Data Element list used by SAP ABAP Table TRSS_CLASFLO_ADD_FIELDS (CFM: Class Flows in Securities Account + Technical Fields)
SAP ABAP Table
TRSS_CLASFLO_ADD_FIELDS (CFM: Class Flows in Securities Account + Technical Fields) 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 | DBERBIS | End of Calculation Period | ||
| 5 | DBERVON | Start of Calculation Period | ||
| 6 | DFAELL | Due date | ||
| 7 | DGUEL_KP | Condition Item Valid From | ||
| 8 | DVALUT | Calculation Date | ||
| 9 | DZLSCH | Payment method | ||
| 10 | DZWELS | List of the Payment Methods to be Considered | ||
| 11 | INT4 | Natural number | ||
| 12 | MANDT | Client | ||
| 13 | NSTUFE | Level number of condition item for recurring payments | ||
| 14 | PKOND | Percentage rate for condition items | ||
| 15 | RPCODE | Repetitive Code | ||
| 16 | RPCODE_TEXT | Reference Text for Repetitive Code | ||
| 17 | SBEWFIMA | Calculation category for cash flow calculator | ||
| 18 | SFULT | Month-End Indicator for Due Date | ||
| 19 | SKOART | Condition Type (Smallest Subdivision of Condition Records) | ||
| 20 | SPLANIST | Plan/actual record/record to be released indicator | ||
| 21 | SSTCKKZ | Accrued interest method | ||
| 22 | SSTCKTG | Accrued interest: Daily method | ||
| 23 | SZBMETH | Interest Calculation Method | ||
| 24 | TB_DZFEST | Interest rate fixing date | ||
| 25 | TB_JZINSRE | Exponential Interest Calculation | ||
| 26 | TB_RHABKI | Short key for own house bank | ||
| 27 | TB_RHKTID | Short key for house bank account | ||
| 28 | TB_RPBANK | Partner bank details | ||
| 29 | TB_RPZAHL_NEW | Payer/payee | ||
| 30 | TB_SCSPAY | Same direction necessary for joint payment? | ||
| 31 | TB_SPAYRQK | Generate payment request | ||
| 32 | TB_SPRGRD | Determine grouping definition | ||
| 33 | TB_SPRSNG | Individual payment required | ||
| 34 | TB_SSIGN | Direction of flow | ||
| 35 | TB_SZART | Payment transaction | ||
| 36 | TFMATAGE | Number of Days | ||
| 37 | TFMSKALIDWT | Interest Calendar | ||
| 38 | TFMSOFVERR | Indicator for Immediate Settlement (Financial Mathematics) | ||
| 39 | TFMSPAEXCL | Exclusive Indicator for Start Date of a Period | ||
| 40 | TFMSPAULT | Month-End Indicator for Start Date of a Period | ||
| 41 | TFMSPEINCL | Inclusive Indicator for End Date of a Period | ||
| 42 | TFMSPEULT | Month-End Indicator for End of a Period | ||
| 43 | TFMWHRKOND | Currency of Condition Item | ||
| 44 | TFM_BBASIS2 | Calculation Base Amount | ||
| 45 | TFM_BKOND | Condition item currency amount | ||
| 46 | TFM_KBKOND | Currency-independent FiMa condition amount | ||
| 47 | TFM_PPAYMENT | Payment Rate | ||
| 48 | TFM_SAEND | Change Indicator for FiMa Flow Records | ||
| 49 | TFM_SBASIS | Calculation Base Reference | ||
| 50 | TPMFLG_CL_FL_INC | Flag: Business Trans. Contains All Incoming Payment Flows | ||
| 51 | TPM_BUSTRANSCAT | Business Transaction Category | ||
| 52 | TPM_BUSTRANSID | Identifier of the Distributor Business Transaction | ||
| 53 | TPM_BUSTRANSID_TRS_REF | Identifier of Referenced Distributor Business Transaction | ||
| 54 | TPM_BUSTRANS_STATE | Status of Distributor Business Transaction | ||
| 55 | TPM_COUPON_DATE | Date of the Next Coupon | ||
| 56 | TPM_COUPON_SIGN | Coupon ID for Interest and Accrued Interest Calculation | ||
| 57 | TPM_DB_OS_GUID | Object Identity in Database Format | ||
| 58 | TPM_DB_OS_GUID | Object Identity in Database Format | ||
| 59 | TPM_DIS_FLOWTYPE | Update Type | ||
| 60 | TPM_FIXING_DATE | CFM: Fixing Date | ||
| 61 | TPM_FIXING_TIME | CFM: Fixing Time | ||
| 62 | TPM_FIXING_USER | CFM: Fixing Processor | ||
| 63 | TPM_FLOWCAT_TRS | Flow Category for Securities Account Management | ||
| 64 | TPM_FX_RATE_LOCAL | Exchange Rate from Payment to Local Currency | ||
| 65 | TPM_FX_RATE_PAYMT | Exchange Rate from Payment Currency to Position Currency | ||
| 66 | TPM_LOCAL_AMT | Amount in Local Currency | ||
| 67 | TPM_LOCAL_CURR | Local Currency | ||
| 68 | TPM_NOMINAL_AMT | Nominal Amount | ||
| 69 | TPM_NOMINAL_CURR | Nominal Currency | ||
| 70 | TPM_NOMINAL_ORG_AMT | Original Nominal Amount in Position Currency | ||
| 71 | TPM_PAYMENT_AMT | Amount in Payment Currency | ||
| 72 | TPM_PAYMENT_CURR | Payment Currency | ||
| 73 | TPM_PAYMENT_DATE | Payment Date | ||
| 74 | TPM_POSITION_AMT | Amount in Position Currency | ||
| 75 | TPM_POSITION_AMT_IDX_CLEAN | Amount in Position Currency Index-Clean | ||
| 76 | TPM_POSITION_CURR | Position Currency | ||
| 77 | TPM_POSITION_DATE | Position Value Date | ||
| 78 | TPM_QTY_PM_CAT | Position Change Category: Quantity | ||
| 79 | TPM_SWOHER_TRS | CFM: Origin Indicator TRS | ||
| 80 | TPM_TRDFLOWNR | Number of a Distributor Flow | ||
| 81 | TPM_UNITS | Units | ||
| 82 | UZAWE | Payment method supplement | ||
| 83 | VVAPERTAGE | No. of days of a (calculation) period in cash flow | ||
| 84 | VVDBPERIOD | Period start | ||
| 85 | VVDEPERIOD | Period End | ||
| 86 | VVDPKOND | Determination date for percentage rate of condition items | ||
| 87 | VVDVERRECH | Settlement date | ||
| 88 | VVSEXCLVON | Exclusive Indicator for the Start of a Calculation Period | ||
| 89 | VVSFIXRATE | Fixed exchange rate | ||
| 90 | VVSFLAT | Indicator 'Traded flat',i.e.no accrued interest calculation | ||
| 91 | VVSINCL | Inclusive indicator for beginning and end of a period | ||
| 92 | VVSINCLBIS | Inclusive Indicator for the End of a Calculation Period | ||
| 93 | VVSINCLVER | Inclusive Indicator for Clearing Date | ||
| 94 | VVSTGBASIS | Base Days Method | ||
| 95 | VVSTGMETH | Daily Method | ||
| 96 | VVSULTBIS | Month-End Indicator for the End of a Calculation Period | ||
| 97 | VVSULTVERR | Month-End Indicator for Clearing Date | ||
| 98 | VVSULTVON | Month-End Indicator for Start of a Calculation Period | ||
| 99 | VVSVULT | Month-End Indicator for Value Date |