 | TFM_BBASIS | Calculation Base Amount | ||
| 122 | TFM_BBASISUNIT | Base Unit for Rounding | ||
| 123 | TFM_BBWHR | Amount which changes position | ||
| 124 | TFM_BKOND | Condition item currency amount | ||
| 125 | TFM_BNWHR | Nominal amount | ||
| 126 | TFM_JANNVERR | Settle Annuity Installment | ||
| 127 | TFM_JEFFZREL | Relevant for Effective Interest Rate | ||
| 128 | TFM_JINTRADAY | Intraday Interest Calculation | ||
| 129 | TFM_JRATENFIX | Keep Installment | ||
| 130 | TFM_JSOFTILG | Begin with Repayment Immediately | ||
| 131 | TFM_KBKOND | Currency-independent FiMa condition amount | ||
| 132 | TFM_PDISCOUNT | Percentage Discount Rate | ||
| 133 | TFM_PPAYMENT | Payment Rate | ||
| 134 | TFM_SAEND | Change Indicator for FiMa Flow Records | ||
| 135 | TFM_SBASIS | Calculation Base Reference | ||
| 136 | TFM_SDISCOUNT | Discounting Category | ||
| 137 | TFM_SFKEYDAY | Key Date for Update of Due Date | ||
| 138 | TFM_SORT | Sort indicator for financial mathematic calculations | ||
| 139 | TFM_SROUND | Rounding Category | ||
| 140 | TFM_SVKEYDAY | Key Date for Update of Calculation Date | ||
| 141 | TFM_SWOHER | Source of flow record | ||
| 142 | TFM_TBERBIS | Time of End of Calculation Period | ||
| 143 | TFM_TBERVON | Time of Start of Calculation Period | ||
| 144 | TFM_TIKALK | Imputed annuity repayment amount (internal FiMa) | ||
| 145 | TFM_TVALUT | Time of Calculation Date | ||
| 146 | TXJCD | Tax Jurisdiction | ||
| 147 | VVAPERTAGE | No. of days of a (calculation) period in cash flow | ||
| 148 | VVDBPERIOD | Period start | ||
| 149 | VVDEPERIOD | Period End | ||
| 150 | VVDPKOND | Determination date for percentage rate of condition items | ||
| 151 | VVDVERRECH | Settlement date | ||
| 152 | VVJGESUCHT | Int. indicator for alternative calculations | ||
| 153 | VVRBEWEIND | Reference index for a FiMa flow record | ||
| 154 | VVRKONDIND | Reference index for an investment mathematical item | ||
| 155 | VVSEXCLVON | Exclusive Indicator for the Start of a Calculation Period | ||
| 156 | VVSFANT | Indicator for due date-related FiMa calculations | ||
| 157 | VVSFINCL | Inclusive Indicator for Due Date | ||
| 158 | VVSFLAT | Indicator 'Traded flat',i.e.no accrued interest calculation | ||
| 159 | VVSINCL | Inclusive indicator for beginning and end of a period | ||
| 160 | VVSINCLBIS | Inclusive Indicator for the End of a Calculation Period | ||
| 161 | VVSINCLVER | Inclusive Indicator for Clearing Date | ||
| 162 | VVSRUNDVF | Rounding of interim results for prepayments | ||
| 163 | VVSTGBASIS | Base Days Method | ||
| 164 | VVSTGMETH | Daily Method | ||
| 165 | VVSULTBIS | Month-End Indicator for the End of a Calculation Period | ||
| 166 | VVSULTVERR | Month-End Indicator for Clearing Date | ||
| 167 | VVSULTVON | Month-End Indicator for Start of a Calculation Period | ||
| 168 | VVSVINCL | Inclusive indicator for value date | ||
| 169 | VVSVULT | Month-End Indicator for Value Date | ||
| 170 | VVSZEITANT | Indicator for Pro Rata Temporis Calculations |