Where Used List (View) for SAP ABAP Data Element FC_TXT (Description)
SAP ABAP Data Element
FC_TXT (Description) is used by
| # | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
|---|---|---|---|---|---|---|
| 1 | H_TF105 - TXT | Item Categories Help View | ||||
| 2 | H_TF110 - TXT | Helpview Subitem Categories | ||||
| 3 | H_TF120 - TXT | Helpview: Consolidation Charts of Accounts | ||||
| 4 | H_TF130 - TXT | Helpview Item Hierarchy | ||||
| 5 | H_TF320 - TXT | Help View: Financial Data Types | ||||
| 6 | H_TF400 - TXT | Currency Translation Methods | ||||
| 7 | H_TF500 - TXT | Document Types | ||||
| 8 | H_TF530 - TXT | Task Groups | ||||
| 9 | VV_TF591_591 - IPIVS_TXT | Elim. P/L in Inventory: Posted Items: Offsetting entry | ||||
| 10 | VV_TF591_592 - IPIVS_TXT | Elim. P/L in Inventory: Posted Items: Translation Diffs | ||||
| 11 | VV_TF591_593 - IPIVS_TXT | Elim. P/L in Inventory: Posted Items: Reclass. Distrib.Costs | ||||
| 12 | VV_TF591_597 - IPIVS_TXT | Elim. IU P/L in Inventory: Posted Items: Distribution Costs | ||||
| 13 | V_FCIW_TF111 - TXTMD | BW Extraction View Texts Subitem Categories | ||||
| 14 | V_FCIW_TF121 - TXTMD | BW Extraction View Texts Cons Charts of Accounts | ||||
| 15 | V_FCIW_TF201 - TXTMD | BW Extraction View Texts, Versions | ||||
| 16 | V_FCIW_TF501 - TXTMD | BW Extraction View Texts, Document Types | ||||
| 17 | V_T884M_1 - TXT_ITCLG | Currency Translation Methods | ||||
| 18 | V_T884_1 - TXT_SITEM | Method Entries for Currency Translation | ||||
| 19 | V_T884_1 - TXT_ITCLG | Method Entries for Currency Translation | ||||
| 20 | V_TF030 - RVERS_TXT | Integrated Entry: Investment/Equity | ||||
| 21 | V_TF103 - TXT | Breakdown Categories | ||||
| 22 | V_TF103A - TXT | Breakdown Categories: Breakdowns per Subassignment | ||||
| 23 | V_TF103_I - TXT | Breakdown Categories | ||||
| 24 | V_TF103_T - TXT | Translate Breakdown Categories | ||||
| 25 | V_TF105J - TXT | FS Item Categories | ||||
| 26 | V_TF105_T - TXT | Translate FS Item Categories | ||||
| 27 | V_TF110_I - TXT | Subitem Categories | ||||
| 28 | V_TF110_T - TXT | Translate Subitem Categories | ||||
| 29 | V_TF120_I - TXT | Consolidation Charts of Accounts | ||||
| 30 | V_TF120_T - TXT | Translate Cons Charts of Accounts | ||||
| 31 | V_TF130J - ITHRY_TXT | FS Item Hierarchies | ||||
| 32 | V_TF130J - ITCLG_TXT | FS Item Hierarchies | ||||
| 33 | V_TF130_T - TXT | Translate FS Item Hierarchies | ||||
| 34 | V_TF140 - RVERS_TXT | Selected FS Items | ||||
| 35 | V_TF141_D - DOCTY_TXT | Special Document Type-Specific FS Items | ||||
| 36 | V_TF141_D - FIXVS_TXT | Special Document Type-Specific FS Items | ||||
| 37 | V_TF164 - COCAT_TXT | Cons Units: Assign Financial Data Types | ||||
| 38 | V_TF166 - PERTP_TXT | Validation Assignments | ||||
| 39 | V_TF166_I - INPVS_TXT | Cons Units: Assign Validations | ||||
| 40 | V_TF166_I - PERTP_TXT | Cons Units: Assign Validations | ||||
| 41 | V_TF167_1 - CTRVS_TXT | Cons Units: Assign Currency Translation Method | ||||
| 42 | V_TF169 - TAXVS_TXT | Cons Units: Assign Tax Rate | ||||
| 43 | V_TF170J - TXT | Position of Contact Person | ||||
| 44 | V_TF170_T - TXT | Translate Position of Contact Person | ||||
| 45 | V_TF172 - FPERS_TXT | Assign Contact Persons | ||||
| 46 | V_TF183 - PERTP_TXT | Validation Assignments | ||||
| 47 | V_TF183_I - PERTP_TXT | Cons Groups: Assign Validation and Rollup CU Recordability | ||||
| 48 | V_TF188 - ACGR_TXT | Consolidation Groups: Task Group Assignments | ||||
| 49 | V_TF188 - RVERS_TXT | Consolidation Groups: Task Group Assignments | ||||
| 50 | V_TF188 - PERTP_TXT | Consolidation Groups: Task Group Assignments | ||||
| 51 | V_TF199AJ - TXT | Organizational Elements of the Hierarchies | ||||
| 52 | V_TF199CJ - TXT | Characteristic Values of Org. Elements | ||||
| 53 | V_TF199EJ - TXT | Organizational Element Relationships | ||||
| 54 | V_TF200 - CURTXT | Consolidation Versions | ||||
| 55 | V_TF200 - TXT | Consolidation Versions | ||||
| 56 | V_TF200 - FIXTXT | Consolidation Versions | ||||
| 57 | V_TF200 - INPTXT | Consolidation Versions | ||||
| 58 | V_TF200 - RCLTXT | Consolidation Versions | ||||
| 59 | V_TF200 - STRTXT | Consolidation Versions | ||||
| 60 | V_TF200 - ATRTXT | Consolidation Versions | ||||
| 61 | V_TF200 - EQUTXT | Consolidation Versions | ||||
| 62 | V_TF200 - GWATXT | Consolidation Versions | ||||
| 63 | V_TF200 - INVTXT | Consolidation Versions | ||||
| 64 | V_TF200 - TAXTXT | Consolidation Versions | ||||
| 65 | V_TF200 - HIRTXT | Consolidation Versions | ||||
| 66 | V_TF200 - IPITXT | Consolidation Versions | ||||
| 67 | V_TF200 - LDRTXT | Consolidation Versions | ||||
| 68 | V_TF200 - RHRTXT | Consolidation Versions | ||||
| 69 | V_TF200 - ASSTXT | Consolidation Versions | ||||
| 70 | V_TF200 - COITXT | Consolidation Versions | ||||
| 71 | V_TF200 - CTRTXT | Consolidation Versions | ||||
| 72 | V_TF200_T - TXT | Translate Consolidation Versions | ||||
| 73 | V_TF202 - TXT | Structure Versions | ||||
| 74 | V_TF202_T - TXT | Translate Versions of Structures | ||||
| 75 | V_TF204 - TXT | Data Entry Versions | ||||
| 76 | V_TF206 - TXT | Currency Translation Method Versions | ||||
| 77 | V_TF208 - TXT | Exchange Rate Versions | ||||
| 78 | V_TF210 - TXT | Ledger Versions | ||||
| 79 | V_TF212 - TXT | Versions for Selected FS Items | ||||
| 80 | V_TF214 - TXT | Tax Rate Versions | ||||
| 81 | V_TF216 - TXT | Consolidation of Investment Method Versions | ||||
| 82 | V_TF218 - TXT | Investment Versions | ||||
| 83 | V_TF220 - TXT | Equity Versions | ||||
| 84 | V_TF222 - TXT | Hidden Reserve (Fair Value Adjustment) Versions | ||||
| 85 | V_TF224 - TXT | Versions of Eliminated Hidden Reserves (FVA) | ||||
| 86 | V_TF226 - TXT | Retained Earnings Versions | ||||
| 87 | V_TF228 - TXT | Versions of Goodwill | ||||
| 88 | V_TF230 - TXT_AVERS | Task Version for IU Elimination | ||||
| 89 | V_TF230_T - TXT | Translate Versions of Tasks | ||||
| 90 | V_TF232 - TXT | Reclassifications Version | ||||
| 91 | V_TF234 - TXT | Versions for Elimination of IU Profit/Loss in Inventory | ||||
| 92 | V_TF236 - TXT | Versions: Attributes | ||||
| 93 | V_TF248 - TXT_VERS | Assignment of Consolidation Cycles | ||||
| 94 | V_TF291 - TXT | Cons Groups to be Copied | ||||
| 95 | V_TF292 - TXT | Cons Units to be Copied | ||||
| 96 | V_TF310 - TXT | Data Entry Group | ||||
| 97 | V_TF320J - TXT | Financial Data Types | ||||
| 98 | V_TF320_T - TXT | Translation of Financial Data Types | ||||
| 99 | V_TF325 - TXT | Period Categories | ||||
| 100 | V_TF325_T - TXT | Translate Period Categories | ||||
| 101 | V_TF335 - TXT | Scaling Factor for Online Entry | ||||
| 102 | V_TF340 - COCAT_TXT | Data Entry Profile | ||||
| 103 | V_TF340 - DENGR_TXT | Data Entry Profile | ||||
| 104 | V_TF340 - PERTP_TXT | Data Entry Profile | ||||
| 105 | V_TF380 - TXT | Upload Methods | ||||
| 106 | V_TF380_T - TXT | Translate Upload Methods | ||||
| 107 | V_TF400 - RERIN_TXT | Translation Methods | ||||
| 108 | V_TF400 - CTRGR_TXT | Translation Methods | ||||
| 109 | V_TF400_T - TXT | Translate Currency Translation Methods | ||||
| 110 | V_TF410 - TXT_ERTIN | Method Entries for Currency Translation | ||||
| 111 | V_TF410 - TXT_SITEM | Method Entries for Currency Translation | ||||
| 112 | V_TF410 - TXT_CTRGR | Method Entries for Currency Translation | ||||
| 113 | V_TF415 - SITYP_B_TXT | FS Items for Posting Trans. Diffs with Effect on Earnings | ||||
| 114 | V_TF415 - ITCLG_TXT | FS Items for Posting Trans. Diffs with Effect on Earnings | ||||
| 115 | V_TF420 - TXT | Exchange Rate Indicators | ||||
| 116 | V_TF420_T - TXT | Translate Exchange Rate Indicators | ||||
| 117 | V_TF425 - KURSA_TXT | Exchange Rate Indicators: Exchange Rate Type Assignments | ||||
| 118 | V_TF500 - TXT | Document Types | ||||
| 119 | V_TF500_T - TXT | Translate Document Types | ||||
| 120 | V_TF503 - TXT | Chart-Based Document Type Attributes | ||||
| 121 | V_TF505 - TXT | Version-Based Document Type Attributes | ||||
| 122 | V_TF505_6 - TXT | C/I Relevance of Document Types | ||||
| 123 | V_TF506 - TXT | Document Types: Control of Subassignments | ||||
| 124 | V_TF515 - TXT | Journal Entry Layouts | ||||
| 125 | V_TF515_T - TXT | Translate Journal Entry Layouts | ||||
| 126 | V_TF517 - TXT | Journal Entry Layout: Structure | ||||
| 127 | V_TF530_1 - ACGR_TXT | Task Groups | ||||
| 128 | V_TF530_T - TXT | Translate Task Groups | ||||
| 129 | V_TF532_1 - ACGR_TXT | Task Groups: Task Assignments | ||||
| 130 | V_TF533 - ACGR_TXT | Task Groups: Preceding Tasks | ||||
| 131 | V_TF542 - RVERS_TXT | Tasks: Task Version Assignments | ||||
| 132 | V_TF542_1 - TXT_AVERS | Tasks: Task Version Assignments | ||||
| 133 | V_TF542_1 - TXT_RVERS | Tasks: Task Version Assignments | ||||
| 134 | V_TF542_2 - TXT_AVERS | Task Versions | ||||
| 135 | V_TF542_2 - TXT_RVERS | Task Versions | ||||
| 136 | V_TF543 - CMETH_TXT | Tasks: Method and Document Type Assignments | ||||
| 137 | V_TF544 - ACGR_TXT | Tasks: Task Group Exceptions | ||||
| 138 | V_TF544 - CMETH_TXT | Tasks: Task Group Exceptions | ||||
| 139 | V_TF545 - CMETH_TXT | Tasks: Exceptions for CUs and CGs | ||||
| 140 | V_TF550_1 - TXT_CMETH | Methods for Interunit Elimination | ||||
| 141 | V_TF550_50 - TXT | Methods for Reclassification | ||||
| 142 | V_TF550_T - TXT | Translate Methods | ||||
| 143 | V_TF555_1 - TXT_CMETH | IU Elimination: Control Options | ||||
| 144 | V_TF556_1 - TXT_CMETH | IU Elimination: FS Item Sets | ||||
| 145 | V_TF556_2 - TXT_CMETH | IU Elimination: FS Item Sets | ||||
| 146 | V_TF557 - CMETH_TXT | Threshold for Posting Differences during IU Elimination | ||||
| 147 | V_TF558_1 - TXT_CMETH | Reclassification for Proportional Consolidation | ||||
| 148 | V_TF560 - TXT | Methods for Reclassification | ||||
| 149 | V_TF570 - TXT_DOCTY | Tasks for Manual Posting - Document Type Assignments | ||||
| 150 | V_TF580 - TXT | Product Groups | ||||
| 151 | V_TF583 - PRGRP_TXT | Assignment of Inventory Items to Product Groups | ||||
| 152 | V_TF584 - PRGRP_TXT | Assignment of Inventory Items to Product Groups | ||||
| 153 | V_TF584_S - PRGRP_TXT | Assignment of Inventory Items to Product Groups | ||||
| 154 | V_TF585 - PRGRP_TXT | Inventory Data for Elim. of IU Profit/Loss in Inventory | ||||
| 155 | V_TF585 - IPIVS_TXT | Inventory Data for Elim. of IU Profit/Loss in Inventory | ||||
| 156 | V_TF586 - IPIVS_TXT | Supplier Data for Elim. of IU Profit/Loss in Inventory | ||||
| 157 | V_TF586 - PRGRP_TXT | Supplier Data for Elim. of IU Profit/Loss in Inventory | ||||
| 158 | V_TF591 - IPIVS_TXT | Elimination of IU Profit/Loss in Inventory: FS Items | ||||
| 159 | V_TF592_A - TXT_IPIVS | Product Group-Dependent Posted Items | ||||
| 160 | V_TF592_A - TXT_PRGRP | Product Group-Dependent Posted Items | ||||
| 161 | V_TF592_B - TXT_IPIVS | Inventory Item-Dependent Posted Item | ||||
| 162 | V_TF593 - TXT_IPIVS | Subassignments of Inventory Items | ||||
| 163 | V_TF595 - CTYPE_TXT | Elimination of IU Profit/Loss in Inventory: Task Settings | ||||
| 164 | V_TF595 - IPIVS_TXT | Elimination of IU Profit/Loss in Inventory: Task Settings | ||||
| 165 | V_TF600 - TXT | Consolidation of Investments Methods | ||||
| 166 | V_TF602 - TXT | C/I Methods: Cons Chart of Accounts-Based Settings | ||||
| 167 | V_TF615 - TXT_DOCTY | C/I Tasks: Assignment of Document Types | ||||
| 168 | V_TF615 - TXT_COIVS | C/I Tasks: Assignment of Document Types | ||||
| 169 | V_TF615_I - COIVS_TXT | C/I Tasks: Assignment of Document Types | ||||
| 170 | V_TF615_I - DOCTY_TXT | C/I Tasks: Assignment of Document Types | ||||
| 171 | V_TF616 - COIVS_TXT | C/I Activities/Acctg Techniques: Document Type Assignments | ||||
| 172 | V_TF616 - DOCTY_TXT | C/I Activities/Acctg Techniques: Document Type Assignments | ||||
| 173 | V_TF643 - TXT | Fair Value Adjustments: Version/Date-Sensitive | ||||
| 174 | V_TF645 - TXT_VSRL | Reported Data for Fair Value Adjustments | ||||
| 175 | V_TF660 - TXT_ASSVS | Equity Holdings Adjustments | ||||
| 176 | V_TF660 - TXT_DTEQI | Equity Holdings Adjustments | ||||
| 177 | V_TF660 - TXT_KURSA | Equity Holdings Adjustments | ||||
| 178 | V_TF665 - TXT | Scope of Reported Data for the Equity Method | ||||
| 179 | V_TF667 - EQITXT | Reported Items for Equity Holdings Adjustments | ||||
| 180 | V_TF667 - SITYPTXT | Reported Items for Equity Holdings Adjustments | ||||
| 181 | V_TF693 - TXT | Subitems for Equity Aging Report | ||||
| 182 | V_TF696 - EQITXT | Posting Items for the Equity Method | ||||
| 183 | V_TFIN000 - ITCLGTXT | Data Streams | ||||
| 184 | V_TFIN000 - VERSTXT | Data Streams | ||||
| 185 | V_TFIN200 - ITCLGTXT | Map Charts of Accounts/Cons Charts of Accounts | ||||
| 186 | V_TFIN201 - ITCLGTXT | Map Secondary Cost Elements to FS Items |