Where Used List (Table) for SAP ABAP Data Element TB_RGARANT_NEW (Guarantor of Financial Transaction)
SAP ABAP Data Element
TB_RGARANT_NEW (Guarantor of Financial Transaction) is used by
| # | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
|---|---|---|---|---|---|---|
| 1 | API_FTR_GETDETAIL_CP_MULTI - GUARANTOR | Details for Commercial Paper (Mass Data) | ||||
| 2 | API_FTR_GETDETAIL_FTD_MULTI - GUARANTOR | Details for Fixed-term Deposit (Mass Data) | ||||
| 3 | API_FTR_GETDETAIL_FXT_MULTI - GUARANTOR | Details for Foreign Exchange Transaction (Mass Data) | ||||
| 4 | BAPI2042_MAINTAIN_MM - GUARANTOR | Money market: BAPI transf. struct. for maintaining transact. | ||||
| 5 | BAPI_FTR_ADMIN - GUARANTOR | FTR: BAPI Structure for Data from Administration Tab Page | ||||
| 6 | BAPI_FTR_CHANGE - GUARANTOR | FTR: BAPI Structure for Changing Transactions (General) | ||||
| 7 | BAPI_FTR_CREATE - GUARANTOR | FTR: BAPI Structure for Creating Transactions | ||||
| 8 | BAPI_FTR_CREATE2 - GUARANTOR | FTR: BAPI Structure for Creating Transactions | ||||
| 9 | BAPI_FTR_GETDETAIL - GUARANTOR | FTR: BAPI Structure for Creating Transactions | ||||
| 10 | CVTBFHA - RGARANT | Document change structure for VTBFHA | ||||
| 11 | FTI_BIW_DELTA_DEAL_ATTR - GUARANTOR | TR-BI: Transaction Master Data | ||||
| 12 | FTI_LDB_BW_CFM_VALUES - RGARANT | Structure for LDB as Generic Data Source for Market Data | ||||
| 13 | FTI_LDB_INC_DEAL_ATTR - RGARANT | Include for Transaction Attributes Rel. for Position (->LDB) | ||||
| 14 | FTI_LDB_SWAP_POSITION - RGARANT | Treasury: Positions (Transactions) Swaps (-> LDB) | ||||
| 15 | FTI_LDB_TR_ATTR_DEAL - RGARANT | Transaction Attributes Used in the Logical Database | ||||
| 16 | FTI_LDB_TR_CASH_FLOWS - RGARANT | Treasury: Payment Information | ||||
| 17 | FTI_LDB_TR_CASH_FLOWS_INTVAL - RGARANT | Treasury: Payment Information for Several Time Intervals | ||||
| 18 | FTI_LDB_TR_DEALS - RGARANT | Transactions | ||||
| 19 | FTI_LDB_TR_DEAL_MAIN - GUARANTOR | Treasury: Transaction Reporting, Main Data (-> LDB) | ||||
| 20 | FTI_LDB_TR_OTC_DEAL_1 - GUARANTOR | Treasury RAPIs - OTC Transaction Reporting | ||||
| 21 | FTI_LDB_TR_OTC_DEAL_2 - GUARANTOR | TR RAPIs - OTC Transact. Reporting Incl. Risk Man. Figures | ||||
| 22 | FTI_LDB_TR_PERIODS - RGARANT | Treasury: Period-Based Evaluations (-> LDB) | ||||
| 23 | FTI_LDB_TR_PERIOD_FLOWS - RGARANT | Treasury: Flow Information | ||||
| 24 | FTI_LDB_TR_PL_CF - RGARANT | Treasury: Revenue and Cash Flow Information | ||||
| 25 | FTI_LDB_TR_PL_CF_INTERVALS - RGARANT | Treasury: Revenue Information for Several Time Intervals | ||||
| 26 | FTI_LDB_TR_POSITIONS - RGARANT | Treasury: Positions (-> LDB) | ||||
| 27 | FTI_LDB_TR_POS_DEAL_ATTR - RGARANT | Transaction Attributes Used in the Logical Database | ||||
| 28 | FTI_LDB_TR_SEC_DEAL_1 - GUARANTOR | Treasury: Transaction Reporting, Securities Main Data | ||||
| 29 | FTI_PFA_FLOW_MAPPING - RGARANT | Cash Flow Interface for PA Flows | ||||
| 30 | FTR_FX_INT_HEADER - GUARANTOR | Int. FX: Header Information for Creating a Transaction | ||||
| 31 | FTR_GDPDU_STR_MASTERDATA - RGARANT | Financial Transaction | ||||
| 32 | FTR_GDPDU_STR_VTBFHA_MASTER - RGARANT | Financial Transaction | ||||
| 33 | FTR_GDPDU_XSTR_VTBFHA - RGARANT | Financial Transaction | ||||
| 34 | FTR_XI_COMMON - GUARANTOR_2 | Mapping: General Data | ||||
| 35 | FTR_XI_COMMON - GUARANTOR | Mapping: General Data | ||||
| 36 | FTR_XI_COMMON_INT - GUARANTOR | Mapping: General Data in SAP Internal Format | ||||
| 37 | FTR_XI_COMMON_INT2 - GUARANTOR_2 | Mapping: 2xGeneral Data in SAP Internal Format (re. FX Swap) | ||||
| 38 | FTR_XI_COMMON_INT2 - GUARANTOR | Mapping: 2xGeneral Data in SAP Internal Format (re. FX Swap) | ||||
| 39 | IDCFMBRSE_PST - GUARANTOR | Customizing for creation of sales transactions for tax pmnts | ||||
| 40 | IDCFMSALES_ITEMS - GUARANTOR | Sale transaction's items | ||||
| 41 | ISSR_MIG_WP - RGARANT | ISSR: Mig Wp | ||||
| 42 | JBAPI_FTR_GETDETAIL_FRA_MULTI - GUARANTOR | Detailed Data: FRAs for Export | ||||
| 43 | JBAPI_FTR_GETDETAIL_FTD_MULTI - GUARANTOR | Details for Fixed-term Deposit (Mass Data) | ||||
| 44 | JBAPI_FTR_GETDETAIL_SWAP_MULTI - GUARANTOR | Detailed Data: Swaps for Export | ||||
| 45 | JBDDERIVDERI - RGARANT | Derivation structure for derivates | ||||
| 46 | JBDFHA - RGARANT | Financial Transaction (Selection) | ||||
| 47 | JBDFXDERI - RGARANT | Derivation Structure Foreign Currencies | ||||
| 48 | JBDMONEYDERI - RGARANT | Derivation Structure: Money Market | ||||
| 49 | JBD_CP_GETDETAIL_HELP - GUARANTOR | Commercial Paper - Issue Structure | ||||
| 50 | JBD_FRA_GETDETAIL_HELP - GUARANTOR | Forward Rate Agreement: Details | ||||
| 51 | JBD_STR_CP_DATA_MAP - GUARANTOR | Commercial Paper: Issue Structure | ||||
| 52 | JBD_STR_FRA_DATA_MAP - GUARANTOR | Details for Forward Rate Agreeemnts (Mass Data) | ||||
| 53 | JBD_STR_FTD_DATA_MAP - GUARANTOR | Issue Structure for Fixed-Term Deposit | ||||
| 54 | JBD_STR_FTR_GENERAL_MAP - GUARANTOR | General Data of Financial Transactions | ||||
| 55 | JBD_STR_FX_DATA_MAP - GUARANTOR | Details of Forex Transaction | ||||
| 56 | JBD_STR_SWAP_DATA_MAP - GUARANTOR | Details of Swaps (Mass Data) | ||||
| 57 | JBIUCOMM - RGARANT | Transfer Structure for Commercial Paper | ||||
| 58 | JBIUDERIV - RGARANT | Transfer Structure for Derivatives | ||||
| 59 | JBIUDEV - RGARANT | Batch Input Structure for Forex | ||||
| 60 | JBIUFEST - RGARANT | Transfer Structure for Fixed-Term Deposits | ||||
| 61 | JBIUFHA - RGARANT | Receiver Structure for Financial Transactions | ||||
| 62 | JBIUGEL - RGARANT | Batch Input Structure for Money Market Trading | ||||
| 63 | JBIUPDERIV - RGARANT | Extended Transfer Structure for Derivatives | ||||
| 64 | JBIUPGEHA - RGARANT | Extended Transfer Struct. for Money Mkt. Transactions | ||||
| 65 | JBTFGSTAMM - RGARANT | Financial Transaction (Master Data) | ||||
| 66 | TBCO_ALL - RGARANT | Output Structure for Correspondence: Overall Structure | ||||
| 67 | TBCO_CF - RGARANT | Output structure of CAP and FLOOR | ||||
| 68 | TBCO_CP - RGARANT | Output Structure Commercial Paper Confirmations | ||||
| 69 | TBCO_FC - RGARANT | Output Structure Confirmations Facility | ||||
| 70 | TBCO_FIX - RGARANT | Output Structure for Interest Rate Adjustment | ||||
| 71 | TBCO_FR - RGARANT | Output structure of FRA confirmations | ||||
| 72 | TBCO_FU - RGARANT | Output Structure for Confirmation of Futures | ||||
| 73 | TBCO_FW - RGARANT | Output Structure for Forward Transaction Confirmations | ||||
| 74 | TBCO_FX - RGARANT | Output Structure of Confirmations for Forex Transactions | ||||
| 75 | TBCO_IR - RGARANT | Output Structure for Confirmation: Int. Rate Instrument | ||||
| 76 | TBCO_OP - RGARANT | Output Structure of Confirmations for Options | ||||
| 77 | TBCO_OPUL - RGARANT | Output Structure for Options: Underlying of the Underlying | ||||
| 78 | TBCO_RP - RGARANT | Output Structure for Repo Confirmations | ||||
| 79 | TBCO_SE - RGARANT | Output Structure: Securities Order Confirmations | ||||
| 80 | TBCO_SEC - RGARANT | Security order confirmation display structure | ||||
| 81 | TBCO_SL - RGARANT | Output Structure for Securities Lending | ||||
| 82 | TBCO_SW - RGARANT | Output structure for SWAPs | ||||
| 83 | TBCO_TD - RGARANT | Output Struct. Fixed-Term Dep./Dep. at Notice Confirmations | ||||
| 84 | TBCO_ZZ - RGARANT | Output Structure: Cash Flow-Based Transaction Confirmations | ||||
| 85 | TPMS_FTR_SEL_RDB - RGARANT | Selection Structure for MM Transactions | ||||
| 86 | TRSTRUC4PAYSC - RGARANT | TR: Structure for Display of Payment Plan | ||||
| 87 | TXI_VTBFHA - RGARANT | Transaction | ||||
| 88 | VBFHA - RGARANT | Updating Table for Transaction | ||||
| 89 | VFSFHA - RGARANT | Fin. Transaction from View of Listed Options and Futures | ||||
| 90 | VSLFHA - RGARANT | Transaction Management: Display Structure Securities Lending | ||||
| 91 | VTBFHA - RGARANT | Transaction | ||||
| 92 | VTB_HEADER - RGARANT | Header Structure | ||||
| 93 | VTB_SFHA - RGARANT | Forwards: Financial Transaction | ||||
| 94 | VTB_S_FORW - RGARANT | Structure for Forwards | ||||
| 95 | VTGFHA - RGARANT | TR Transaction Management: Transaction Display Structure | ||||
| 96 | VTGFHA_WRKLIST - RGARANT | TR_Transaction Management: FHA Worklist Toolbox | ||||
| 97 | VTG_FC_REP1 - RGARANT | FTR Facilities: Display Structure Reporting 1 | ||||
| 98 | VTG_IRATE_DERIV - RGARANT | TR_Transaction Management: FHA Worklist Toolbox | ||||
| 99 | VTMFHA - RGARANT | Financial transactions from money market view | ||||
| 100 | VTMIFDC - RGARANT | Money Market: Interface for Entering Transactions | ||||
| 101 | VTMTGSB - RGARANT | Time Deposit - Fast Processing | ||||
| 102 | VTMWRK1 - RGARANT | Transaction view for collective processing | ||||
| 103 | VTM_IN_TRANS - RGARANT | Money Market: Inbound Interface: Transaction | ||||
| 104 | VTS_ADMIN - RGARANT | Administration Data of a Transaction | ||||
| 105 | VTS_FC_REP1 - RGARANT | FTR Facilities: Reporting Structure 1 | ||||
| 106 | VTS_FC_REP2_HEAD - RGARANT | FTR Facilities: Reporting Structure 2 Header Data | ||||
| 107 | VTS_FTR_GUI_ADMIN - RGARANT | GUI Transaction: Administration Data Subscreen | ||||
| 108 | VTVBARM_DR - RGARANT | Treasury: Non-Cumulative Values Deriv.: Charact. Trans./Act. | ||||
| 109 | VTVBARM_DV - RGARANT | Treasury: Non-Cumulative Values FX: Charact. Trans./Act. | ||||
| 110 | VTVBARM_GH - RGARANT | Treasury: Non-Cumulative Values MM: Charact. Trans./Act. | ||||
| 111 | VTVBARM_TR - RGARANT | Treasury: Non-Cumulative (MM+FX+SEC): Charact. Trans./Activ. | ||||
| 112 | VTVBARW_CFM - RGARANT | CFM Operative/Parallel: For a Given Date | ||||
| 113 | VTVBARW_DE_OLD - RGARANT | Derivatives: Non-Cumulative Values (Freezing VTVBARW_DE) | ||||
| 114 | VTVBARW_DV - RGARANT | Foreign Exchange: For a Given Date | ||||
| 115 | VTVBARW_FX - RGARANT | Foreign Exchange: Non-Cumulative Values | ||||
| 116 | VTVBARW_GH - RGARANT | Money Market: For a Given Date | ||||
| 117 | VTVBARW_MM - RGARANT | Money Market: Non-Cumulative Values | ||||
| 118 | VTVBARW_TR - RGARANT | Treasury: For a Given Date | ||||
| 119 | VTVBARW_TR_EXTENDED - RGARANT | Treasury: For a Given Date (All Fields) | ||||
| 120 | VTVDETA_CFM - RGARANT | CFM Operative/Parallel: For a Given Period | ||||
| 121 | VTVDETA_CFM_PL - RGARANT | CFM Operative/Parallel: Profit/Loss Reporting | ||||
| 122 | VTVDETA_DR - RGARANT | Derivatives (OTC): For a Given Period | ||||
| 123 | VTVDETA_DV - RGARANT | Foreign Exchange: For a Given Period | ||||
| 124 | VTVDETA_FX - RGARANT | Foreign Exchange: Cumulative Values | ||||
| 125 | VTVDETA_GH - RGARANT | Money Market: For a Given Period | ||||
| 126 | VTVDETA_MM - RGARANT | Money Market: Cumulative Values | ||||
| 127 | VTVDETA_MM_CONVERT - RGARANT | Money Market: Cumulative Values | ||||
| 128 | VTVDETA_TR - RGARANT | Treasury: For a Given Period | ||||
| 129 | VTVDETA_TR_CF - RGARANT | Operative CFM: Payments | ||||
| 130 | VTVDETA_TR_EXTENDED - RGARANT | Treasury: For a Given Period (All Fields) | ||||
| 131 | VTVDMW1_TR - RGARANT | Treasury: Regulatory Reporting | ||||
| 132 | VWSFHA - RGARANT | Transaction from Securities View |