Data Element list used by SAP ABAP Table VTB_SFHAZU (Forwards: Financial Transaction Activity)
SAP ABAP Table VTB_SFHAZU (Forwards: Financial Transaction Activity) is using
# | Object Type | Object Name | Object Description | Note |
---|---|---|---|---|
1 | Data Element | BUKRS | Company Code | |
2 | Data Element | DKEMI | Issuer call date | |
3 | Data Element | MANDT | Client | |
4 | Data Element | RDEALER | Trader | |
5 | Data Element | SEFFMETH | Effective Interest Method (Financial Mathematics) | |
6 | Data Element | SEFFMETH_NEW | Effective Interest Method (Financial Mathematics) | |
7 | Data Element | SNWHR | Currency of nominal amount | |
8 | Data Element | SNWHR | Currency of nominal amount | |
9 | Data Element | SSTOGRD | Reason for Reversal | |
10 | Data Element | TB_BPPRC | Security Price for Percentage Quotation | |
11 | Data Element | TB_BPPRC | Security Price for Percentage Quotation | |
12 | Data Element | TB_BPPRCLIM | Limit Price for Percentage Quotation | |
13 | Data Element | TB_BPPRC_COC2 | Interest Rate for Cost of Carryforward | |
14 | Data Element | TB_BPPRC_MARG | Margin Rate in Percentage | |
15 | Data Element | TB_BPPRC_SPOT1 | Current Spot Rate in Percentage | |
16 | Data Element | TB_BPPRC_SPOT_MAT | Spot Rate at Maturity in Percentage | |
17 | Data Element | TB_BUPRC | Security Price Without Currency Ref. with Unit Quotation | |
18 | Data Element | TB_BUPRC | Security Price Without Currency Ref. with Unit Quotation | |
19 | Data Element | TB_BUPRCLIM | Limit Price for Unit Quotation | |
20 | Data Element | TB_BUPRC_MARG | Margin Rate (Amount Without Currency Reference) | |
21 | Data Element | TB_BUPRC_SPOT1 | Current Spot Rate Unit-Quoted Without Currency Reference | |
22 | Data Element | TB_BUPRC_SPOT_MAT | Spot Rate at Maturity Without Currency Reference | |
23 | Data Element | TB_BZBETR_SUM | Net payment amount | |
24 | Data Element | TB_CONF | Confirmation Status | |
25 | Data Element | TB_CRUSER | Entered by | |
26 | Data Element | TB_DANST | Reservation date | |
27 | Data Element | TB_DANSTX | Reservation date as text field | |
28 | Data Element | TB_DBLFZ | Term Start | |
29 | Data Element | TB_DCONF | Confirmation Date | |
30 | Data Element | TB_DCRDAT | Entered On | |
31 | Data Element | TB_DELFZ | Term End | |
32 | Data Element | TB_DFESTSI | Actual rate fixing date | |
33 | Data Element | TB_DFIX | Fixing date | |
34 | Data Element | TB_DFNAME | Market Data: Data Provider | |
35 | Data Element | TB_DORDER | Order date | |
36 | Data Element | TB_DREDAT | Counterconfirmation Date | |
37 | Data Element | TB_DUPDAT | Changed on | |
38 | Data Element | TB_DVTRAB | Contract Conclusion Date | |
39 | Data Element | TB_DZNSSTD | Payment date for deferred interest | |
40 | Data Element | TB_DZSTND | Last activity transition date (e.g. for rollover) | |
41 | Data Element | TB_GSPPART | Contact Person | |
42 | Data Element | TB_JMANU | Indicator: Manual entry | |
43 | Data Element | TB_KKASSA | Spot Rate | |
44 | Data Element | TB_KKURS | Rate of Forex Transaction | |
45 | Data Element | TB_KSWAP | Swap Rate | |
46 | Data Element | TB_LIMITAR | Limit type | |
47 | Data Element | TB_LIMITDA | Limit date | |
48 | Data Element | TB_LIMITDAX | Limit date | |
49 | Data Element | TB_LIWAERS | Reference currency for limit | |
50 | Data Element | TB_NORDEXT | External Reference | |
51 | Data Element | TB_NOTICE_DATE | OTC Notice Date | |
52 | Data Element | TB_PYIELD | Effective Interest Rate | |
53 | Data Element | TB_PYIELD | Effective Interest Rate | |
54 | Data Element | TB_PYIELDCALL | Effective interest rate - termination of issuer | |
55 | Data Element | TB_PYIELD_GIVEN | Given Effective Interest Rate | |
56 | Data Element | TB_RECONF | Counterconfirmation | |
57 | Data Element | TB_RFHA | Financial Transaction | |
58 | Data Element | TB_RFHAZU | Transaction activity | |
59 | Data Element | TB_RFHAZUX | Previous activity, which is supplemented by current activity | |
60 | Data Element | TB_RKONDGR | Direction of Transaction | |
61 | Data Element | TB_ROFHAZU | Previous Activity | |
62 | Data Element | TB_RUNIT | Currency unit of rate | |
63 | Data Element | TB_RUNIT | Currency unit of rate | |
64 | Data Element | TB_RUNIT | Currency unit of rate | |
65 | Data Element | TB_SAKTIV | Active Status of Transaction or Activity | |
66 | Data Element | TB_SANST | Reservation Reason | |
67 | Data Element | TB_SFGZUTY | Transaction Activity Category | |
68 | Data Element | TB_SFHAART | Financial Transaction Type | |
69 | Data Element | TB_SFUNKTL | Latest function used in editing activity | |
70 | Data Element | TB_SFUNKTV | Transition Function from Directly Preceding Activity | |
71 | Data Element | TB_SINCLE | End of Term Inclusive Indicator | |
72 | Data Element | TB_SPESEN | Expenses key | |
73 | Data Element | TB_SZNSPRO | Interest Handling with Rollover | |
74 | Data Element | TB_TANST | Order time of day | |
75 | Data Element | TB_TCRTIM | Entry Time | |
76 | Data Element | TB_TFESTSI | Actual time of rate fixing | |
77 | Data Element | TB_TUPTIM | Time changed | |
78 | Data Element | TB_TVTRAB | Time of contract conclusion | |
79 | Data Element | TB_UCONF | Confirmation Executed By (User Responsible) | |
80 | Data Element | TB_UPUSER | Last Changed by | |
81 | Data Element | TB_URENAM | Counterconfirmation Executed by (User Responsible) | |
82 | Data Element | TB_VERK6B | Flag for sale from §6b - position | |
83 | Data Element | TB_WFWAERS | Following Currency | |
84 | Data Element | TB_WLWAERS | Leading currency | |
85 | Data Element | TB_WZBETR | Payment Currency | |
86 | Data Element | TB_XFUNKT | Name of Treasury function | |
87 | Data Element | TB_XFUNKT | Name of Treasury function | |
88 | Data Element | TB_XTTEXT | Name of activity category | |
89 | Data Element | TEXT60 | Text Field of Length 60 | |
90 | Data Element | TEXT60 | Text Field of Length 60 | |
91 | Data Element | TEXT60 | Text Field of Length 60 | |
92 | Data Element | TM_XABSCHL | Close Date | |
93 | Data Element | TM_XAKTIV | Active status: description | |
94 | Data Element | TM_XGSCHTG | Description of working day method | |
95 | Data Element | TM_XGSCHTG | Description of working day method | |
96 | Data Element | TM_XLFZBEG | Term Start | |
97 | Data Element | TM_XLFZEND | End of Term | |
98 | Data Element | TM_XZINSBM | Description of interest calculation method | |
99 | Data Element | TM_XZINSKZ | Short text for interest frequency indicator | |
100 | Data Element | TM_XZNSPRO | Interest treatment for rollover: description | |
101 | Data Element | TM_XZNSSTD | Payment date for deferred interest | |
102 | Data Element | TPM_ROUNDING_RULE | Rounding Rule | |
103 | Data Element | TX_KWLIQ | Liquidity effect for rollover | |
104 | Data Element | VPOS_FREE_P | Position excluding current business transaction | |
105 | Data Element | VPOS_FREE_P_CUM | Position including current business transaction | |
106 | Data Element | VPOS_FREE_U | Position excluding current business transaction | |
107 | Data Element | VPOS_FREE_U_CUM | Position including current business transaction | |
108 | Data Element | VVSART | Product Type | |
109 | Data Element | WP_XORDER | Order date as text field | |
110 | Data Element | XAKT | File Number |