Where Used List (Table) for SAP ABAP Data Element CONT_ITAGCY (Cash Desk Container ID)
SAP ABAP Data Element
CONT_ITAGCY (Cash Desk Container ID) is used by
| # | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
|---|---|---|---|---|---|---|
| 1 | ITAGCYBNKTRTRIGG - CONT | Trigger Table Bank Deposits for Agencies | ||||
| 2 | ITAGCYCDIBR - CONT | Link Table Between Container and Broker Report | ||||
| 3 | ITAGCYCLEARSUM - CONT | Italian Agency Collections: Clearing Account Totals | ||||
| 4 | ITAGCYCOINSADD - CONT | Agency Collections: Addtl Specification Coinsurance Shares | ||||
| 5 | ITAGCYCOLLTR - CONT | Transfer Information | ||||
| 6 | ITAGCYCOMMCLEAR - CONT | TriggerTab Commission to Subagent from Internal Agencies | ||||
| 7 | ITAGCYCOMMCTRLCP - CONT | Agency Coll.: Commission Monitoring Automatic Container | ||||
| 8 | ITAGCYCONTCLERR - CONT | Agency Collections: Error when Closing Container | ||||
| 9 | ITAGCYCONTCLOSE - CONT | Data for Closed Containers | ||||
| 10 | ITAGCYCONTH - CONT | Header Data for Cash Desk Container | ||||
| 11 | ITAGCYCONTP - CONT | Items for a Container | ||||
| 12 | ITAGCYDOC - CONT | Agency Collections: Documents | ||||
| 13 | ITAGCYINSCOMPSH - CONT | Agency Collections: Shares to Be Transferred to Insurance | ||||
| 14 | ITAGCYPYMETSET - CONT | Setting Payment Methods in Agency Collections | ||||
| 15 | ITAGCYREPORT - CONT | Broker Report for Containers | ||||
| 16 | ITAGCYSUBCOMMTRG - CONT | Trigger Table for Posting and Transferring Subcommission | ||||
| 17 | ITAGCYTPCOMM - CONT | Reported Commission for Items in a Container | ||||
| 18 | SITAGCYACCDISPLAYOPEN - CONT | Agency Collections: Display Structure for Open Items | ||||
| 19 | SITAGCYACCGROUP - CONT | Open Items for Account Maintenance in Agency Collections | ||||
| 20 | SITAGCYACCSELVALUES - CONT | Selection Values Account Balance for Agencies | ||||
| 21 | SITAGCYCLEARSUM - CONT | Structure for Postings on Clearing Account | ||||
| 22 | SITAGCYCOCTRLDATA - CONTAINER | Current Data for Collection Controller | ||||
| 23 | SITAGCYCOINSADD - CONT | Struct.of Addtnl Data If Agency Transfers Coins.Shares | ||||
| 24 | SITAGCYCOINSCOLLECTTRANSFER - CONT | Agency Collections: Summarization Structure Coinsur. Shares | ||||
| 25 | SITAGCYCOINSENQ - CONT | Lock Structure Coinsurance Shares Agency Collections | ||||
| 26 | SITAGCYCOMMCLEAR - CONT | Commission to Subagencies from External Agencies | ||||
| 27 | SITAGCYCONTAINERDISPLAY - CONTAINER_INTERNAL | Display Structure for a Container | ||||
| 28 | SITAGCYCONTBROCONASSIGN - CONT | Link Container to Broker / Broker Contract | ||||
| 29 | SITAGCYCONTCLSELVALUES - CONTAINER | Selection Criteria for Closing Containers | ||||
| 30 | SITAGCYCONTH - CONT | Structure: Header Data - Container | ||||
| 31 | SITAGCYCONTINTSEL - CONT | Selection Vals for Int. Database View in Agency Collections | ||||
| 32 | SITAGCYCONTPKEY - CONT | Key for Container Item | ||||
| 33 | SITAGCYCONTSELVALUES - CONT | Structure with Selection Values for Container Creation | ||||
| 34 | SITAGCYDIFFITEMGROUP - CONTAINER | Line in Difference Display for Third-Party | ||||
| 35 | SITAGCYINSCOMPTRANSF - CONT | Agency Collections: Shares to Be Transferred to Insurance | ||||
| 36 | SITAGCYPREPCLOSEAMOUNTS - CONTAINER | Preparations for Closing: Display Structure for Amounts | ||||
| 37 | SITAGCYPYMETCHANGECONTROL - CONT | Control Structure for Writing Payment Methods to Doc. Items | ||||
| 38 | SITAGCYSUBCOMMASSIGNEXT - CONT | Enhanced Assignment Structure of Subcommission | ||||
| 39 | SITAGCYSUBCOMMTRG - CONT | Structure for Posting and Transferring Subcommission | ||||
| 40 | SITAGCYTEMPCLARENQ - CONT | Structure for EITAGCYTEMPCLAR Lock Object | ||||
| 41 | SITAGCYTEMPCLARITEM - CONTAINER | Display Line for Clarification of Temporary Collection/Disb. | ||||
| 42 | SITAGCYTEMPCLARSELVALUES - CONTAINER | Selection Parameters for Clarification of Temp. Coll./Disb. | ||||
| 43 | SITAGCYTPCOMM - CONT | Structure for Reported Commission for Container Item | ||||
| 44 | SITAGCYTPDIFFSELVALUES - CONTAINER | Selection Parameters for Differences in Third-Party Coll. | ||||
| 45 | SITAGCY_CONT_GRPKEY - CONT | Agency Collections: Container and Grouping Characteristic | ||||
| 46 | SITAGCY_CONT_OVERVIEW - CONT | Structure for Displaying Container Overview | ||||
| 47 | SITAGCY_CONT_OVW_CONTAINER - SR_CONT | Structure for Storing Container Contents | ||||
| 48 | SITAGCY_CONT_OVW_CONTAINER - PM_CONT | Structure for Storing Container Contents | ||||
| 49 | SITAGCY_CONT_OVW_CONTAINER - CONT | Structure for Storing Container Contents | ||||
| 50 | SITAGCY_CONT_OVW_CONT_POS_DISP - POS_CONT | Structure for Displaying Items for a Container | ||||
| 51 | SITAGCY_CONT_OVW_ITEM_CONTEXT - CON_CONT | Context for an Item in Container Overview | ||||
| 52 | SITAGCY_CONT_OVW_PM_DISP - PM_CONT | Structure for Payment Method Display | ||||
| 53 | SITAGCY_CONT_OVW_SRCH_RES_DISP - SR_CONT | Structure for Displaying Search Res. in Container Overview | ||||
| 54 | SITAGCY_CONT_STATUS_DISPLAY - CONT | Structure for Display Container Status | ||||
| 55 | SITAGCY_REVERSE_SELVALUES - CONT | Selection Parameters in Reversal | ||||
| 56 | SITAGCY_TP_CLEARACC_DIFFCTRL - CONTAINER | Control Structure Differences for Container in 3rd-Pty Coll. |