Data Element list used by SAP ABAP Table REEX_GUI_CASHFLOW_LIST (Display of Posted Cash Flows (Periodic Posting))
SAP ABAP Table REEX_GUI_CASHFLOW_LIST (Display of Posted Cash Flows (Periodic Posting)) is using
# Object Type Object Name Object Description Note
     
1 Data Element  BUKRS Company Code
2 Data Element  BU_PARTNER Business Partner Number
3 Data Element  DABRBEZ Reference date for settlement
4 Data Element  DABRBEZ Reference date for settlement
5 Data Element  DAKTV Contract activation
6 Data Element  DBERBIS End of Calculation Period
7 Data Element  DBERVON Start of Calculation Period
8 Data Element  DZFBDT Baseline date for due date calculation
9 Data Element  GJAHR Fiscal Year
10 Data Element  GSBER Business Area
11 Data Element  KBLNR Document Number for Earmarked Funds
12 Data Element  KBLPOS Earmarked Funds: Document Item
13 Data Element  KUNNR Customer Number
14 Data Element  LIFNR Account Number of Vendor or Creditor
15 Data Element  MWSKZ Tax on sales/purchases code
16 Data Element  PRCTR Profit Center
17 Data Element  REBPXNAME Short Name of Business Partner
18 Data Element  RECACTDATEACT Actual Translation Date
19 Data Element  RECACTDATEFROMCFPOS Use Translation Date from Cash Flow
20 Data Element  RECACTDATEREQ Planned Translation Date
21 Data Element  RECACTFCAMOUNT Amount in Foreign Currency
22 Data Element  RECACTFCCURRKEY Foreign Currency
23 Data Element  RECACTFCGROSSAMOUNT Gross Amount in Foreign Currency
24 Data Element  RECACTFCNETAMOUNT Net Amount in Foreign Currency
25 Data Element  RECACTFCTAXAMOUNT Tax Amount in Foreign Currency
26 Data Element  RECACTLCAMOUNT Amount in Local Currency
27 Data Element  RECACTLCCURRKEY Local Currency
28 Data Element  RECACTLCGROSSAMOUNT Gross Amount in Local Currency
29 Data Element  RECACTLCNETAMOUNT Net Amount in Local Currency
30 Data Element  RECACTLCTAXAMOUNT Tax Amount in Local Currency
31 Data Element  RECACTPOSTCDCURR Post in Condition Currency
32 Data Element  RECACTRATE Exchange Rate
33 Data Element  RECACTRULE Currency Translation Rule
34 Data Element  RECAIDENT Complete Object Identification, for Example BE 1000/123
35 Data Element  RECAIDENT Complete Object Identification, for Example BE 1000/123
36 Data Element  RECAOBJNR Object Number
37 Data Element  RECAPROCESS Process
38 Data Element  RECAPROCESSGUID Generic Key of Process
39 Data Element  RECAPROCESSID Process Identification -> Accounting Reference Number
40 Data Element  RECARESPONSIBLE Person Responsible
41 Data Element  RECDADVANCEPAYMENT Condition Is Advance Payment Condition
42 Data Element  RECDCFSTARTFROM Cash Flow Generated Starting On
43 Data Element  RECDCONDGUID GUID (RAW16) for Conditions
44 Data Element  RECDCONDPURPOSEEXT Conditions - External Purpose
45 Data Element  RECDCONDTYPE Condition Type
46 Data Element  RECDFLATRATE Condition Is a Flat Rate Condition
47 Data Element  RECDFLOWTYPE Flow Type
48 Data Element  RECDFLOWTYPE Flow Type
49 Data Element  RECDISGROSS Condition Amount Is Gross Amount
50 Data Element  RECDORIGDUEDATE Original Due Date
51 Data Element  RECDREFFLOWREL Type of Relationship Between Flow Type and Refer.Flow Type
52 Data Element  RECDXCONDTYPEL Name of Condition Type
53 Data Element  RECDXFLOWTYPE Name of Flow Type
54 Data Element  RECDXMCONDPURPOSEEXT Name of Conditions for External Purpose
55 Data Element  RECNBENOCN Business Entity That Belongs to Contract
56 Data Element  RECNCNBEG Date of contract start
57 Data Element  RECNCNENDABS Term End Date
58 Data Element  RECNCONTRACTTYPE Contract Type
59 Data Element  RECNNUMBER Contract Number
60 Data Element  RECNTXT Contract name
61 Data Element  REITTCDATEOFSERVICE Date of Service
62 Data Element  REITTCDATEOFSERVICE Date of Service
63 Data Element  RERAACCDETKEY Account Determination Value
64 Data Element  RERAACCTYPE Account Type
65 Data Element  RERAACCTYPE Account Type
66 Data Element  RERAADDOBJNR Object Number for Additional Account Assignment
67 Data Element  RERAAMOUNT Amount in Transaction Currency
68 Data Element  RERABANKDETAILID Bank Details ID
69 Data Element  RERABUDGETPERIOD FM: Budget Period
70 Data Element  RERACGLACCOUNT G/L Account: Credit
71 Data Element  RERACOMMITMENTITEM Commitment Item
72 Data Element  RERADCINDICATOR Debit/Credit Indicator
73 Data Element  RERADGLACCOUNT G/L Account: Debit
74 Data Element  RERADISTRTAXAMT Amount of Tax to Be Distributed
75 Data Element  RERADISTRTAXAMT Amount of Tax to Be Distributed
76 Data Element  RERADISTRTAXAMT Amount of Tax to Be Distributed
77 Data Element  RERADISTRTAXINCLUDED Distributed Tax Is Included in Amount
78 Data Element  RERADOCDATE Document Date
79 Data Element  RERADUNNAREA Dunning Area
80 Data Element  RERADUNNBLOCK Dunning Block
81 Data Element  RERADUNNKEY Dunning Keys
82 Data Element  RERAFUNCTIONALAREA Functional Area
83 Data Element  RERAFUND Fund
84 Data Element  RERAFUNDSCENTER Funds Center
85 Data Element  RERAGLACCSYMB Account Determination: Account Symbols
86 Data Element  RERAGLACCSYMB Account Determination: Account Symbols
87 Data Element  RERAGRANTNUMBER Grant
88 Data Element  RERAGROSSAMOUNT Gross Amount in Transaction Currency
89 Data Element  RERAGROSSAMOUNT Gross Amount in Transaction Currency
90 Data Element  RERAGUIDORIGIN Source of GUID
91 Data Element  RERAHEADERTXT Document Header Text
92 Data Element  RERAHOUSEBKACC Key for House Bank Account
93 Data Element  RERAHOUSEBKID Key for House Bank
94 Data Element  RERAISPARTNERBLOCKED Lock of Partner Data in Posting Term
95 Data Element  RERAITEMTXT Item Text
96 Data Element  RERAMEASURE Program in Funds Management
97 Data Element  RERANETAMOUNT Net Amount in Transaction Currency
98 Data Element  RERANETAMOUNT Net Amount in Transaction Currency
99 Data Element  RERANOTETOPAYEE Note to Payee
100 Data Element  RERAOBJNR Account Assignment: Object Number
101 Data Element  RERAPROCEDURE Posting Procedure
102 Data Element  RERAPSTNGDATE Posting Date
103 Data Element  RERAPSTNGPERIOD Posting Period
104 Data Element  RERAPYMTBLOCK Payment block key
105 Data Element  RERAPYMTMETH Payment Method
106 Data Element  RERAPYMTMETHCRMO Payment Method for Credit Memos
107 Data Element  RERAPYMTTERM Terms of Payment Key
108 Data Element  RERAREFGUID Reference GUID
109 Data Element  RERAREFGUID Reference GUID
110 Data Element  RERAREFGUID Reference GUID
111 Data Element  RERAREVID Indicator for Reversed Documents
112 Data Element  RERATAXAMOUNT Tax Amount in Transaction Currency
113 Data Element  RERATAXAMOUNT Tax Amount in Transaction Currency
114 Data Element  RERATAXDATE Date of Tax Calculation
115 Data Element  RERATAXGROUP Tax Group
116 Data Element  RERATAXGROUPID Group Indicator for Tax Line Items
117 Data Element  RERATAXTYPE Tax Type
118 Data Element  RERAXPROCEDURE Name of Posting Procedure
119 Data Element  RERA_STATUS_LIGHT Status for ALV
120 Data Element  RETMCDSPLITNO Number of Condition Split
121 Data Element  RETMISCDSPLIT Condition Split
122 Data Element  RETMPARTNEROBJNR Object Number for Internal Use
123 Data Element  RETMSEPAMNDID SEPA Mandate: Unique Reference to Mandate per Vendor
124 Data Element  RETMSEPARECCRDID SEPA Mandate: Creditor ID
125 Data Element  RETMTERMNO Term Number
126 Data Element  RETMTERMNO Term Number
127 Data Element  RETMTERMNO Term Number
128 Data Element  TXJCD Tax Jurisdiction
129 Data Element  WAERS Currency Key