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