Data Element list used by SAP ABAP Table TXI_AT10 (Transaction type)
SAP ABAP Table TXI_AT10 (Transaction type) is using
# | Object Type | Object Name | Object Description | Note |
---|---|---|---|---|
1 | Data Element | J_STSMA | Status Profile | |
2 | Data Element | MANDT | Client | |
3 | Data Element | NUMKRANG | Number range for offers/quotations | |
4 | Data Element | NUMKRSIM | Number range for simulated transactions | |
5 | Data Element | RANTYP | Contract Type | |
6 | Data Element | TB_ABWTYP | Processing Category | |
7 | Data Element | TB_AHJFA | Number of Half-Years for Generating Cash Flow | |
8 | Data Element | TB_DATE_RULE | Date Rule to Determine Due Date | |
9 | Data Element | TB_FLAG_FLAT | Indicator: Traded Flat | |
10 | Data Element | TB_NUMKRG | Number range for transactions | |
11 | Data Element | TB_RROUND | Rounding unit | |
12 | Data Element | TB_SAUTOB | Automatic posting release | |
13 | Data Element | TB_SBESTAB | Treasury: Flow type for position writedowns | |
14 | Data Element | TB_SBESTAB | Treasury: Flow type for position writedowns | |
15 | Data Element | TB_SBESTZU | Treasury: Flow type for position writeups | |
16 | Data Element | TB_SBESTZU | Treasury: Flow type for position writeups | |
17 | Data Element | TB_SFGTYP | Transaction Category | |
18 | Data Element | TB_SFHAART | Financial Transaction Type | |
19 | Data Element | TB_SGEWAUF | Treasury: Flow type for writing back unrealized gains | |
20 | Data Element | TB_SGEWBIL | Treasury: Flow type for unrealized gains to be disclosed | |
21 | Data Element | TB_SLPG | Limit Product Group | |
22 | Data Element | TB_SREALGE | Treasury: Flow Type for Realized Gains | |
23 | Data Element | TB_SREALGE | Treasury: Flow Type for Realized Gains | |
24 | Data Element | TB_SREALVE | Treasury: Flow Type for Realized Losses | |
25 | Data Element | TB_SREALVE | Treasury: Flow Type for Realized Losses | |
26 | Data Element | TB_SROUND | Rounding Type | |
27 | Data Element | TB_SRUEAUF | Treasury: Flow type for reversing provisions | |
28 | Data Element | TB_SRUEBIL | Treasury: Flow type for provisions to be created | |
29 | Data Element | TB_SSWPUER | Treasury: Transfer flow for foreign exchange swap revenue | |
30 | Data Element | TB_SSWPUMB | Treasury: Transfer flow for forex swap expenses | |
31 | Data Element | TB_SWAPAUF | Treasury: flow type for accrued/deferred forex swap expenses | |
32 | Data Element | TB_SWAPERT | Treasury: flow type for accrued/deferred forex swap revenue | |
33 | Data Element | TB_SWGWAUF | Treasury: Flow type for writing back unrealized swap gains | |
34 | Data Element | TB_SWGWBIL | Treasury: Flow type for disclosing unrealized gains - swap | |
35 | Data Element | TB_SWPAUAU | Treasury: Flow type f. writing back accrd/defrd fx swap exp. | |
36 | Data Element | TB_SWPERAU | Treasury: Flow type for writing back accrd/defd fx swap rev. | |
37 | Data Element | TB_SWRUEAU | Treasury: Flow type for writing back provisons - swap | |
38 | Data Element | TB_SWRUEBI | Treasury: Flow type for creating provisions - swap | |
39 | Data Element | TB_UNUMKR | Number range for underlying | |
40 | Data Element | TM_SBSTDCP | Nominal value as Commercial Paper principal | |
41 | Data Element | TM_SCOMPCP | Exponential discounting for term over 1 year | |
42 | Data Element | VVSART | Product Type |