Where Used List (Class) for SAP ABAP Data Element RECNCONTRACTTYPE (Contract Type)
SAP ABAP Data Element RECNCONTRACTTYPE (Contract Type) is used by
# | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
---|---|---|---|---|---|---|
1 | Class |
CL_EXM_IM_REBP_OBJECT_MAINTAIN Method: IF_EX_REBP_OBJECT_MAINTAIN~GET_BEHAVIOR_CONTEXT
|
Class for BAdI: BADI_REBP_OBJECT_MAINTAIN | RE_BP_BP | EA-FIN | EA-FIN |
2 | Class |
CL_EXM_IM_RECN_CONTRACT_FAS13 Method: _SUBSTITUTE_CONDITIONS_FAS13
|
Example BAdI: Mapping of FAS 13 Requirements | RE_CN_CN | EA-FIN | EA-FIN |
3 | Class |
CL_EXM_IM_REEX_AL_ACROBJ Method: IF_REEX_AL_ACROBJ~IS_CFITEM_ACR_RELEVANT
|
Example Implementation: BADI_REEX_AL_ACROBJ | RE_RA_AL | EA-FIN | EA-FIN |
4 | Class |
CL_EXM_IM_REEX_AL_ACROBJ Method: IF_REEX_AL_ACROBJ~IS_CONTRACT_ACR_RELEVANT
|
Example Implementation: BADI_REEX_AL_ACROBJ | RE_RA_AL | EA-FIN | EA-FIN |
5 | Class |
CL_EXM_IM_RE_RA_PP Method: IF_EX_RERA_PP~EXCLUDE_CONTRACT_FROM_POSTING
|
Class for BAdI: BADI_RE_RA_PP | RE_RA_PP | EA-FIN | EA-FIN |
6 | Class |
CL_IM_REXC_IT_IB_POSTING Method: _GET_STAMP_TAX_DATA
|
Imp. class for BAdI imp. REXC_IT_IB_POSTING | RE_XC_RA_IT | EA-FIN | EA-FIN |
7 | Class |
CL_REAJ_METHOD Method: IF_REAJ_METHOD~DO_ADJUSTMENT
|
Adjustment Method - Basis | RE_AJ_ME | EA-FIN | EA-FIN |
8 | Class |
CL_REAJ_METHOD_FREE Method: CONVERT_PARAMETER
|
Adjustment Method - FREE | RE_AJ_ME | EA-FIN | EA-FIN |
9 | Class |
CL_REBD_WB_TREE_OBJ_DATA_0CN Method: ADD_SUBNODES
|
Tree Object Data in Browser: Assignment Real Estate Contract | RE_BD_CA | EA-FIN | EA-FIN |
10 | Class | CL_RECDC_CONDITION_REL_GROUP | Relation: Condition Type to Condition Group (TIVCDCONDREL) | RE_CD_CD | EA-FIN | EA-FIN |
11 | Class |
CL_RECN_CONTRACT_SERVICES Method: GET_CONTRACT_BY_OBJNR
|
Services for Contract | RE_CN_CN | EA-FIN | EA-FIN |
12 | Class |
CL_REEX_CF_CONDENSE_MNGR Method: IF_REEX_CF_CONDENSE_MNGR~GET_SETTINGS
|
Manager - Cash Flow Summarization | RE_EX_FM | EA-FIN | EA-FIN |
13 | Class |
CL_REEX_CMCF_SERVICES Method: CHECK_CASHFLOW_DATA
|
Services Integration - Cash Management | RE_EX_TR | EA-FIN | EA-FIN |
14 | Class |
CL_REEX_CMCF_SERVICES Method: IS_CONTRACT_CMCF_RELEVANT
|
Services Integration - Cash Management | RE_EX_TR | EA-FIN | EA-FIN |
15 | Class |
CL_REIT_OPTION_RATE_MNGR_CN Method: PROPOSE_OPTMETH
|
Option Rate Manager (VIITOPTRATE): Implementation for Ctrct | RE_IT_OR | EA-FIN | EA-FIN |
16 | Class | CL_RESC_AJ_METHOD_SCSE | Adjustment Method - SCSE | RE_SC_AJ | EA-FIN | EA-FIN |
17 | Class |
CL_RESC_DC_SERVICES Method: GET_CHARGE_PERCENT
|
Distribution | RE_SC_DC | EA-FIN | EA-FIN |
18 | Class |
CL_RESC_DC_SERVICES Method: GET_FIXFITCHARACT_VALID_PERIOD
|
Distribution | RE_SC_DC | EA-FIN | EA-FIN |
19 | Class |
CL_RESC_EXTRACHRG_CONDAMOUNT Method: IF_RESC_EXTRACHRG_ENGINE~CALC
|
Surcharge per Condition Amount | RE_SC_CR | EA-FIN | EA-FIN |
20 | Class |
CL_RESC_RECEIVER Method: GET_EXTRACHRG_TYPE
|
Recipient(s) | RE_SC_CR | EA-FIN | EA-FIN |
21 | Class |
CL_RESC_RECEIVE_FULL Method: CALC4SINGLE_CONDTYPE
|
Receivable as Total Amount | RE_SC_CR | EA-FIN | EA-FIN |
22 | Class |
CL_RESC_RECEIVE_SPLIT Method: CALC4SINGLE_CONDTYPE
|
Split Receivable Based on Sales/Purchase Tax | RE_SC_CR | EA-FIN | EA-FIN |
23 | Class |
CL_RETM_PAYMENT_MNGR Method: _CHECK_CURRENCY_TRANSLATION
|
Posting Term - Manager (VITMPY): Standard Implementation | RE_TM_FI | EA-FIN | EA-FIN |
24 | Class | CL_REXA_SERVICES_FICA | FI-CA: Service Methods | RE_XA_FC | FI-CA | FI-CA |
25 | Class |
CL_REXC_IT_ICI_SERVICES Method: GET_ALL_CONTRACTS_BY_OBJNR
|
Service Class for ICI | RE_XC_RA_IT | EA-FIN | EA-FIN |
26 | Class |
CL_REXC_IT_ICI_SERVICES Method: GET_CONTRACT_WITH_REDUCED_IRE
|
Service Class for ICI | RE_XC_RA_IT | EA-FIN | EA-FIN |