# |
Object Type |
Object Name |
Object Description |
Package |
Structure Package |
Software Component |
 |
 |
|
|
 |
 |
 |
1 |
Table |
/BEV3/CH1030BSG1 - DEPOT |
Document Segment CH Event Ledger Part1 |
/BEV3/CH |
EA-CP |
EA-APPL |
2 |
Table |
ACCIT - SECURITY_ACCOUNT |
Accounting Interface: Item Information |
FBAS |
APPL |
SAP_FIN |
3 |
Table |
ACCIT_FI - SECURITY_ACCOUNT |
FI: Interface to Accounting: Item Information |
FBAS |
APPL |
SAP_FIN |
4 |
Table |
ACCIT_GLX - SECURITY_ACCOUNT |
FI: Interface to Accounting: Item Information |
GBAS |
APPL |
SAP_FIN |
5 |
Table |
ACGL_ITEM - DEPOT |
Structure for Table Control: G/L Account Entry |
FFE |
APPL |
SAP_FIN |
6 |
Table |
ADJS_TRANSACTION_ALV - SECURITY_ACCOUNT |
Treasury: SAP List Viewer structure for recon. bus. trans. |
FTR_ADJUSTMENT |
EA-FINSERV |
EA-FINSERV |
7 |
Table |
AT200 - DEPOT |
Rules for Determining a Tax Indicator |
ID-CFM |
EA-FINSERV |
EA-FINSERV |
8 |
Table |
AT210 - DEPOT |
Rules for Determining a Taxes for CFM postings |
ID-CFM |
EA-FINSERV |
EA-FINSERV |
9 |
Table |
ATZWR1 - RLDEPO |
Change document structure; generated by RSSCD000 |
FVVW |
EA-FINSERV |
EA-FINSERV |
10 |
Table |
AUTHA - RLDEPO |
Authorization Fields for Application Departments |
BZZ |
APPL_TOOLS |
SAP_APPL |
11 |
Table |
BAPICOLL_STOCK - SEC_ACCT |
BAPI Ref. Structure For Collateral in Securities (VDSDV5) |
FVVD_BAPI |
EA-FINSERV |
EA-FINSERV |
12 |
Table |
BAPIFVDEXP_VZZBEPP - SEC_ACCT |
Export Loan: Flow Data - Planned and Actual Items |
FVVD_EXPORT |
EA-FINSERV |
EA-FINSERV |
13 |
Table |
BAPI_FTR_CREATE_REPO - SECURITIES_ACCOUNT |
Create a REPO per BAPI |
FTTR |
EA-FINSERV |
EA-FINSERV |
14 |
Table |
BAPI_FTR_GETDETAIL_REPO - SECURITIES_ACCOUNT |
Display a REPO per BAPI |
FTTR |
EA-FINSERV |
EA-FINSERV |
15 |
Table |
BAPI_FTR_STRUCTURE_REPO - SECURITIES_ACCOUNT |
FTR: BAPI Structure for Data from Structure Tab Page |
FTTR |
EA-FINSERV |
EA-FINSERV |
16 |
Table |
BCKTCAT_FLOW - SECURITY_ACCOUNT |
BACKUP: Flow Table of Capital Actions |
FVVW |
EA-FINSERV |
EA-FINSERV |
17 |
Table |
BCKTERT_FLOW - SECURITY_ACCOUNT |
BACKUP: Flow Table for Executable Rights |
FVVW |
EA-FINSERV |
EA-FINSERV |
18 |
Table |
BCKVWBWKM - RLDEPO |
BACKUP: Flow table for corporate actions |
FVVW |
EA-FINSERV |
EA-FINSERV |
19 |
Table |
BCKVWVORTR - RLDEPO |
BACKUP: Carryover totals - securities |
FVVW |
EA-FINSERV |
EA-FINSERV |
20 |
Table |
BSEG - DEPOT |
Accounting Document Segment |
FBAS |
APPL |
SAP_FIN |
21 |
Table |
BSEGS - DEPOT |
G/L Item Transfer Structure for Single Screen Transactions |
FFE |
APPL |
SAP_FIN |
22 |
Table |
BSEG_LINE - DEPOT |
Item Category for XBSEG_TAB |
FBAS |
APPL |
SAP_FIN |
23 |
Table |
BSSBSEG - SECURITY_ACCOUNT |
Accounting document segment for posting interface |
FVV |
APPL |
SAP_APPL |
24 |
Table |
BSSBSEG - DEPOT |
Accounting document segment for posting interface |
FVV |
APPL |
SAP_APPL |
25 |
Table |
CVTBFHAPO - RLDEPO |
Change Document Structure; Generated by RSSCD000 |
FTA |
EA-FINSERV |
EA-FINSERV |
26 |
Table |
CVTIFHA - RLDEPO |
Change Document Structure: Generated by RSSCD000 |
FTA |
EA-FINSERV |
EA-FINSERV |
27 |
Table |
CVWBEKI - RLDEPO |
Structure for change documents in VWBEKI |
FVVW |
EA-FINSERV |
EA-FINSERV |
28 |
Table |
CVWPBDEP - RLDEPO |
Structure for change documents VWPBDEP |
FVVW |
EA-FINSERV |
EA-FINSERV |
29 |
Table |
CVWPUNIT - RLDEPO |
Change documents VWPUNIT |
FVVW |
EA-FINSERV |
EA-FINSERV |
30 |
Table |
DCFLS_ACCIT - SECURITY_ACCOUNT |
Decoupling: Accounting Interface: Item Information |
FIN_DCFL_PREPROCESSOR_DDIC |
APPL |
SAP_FIN |
31 |
Table |
DIFS_DIFF_VALUES - SECURITY_ACCOUNT |
Structure for Differentiation Values |
FTR_DIFFERENTIATION |
EA-FINSERV |
EA-FINSERV |
32 |
Table |
DIFS_DIFF_VALUES_EXT - SECURITY_ACCOUNT |
Structure for Differentiation Values |
FTR_TREASURY_LEDGER |
EA-FINSERV |
EA-FINSERV |
33 |
Table |
DIFS_FLOW_LINE - SECURITY_ACCOUNT |
Flow |
FTR_DIFFERENTIATION |
EA-FINSERV |
EA-FINSERV |
34 |
Table |
DIFS_POS_IDENT_LOCK - SECURITY_ACCOUNT |
Structure for Differentiation Values - Lock Object |
FTR_DIFFERENTIATION |
EA-FINSERV |
EA-FINSERV |
35 |
Table |
DIFT_POS_IDENT - SECURITY_ACCOUNT |
Persistent Flow Selectors |
FTR_DIFFERENTIATION |
EA-FINSERV |
EA-FINSERV |
36 |
Table |
EVTBPFHAPO - RLDEPO |
Extended Planned Record Table with Planning Data |
FTT |
EA-FINSERV |
EA-FINSERV |
37 |
Table |
EXBESTABWG - RLDEPO |
Export structure position data aggregated from flow data |
FTWS |
EA-FINSERV |
EA-FINSERV |
38 |
Table |
EXBESTAND - RLDEPO |
Export structure position data |
FVVW |
EA-FINSERV |
EA-FINSERV |
39 |
Table |
EXBESTAND_DE_MRM - RLDEPO |
Drilldown: Export Position Data for Listed Options/Futures |
FTPM |
EA-FINSERV |
EA-FINSERV |
40 |
Table |
EXDEPSTAMM - RLDEPO |
Securities account class data export structure |
FTWS |
EA-FINSERV |
EA-FINSERV |
41 |
Table |
EXSPERR - RLDEPO |
Blocked position item export structure |
FTWS |
EA-FINSERV |
EA-FINSERV |
42 |
Table |
FAGL_BSEG_EXT - DEPOT |
Enhancement BSEG for Document Display |
FAGL_DB_PERSISTENCY |
ECC_FINANCIALS |
SAP_FIN |
43 |
Table |
FAGL_GLT0_ACCIT_EXT - SECURITY_ACCOUNT |
Line Information for Document Splitting |
FAGL_ONLINE_SPLITTER |
ECC_FINANCIALS |
SAP_FIN |
44 |
Table |
FAGL_SPL_SIM_ITEMS - SECURITY_ACCOUNT |
Simulation of Document Splitting: Line Items |
FAGL_ONLINE_SPLITTER |
ECC_FINANCIALS |
SAP_FIN |
45 |
Table |
FAGL_S_ACCIT_SPL - SECURITY_ACCOUNT |
Split ACCIT |
FAGL_ONLINE_SPLITTER |
ECC_FINANCIALS |
SAP_FIN |
46 |
Table |
FBSEG - DEPOT |
Change Document Structure; Generated by RSSCD000 |
FBAS |
APPL |
SAP_FIN |
47 |
Table |
FDM_AR_BSEG - DEPOT |
FSCM-DM: Structure for BSEG (with Fields from BKPF) |
FDM_AR |
PI_APPL |
SAP_FIN |
48 |
Table |
FDM_INVHISTORY_BSEGX - DEPOT |
Invoice History: Enhanced Structure BSEG |
FDM_AR_INVHISTORY |
PI_APPL |
SAP_FIN |
49 |
Table |
FDT1 - RLDEPO |
CMF Line Items for Forex, Money Market, Derivatives |
FF |
APPL |
SAP_FIN |
50 |
Table |
FDW1 - RLDEPO |
Cash Mgt and Forecast - Securities Line Items- Planned Flows |
FF |
APPL |
SAP_FIN |
51 |
Table |
FIN_RFFDEA00_02_ALV - RLDEPO |
Structure for RFFDEA00 - Memo Record Lines |
FF |
APPL |
SAP_FIN |
52 |
Table |
FIN_S_GLPOS - DEPOT |
HANA View Structure: GL Item |
FREP |
APPL |
SAP_FIN |
53 |
Table |
FKKRW_ACCIT - SECURITY_ACCOUNT |
FI-CA: Interface to FI/CO: Item information |
FKKI |
FI-CA |
FI-CA |
54 |
Table |
FTI_BIW_CFM_ERRORS_DISPLAY - SECURITY_ACCOUNT |
Errors per Date |
CFM_TR_BIW |
EA-FINSERV |
EA-FINSERV |
55 |
Table |
FTI_BIW_CFM_INIT_POSITION - SECURITY_ACCOUNT |
CFM: Initialize Position |
CFM_TR_BIW |
EA-FINSERV |
EA-FINSERV |
56 |
Table |
FTI_BIW_CFM_VALUES - SECURITY_ACCOUNT |
CFM: Market Values & Simulated Values of Position Management |
CFM_TR_BIW |
EA-FINSERV |
EA-FINSERV |
57 |
Table |
FTI_BIW_DELTA_DEAL_ATTR - SECURITY_ACCOUNT |
TR-BI: Transaction Master Data |
CFM_TR_BIW |
EA-FINSERV |
EA-FINSERV |
58 |
Table |
FTI_LDB_AD_PL_FLOW - SECURITY_ACCOUNT |
Structure for Accrual Items |
FTI_LDB |
EA-FINSERV |
EA-FINSERV |
59 |
Table |
FTI_LDB_BW_CFM_VALUES - SECURITY_ACCOUNT |
Structure for LDB as Generic Data Source for Market Data |
FTI_LDB |
EA-FINSERV |
EA-FINSERV |
60 |
Table |
FTI_LDB_TR_ATTR_LOAN - SECURITY_ACCOUNT |
Loan Attributes Used in the Logical Database |
FTI_LDB |
EA-FINSERV |
EA-FINSERV |
61 |
Table |
FTI_LDB_TR_ATTR_SECACC - SECURITY_ACCOUNT |
Securities Account Attributes Used in the Logical Database |
FTI_LDB |
EA-FINSERV |
EA-FINSERV |
62 |
Table |
FTI_LDB_TR_DEAL_FLOWS - SEC_ACCT |
Treasury: Transaction Reporting, Flow Data (-> LDB) |
FTI_LDB |
EA-FINSERV |
EA-FINSERV |
63 |
Table |
FTI_LDB_TR_DEAL_MAIN - SECURITY_ACCOUNT |
Treasury: Transaction Reporting, Main Data (-> LDB) |
FTI_LDB |
EA-FINSERV |
EA-FINSERV |
64 |
Table |
FTI_LDB_TR_DEAL_UNDERLYING - SEC_ACCT |
Treasury: Transaction Reporting, Underlying Data (-> LDB) |
FTI_LDB |
EA-FINSERV |
EA-FINSERV |
65 |
Table |
FTI_LDB_TR_DEAL_UNDERLYING_2ND - SEC_ACCT |
TR:Transaction Reporting, Underlying of Higher Order (->LDB) |
FTI_LDB |
EA-FINSERV |
EA-FINSERV |
66 |
Table |
FTI_LDB_TR_POSITIONS - SECURITY_ACCOUNT |
Treasury: Positions (-> LDB) |
FTI_LDB |
EA-FINSERV |
EA-FINSERV |
67 |
Table |
FTI_LDB_TR_POSITION_VALUE - SECURITY_ACCOUNT |
Differentiations and Position Values |
FTI_LDB |
EA-FINSERV |
EA-FINSERV |
68 |
Table |
FTI_LDB_TR_POS_LOAN_ATTR - SECURITY_ACCOUNT |
Loan Attributes Used in the Logical Database |
FTI_LDB |
EA-FINSERV |
EA-FINSERV |
69 |
Table |
FTI_LDB_TR_SEC_DEAL_1 - SECURITY_ACCOUNT |
Treasury: Transaction Reporting, Securities Main Data |
FTI_LDB |
EA-FINSERV |
EA-FINSERV |
70 |
Table |
FTI_S_IMPAIRMENT_EXPORT - SECURITY_ACCOUNT |
Data Structure for Impairment Export |
FTI |
EA-FINSERV |
EA-FINSERV |
71 |
Table |
FTI_S_REP_CHECK_IMPAIRMENT - SECURITY_ACCOUNT |
Data Structure for Selection Report for Impairment |
FTI |
EA-FINSERV |
EA-FINSERV |
72 |
Table |
FTI_TEMPLATE_INIT_POSITION - SECURITY_ACCOUNT |
CFM: Initialize Position |
CFM_TR_BIW |
EA-FINSERV |
EA-FINSERV |
73 |
Table |
FTI_WRONG_POSITION - SECURITY_ACCOUNT |
CFM: Initialize Position |
CFM_TR_BIW |
EA-FINSERV |
EA-FINSERV |
74 |
Table |
FTRS_VTBFHAPO - RLDEPO |
Structure for Financial Transaction Flows (Without Key) |
FTA |
EA-FINSERV |
EA-FINSERV |
75 |
Table |
FTR_AC_FLOW_CONV_DATA - RLDEPO |
Flow Data for FTR_AC_FLOW_CONV |
FTTR |
EA-FINSERV |
EA-FINSERV |
76 |
Table |
FTR_DEAL_WRK - SECACCTID |
Display Structure for Treasury Transactions |
FTTR |
EA-FINSERV |
EA-FINSERV |
77 |
Table |
FTR_GDPDU_STR_FLOW - SECURITY_ACCOUNT |
Flow in Parallel Position Management |
FTR_GDPDU |
EA-FINSERV |
EA-FINSERV |
78 |
Table |
FTR_GDPDU_STR_SEC_FLOW - RLDEPO |
Securities Flow with Reversal Information and AWKEY |
FTR_GDPDU |
EA-FINSERV |
EA-FINSERV |
79 |
Table |
FTR_GDPDU_XSTR_FLOW - SECURITY_ACCOUNT |
Flow in Parallel Position Management |
FTR_GDPDU |
EA-FINSERV |
EA-FINSERV |
80 |
Table |
FTR_GDPDU_XSTR_SEC_FLOW - RLDEPO |
Security Flows |
FTR_GDPDU |
EA-FINSERV |
EA-FINSERV |
81 |
Table |
FTR_GDPDU_XSTR_TRLPOS - SECURITY_ACCOUNT |
Treasury Ledger Position |
FTR_GDPDU |
EA-FINSERV |
EA-FINSERV |
82 |
Table |
FTR_GDPDU_XSTR_TWD01 - RLDEPO |
Securities Account Master Data |
FTR_GDPDU |
EA-FINSERV |
EA-FINSERV |
83 |
Table |
FTR_GDPDU_XSTR_VTIFHA - RLDEPO |
Underlying Transaction |
FTR_GDPDU |
EA-FINSERV |
EA-FINSERV |
84 |
Table |
FUD_BSEG - DEPOT |
BSEG For FIN UI-Decoupling |
FIN_UI_DECO_SERVICES |
APPL |
SAP_FIN |
85 |
Table |
FUD_ITEM - DEPOT |
FI-Document Item |
FIN_UI_DECO_SERVICES |
APPL |
SAP_FIN |
86 |
Table |
FVD_IF_IA_RECORDS_GET - RLDEPO |
Transaction Data - Planned and Actual Item |
FVVD_INVESTOR_ACCOUNT |
EA-FINSERV |
EA-FINSERV |
87 |
Table |
FVVZEV - DEPOT |
Incoming pmnts distribution/max. amount of valid sort fields |
FVVD |
EA-FINSERV |
EA-FINSERV |
88 |
Table |
FVVZEV_PP - DEPOT |
FVVZEV with Contract Number (for Payment Processing) |
FVVD |
EA-FINSERV |
EA-FINSERV |
89 |
Table |
FWBU_0010 - RLDEPO |
TRTMPM: Structure for screen 0010 in function group FWBU |
FVVW |
EA-FINSERV |
EA-FINSERV |
90 |
Table |
FWBU_0400T - RLDEPO |
TRTMSE: Structure for Screen 400 in Function Group FWBU |
FVVW |
EA-FINSERV |
EA-FINSERV |
91 |
Table |
FWF1A_BSSBSEG - SECURITY_ACCOUNT |
CFM: Append Structure for Additional Data |
FVVW |
EA-FINSERV |
EA-FINSERV |
92 |
Table |
FWOT_0010 - RLDEPO |
TRTMPM: Structure for screen 0010 in function group FWBU |
FVVW |
EA-FINSERV |
EA-FINSERV |
93 |
Table |
FWOT_0400T - RLDEPO |
TRTMPM: Structure for screen 400 in function group FWOT |
FVVW |
EA-FINSERV |
EA-FINSERV |
94 |
Table |
FWOT_0500 - RLDEPO |
TR-TM-SE: Structure for screen 0500 in function group FWOT |
FVVW |
EA-FINSERV |
EA-FINSERV |
95 |
Table |
GLE_MCA_STR_ACCIT - SECURITY_ACCOUNT |
GLE MCA Accounting Interface: Item Information |
FAGL_MCA_AL_GEN |
ECC_FINANCIALS |
SAP_FIN |
96 |
Table |
GLE_MCA_STR_BSEG_F - DEPOT |
MCA Bseg Fields |
FAGL_MCA_AL_GEN |
ECC_FINANCIALS |
SAP_FIN |
97 |
Table |
GLE_MCA_STR_BSEG_NONKEY - DEPOT |
MCA Bseg Fields |
FAGL_MCA_AL_GEN |
ECC_FINANCIALS |
SAP_FIN |
98 |
Table |
GLE_MCA_STR_MBSEG - DEPOT |
GLE MCA BSEG Structure for Create Documents from Postline |
FAGL_MCA_AL_GEN |
ECC_FINANCIALS |
SAP_FIN |
99 |
Table |
GLPOSCCT_STD - DEPOT |
Standard fields for V_GLPOS_C_CT |
GLT0 |
APPL |
SAP_FIN |
100 |
Table |
GLPOSNCT_STD - DEPOT |
Standard fields for V_GLPOS_N_CT |
GLT0 |
APPL |
SAP_FIN |
101 |
Table |
GLPOS_C_CT - DEPOT |
FI Document: Entry View |
GLT0 |
APPL |
SAP_FIN |
102 |
Table |
GLPOS_N_CT - DEPOT |
New General Ledger: Line Item with Currency Type |
GLT0 |
APPL |
SAP_FIN |
103 |
Table |
GSEG - DEPOT |
Offsetting Items for B-Segment in Reporting |
FREP |
APPL |
SAP_FIN |
104 |
Table |
IDCFMBRSETX_HST - RLDEPO |
History table for taxation |
ID-CFM |
EA-FINSERV |
EA-FINSERV |
105 |
Table |
IDCFMBRSE_PST - DEPOT |
Customizing for creation of sales transactions for tax pmnts |
ID-CFM |
EA-FINSERV |
EA-FINSERV |
106 |
Table |
IDCFM_CONT_LIST - RLDEPO |
Contract data for Balance Sheet transfer report for Brazil |
ID-CFM |
EA-FINSERV |
EA-FINSERV |
107 |
Table |
IDITSR_ASSIGN - DEPOT |
Document table used for the CBR Austria |
ID-FI |
APPL |
SAP_FIN |
108 |
Table |
INVFO - DEPOT |
Display Structure for Contract Account Line Items |
FFE |
APPL |
SAP_FIN |
109 |
Table |
IPM_CR_LIST_ITEM - SECURITY_ACCOUNT |
Item Structure for List Display of IPM Transfer Postings |
FI_GL_CAE_IPM_TOOLS |
EA-FIN |
EA-FIN |
110 |
Table |
ISSR_ABGLEICHSSTRUC1 - RLDEPO |
ISSR: Abgleichsergebnis TR zu ISSRpreflow |
VVSRFISL |
EA-FINSERV |
EA-FINSERV |
111 |
Table |
ISSR_ABGLEICHSSTRUC2 - RLDEPO |
ISSR: Abgleichsergebnis CFM zu ISSRpreflow |
VVSRFISL |
EA-FINSERV |
EA-FINSERV |
112 |
Table |
ISSR_ABGLEICHSSTRUC_ADD - RLDEPO |
ISSR: Abgleichsergebnis TR zu ISSRpreflow |
VVSRFISL |
EA-FINSERV |
EA-FINSERV |
113 |
Table |
ISSR_IF_MD_ADMIN_SUPPLIER - SRLDEPO |
Übergabestruktur Meldewesen |
VVSRFISL |
EA-FINSERV |
EA-FINSERV |
114 |
Table |
ISSR_MIG_FI - DEPOT |
ISSR: relevante FI- Felder aus BKPF u. BSEG |
VVSRFISL |
EA-FINSERV |
EA-FINSERV |
115 |
Table |
ISSR_MIG_LOANS - DEPOT |
ISSR: Mig Darlehen |
VVSRFISL |
EA-FINSERV |
EA-FINSERV |
116 |
Table |
ISSR_MIG_WP - RLDEPO_VTBFHAPO |
ISSR: Mig Wp |
VVSRFISL |
EA-FINSERV |
EA-FINSERV |
117 |
Table |
ISSR_MIG_WP - DEPOT |
ISSR: Mig Wp |
VVSRFISL |
EA-FINSERV |
EA-FINSERV |
118 |
Table |
ISSR_S_ADMIN_RPI_MFT - SRLDEPO |
Dynprostruktur ISSR_RPI_MFT + Headerinformationen |
VVSRFISL |
EA-FINSERV |
EA-FINSERV |
119 |
Table |
ISSR_TRL_AMT - SECURITY_ACCOUNT |
ISSR: Struktur TRL-Bestände |
VVSRFISL |
EA-FINSERV |
EA-FINSERV |
120 |
Table |
ISSR_TRL_FLOW - SECURITY_ACCOUNT |
ISSR: Struktur TRL-FLOW |
VVSRFISL |
EA-FINSERV |
EA-FINSERV |
121 |
Table |
JBDFHAPO - RLDEPO |
Financial Transaction Flow (Selection) |
JBD |
EA-FINSERV |
EA-FINSERV |
122 |
Table |
JBDOPTO - RLDEPO |
Option Structure for Selection from TIF |
JBD |
EA-FINSERV |
EA-FINSERV |
123 |
Table |
JBDORDERDERI - RLDEPO |
Derivation Structure Orders |
JBT |
EA-FINSERV |
EA-FINSERV |
124 |
Table |
JBDSUMME - RLDEPO |
Totals Structure for Selection from TIF |
JBD |
EA-FINSERV |
EA-FINSERV |
125 |
Table |
JBDTRDAT - RLDEPO |
Flow Structure for Selection from TIF |
JBD |
EA-FINSERV |
EA-FINSERV |
126 |
Table |
JBDTRIDAT - RLDEPO |
Flow Structure Underlying for Selection from TIF |
JBD |
EA-FINSERV |
EA-FINSERV |
127 |
Table |
JBD_CFM_WFF - RLDEPO |
IS-B: Bank TRM/PA - Value Fields (Fixed Costing Component) |
JBD |
EA-FINSERV |
EA-FINSERV |
128 |
Table |
JBD_STR_GT_ABEST - RLDEPO |
Generic Transaction: Extended Header Data |
JBD_GETR |
EA-FINSERV |
EA-FINSERV |
129 |
Table |
JBD_STR_GT_ABEST_MAP - RLDEPO |
Generic Transaction: Extended Header Data |
JBD_GETR |
EA-FINSERV |
EA-FINSERV |
130 |
Table |
JBD_STR_SETR_BEKI_MAP - RLDEPO |
Header Data for Securities Order |
JBD_LITR |
EA-FINSERV |
EA-FINSERV |
131 |
Table |
JBIABEST08 - RLDEPO |
RM: Structure SFGDT-ABEST |
JBR |
EA-FINSERV |
EA-FINSERV |
132 |
Table |
JBIBBEW - RLDEPO |
General Structure for Position Flows |
JBT |
EA-FINSERV |
EA-FINSERV |
133 |
Table |
JBIBEKI - RLDEPO |
Enhancement VWBEKI |
JBT |
EA-FINSERV |
EA-FINSERV |
134 |
Table |
JBIBSTK - RLDEPO |
Structure for Costing Positions |
JBT |
EA-FINSERV |
EA-FINSERV |
135 |
Table |
JBIBSTW - RLDEPO |
Structure for Position Values per Order |
JBT |
EA-FINSERV |
EA-FINSERV |
136 |
Table |
JBIJCUR - RLDEPO |
Key Fields for Original Objects |
JBDC |
EA-FINSERV |
EA-FINSERV |
137 |
Table |
JBIPXSFGDT - P_RLDEPO |
RM: Processing Structure of EDT for XSDTFT |
JBR |
EA-FINSERV |
EA-FINSERV |
138 |
Table |
JBIPXSFGDT - RLDEPO |
RM: Processing Structure of EDT for XSDTFT |
JBR |
EA-FINSERV |
EA-FINSERV |
139 |
Table |
JBISELBEW - RLDEPO |
Structure for Selecting Position Flows |
JBA |
EA-FINSERV |
EA-FINSERV |
140 |
Table |
JBIUBAE - RLDEPO |
IS-B: EDT Receiver Structure for Position Changes |
JBD |
EA-FINSERV |
EA-FINSERV |
141 |
Table |
JBIUKNZ - RLDEPO |
RM Structure for Transferring External Key Figures - Short |
JBR |
EA-FINSERV |
EA-FINSERV |
142 |
Table |
JBIUOBJ - RLDEPO |
Receiver Structure for Transfer of Objects |
JBDC |
EA-FINSERV |
EA-FINSERV |
143 |
Table |
JBIUPER - RLDEPO |
Receiver Structure for Transferring Period Values |
JBA |
EA-FINSERV |
EA-FINSERV |
144 |
Table |
JBIUPER_E - RLDEPO |
Receiver Structure for Transferring Period Values (Large) |
JBT |
EA-FINSERV |
EA-FINSERV |
145 |
Table |
JBIUWPO - RLDEPO |
EDT Security Order |
JBDC |
EA-FINSERV |
EA-FINSERV |
146 |
Table |
JBIUXSFGDT - RLDEPO |
RM: Receiver Structure for EDT for XSDTFT |
JBR |
EA-FINSERV |
EA-FINSERV |
147 |
Table |
JBIUXSFGDT - P_RLDEPO |
RM: Receiver Structure for EDT for XSDTFT |
JBR |
EA-FINSERV |
EA-FINSERV |
148 |
Table |
JBIXBAE - RLDEPO |
EDT Receiver Structure: Position Changes Extended |
JBD |
EA-FINSERV |
EA-FINSERV |
149 |
Table |
JBIXGSC - RLDEPO |
Transaction Master + Additional Information for Costing |
JBT |
EA-FINSERV |
EA-FINSERV |
150 |
Table |
JBIXKNZ - RLDEPO |
RM Stucture for Transfer of External Key Figures - Long |
JBR |
EA-FINSERV |
EA-FINSERV |
151 |
Table |
JBIXOBEXT - RLDEPO |
RM: Extended Processing Structure JBIXOBJ for EDT |
JBR |
EA-FINSERV |
EA-FINSERV |
152 |
Table |
JBIXOBJ - RLDEPO |
Processing Structure for Transferring Objects |
JBDC |
EA-FINSERV |
EA-FINSERV |
153 |
Table |
JBIXWPO - RLDEPO |
EDT Extended Securities Order |
JBDC |
EA-FINSERV |
EA-FINSERV |
154 |
Table |
JBRABEST - RLDEPO |
Semantic Data Type of Financial Transaction - Header Info. |
JBR |
EA-FINSERV |
EA-FINSERV |
155 |
Table |
JBRABEST03 - RLDEPO |
RM: Include Reporting-Specific ABEST Fields |
JBR |
EA-FINSERV |
EA-FINSERV |
156 |
Table |
JBRABEST08 - RLDEPO |
RM: Include ABEST Fields for SFGDT |
JBR |
EA-FINSERV |
EA-FINSERV |
157 |
Table |
JBRABEST09 - RLDEPO |
RM: Include ABEST Fields for xSDTFT |
JBR |
EA-FINSERV |
EA-FINSERV |
158 |
Table |
JBRALVBP - RLDEPO |
RM: Display Structure of Transactions in RM Data Pool |
JBR |
EA-FINSERV |
EA-FINSERV |
159 |
Table |
JBRALVDT - RLDEPO |
RM: Display Structure for Single Value Analysis |
JBR |
EA-FINSERV |
EA-FINSERV |
160 |
Table |
JBRBEST - RLDEPO |
General Risk Management position structure |
FTB |
EA-FINSERV |
EA-FINSERV |
161 |
Table |
JBRBPBEST - RLDEPO |
RM: Structure for JBRBEST + BP Supplements |
JBR |
EA-FINSERV |
EA-FINSERV |
162 |
Table |
JBRDBABEST - RLDEPO |
RM: DB Table ABEST Fields |
JBR |
EA-FINSERV |
EA-FINSERV |
163 |
Table |
JBRHABEST - RLDEPO |
RM: Version Table for ABEST Fields |
JBR |
EA-FINSERV |
EA-FINSERV |
164 |
Table |
JBRIORDE - RLDEPO |
RM: Reduced VWORDE Structure for Forw. Securities Selection |
JBR |
EA-FINSERV |
EA-FINSERV |
165 |
Table |
JBRLISTOBJ - RLDEPO |
RM: Template for List of Objects with Drill Down |
JBR |
EA-FINSERV |
EA-FINSERV |
166 |
Table |
JBRLISTVDD - RLDEPO |
RM: Template for List of Summarized Data Drilldown |
JBR |
EA-FINSERV |
EA-FINSERV |
167 |
Table |
JBROBJDERI - RLDEPO |
RM: Structure of Financial Object for Derivation |
JBR |
EA-FINSERV |
EA-FINSERV |
168 |
Table |
JBRSVABEST - RLDEPO |
RM: Header Table SDTFT (Additional Info.) for Saved Datasets |
JBR |
EA-FINSERV |
EA-FINSERV |
169 |
Table |
JBRTKEYTOPOBJ - P_RLDEPO |
RM: Key Structure for Identification of POBJNR/PWKN in xCPT |
JBR |
EA-FINSERV |
EA-FINSERV |
170 |
Table |
JBRTKEYTOPOBJ01 - P_RLDEPO |
RM: Structure for Ident. of POBJNR/PWKN/RIDEXTRTEXT in xCPT |
JBR |
EA-FINSERV |
EA-FINSERV |
171 |
Table |
JBSWO01 - RLDEPO |
Non-Fulfilled Securities Spot Trans.(INCLUDE Structure) |
JBS |
EA-FINSERV |
EA-FINSERV |
172 |
Table |
JBTFGBEWEG - RLDEPO |
Financial Transaction (Flow Data) |
JBA |
EA-FINSERV |
EA-FINSERV |
173 |
Table |
JBTLOBEWEG - RLDEPO |
Loans (Flow Data) |
JBA |
EA-FINSERV |
EA-FINSERV |
174 |
Table |
J_1B_EXTRACTOR_BSEG - DEPOT |
Structure to allow creation of BSEG table extractor |
J1BA |
APPL |
SAP_APPL |
175 |
Table |
KEYBESTAND - RLDEPO |
Key structure for position |
FTWS |
EA-FINSERV |
EA-FINSERV |
176 |
Table |
KLJCUR - RLDEPO |
External Key Fields for Original Objects in Credit Limit |
FTBK |
EA-FINSERV |
EA-FINSERV |
177 |
Table |
KLKEYS - RLDEPO |
External Key Fields for Original Objects in Credit Limit |
FTBK |
EA-FINSERV |
EA-FINSERV |
178 |
Table |
KLOBJDERI - RLDEPO |
Financial Object Structure for Derivation (Limit) |
FTBK |
EA-FINSERV |
EA-FINSERV |
179 |
Table |
KLSDCPROT1 - RLDEPOKEY |
Log Gen. for Single Transaction Check: Header Information |
FTBK |
EA-FINSERV |
EA-FINSERV |
180 |
Table |
KLSI_DI0 - RLDEPO |
EDT: Collateral Provisions (Internal Receiver Structure) |
FTBK |
EA-FINSERV |
EA-FINSERV |
181 |
Table |
KLSI_DI1 - RLDEPO |
EDT: Collateral Provisions (External Receiver Structure) |
FTBK |
EA-FINSERV |
EA-FINSERV |
182 |
Table |
MIGC_COM_VALCLS - SECURITY_ACCOUNT |
Derive General Valuation Class for Migration to CFM 1.0 |
FTR_MIGRATION_10 |
EA-FINSERV |
EA-FINSERV |
183 |
Table |
MMDA_IM_S_BSEG - DEPOT |
table similar to BSEG for MMDA Inventory Analysis |
MMDA |
PI_APPL |
SAP_APPL |
184 |
Table |
OTC_CONV_FHAPO - RLDEPO |
Backup Table for Financial Transaction Flows |
FTA |
EA-FINSERV |
EA-FINSERV |
185 |
Table |
PINS_IM_POS_IND_TRAC - SECURITY_ACCOUNT |
Import Struct. of BAdI for Sub-Ledger Pos.Ind.(AcctAsgnRef) |
FTR_POSITION_INDICATOR |
EA-FINSERV |
EA-FINSERV |
186 |
Table |
PINS_IM_POS_IND_TRL - SECURITY_ACCOUNT |
Import Structure of BAdI for Sub.-Ledger Position Indicator |
FTR_POSITION_INDICATOR |
EA-FINSERV |
EA-FINSERV |
187 |
Table |
PINS_TRL_POSITION - SECURITY_ACCOUNT |
Subledger Position Indicator |
FTR_POSITION_INDICATOR |
EA-FINSERV |
EA-FINSERV |
188 |
Table |
PINS_TRL_POSITION_DISPLAY - SECURITY_ACCOUNT |
Subsidiary Ledger Position Indicator: Display Structure |
FTR_POSITION_INDICATOR |
EA-FINSERV |
EA-FINSERV |
189 |
Table |
POGT_POS_GUARD - SECURITY_ACCOUNT |
Lock Objects |
FTR_POSITION_GUARD |
EA-FINSERV |
EA-FINSERV |
190 |
Table |
RACCUM - I_RLDEPOT |
Request parameters for function module ACCUMULATION_DEPOT |
FVV |
APPL |
SAP_APPL |
191 |
Table |
RBUKRSDAT - RLDEPO |
Company code data for historical determination of yield (VV) |
FVVW |
EA-FINSERV |
EA-FINSERV |
192 |
Table |
RDISP_CASHFLOW_IL - RLDEPO |
Transaction Data - Planned and Actual Item |
FVVD_UI_FINANCIAL_DATA |
EA-FINSERV |
EA-FINSERV |
193 |
Table |
RDPT_DISP_REVTRANS - SECURITY_ACCOUNT |
Displays Business Transactions to Be Reversed |
FTBAS |
EA-FINSERV |
EA-FINSERV |
194 |
Table |
REEX_PL_ITEM_L - DEPOT |
Posting Log: Row |
RE_EX_FI |
EA-FIN |
EA-FIN |
195 |
Table |
REEX_PL_PLAIN_L - DEPOT |
Posting Log: Flat Display |
RE_EX_FI |
EA-FIN |
EA-FIN |
196 |
Table |
REFFZINS - RLDEPO |
Historic effective int.rate for securities in a comp.code |
FVVW |
EA-FINSERV |
EA-FINSERV |
197 |
Table |
REFWRKO - RLDEPO |
List Data References: Objects |
FTR |
EA-FINSERV |
EA-FINSERV |
198 |
Table |
REPRBSEG - DEPOT |
Einmalige Buchung RE: Belegzeilenstruktur |
RE_MI_HO |
EA-FIN |
EA-FIN |
199 |
Table |
REPRBSEG - SECURITY_ACCOUNT |
Einmalige Buchung RE: Belegzeilenstruktur |
RE_MI_HO |
EA-FIN |
EA-FIN |
200 |
Table |
RESCSBSEG - DEPOT |
SCS: Doc.Segment Accounting for Posting Interface |
FVVI |
APPL |
SAP_FIN |
201 |
Table |
REVALB - RLDEPO_N |
Extended portfolio and valuation table |
FVV |
APPL |
SAP_APPL |
202 |
Table |
REVALB - RLDEPO |
Extended portfolio and valuation table |
FVV |
APPL |
SAP_APPL |
203 |
Table |
REVALC - RLDEPO |
Market values |
FTVV |
EA-FINSERV |
EA-FINSERV |
204 |
Table |
REVALD - RLDEPO |
Portfolio table on a key-date (Shortened version: REVALB) |
FVVW |
EA-FINSERV |
EA-FINSERV |
205 |
Table |
REVALE - RLDEPO |
Portfolio data for remaining maturity list |
FVVW_CORE |
APPL |
SAP_APPL |
206 |
Table |
REVAL_6B - RLDEPO_N |
Extended stock and valuation table for 6b-transfer |
FVVW |
EA-FINSERV |
EA-FINSERV |
207 |
Table |
REVAL_6B - RLDEPO |
Extended stock and valuation table for 6b-transfer |
FVVW |
EA-FINSERV |
EA-FINSERV |
208 |
Table |
REVAL_CORP - RLDEPO |
Position and valuation information for corporate action |
FVVW |
EA-FINSERV |
EA-FINSERV |
209 |
Table |
REVAL_OS - RLDEPO_N |
Extended position and valuation table for warrants |
FVV |
APPL |
SAP_APPL |
210 |
Table |
REVAL_OS - RLDEPO |
Extended position and valuation table for warrants |
FVV |
APPL |
SAP_APPL |
211 |
Table |
REVAL_PARA - RLDEPO |
Valuation parameters for ID number in company code,sec.acct |
FVVW |
EA-FINSERV |
EA-FINSERV |
212 |
Table |
RFKORD30_S_ITEM - DEPOT |
Internal Document: Item Data |
FBAS |
APPL |
SAP_FIN |
213 |
Table |
RJIPM_BYTITLE_ACC_CT_STR - SECURITY_ACCOUNT |
IS-M: By Title - Acct Assgnmts Per Item (With ALV Cell Info) |
JIPM_BY_TITLE |
IS-M |
IS-M |
214 |
Table |
RJIPM_BYTITLE_ACC_STR - SECURITY_ACCOUNT |
IS-M: By Title - Split Item (Account Assignments Per Item) |
JIPM_BY_TITLE |
IS-M |
IS-M |
215 |
Table |
RMF64C120 - RLDEPO |
Structure for D120-screen fields |
FVVW |
EA-FINSERV |
EA-FINSERV |
216 |
Table |
RMF64C220 - RLDEPO |
Screen fields for exercising subscription right D220 |
FVVW |
EA-FINSERV |
EA-FINSERV |
217 |
Table |
RMF64C220 - RLDEPO_SUB |
Screen fields for exercising subscription right D220 |
FVVW |
EA-FINSERV |
EA-FINSERV |
218 |
Table |
RMF64C300 - RLDEPO |
Structure for screen fields: 0120, 0121 Book-in subscr.right |
FVVW |
EA-FINSERV |
EA-FINSERV |
219 |
Table |
RMF64K200 - RLDEPO_SEL |
Technical transfer of securities |
FVV |
APPL |
SAP_APPL |
220 |
Table |
RMF64K200 - RLDEPOT |
Technical transfer of securities |
FVV |
APPL |
SAP_APPL |
221 |
Table |
RMF64K200 - RLDEPOT_N |
Technical transfer of securities |
FVV |
APPL |
SAP_APPL |
222 |
Table |
RMF64K200 - RLDEPOT_A |
Technical transfer of securities |
FVV |
APPL |
SAP_APPL |
223 |
Table |
RMF64KKM05 - RLDEPO |
Position and valuation information for reference securities |
FVVW |
EA-FINSERV |
EA-FINSERV |
224 |
Table |
RMF64KKM06 - RLDEPO |
Position and valuation info. on securities to be transferred |
FVVW |
EA-FINSERV |
EA-FINSERV |
225 |
Table |
RMF64L200 - RLDEPOT |
Stock split |
FVV |
APPL |
SAP_APPL |
226 |
Table |
RMF64LOCK - RLDEPO |
Structure for restraint on disposal |
FVVW |
EA-FINSERV |
EA-FINSERV |
227 |
Table |
RMF64O - RLDEPO |
Field string for screen fields without database |
FVVW |
EA-FINSERV |
EA-FINSERV |
228 |
Table |
RMF64S_010 - RLDEPO |
TRTMPM: Structure for screen 0010 in function group FWBU |
FVVW |
EA-FINSERV |
EA-FINSERV |
229 |
Table |
RMRCDERI - RLDEPO |
RM: Risk Object Fields with Financial Object Derivation |
JBR |
EA-FINSERV |
EA-FINSERV |
230 |
Table |
ROXALN0067 - SELECT_S_RLDEPO |
Structure for Position Currency Upload of Market Data |
CFM_TR_BIW |
EA-FINSERV |
EA-FINSERV |
231 |
Table |
ROXALN0067 - SECURITY_ACCOUNT |
Structure for Position Currency Upload of Market Data |
CFM_TR_BIW |
EA-FINSERV |
EA-FINSERV |
232 |
Table |
ROXPLN0002 - SECURITY_ACCOUNT |
ROXPLN0002 |
CFM_TR_BIW |
EA-FINSERV |
EA-FINSERV |
233 |
Table |
ROXPLN0003 - SECURITY_ACCOUNT |
ROXPLN0003 |
CFM_TR_BIW |
EA-FINSERV |
EA-FINSERV |
234 |
Table |
ROXPLN0004 - SECURITY_ACCOUNT |
ROXPLN0004 |
CFM_TR_BIW |
EA-FINSERV |
EA-FINSERV |
235 |
Table |
ROXPLN0004 - SELECT_S_RLDEPO |
ROXPLN0004 |
CFM_TR_BIW |
EA-FINSERV |
EA-FINSERV |
236 |
Table |
ROXPLN0008 - SECURITY_ACCOUNT |
ROXPLN0008 |
CFM_TR_BIW |
EA-FINSERV |
EA-FINSERV |
237 |
Table |
ROXPLN0008 - SELECT_S_RLDEPO |
ROXPLN0008 |
CFM_TR_BIW |
EA-FINSERV |
EA-FINSERV |
238 |
Table |
RTZWR1 - RLDEPO |
Structure DB Update: TZWR1 |
FVVW |
EA-FINSERV |
EA-FINSERV |
239 |
Table |
RVDKOREF_CHG_CML - RLDEPO |
Account Assignment Reference Table + Change Characteristic |
FVVD |
EA-FINSERV |
EA-FINSERV |
240 |
Table |
RVWZUORD - RLDEPO |
Structure for allocation table |
FVVW |
EA-FINSERV |
EA-FINSERV |
241 |
Table |
SAPMF64H_100_T - SEC_ACCOUNT |
Table Structure for ALV Grid in SAPMF64H-100 |
FVVW |
EA-FINSERV |
EA-FINSERV |
242 |
Table |
SISSR_RWIN - SECURITY_ACCOUNT |
ISSR: An RWIN angelieferte und relevante Felder |
VVSRFISL |
EA-FINSERV |
EA-FINSERV |
243 |
Table |
SI_AUTHA - RLDEPO |
Authorization Fields for Application Departments |
KDEL |
APPL |
SAP_FIN |
244 |
Table |
SI_FIN_GLPOS - DEPOT |
FIN_GLPOS_C: Standard Fields |
FREP |
APPL |
SAP_FIN |
245 |
Table |
SLDS_CHECK1_ALV - SECURITY_ACCOUNT |
Structure for Output in ALV (SLD Repair Program) |
FTR_SUBLEDGER_DISTRIBUTOR |
EA-FINSERV |
EA-FINSERV |
246 |
Table |
SLDT_FLOW - SECURITY_ACCOUNT |
Subledger Distributor Transactions |
FTR_SUBLEDGER_DISTRIBUTOR |
EA-FINSERV |
EA-FINSERV |
247 |
Table |
TBCO_BNOM - RLDEPO |
Output Structure of Further Main/Nominal Amount Flows |
FTA |
EA-FINSERV |
EA-FINSERV |
248 |
Table |
TBCO_INTST - RLDEPO |
Output Structure: Interest Flows |
FTA |
EA-FINSERV |
EA-FINSERV |
249 |
Table |
TBCO_RPAY - RLDEPO |
Output Structure: Repayment Flows |
FTTR |
EA-FINSERV |
EA-FINSERV |
250 |
Table |
TBCO_ZS - RLDEPO |
Output Structure Confirmations Additional Flows |
FTA |
EA-FINSERV |
EA-FINSERV |
251 |
Table |
TBS_PROTOCOL_TRANSACTION_ITEM - SEC_ACCOUNT |
Treasury: Interface Posting Log: Flag |
FTA |
EA-FINSERV |
EA-FINSERV |
252 |
Table |
TCAS_FLOW_ALV - SECURITY_ACCOUNT |
Structure for Displaying Corporate Actions in ALV |
FVVW |
EA-FINSERV |
EA-FINSERV |
253 |
Table |
TCAS_FLOW_DIFF_DATA - SECURITY_ACCOUNT |
Differentiating Characteristic: Corporate Actions |
FVVW |
EA-FINSERV |
EA-FINSERV |
254 |
Table |
TCAT_FLOW - SECURITY_ACCOUNT |
Flow Table of the Corporate Actions |
FVVW |
EA-FINSERV |
EA-FINSERV |
255 |
Table |
TERSREVAL_ER - RLDEPO |
Position and Execution Information for Rights |
FVVW |
EA-FINSERV |
EA-FINSERV |
256 |
Table |
TERSSTOCK - RLDEPO |
Position Structure for Executable Rights |
FVVW |
EA-FINSERV |
EA-FINSERV |
257 |
Table |
TERSSURFACE - DEPOT |
Display Structure for Executable Security Rights |
FVVW |
EA-FINSERV |
EA-FINSERV |
258 |
Table |
TERSVWBWER - RLDEPO |
Structure for Generated Flows for Executable Rights |
FVVW |
EA-FINSERV |
EA-FINSERV |
259 |
Table |
TERSVWBWER_ADD - RLDEPO |
Structure for Other Flows for Executable Rights |
FVVW |
EA-FINSERV |
EA-FINSERV |
260 |
Table |
TERSVWBWER_CASH - RLDEPO |
Structure for Generated Payment Flows for Rights |
FVVW |
EA-FINSERV |
EA-FINSERV |
261 |
Table |
TERS_FLOW - SECURITY_ACCOUNT |
Structure for Generated Flows for Executable Rights |
FVVW |
EA-FINSERV |
EA-FINSERV |
262 |
Table |
TERS_FLOW_ADD - SECURITY_ACCOUNT |
Structure for Other Flows for Executable Rights |
FVVW |
EA-FINSERV |
EA-FINSERV |
263 |
Table |
TERS_FLOW_CASH - SECURITY_ACCOUNT |
Structure for Generated Payment Flows for Rights |
FVVW |
EA-FINSERV |
EA-FINSERV |
264 |
Table |
TERS_FLOW_DIFF_DATA - SECURITY_ACCOUNT |
Differentiating Char. of Rights that can be Exercised |
FVVW |
EA-FINSERV |
EA-FINSERV |
265 |
Table |
TERS_MD_POSITION_ALV - SECURITY_ACCOUNT |
Structure Position |
FVVW |
EA-FINSERV |
EA-FINSERV |
266 |
Table |
TERS_QUANTITY - SECURITY_ACCOUNT |
Position Structure of Rights to be Exercised (from CFM 1.0) |
FVVW |
EA-FINSERV |
EA-FINSERV |
267 |
Table |
TERS_QUANT_DISPLAY - SECURITY_ACCOUNT |
Disp. Str. of Pos. where Rights can be Exercd (from CFM 1.0) |
FVVW |
EA-FINSERV |
EA-FINSERV |
268 |
Table |
TERTINERKO - DEPOT |
Header Information for Executing Security Rights |
FVVW |
EA-FINSERV |
EA-FINSERV |
269 |
Table |
TERTVWBWER - RLDEPO |
TRTM-PM: Flow Table for Executable Rights |
FVVW |
EA-FINSERV |
EA-FINSERV |
270 |
Table |
TERT_FLOW - SECURITY_ACCOUNT |
Flow Table for Rights that can be Exercised |
FVVW |
EA-FINSERV |
EA-FINSERV |
271 |
Table |
TERT_TRANSACTION - SECURITY_ACCOUNT |
Business Transaction: Exercise of Rights |
FVVW |
EA-FINSERV |
EA-FINSERV |
272 |
Table |
THMEXS_RO - RLDEPO |
Risk Object fields used by RTHM_UPDATE_EX_VIA_RO |
FTHM_EXPOSURE |
EA-FINSERV |
EA-FINSERV |
273 |
Table |
THMEXS_RO_TRANSFER - RLDEPO |
Transfer Exposures to Risk Object via Direct Input -- Sample |
FTHM_EXPOSURE |
EA-FINSERV |
EA-FINSERV |
274 |
Table |
THM_RO_SCREEN - RLDEPO |
ALV fields for report RTHM_UPDATE_EX_VIA_RO: Create Mode |
FTHM_EXPOSURE |
EA-FINSERV |
EA-FINSERV |
275 |
Table |
TISSR_OUT_TAB - RDEPOT |
ISSR: Structure of Output Table |
VVSRFISL |
EA-FINSERV |
EA-FINSERV |
276 |
Table |
TLVS_POS_DISPLAY - SECURITY_ACCOUNT |
Treasury: Structure for Displaying Positions to be Valued |
FTR_TRL_VALUATION |
EA-FINSERV |
EA-FINSERV |
277 |
Table |
TLVS_PROTOCOL_DIFF_VALUES - SECURITY_ACCOUNT |
Treasury: Differentiation Terms for Messages |
FTR_TRL_VALUATION |
EA-FINSERV |
EA-FINSERV |
278 |
Table |
TLVS_PROTOCOL_FLOW - SECURITY_ACCOUNT |
Treasury: Structure for Display of Flows of a Valuation |
FTR_TRL_VALUATION |
EA-FINSERV |
EA-FINSERV |
279 |
Table |
TLVS_PROTOCOL_HEADER - SECURITY_ACCOUNT |
Valuation Log Structure SAP List Viewer Header |
FTR_TRL_VALUATION |
EA-FINSERV |
EA-FINSERV |
280 |
Table |
TLVT_MANUAL_VAL - SECURITY_ACCOUNT |
Book Values for Manual Valuation of Positions |
FTR_VALUATION |
EA-FINSERV |
EA-FINSERV |
281 |
Table |
TPMS_ACCT_GRP_CONTROL - SEC_ACCT |
Structure: Table Ctrl Maintenance for Sec.Act Grp Assignment |
FTR_TREASURY_LEDGER |
EA-FINSERV |
EA-FINSERV |
282 |
Table |
TPMS_BUKRS_RANL_RLDEPO - RLDEPO |
Company Code/ID Number/Securities Account Structure |
FVVW |
EA-FINSERV |
EA-FINSERV |
283 |
Table |
TPMS_DEDOC_INTERFACE_POSITION - RLDEPO |
Interface Derivatives Document: Document Item |
FTPM |
EA-FINSERV |
EA-FINSERV |
284 |
Table |
TPMS_DEDOC_LOT_FLOW - RLDEPO |
Interface Structure for Lot Flows |
FTPM |
EA-FINSERV |
EA-FINSERV |
285 |
Table |
TPMS_VAMA_PROT - RLDEPO |
Log Structure for Variation Margin |
FTPM |
EA-FINSERV |
EA-FINSERV |
286 |
Table |
TPM_MIG_LOT_MIXD - SECURITY_ACCOUNT |
CFM: (Mig) ID Nos. by Coll. Pos. Man -> Corrspnd. PA by Lot |
FTR_MIGRATION_10 |
EA-FINSERV |
EA-FINSERV |
287 |
Table |
TRACA_ACCIT - SECURITY_ACCOUNT |
Treasury: Append Structure for ACCIT: Differentiation Values |
FTR_ACCOUNTING_ADAPTOR |
EA-FINSERV |
EA-FINSERV |
288 |
Table |
TRACS_ACCIT_EXTENSION - SECURITY_ACCOUNT |
Treasury: Append - Structure for ACCIT (FI Interface) |
FTR_ACCOUNTING_ADAPTOR |
EA-FINSERV |
EA-FINSERV |
289 |
Table |
TRACS_ADTL_SE_MISC - SECURITY_ACCOUNT |
Determination of Acct Assgmnt Ref. - Other Data Class Papers |
FTR_ACCOUNTING_ADAPTOR |
EA-FINSERV |
EA-FINSERV |
290 |
Table |
TRACS_ALV_PC - SECURITY_ACCOUNT |
Treasury: Structure for SAP LV Display Position Context |
FTR_ACCOUNTING_ADAPTOR |
EA-FINSERV |
EA-FINSERV |
291 |
Table |
TRACS_ALV_PC_FC - SECURITY_ACCOUNT |
Structure for SAP LV Field Catalog Position Context |
FTR_ACCOUNTING_ADAPTOR |
EA-FINSERV |
EA-FINSERV |
292 |
Table |
TRACS_AUTHORITY_CHECK - SECURITY_ACCOUNT |
Treasury: Structure for Authorization Check Post / Reverse |
FTR_ACCOUNTING_ADAPTOR |
EA-FINSERV |
EA-FINSERV |
293 |
Table |
TRACS_EXIT_FLOW - SECURITY_ACCOUNT |
Input Parameters for BAdI Methods at Flow Level |
FTR_ACCOUNTING_ADAPTOR |
EA-FINSERV |
EA-FINSERV |
294 |
Table |
TRACS_PJ_DISPLAY - SECURITY_ACCOUNT |
Display Structure for the Posting Journal SAP List Viewer |
FTR_ACCOUNTING_ADAPTOR |
EA-FINSERV |
EA-FINSERV |
295 |
Table |
TRACS_PROT_FLOW - SECURITY_ACCOUNT |
Log: Flow |
FTR_ACCOUNTING_ADAPTOR |
EA-FINSERV |
EA-FINSERV |
296 |
Table |
TRACS_PROT_POSITION - SECURITY_ACCOUNT |
Log: Position |
FTR_ACCOUNTING_ADAPTOR |
EA-FINSERV |
EA-FINSERV |
297 |
Table |
TRACS_VTBFHAPO - RLDEPO |
Migration: Structure VTBFHAPO_MIGR with Flow Number |
FTR_ACCOUNTING_ADAPTOR |
EA-FINSERV |
EA-FINSERV |
298 |
Table |
TRACS_VWBEVI - RLDEPO |
Migration: Structure VWBEVI with Flow Number |
FTR_ACCOUNTING_ADAPTOR |
EA-FINSERV |
EA-FINSERV |
299 |
Table |
TRACT_QUEUE - SECURITY_ACCOUNT |
Resubmission for Reversal |
FTR_ACCOUNTING_ADAPTOR |
EA-FINSERV |
EA-FINSERV |
300 |
Table |
TRATS_POS_DISPLAY - SECURITY_ACCOUNT |
Display Structure: Positions for Act.Ass.Ref. Transfer |
FTR_AA_REF_TRANSFER |
EA-FINSERV |
EA-FINSERV |
301 |
Table |
TRDS_FLOW_DIF_DATA - SECURITY_ACCOUNT |
Differentiation Characteristics for Distributor Flow |
FTR_DISTRIBUTOR |
EA-FINSERV |
EA-FINSERV |
302 |
Table |
TRDTS_DATA - SECURITY_ACCOUNT |
Legacy Data Transfer Data |
FTR_DATA_TRANSFER |
EA-FINSERV |
EA-FINSERV |
303 |
Table |
TRDTS_DATA_DISPLAY - SECURITY_ACCOUNT |
Legacy Data Transfer Data Display Format |
FTR_DATA_TRANSFER |
EA-FINSERV |
EA-FINSERV |
304 |
Table |
TRDTS_MSG - SECURITY_ACCOUNT |
Legacy Data Transfer Messages |
FTR_DATA_TRANSFER |
EA-FINSERV |
EA-FINSERV |
305 |
Table |
TRDTS_POS - SECURITY_ACCOUNT |
Legacy Data Transfer Positions |
FTR_DATA_TRANSFER |
EA-FINSERV |
EA-FINSERV |
306 |
Table |
TRDTS_POS_DISPLAY - SECURITY_ACCOUNT |
Legacy Data Transfer Positions |
FTR_DATA_TRANSFER |
EA-FINSERV |
EA-FINSERV |
307 |
Table |
TRDTT_DATA_ADMIN - SECURITY_ACCOUNT |
Legacy Data Transfer Admin. Entries Business Transactions |
FTR_DATA_TRANSFER |
EA-FINSERV |
EA-FINSERV |
308 |
Table |
TRDTT_DATA_SEC - SECURITY_ACCOUNT |
Valuation-Area-Independent Data for Securities |
FTR_DATA_TRANSFER |
EA-FINSERV |
EA-FINSERV |
309 |
Table |
TRDTT_POS_ADMIN - SECURITY_ACCOUNT |
Legacy Data Transfer Admin. Entries Subledger Positions |
FTR_DATA_TRANSFER |
EA-FINSERV |
EA-FINSERV |
310 |
Table |
TRDTT_POS_SEC - SECURITY_ACCOUNT |
Position Information for Securities |
FTR_DATA_TRANSFER |
EA-FINSERV |
EA-FINSERV |
311 |
Table |
TRDTT_VADATA_SEC - SECURITY_ACCOUNT |
Valuation-Area-Dependent Data for Securities |
FTR_DATA_TRANSFER |
EA-FINSERV |
EA-FINSERV |
312 |
Table |
TRDT_FLOW - SECURITY_ACCOUNT |
Persistent distributor flows |
FTR_DISTRIBUTOR |
EA-FINSERV |
EA-FINSERV |
313 |
Table |
TRGS_ACCOUNT_GROUP - RLDEPO |
Treasury: Structure of Securities Account Group |
FTR_GENERAL |
EA-FINSERV |
EA-FINSERV |
314 |
Table |
TRGS_BUKRS_SECURITYACCOUNT - SECURITY_ACCOUNT |
Key Structure for Securities Account |
FTR_GENERAL |
EA-FINSERV |
EA-FINSERV |
315 |
Table |
TRGS_DETAILED_AMORT_LOG - SECURITY_ACCOUNT |
Detailed Amortization Log |
FTR_GENERAL |
EA-FINSERV |
EA-FINSERV |
316 |
Table |
TRGS_MIGTRANS_RFC - RLDEPO |
Extracted Securities Flow for Transfer to RFC Module |
FTR_MIGRATION_10 |
EA-FINSERV |
EA-FINSERV |
317 |
Table |
TRGS_MIG_RWA_SECACC - HIGH |
Structure to Create a Range Table Securities Account |
FVVW |
EA-FINSERV |
EA-FINSERV |
318 |
Table |
TRGS_MIG_RWA_SECACC - LOW |
Structure to Create a Range Table Securities Account |
FVVW |
EA-FINSERV |
EA-FINSERV |
319 |
Table |
TRGS_MIG_TRANSACTION - RLDEPO |
Structure for Migration to Enterprise 2.0 |
FTR_MIGRATION_10 |
EA-FINSERV |
EA-FINSERV |
320 |
Table |
TRGS_PAYMENT_INFO - SECURITY_ACCOUNT |
Payment Information |
FTR_GENERAL |
EA-FINSERV |
EA-FINSERV |
321 |
Table |
TRGS_PAYMENT_INFO_DISPLAY - SECURITY_ACCOUNT |
Display Payment Information |
FTR_GENERAL |
EA-FINSERV |
EA-FINSERV |
322 |
Table |
TRGS_POSITION_SELECTION - SECURITY_ACCOUNT |
Selection Parameters |
FTR_GENERAL |
EA-FINSERV |
EA-FINSERV |
323 |
Table |
TRGS_SECURITY_ACCOUNT - LOW |
Securities Account |
FTR_GENERAL |
EA-FINSERV |
EA-FINSERV |
324 |
Table |
TRGS_SECURITY_ACCOUNT - HIGH |
Securities Account |
FTR_GENERAL |
EA-FINSERV |
EA-FINSERV |
325 |
Table |
TRGT_BACKUPACCGR - SEC_ACCT |
Backup Table Prelim. Sol. - Position Mgmt - Sec. Acct Group |
FTR_GENERAL |
EA-FINSERV |
EA-FINSERV |
326 |
Table |
TRGT_MIGR_PMP - SECURITY_ACCOUNT |
Conversion: Assign to Parallel Position Mangmnt Procedures |
FVVW |
EA-FINSERV |
EA-FINSERV |
327 |
Table |
TRGT_SECACCASGN - SEC_ACCT |
Obsolete: Do Not Use Anymore! |
FTR_GENERAL |
EA-FINSERV |
EA-FINSERV |
328 |
Table |
TRGT_TRANS_REVAL - RLDEPO |
Table with Revaluation Structures for Transfer to TR Ledger |
FTR_GENERAL |
EA-FINSERV |
EA-FINSERV |
329 |
Table |
TRLIS_AD_LIST_HEADER - SECURITY_ACCOUNT |
Header Data of Accrual/Deferral List |
FTR_ACCRUAL |
EA-FINSERV |
EA-FINSERV |
330 |
Table |
TRLIS_PERIODINCOME_FLOW - SECURITY_ACCOUNT |
Flow of Periodic Income |
FTR_ACCRUAL |
EA-FINSERV |
EA-FINSERV |
331 |
Table |
TRLIT_AD_MIGRATE - SECURITY_ACCOUNT |
Accrual/Deferral: Log Data of Migration to EP 2: |
FTR_ACCRUAL |
EA-FINSERV |
EA-FINSERV |
332 |
Table |
TRLS_ALV_DERIVED_FLOW - SECURITY_ACCOUNT |
Structure for SAP List Viewer Output "Derived Flows" |
FTR_TREASURY_LEDGER |
EA-FINSERV |
EA-FINSERV |
333 |
Table |
TRLS_BW_MAP_POSITION_DATA - SECURITY_ACCOUNT |
Mapping Structure - BW Reporting Par. Positions: Posit. Data |
FTR_TREASURY_LEDGER |
EA-FINSERV |
EA-FINSERV |
334 |
Table |
TRLS_CHECK1_ALV - SECURITY_ACCOUNT |
Structure for Output of Flows in SAP List Viewer |
FTR_TREASURY_LEDGER |
EA-FINSERV |
EA-FINSERV |
335 |
Table |
TRLS_FIXINGSUM_ALV - SECURITY_ACCOUNT |
Structure for Display of Transaction Figures |
FTR_TREASURY_LEDGER |
EA-FINSERV |
EA-FINSERV |
336 |
Table |
TRLS_FLOW_ALV - SECURITY_ACCOUNT |
Structure for Output of Flows in SAP List Viewer |
FTR_TREASURY_LEDGER |
EA-FINSERV |
EA-FINSERV |
337 |
Table |
TRLS_FLOW_ALV1 - SECURITY_ACCOUNT |
Structure for Output of Flows in SAP List Viewer |
FTR_TREASURY_LEDGER |
EA-FINSERV |
EA-FINSERV |
338 |
Table |
TRLS_MAINTAIN_TRANS_REVAL - RLDEPO |
Structure for Maintenance of Transfer Table Position Values |
FTR_TREASURY_LEDGER |
EA-FINSERV |
EA-FINSERV |
339 |
Table |
TRLS_MODIFY_POSITION - SECURITY_ACCOUNT |
Maintain Acct Assignment Ref. & Position Mgmt Procedure |
FTR_TREASURY_LEDGER |
EA-FINSERV |
EA-FINSERV |
340 |
Table |
TRLS_POSITION_ALV - SECURITY_ACCOUNT |
Treasury: Structure for Displaying Positions to be Valued |
FTR_TREASURY_LEDGER |
EA-FINSERV |
EA-FINSERV |
341 |
Table |
TRLS_POSITION_CONTEXT - SECURITY_ACCOUNT |
Position Context |
FTR_TREASURY_LEDGER |
EA-FINSERV |
EA-FINSERV |
342 |
Table |
TRLS_POSITION_DIFF - SECURITY_ACCOUNT |
Structure for Differentiation Values |
FTR_TREASURY_LEDGER |
EA-FINSERV |
EA-FINSERV |
343 |
Table |
TRLS_POSITION_SELECT - SECURITY_ACCOUNT |
Description of a Position |
FTR_TREASURY_LEDGER |
EA-FINSERV |
EA-FINSERV |
344 |
Table |
TRLS_POSITION_VALUE - SECURITY_ACCOUNT |
Differentiations and Position Values |
FTR_TREASURY_LEDGER |
EA-FINSERV |
EA-FINSERV |
345 |
Table |
TRLS_POS_MAN_PROC - SECURITY_ACCOUNT |
Position Context |
FTR_TREASURY_LEDGER |
EA-FINSERV |
EA-FINSERV |
346 |
Table |
TRLS_REPORTING_POS_VALUES - SECURITY_ACCOUNT |
Reporting Structure with Position Values |
FTR_TREASURY_LEDGER |
EA-FINSERV |
EA-FINSERV |
347 |
Table |
TRLS_REPORT_MAP_POSITION_DATA - SECURITY_ACCOUNT |
Mapping Structure - Reporting for Par. Positions: Pos. Data |
FTR_TREASURY_LEDGER |
EA-FINSERV |
EA-FINSERV |
348 |
Table |
TRLS_REP_POSITION - SECURITY_ACCOUNT |
Reporting Data for a Position |
FTR_TRL_REPORTING |
EA-FINSERV |
EA-FINSERV |
349 |
Table |
TRLS_REP_POSITION_DATA_ALV - SECURITY_ACCOUNT |
Structure Reporting ALV |
FTR_TRL_REPORTING |
EA-FINSERV |
EA-FINSERV |
350 |
Table |
TRLS_REP_TRANS_DISPLAY_ALV - SECURITY_ACCOUNT |
Business Transactions Display ALV |
FTR_TRL_REPORTING |
EA-FINSERV |
EA-FINSERV |
351 |
Table |
TRLS_TRQ_QTY_SELECT - SECURITY_ACCOUNT |
Structure for Table Control: TRQ Quantities to Transfer |
FTR_TREASURY_LEDGER |
EA-FINSERV |
EA-FINSERV |
352 |
Table |
TRLS_VCL_TRANS_SELECT - SECURITY_ACCOUNT |
Structure: Seln of Valn Class Transfer BTs to be Reversed |
FTR_TREASURY_LEDGER |
EA-FINSERV |
EA-FINSERV |
353 |
Table |
TRLT_INIT_TRANS - SECURITY_ACCOUNT |
List of Initializing Business Transactions |
FTR_TREASURY_LEDGER |
EA-FINSERV |
EA-FINSERV |
354 |
Table |
TRLT_INIT_VAL_SE - SECURITY_ACCOUNT |
Initialization Values for TRL Positions: Securities |
FTR_TREASURY_LEDGER |
EA-FINSERV |
EA-FINSERV |
355 |
Table |
TRLT_VCL_FLOW - SECURITY_ACCOUNT |
Flows Valuation Class Transfer |
FTR_TREASURY_LEDGER |
EA-FINSERV |
EA-FINSERV |
356 |
Table |
TRPRS_EXIT_EXT_PAYMENT - SECURITY_ACCOUNT |
Payment Information for External Payment Interface |
FTR_PAYMENT_REQUEST |
EA-FINSERV |
EA-FINSERV |
357 |
Table |
TRQS_DIFF_VALUES - SECURITY_ACCOUNT |
Treasury: Structure for TRQ Differentiation Values |
FTR_QUANTITY_LEDGER |
EA-FINSERV |
EA-FINSERV |
358 |
Table |
TRQS_LOT_ASSIG_W_POS - SECURITY_ACCOUNT |
Structure for Lot Allocation of a Business Transaction |
FTR_QUANTITY_LEDGER |
EA-FINSERV |
EA-FINSERV |
359 |
Table |
TRQS_POSITION_QUANTITY - SECURITY_ACCOUNT |
Treasury: Quantity Ledger Position List - Positions |
FTR_QUANTITY_LEDGER |
EA-FINSERV |
EA-FINSERV |
360 |
Table |
TRQS_POS_ASSIG - SECURITY_ACCOUNT |
Structure for Position Allocation of a Business Transaction |
FTR_QUANTITY_LEDGER |
EA-FINSERV |
EA-FINSERV |
361 |
Table |
TRQS_POS_QUANT - SECURITY_ACCOUNT |
Treasury: Structure Position per Diff. Value with Qty Pos. |
FTR_QUANTITY_LEDGER |
EA-FINSERV |
EA-FINSERV |
362 |
Table |
TRQS_POS_QUANT_GUI - SECURITY_ACCOUNT |
Treasury: Structure Position per Diff. Value with Qty Pos. |
FTR_QUANTITY_LEDGER |
EA-FINSERV |
EA-FINSERV |
363 |
Table |
TRQT_VWVORTR_LOT - RLDEPO |
(obsolete) |
FTR_QUANTITY_LEDGER |
EA-FINSERV |
EA-FINSERV |
364 |
Table |
TRRS_DIFF_VALUES - SECURITY_ACCOUNT |
Structure for Differentiation Values |
FTR_TRL_REPORTING |
EA-FINSERV |
EA-FINSERV |
365 |
Table |
TRRS_POSITION_DATA - SECURITY_ACCOUNT |
Position Data & Posting Items |
FTR_TRL_REPORTING |
EA-FINSERV |
EA-FINSERV |
366 |
Table |
TRRS_POSITION_HEADER - SECURITY_ACCOUNT |
Position Header for Reporting |
FTR_TRL_REPORTING |
EA-FINSERV |
EA-FINSERV |
367 |
Table |
TRSS_IM_POS_IND - SECURITY_ACCOUNT |
TRSS_IM_POS_IND |
FTR_POSITION_INDICATOR |
EA-FINSERV |
EA-FINSERV |
368 |
Table |
TRSTRUC4PAYSC - SECURITY_ACCOUNT |
TR: Structure for Display of Payment Plan |
FTA |
EA-FINSERV |
EA-FINSERV |
369 |
Table |
TRXT_WT_ASSIGN - SEC_ACCOUNT |
TRM Withholding Tax Information Assignment |
FTR_TAX_MGT |
EA-FINSERV |
EA-FINSERV |
370 |
Table |
TTONFTVZZBEPP - RLDEPO |
Test neue FIMA: VZZBEPP |
FVVD_TEST_NEW_FIMA |
EA-FINSERV |
EA-FINSERV |
371 |
Table |
TTONFVZZBEPP - RLDEPO |
Felder der Struktur VZZBEPP |
FVVD_TEST_NEW_FIMA |
EA-FINSERV |
EA-FINSERV |
372 |
Table |
TWSPV - SECURITY_ACCOUNT |
Security Prices for Special Valuation |
FVVW |
EA-FINSERV |
EA-FINSERV |
373 |
Table |
TXI_DIFT_POS_IDENT - SECURITY_ACCOUNT |
Persistent Flow Selectors |
FTR_ILM |
EA-FINSERV |
EA-FINSERV |
374 |
Table |
TXI_TRDT_FLOW - SECURITY_ACCOUNT |
Treasury: Persistent distributor flows |
FTR_ILM |
EA-FINSERV |
EA-FINSERV |
375 |
Table |
TXI_VTBFHAPO - RLDEPO |
Transaction Flow |
FTR_ILM |
EA-FINSERV |
EA-FINSERV |
376 |
Table |
TXI_VTIFHA - RLDEPO |
Underlying transaction |
FTR_ILM |
EA-FINSERV |
EA-FINSERV |
377 |
Table |
TZWR1 - RLDEPO |
Valuation in sec.acct position |
FTVV |
EA-FINSERV |
EA-FINSERV |
378 |
Table |
VALT_SP_VAL_SEC - SECURITY_ACCOUNT |
Security Prices and NPV for Special Valuation |
FTR_VALUATION |
EA-FINSERV |
EA-FINSERV |
379 |
Table |
VBFHAPO - RLDEPO |
Updating Table for Flow |
FTA |
EA-FINSERV |
EA-FINSERV |
380 |
Table |
VDKOREF - RLDEPO |
Worklist File for Bal. Sheet Transfer / Acct Assignment Ref. |
FVVD |
EA-FINSERV |
EA-FINSERV |
381 |
Table |
VDKOREF_ADD - RLDEPO |
VDKOREF with Necessary Posting Fields Added |
FVVD |
EA-FINSERV |
EA-FINSERV |
382 |
Table |
VDSDV5 - RLDEPO |
Collateral in securities in acc. with BAV/PRF5 |
FVVD |
EA-FINSERV |
EA-FINSERV |
383 |
Table |
VDZZBEPP - RLDEPO |
View of collectors VDBEPP, VDBEKI, VDBEPI |
VVSRG |
EA-FINSERV |
EA-FINSERV |
384 |
Table |
VFSFHAPO - RLDEPO |
Fin. Flows from View of Listed Options and Futures |
FTT |
EA-FINSERV |
EA-FINSERV |
385 |
Table |
VIAKBSEG - DEPOT |
Document Line Item from SCS for Interface |
FVVI |
APPL |
SAP_FIN |
386 |
Table |
VIMIIP_ZS - DEPOT |
Invoice Print: Invoice Items with Additional Fields |
FVVI |
APPL |
SAP_FIN |
387 |
Table |
VSLCACO - RLDEPO |
Display Structure: Cumulative Cash Collateral |
FTR_LENDING |
EA-FINSERV |
EA-FINSERV |
388 |
Table |
VSLFHAPO - RLDEPO |
Financial Flows of Securities Lending |
FTR_LENDING |
EA-FINSERV |
EA-FINSERV |
389 |
Table |
VSLHPTBWG - RLDEPO |
Main Flow in Securities Lending |
FTR_LENDING |
EA-FINSERV |
EA-FINSERV |
390 |
Table |
VSLZSZBWG - RLDEPO |
Other Flow in Securities Lending |
FTR_LENDING |
EA-FINSERV |
EA-FINSERV |
391 |
Table |
VTAI11 - RLDEPO |
Transfer Structure for Additional Flows |
FTA |
EA-FINSERV |
EA-FINSERV |
392 |
Table |
VTBFHAPO - RLDEPO |
Transaction Flow |
FTA |
EA-FINSERV |
EA-FINSERV |
393 |
Table |
VTBFHAPO_MIGR - RLDEPO |
Migrated Financial Flows |
FTA |
EA-FINSERV |
EA-FINSERV |
394 |
Table |
VTBFHAPO_UNFIXED - RLDEPO |
Non-Fixed Financial Transaction Flows |
FTA |
EA-FINSERV |
EA-FINSERV |
395 |
Table |
VTB_CF - RLDEPO |
Netting: Cash Flows and payment info |
FTR |
EA-FINSERV |
EA-FINSERV |
396 |
Table |
VTB_CFI - RLDEPO |
Netting: Cash flows and payment info, common include |
FTR |
EA-FINSERV |
EA-FINSERV |
397 |
Table |
VTB_CP - RLDEPO |
Netting: Positions |
FTR |
EA-FINSERV |
EA-FINSERV |
398 |
Table |
VTB_DBEST - RLDEPO |
Transfer Structure for Holdings of Listed Derivatives |
FTA |
EA-FINSERV |
EA-FINSERV |
399 |
Table |
VTB_MEMO - RLDEPO |
Transfer Structure Payment Advices: Transaction Master Data |
FTA |
EA-FINSERV |
EA-FINSERV |
400 |
Table |
VTB_M_DATA - RLDEPO |
Transfer Structure Payment Advice Generation: Flow Data |
FTA |
EA-FINSERV |
EA-FINSERV |
401 |
Table |
VTB_SFHAPO - RLDEPO |
Forwards: Financial Transaction Flows |
FTT |
EA-FINSERV |
EA-FINSERV |
402 |
Table |
VTB_SFHAPO - RLDEPO_R |
Forwards: Financial Transaction Flows |
FTT |
EA-FINSERV |
EA-FINSERV |
403 |
Table |
VTB_S_REPO_DYNP - RLDEPO_R |
Fields for Repo Flow |
FTT |
EA-FINSERV |
EA-FINSERV |
404 |
Table |
VTGFHAPO - RLDEPO |
TR Transaction Management: Flow Display Structures |
FTTR |
EA-FINSERV |
EA-FINSERV |
405 |
Table |
VTG_FC_REP2 - RLDEPO |
TR Transaction Management: Flow Display Structures |
FTTR |
EA-FINSERV |
EA-FINSERV |
406 |
Table |
VTI10 - RLDEPO |
Transfer Structure Option Trading |
FTT |
EA-FINSERV |
EA-FINSERV |
407 |
Table |
VTI11 - RLDEPO |
Transfer Structure Underlying Transactions |
FTT |
EA-FINSERV |
EA-FINSERV |
408 |
Table |
VTIFHA - RLDEPO |
Underlying transaction |
FTT |
EA-FINSERV |
EA-FINSERV |
409 |
Table |
VTIZBMF71A - RLDEPO |
Additional flows CAP/FLOOR/FRA |
FTT |
EA-FINSERV |
EA-FINSERV |
410 |
Table |
VTIZMF72A - RLDEPO |
Other Flows SWAP |
FTT |
EA-FINSERV |
EA-FINSERV |
411 |
Table |
VTMFHAPO - RLDEPO |
Financial Flows from Money Market View |
FTG |
EA-FINSERV |
EA-FINSERV |
412 |
Table |
VTMHPTBWG - RLDEPO |
Main flow in money market trading |
FTG |
EA-FINSERV |
EA-FINSERV |
413 |
Table |
VTMZSZBWG - RLDEPO |
Additional Flow in Money Market |
FTG |
EA-FINSERV |
EA-FINSERV |
414 |
Table |
VTS_CF_FLOW - RLDEPO |
TR Transaction Management: Flow |
FTTR |
EA-FINSERV |
EA-FINSERV |
415 |
Table |
VTS_FC_REP2 - RLDEPO |
FTR Facilities: Reporting Structure 2 (Charges Overview) |
FTTR |
EA-FINSERV |
EA-FINSERV |
416 |
Table |
VTVBARW_CFM - SECURITY_ACCOUNT |
CFM Operative/Parallel: For a Given Date |
FTI |
EA-FINSERV |
EA-FINSERV |
417 |
Table |
VTVCASHFL - RLDEPO |
Cash Flow of Financial Instruments |
FTB |
EA-FINSERV |
EA-FINSERV |
418 |
Table |
VTVCASHFLOW_ALV - RLDEPO |
Structure for Output of Cash Flow through ALV |
FTB |
EA-FINSERV |
EA-FINSERV |
419 |
Table |
VTVEODD - RLDEPO |
RM Result object - single value analysis NPV/simulation |
FTBB |
EA-FINSERV |
EA-FINSERV |
420 |
Table |
VTVFGDI0 - P_RLDEPO |
DI of Generic Transaction: Extended Receiver Structure |
FTBB |
EA-FINSERV |
EA-FINSERV |
421 |
Table |
VTVFGDI0 - RLDEPO |
DI of Generic Transaction: Extended Receiver Structure |
FTBB |
EA-FINSERV |
EA-FINSERV |
422 |
Table |
VTVFGDI1 - P_RLDEPO |
DI Generic Transaction: Direct Input of Receiver Structure |
FTBB |
EA-FINSERV |
EA-FINSERV |
423 |
Table |
VTVFGDI1 - RLDEPO |
DI Generic Transaction: Direct Input of Receiver Structure |
FTBB |
EA-FINSERV |
EA-FINSERV |
424 |
Table |
VTVFGDI41 - RLDEPO |
DI of Generic Transaction: ABEST for XSFGDT |
FTBB |
EA-FINSERV |
EA-FINSERV |
425 |
Table |
VTVFGDI42 - P_RLDEPO |
DI of Generic Transaction: Header for XFGET |
FTBB |
EA-FINSERV |
EA-FINSERV |
426 |
Table |
VTVMETHIRR - RLDEPO |
Results structure for IRR |
FTB |
EA-FINSERV |
EA-FINSERV |
427 |
Table |
VTVMETHOD - RLDEPO |
Method and Result Structure Treasury-RMDS |
FTB |
EA-FINSERV |
EA-FINSERV |
428 |
Table |
VTVPANDL - RLDEPO |
Profit and Loss Results Structure |
FTB |
EA-FINSERV |
EA-FINSERV |
429 |
Table |
VTV_EXPOTA - RLDEPO |
Exposure table |
FTB |
EA-FINSERV |
EA-FINSERV |
430 |
Table |
VTXI1 - RLDEPO |
Forex Transaction Flow 1 |
FTD |
EA-FINSERV |
EA-FINSERV |
431 |
Table |
VTXI2 - RLDEPO |
Forex transaction flow 2 |
FTD |
EA-FINSERV |
EA-FINSERV |
432 |
Table |
VTXIBAR - RLDEPO |
Forex Cash Settlement |
FTTR |
EA-FINSERV |
EA-FINSERV |
433 |
Table |
VVAUTHA - RLDEPO |
Authorization fields in DARWIN application |
FVV |
APPL |
SAP_APPL |
434 |
Table |
VWBEKI - RLDEPO |
Treasury Securities: Actual Flows - Header |
FVVW |
EA-FINSERV |
EA-FINSERV |
435 |
Table |
VWBWKM - RLDEPO |
TRTM-PM: Flow table for corporate actions |
FVVW |
EA-FINSERV |
EA-FINSERV |
436 |
Table |
VWBWKMT - RLDEPO |
Flow table for corporate actions + texts |
FVVW |
EA-FINSERV |
EA-FINSERV |
437 |
Table |
VWPBDEP - RLDEPO |
Bank Securities Account Position |
FVVW |
EA-FINSERV |
EA-FINSERV |
438 |
Table |
VWPUNIT - RLDEPO |
Unit management securities and listed derivatives |
FVVW |
EA-FINSERV |
EA-FINSERV |
439 |
Table |
VWSFHAPO - RLDEPO |
Financial Flows from Securities View |
FVVW |
EA-FINSERV |
EA-FINSERV |
440 |
Table |
VWVORTR - RLDEPO |
Securities: Carry-Forward Totals |
FVVW |
EA-FINSERV |
EA-FINSERV |
441 |
Table |
VWZUORD - RLDEPO |
Securities Assignment Table for Restraints on Disposal |
FVVW |
EA-FINSERV |
EA-FINSERV |
442 |
Table |
VWZZBEPP - RLDEPO |
View of collectors VWBEPP, VWBEKI, VWBEPI |
VVSRG |
EA-FINSERV |
EA-FINSERV |
443 |
Table |
VZBEST - RLDEPO |
Treasury general portfolio structure |
FTVV |
EA-FINSERV |
EA-FINSERV |
444 |
Table |
VZBEST_RT - RLDEPO |
Position Structure/Reporting Char. MRM for Risk Objects |
FTB |
EA-FINSERV |
EA-FINSERV |
445 |
Table |
VZBEWEG - RLDEPO |
General structure of treasury transactions |
FTVV |
EA-FINSERV |
EA-FINSERV |
446 |
Table |
VZESS - DEPOT |
Item data IP interface to FI-VV |
BFV |
APPL |
SAP_APPL |
447 |
Table |
VZOPTI - RLDEPO |
Treasury general option structure |
FTT |
EA-FINSERV |
EA-FINSERV |
448 |
Table |
VZOPTO - RLDEPO |
Structure for Option Transfer (Reporting) |
FTT |
EA-FINSERV |
EA-FINSERV |
449 |
Table |
VZSUMME - RLDEPO |
General totals fields Treasury |
FTVV |
EA-FINSERV |
EA-FINSERV |
450 |
Table |
VZTRDAT - RLDEPO |
General transaction data structure Treasury |
FTVV |
EA-FINSERV |
EA-FINSERV |
451 |
Table |
VZTRIDAT - RLDEPO |
Underlying transaction data structure |
FTA |
EA-FINSERV |
EA-FINSERV |
452 |
Table |
VZWERTP - RLDEPO |
General securities structure Treasury |
FVVW |
EA-FINSERV |
EA-FINSERV |
453 |
Table |
VZZBEPP - RLDEPO |
Transaction data - Planned and actual item |
FVV |
APPL |
SAP_APPL |
454 |
Table |
WB2_ALV_AC_ITEM - DEPOT |
ALV Display Item Data Accounting |
WB2B_TEW |
EA-GLTRADE |
EA-GLTRADE |
455 |
Table |
WB2_BSEG - DEPOT |
Accounting Document Segment |
WB2B_TEW |
EA-GLTRADE |
EA-GLTRADE |