Data Element list used by SAP ABAP Table TPM_TRS_SAT_200 (Screen Structure for Securities Account Transfer)
SAP ABAP Table
TPM_TRS_SAT_200 (Screen Structure for Securities Account Transfer) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | BLDAT | Document Date in Document | ||
| 2 | BUKRS | Company Code | ||
| 3 | BUTXT | Name of Company Code or Company | ||
| 4 | DZUONR | Assignment number | ||
| 5 | LTX | Status name | ||
| 6 | LTX | Status name | ||
| 7 | TB_DBESTANDX | Position value date | ||
| 8 | TPM_CALC_DATE | Calculation Date for Securities Account Transfer | ||
| 9 | TPM_COM_VAL_CLASS | General Valuation Class | ||
| 10 | TPM_COM_VAL_CLASS | General Valuation Class | ||
| 11 | TPM_COM_VAL_CLASS_NAME | Name of the General Valuation Class | ||
| 12 | TPM_COUPON_DATE | Date of the Next Coupon | ||
| 13 | TPM_COUPON_SIGN | Coupon ID for Interest and Accrued Interest Calculation | ||
| 14 | TPM_DEPO_DESTIN | Target Securities Account | ||
| 15 | TPM_DEPO_SOURCE | Source Securities Account | ||
| 16 | TPM_DFT_TEXT | Update Type Text | ||
| 17 | TPM_DFT_TEXT | Update Type Text | ||
| 18 | TPM_DIS_FLOWTYPE | Update Type | ||
| 19 | TPM_DIS_FLOWTYPE | Update Type | ||
| 20 | TPM_FI_POSTING_DATE | Different FI Posting Date | ||
| 21 | TPM_FI_POSTING_PERIOD | Different FI Posting Period | ||
| 22 | TPM_NOMINAL_AMT | Nominal Amount | ||
| 23 | TPM_NOMINAL_AMT_NEW | Nominal Amount After Transfer Posting | ||
| 24 | TPM_NOMINAL_AMT_NEW | Nominal Amount After Transfer Posting | ||
| 25 | TPM_NOMINAL_AMT_OLD | Nominal Amount Before Transfer Posting | ||
| 26 | TPM_NOMINAL_AMT_OLD | Nominal Amount Before Transfer Posting | ||
| 27 | TPM_NOMINAL_CURR | Nominal Currency | ||
| 28 | TPM_NOMINAL_CURR | Nominal Currency | ||
| 29 | TPM_NOMINAL_ORG_AMT | Original Nominal Amount in Position Currency | ||
| 30 | TPM_NOMINAL_ORG_AMT_NEW | Original Nominal Amount After Transfer Posting | ||
| 31 | TPM_NOMINAL_ORG_AMT_NEW | Original Nominal Amount After Transfer Posting | ||
| 32 | TPM_NOMINAL_ORG_AMT_OLD | Original Nominal Amount Before Transfer Posting | ||
| 33 | TPM_NOMINAL_ORG_AMT_OLD | Original Nominal Amount Before Transfer Posting | ||
| 34 | TPM_PORTFOLIO_DIFF | Portfolio as Differentiation Characteristic | ||
| 35 | TPM_POSITION_CURR | Position Currency | ||
| 36 | TPM_POSITION_DATE | Position Value Date | ||
| 37 | TPM_SA_TYPE_TEXT | Text for Fund Type | ||
| 38 | TPM_SA_TYPE_TEXT | Text for Fund Type | ||
| 39 | TPM_SECACC_CAT | Securities Account Category | ||
| 40 | TPM_SECACC_CAT | Securities Account Category | ||
| 41 | TPM_SECACC_TYPE | Securities Account Type | ||
| 42 | TPM_SECACC_TYPE | Securities Account Type | ||
| 43 | TPM_UNITS | Units | ||
| 44 | TPM_UNITS | Units | ||
| 45 | TPM_UNITS | Units | ||
| 46 | TPM_UNITS | Units | ||
| 47 | TPM_UNITS | Units | ||
| 48 | TPM_XBETRAG | Nominal as Text Field (Length 21) | ||
| 49 | TPM_XBETRAG_ORG | Orignal Nominal as Text Field (Length 21) | ||
| 50 | VRLDEPO | Securities Account | ||
| 51 | VVRANLW | Security ID Number | ||
| 52 | VVSART | Product Type | ||
| 53 | VVXPORTB | Portfolio name | ||
| 54 | XALKZ | Short name | ||
| 55 | XLDEPO | Securities account ID | ||
| 56 | XLDEPO | Securities account ID | ||
| 57 | XLDEPO | Securities account ID |