Table list used by SAP ABAP Table SITAGCYPRINTDATA (Transfer Parameters for Generic Printing)
SAP ABAP Table
SITAGCYPRINTDATA (Transfer Parameters for Generic Printing) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | AGDETAIL_ITAGCY | Data for Agency Category | ||
| 2 | DIMABROKER | IO: Broker-Specific Data in FS-CD | ||
| 3 | ITAGCYACT | Activities that Can Be Executed in Agency Collections | ||
| 4 | ITAGCYCDM | Master Data for Cash Desks | ||
| 5 | ITAGCYCDMODE | Mode Within Cash Desk | ||
| 6 | ITAGCYCONTH | Header Data for Cash Desk Container | ||
| 7 | OBJEC | Work Area for Database PCH | ||
| 8 | SIMA_BROKER | IO: Broker-Specific Data | ||
| 9 | SITAGCYACT | Activity Data Structure | ||
| 10 | SITAGCYBANKTRIGGCTRL | Control Data Incoming Payments Agency | ||
| 11 | SITAGCYCCDATA | Structure with Authorization Data for Credit Card Payments | ||
| 12 | SITAGCYCDM | Cash Desk Data Structure | ||
| 13 | SITAGCYCDMODE | Mode Data Structure | ||
| 14 | SITAGCYCOLLECTCTRLDATA | Structure with Data for Collections | ||
| 15 | SITAGCYCONTH | Structure: Header Data - Container | ||
| 16 | SITAGCYCONTREP | Structure for Container and Report Data | ||
| 17 | SITAGCYDATA | Agency Collections: Global Data | ||
| 18 | SITAGCYDIFFCONTROL | Return Structure for Handling Differences | ||
| 19 | SITAGCYDIFFCONTROL | Return Structure for Handling Differences | ||
| 20 | SITAGCYDIFFITEMCTRL | Control Structure for Third-Party Differences | ||
| 21 | SITAGCYDIFFITEMCTRL | Control Structure for Third-Party Differences | ||
| 22 | SITAGCYDIFFRULES | Structure Rules for Handling Differences | ||
| 23 | SITAGCYOPENCOSTCTRL | Control Structure for Managing Open Costs | ||
| 24 | SITAGCYOPENCOSTCTRL | Control Structure for Managing Open Costs | ||
| 25 | SITAGCYOPENITEMCTRL | Control Structure OI Management | ||
| 26 | SITAGCYOPENITEMCTRL | Control Structure OI Management | ||
| 27 | SITAGCYORG | Organizational Unit Data | ||
| 28 | SITAGCYORGDESCR | Organizational Units Description | ||
| 29 | SITAGCYOWNSHARESINPUT | Agency Collections: Help Structure Display Own Shares | ||
| 30 | SITAGCYOWNSHARESINPUT | Agency Collections: Help Structure Display Own Shares | ||
| 31 | SITAGCYPMPARTNERDATA | Partner Data for Payment Methods | ||
| 32 | SITAGCYPM_ADD | Agency Collections: Other Payment Methods | ||
| 33 | SITAGCYPM_ADD_DETAIL | Details for Other Payment Method | ||
| 34 | SITAGCYPM_BANK | Automatic Debit Structure | ||
| 35 | SITAGCYPM_BANK_DETAIL | Automatic Debit Structure | ||
| 36 | SITAGCYPM_BANK_PM | Structure Bank Entries with Payment Method | ||
| 37 | SITAGCYPM_CASH_DETAIL | Details for Cash Payment Method | ||
| 38 | SITAGCYPM_CC | Credit Card Structure | ||
| 39 | SITAGCYPM_CC_DETAIL | Credit Card Structure | ||
| 40 | SITAGCYPM_CC_PM | Structure Credit Card Entries with Payment Method | ||
| 41 | SITAGCYPM_CHECK_DETAIL_OUT | Structure Check for Outgoing Payments | ||
| 42 | SITAGCYPM_CHECK_PM | Structure Check Entries with Payment Method | ||
| 43 | SITAGCYPM_CTRL | Payment Information | ||
| 44 | SITAGCYPM_CTRL | Payment Information | ||
| 45 | SITAGCYPM_DETAILS | Payment Method Structure | ||
| 46 | SITAGCYPM_PAY | Payment Information | ||
| 47 | SITAGCYPM_TRANSFER_DETAIL | Transfer Entries Structure | ||
| 48 | SITAGCYTEMPCLARITEMCTRL | Control Structure for Clarification of Temporary Coll./Disb. | ||
| 49 | SITAGCYTEMPCLARITEMCTRL | Control Structure for Clarification of Temporary Coll./Disb. | ||
| 50 | SITAGCYTEMPCOLLCTRL | Control Structure for Temporary Collections | ||
| 51 | SITAGCYTEMPCOLLCTRL | Control Structure for Temporary Collections | ||
| 52 | SITAGCYUSERDATA | User Data Structure | ||
| 53 | SITAGCY_OI_CONTRACT_SUMMARY | Summarization of OIs Acc. to Contract Rel. and Company Code | ||
| 54 | SITAGCY_REVERSE_STOREDPOSCTRL | Control Data for Selected Items in Reversal | ||
| 55 | V_ITAGCYPM_TYPE | Generated Table for View |