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