Data Element list used by SAP ABAP View V_TB2BE (Trading Contract: Trading Contract Type Definition)
SAP ABAP View
V_TB2BE (Trading Contract: Trading Contract Type Definition) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | BEZEI20 | Description | ||
| 2 | BEZEI40 | Description | ||
| 3 | BEZEI40 | Description | ||
| 4 | BEZEI40 | Description | ||
| 5 | BTBSTA_BEZ | Trading Contract: Name of Application Status | ||
| 6 | BTBSTA_DEF | Trading Contract: Default Application status | ||
| 7 | BTBSTA_DEF_INCO | Trading Contract: Default Application Status Incomplete | ||
| 8 | BWREL | Trading Contract Type: BW Relevance | ||
| 9 | CURVW | Exchange rate type usage | ||
| 10 | DEFKURST | Trading Contract: Default Exchange Rate Type | ||
| 11 | DEFWAERS | Trading Contract: Default Currency | ||
| 12 | GBATCH | Trading Contract: Automatic Generation of Batches | ||
| 13 | INCPO | Increment of item number in the SD document | ||
| 14 | KALSMBP_MGT | Trad.Contr: Message Schema f. Empl., Messages at Item Level | ||
| 15 | KALSMB_MGT | Trading Contract: Message Schema for Messages for Employee | ||
| 16 | LIVAR | List variant for sales price calculation | ||
| 17 | LTEXT | Long Text | ||
| 18 | MANDT | Client | ||
| 19 | NA_KAPPL | Application for output conditions | ||
| 20 | NUMKI | Number range in the case of internal number assignment | ||
| 21 | PARGR | Partner Determination Procedure | ||
| 22 | PZUGR | Responsibility Group | ||
| 23 | STATGR | Trading Contract: Status Group | ||
| 24 | TCCAT | Trading Contract: Contract Category | ||
| 25 | TCSACHV | Trading Contract: Suggest Person Responsible | ||
| 26 | TCTYP | Trading Contract: Trading Contract Type | ||
| 27 | TCTYP_BEZ | Name of Trading Contract Type | ||
| 28 | TCUNCGR | Trading Contract: Incompleteness Group | ||
| 29 | TCVARIANT | Transaction variant | ||
| 30 | TC_CHANGE_CHECK | Trading Contract: Schema for Fields to be Checked | ||
| 31 | TDTPC | Trading Contract: Sales Group | ||
| 32 | TDTPV | Trading Contract: Purchasing Group | ||
| 33 | TKONN_EX_ACT | Trading Contract: External Number Active | ||
| 34 | TKONN_EX_CHECK | Trading Contract: Check External Number | ||
| 35 | WB2_ASSO_OFF | Deactivate Association for One Side in Trading Contract | ||
| 36 | WB2_BEZOB | Reference Required | ||
| 37 | WB2_CLOSING_RULE | Trading Contract: Completion Rule | ||
| 38 | WB2_CONTR_GROUP | Portfolio: Control Type for Portfolio Determination | ||
| 39 | WB2_DELIVDATE_DEFAULT | Trading Contract: Default Delivery Date | ||
| 40 | WB2_EVENT_RELEVANT | Trading Contract: Control of Event Call-Up | ||
| 41 | WB2_FOLLOW_DOC_DIRECT | Trading Contract: Create Follow-On Document When TC Posted | ||
| 42 | WB2_GTS_RELEVANT | Trading Contract Type Is Relevant for GTS Check | ||
| 43 | WB2_PRCHGRP | Price Change Group | ||
| 44 | WB2_PRICE_DEFAULT | Trading Contract: Price Proposal | ||
| 45 | WB2_PRICING_TYPE | Definition of Pricing Procedure in Trading Contract | ||
| 46 | WB2_TCGROUP | Trading Contract Group | ||
| 47 | WB2_TC_TYPE_BLOCK | Trading Contract: Contract Type Block | ||
| 48 | WCHQU | Trad. Contr.: Check Quantities Before Setting to Active | ||
| 49 | WCHUN | Trad. Contr.: Check Completeness Bef. Setting to Active |