Data Element list used by SAP ABAP Table VALS_CUST (Customizing Settings for a Valuation Step)
SAP ABAP Table VALS_CUST (Customizing Settings for a Valuation Step) is using
# | Object Type | Object Name | Object Description | Note |
---|---|---|---|---|
1 | Data Element | KURST_CURR | Exchange rate type | |
2 | Data Element | SEFFMETH | Effective Interest Method (Financial Mathematics) | |
3 | Data Element | TPM_ACCRUE_COMP | Additional Components Managed | |
4 | Data Element | TPM_ALLOW_CALC_DERIVED | Allow Calculation of Derived Business Transactions | |
5 | Data Element | TPM_AMORT_CUT | Cut SAC Amortization | |
6 | Data Element | TPM_AMORT_END | Amortization to Final Due Date / Termination | |
7 | Data Element | TPM_BRUTTO_NETTO | Indicator Gross or Net Procedure | |
8 | Data Element | TPM_COMPUTATION_CAT | Calculation Category for Amortization | |
9 | Data Element | TPM_COMP_VAL | Select Component for Valuation | |
10 | Data Element | TPM_COSTS | Write Off Costs Fully | |
11 | Data Element | TPM_CROSS | Indicator: Cross Valuation for Forward Exchange Transaction | |
12 | Data Element | TPM_DERIVATION_CAT | Position mgt categ. | |
13 | Data Element | TPM_DISSOLVE | Flag: Reset is Possible | |
14 | Data Element | TPM_DOWN | Write-Down Rule | |
15 | Data Element | TPM_EFF_INTEREST_SAC | Treatment of Effect. Interest Rate for Amort. Acc. to SAC | |
16 | Data Element | TPM_FLG_AMORT_END_EXCL | Exclude Final Amortization Date from Amortization Period | |
17 | Data Element | TPM_FLG_AMORT_EXCL_TB_FLOWS | Exclude Interest-Like Flows | |
18 | Data Element | TPM_FLG_CLEAR_VAL | Reset Forex Valuation When Record/Reset Impairment | |
19 | Data Element | TPM_FLG_DIRTY_PRICE | Use Dirty Price (Market Price + Interest Accrual) | |
20 | Data Element | TPM_FORWARD_CAT | Rate Valuation Category Forward | |
21 | Data Element | TPM_GAIN_LOSS_HANDLING | Handling of Gains/Losses | |
22 | Data Element | TPM_IMP_PROC | Impairment Procedure | |
23 | Data Element | TPM_INCL_INTEREST | Inclusion of Interest in Amortization Calculation | |
24 | Data Element | TPM_KEY_DATE_INCL | Indicator for Including Key Date | |
25 | Data Element | TPM_KEY_DATE_ULT | Month-End Indicator for Key Date | |
26 | Data Element | TPM_NETTING | Indicator: Offsetting Transaction for Forward Exchange Trans | |
27 | Data Element | TPM_NPV_CATEGORY | NPV Category | |
28 | Data Element | TPM_PARTITION | Indicator: Clear Gains/Losses | |
29 | Data Element | TPM_PARTITION | Indicator: Clear Gains/Losses | |
30 | Data Element | TPM_POSITION_PASSIV | Liability/Asset | |
31 | Data Element | TPM_POSTING_SPEC_VAL | Posting Specifications Selection | |
32 | Data Element | TPM_POS_MAN_PROC | Position Management Procedure | |
33 | Data Element | TPM_PURCHASE_GAAP | Purchase GAAP Indicator | |
34 | Data Element | TPM_RATE_CAT_SPOTP | Rate Type for Spot - Purchase Currency/Valuation Currency | |
35 | Data Element | TPM_RATE_CAT_SPOTS | Rate Type for Spot - Selling Currency/Valuation Currency | |
36 | Data Element | TPM_RATE_CAT_SWAPP | Rate Type for Spot - Purchase Currency/Valuation Currency | |
37 | Data Element | TPM_RATE_CAT_SWAPS | Rate Type for Swap - Selling Currency/Valuation Currency | |
38 | Data Element | TPM_SP_VAL_SEC | Indicator: Enable Special Write-Up/Write-Down for Securities | |
39 | Data Element | TPM_STEP_PROCEDURE | Procedure for a Step | |
40 | Data Element | TPM_TI_CLEAR_VAL_CURR_AMT | Clear Amount in Valuation Currency if Valuation is Resolved | |
41 | Data Element | TPM_UP | Write-Up Rule | |
42 | Data Element | TPM_VAL_STEP_CAT | Type of Step | |
43 | Data Element | TV_OKUART | Price/NPV type for OTC transactions | |
44 | Data Element | VVSKURSART | Security Price Type | |
45 | Data Element | VVSULTBIS | Month-End Indicator for the End of a Calculation Period | |
46 | Data Element | VVSULTVON | Month-End Indicator for Start of a Calculation Period |