Where Used List (Function Module) for SAP ABAP Table/Structure Field BAPIERR-LEVEL (BAPIERR)
SAP ABAP Table/Structure Field
BAPIERR - LEVEL (BAPIERR) is used by
| # | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
|---|---|---|---|---|---|---|
| 1 |
AFWGO_FILL_ERROR_LOG
|
Fills the error tabel in the application log, updates LOADADMIN | ||||
| 2 |
AFWGO_SEL_SFGDT
|
Selection: Position Data (SFGDT) | ||||
| 3 |
AFW_TRLOG_SHOW
|
AFW: Anzeigen eines Protokolls aus Transportformat | ||||
| 4 |
AIS_SVPL_CALCULATE_CASHFLOW
|
RM: Cashflow-Kalkulation für P/L-Analyse | ||||
| 5 |
AIS_SVPL_CALCULATE_YIELDS
|
Renditeberechnung für PL-analyse | ||||
| 6 |
AIS_SVPL_CALCULATE_YIELDS1
|
AIS_SVPL_CALCULATE_YIELDS1 | ||||
| 7 |
AIS_SVPL_GET_CASHFLOWS
|
Selektion von Cashflows innerhalb der Periode | ||||
| 8 |
AIS_SVPL_SELECT_CF_FOR_YLDCAL
|
AIS_SVPL_SELECT_CF_FOR_YLDCAL | ||||
| 9 |
BACKTEST_DATA_GET_WITH_PH
|
RM: Datenbeschaffung Backtesting | ||||
| 10 |
BW_DATA_GET_WITH_PH
|
IS-B: RM Datenbeschaffung Barwert mit Portfoliohierarchie | ||||
| 11 |
BW_DATA_GET_XXXX
|
IS-B: RM Datenbeschaffung Barwert - generisches Reporting | ||||
| 12 |
CFM_BW_DELTA_EXTRACT_DEAL_ATTR
|
Geschäftsverwaltung: Deltaextraktor für Geschäftsstammdaten | ||||
| 13 |
CFM_BW_SECID_ATTR_GET
|
Selektion zeitabhängiger Gattungsdaten (TR@BI | ||||
| 14 |
EH_APPEND_FROM_SMSG
|
RM Fehlerhandling: BAPIERR aus dem Messages-Buffer füllen | ||||
| 15 |
EH_ERROR_HEAD
|
Fehlerhandling: Kopfmeldung für fehlerhaftes Geschäft | ||||
| 16 |
EH_EXPORT_TO_MEMORY
|
RM: Export der globaloen Fehlertabelle ins Memory | ||||
| 17 |
EH_SHOW_ERROR_ITAB
|
Ausgabe der globalen Fehlertabelle | ||||
| 18 |
EH_SHOW_ERROR_ITAB_NEW
|
Ausgabe der globalen Fehlertabelle | ||||
| 19 |
FTI_CHECK_IMPAIRMENT
|
Überprüft Bestände hinsichtlich Wertminderung - Impairment | ||||
| 20 |
FTI_FLOWS_AND_POSITIONS_MIX
|
Mischt Bestände und Bewegungen ab | ||||
| 21 |
FTI_GP_PARTNER_SEL_DYNAMICALLY
|
Dynamischer Zugriff auf Geschäftspartnerstammdaten | ||||
| 22 |
FTI_LDB_BIW_EXTRACT_DEAL_ATTR
|
Selekttor auf Einzelgeschäftsebene: Stammdatenimage fürs BI | ||||
| 23 |
FTI_LDB_GET_LOAN_ATTRIBUTES
|
Lesen der Geschäftsattribute | ||||
| 24 |
FTI_LDB_GET_SEC_ATTRIBUTES
|
Lesen der Gattungsattribute | ||||
| 25 |
FTI_LDB_GET_SELSCREEN_IN_RSDS
|
Liest Selektionsscreen aus und gibt Daten in RSDS zurück | ||||
| 26 |
FTI_LDB_PB_SEL_ACCRUED_INT
|
privat: Ermittlung simulierter Bestandswerte | ||||
| 27 |
FTI_LDB_SEL_CF
|
Selektion CFM-Zahlungsinformationen | ||||
| 28 |
FTI_LDB_SEL_PROD_GROUP_COND
|
Aufbereitung der Produktgruppenflags in RSDS-Struktur | ||||
| 29 |
FTI_PRODUCT_FLAGS_TRANSFORM
|
Transformiert die Flags für Produktgruppen in CCSEL | ||||
| 30 |
FTI_RECHERCHE_READ_DATA_CFM
|
TIS - Datenselektion für CFM gesamt | ||||
| 31 |
FTI_TABLE_CONDENSE
|
Verdichtet eine Tabelle über verscheidene Felder | ||||
| 32 |
FTI_TABLE_NO_NULL
|
Verdichtet eine Tabelle über verscheidene Felder | ||||
| 33 |
FVD_LOAN_DATA_FLOW_STOCK
|
Recherchebaustein Darlehen | ||||
| 34 |
GET_POSITION_VALUES
|
###Reporting Subledger | ||||
| 35 |
ISB_ALM_EVAL_SIM_BY_GAP_2
|
...EVAL_SIM_BY_GAP (Gap Analysis of Simulated Transactions) | ||||
| 36 |
ISB_ALM_INDIVIDUAL_SIMULATION
|
ALM: Individual Simulation - Growth Planning | ||||
| 37 |
ISB_ALM_IND_SIMULATION
|
ALM - Point of Branching to the Individual Simulation | ||||
| 38 |
ISB_BUILD_LIQUIDATION_SCENARIO
|
IS-B: RM Liquidationsszenario verarbeiten | ||||
| 39 |
ISB_BUILD_UTILIZATION_SCENARIO
|
IS-B: RM Inanspruchnahmeszenario verarbeiten | ||||
| 40 |
ISB_EVAL_FILL_TRADEABLE_TREATY
|
Selektionsbaustein für börsengehandelte Derivate (Portfoliobestände) | ||||
| 41 |
ISB_GAP_ACCOUNT_ANALYZER
|
IS-B: RM Gap-Analyse-Baustein für Konten und unverz. Beständen | ||||
| 42 |
ISB_GAP_ANALYZER
|
IS-B: RM Central Gap Analysis Module for Business Partner Data | ||||
| 43 |
ISB_GAP_BERMUDA_ANALYZER
|
Analyse-Baustein für Bermuda-Optionen | ||||
| 44 |
ISB_GAP_COMPLEX_ANALYZER
|
IS-B: RM Gap-Analyse-Baustein für komplexe Finanzgeschäfte | ||||
| 45 |
ISB_GAP_EXTERNAL_ANALYZER
|
IS-B: RM Gap-Analyse-Baustein für extern zu analysierende Geschäfte | ||||
| 46 |
ISB_GAP_FACILITY_ANALYZER
|
IS-B: RM Gap-Analyse-Baustein für Fazilitäten | ||||
| 47 |
ISB_GAP_FRA_ANALYZER
|
IS-B: RM Gap-Analyse-Baustein für FRA's | ||||
| 48 |
ISB_GAP_FUTURES_ANALYZER
|
IS-B: RM GAP-Analyse-Baustein für Futures | ||||
| 49 |
ISB_GAP_FX_ANALYZER
|
IS-B: RM Gap-Analyse-Baustein für Devisen- und Devisentermingeschäfte | ||||
| 50 |
ISB_GAP_LOAN_ANALYZER
|
IS-B: RM Gap-Analyse-Baustein für Darlehen | ||||
| 51 |
ISB_GAP_LZB_2
|
Aggregation of Gap Cash Flows into one Date Pattern (Maturity Band) | ||||
| 52 |
ISB_GAP_MONEY_ANALYZER
|
IS-B: RM Gap-Analyse-Baustein für Festgeldgeschäfte | ||||
| 53 |
ISB_GAP_NIPL_ANALYZER
|
IS-B: RM Gap-Analyse-Baustein für Non Interest Profiy and Loss | ||||
| 54 |
ISB_GAP_OPTION_ANALYZER
|
IS-B: RM Gap-Analyse-Baustein Optionen (OTC und handelbare) | ||||
| 55 |
ISB_GAP_PRODUCTS_ANALYZER
|
IS-B: Distribution of Transactions to Product-Specific Analyzers (Gap) | ||||
| 56 |
ISB_GAP_SAVE_ANALYSIS_RESULTS
|
IS-B: RM Saving of the Results of the Gap Analysis (Main Function Module) | ||||
| 57 |
ISB_GAP_SHARE_ANALYZER
|
IS-B: RM Gap-Analyse-Baustein für Aktien | ||||
| 58 |
ISB_GAP_SWAP_ANALYZER
|
IS-B: RM Gap-Analyse-Baustein für Swaps | ||||
| 59 |
ISB_OR_MSG_LINE
|
Protokollierung Schreiben Message in Protokoll mit Parametern | ||||
| 60 |
ISB_PREPARE_LIQUIDATION_SCENAR
|
IS-B: RM Finanzgeschäft mit Liquidationsszenario anreichern | ||||
| 61 |
ISB_PREPARE_MATURITY_SCENARIO
|
IS-B: RM Finanzgeschäft mit Fälligkeitsszenario anreichern | ||||
| 62 |
ISB_PREPARE_SIMULATED_INTEREST
|
IS-B: RM Finanzgeschäfte mit simulierten Zinsen anreichern | ||||
| 63 |
ISB_RM_GAP
|
IS-B: RM Auswertung Gap | ||||
| 64 |
ISB_RM_GAP_APPLY_MATURITY_SCEN
|
Use of a Due Date Scenario on the Gap Analysis Objects | ||||
| 65 |
ISB_RM_GAP_BUILD_MATURITY_SCEN
|
Creation of a table that shows the progress of the due date scenario | ||||
| 66 |
ISB_RM_GAP_DELETE_MAT_SCEN
|
RM Gap: Deletion of Due Date Scenarios | ||||
| 67 |
ISB_RM_GAP_EVAL_INT_RATE_CURR
|
Calculation of the Amount in Interest Currency | ||||
| 68 |
ISB_RM_GAP_FILL_APSIGN
|
Setting of Asset/Liability Indicator for All Transactions | ||||
| 69 |
ISB_RM_GAP_FOR_MATURITY_SCEN
|
IS-B: RM Evaluation of Gap for Due Date Scenarios | ||||
| 70 |
ISB_RM_GAP_MATURITY_SCENARIO
|
IS-B: RM Use due date scenario for gap results objects | ||||
| 71 |
ISB_RM_GAP_UNI_INT_CALC
|
IS-B RM: Standard Interest Calculation Method for Gap Analysis | ||||
| 72 |
ISB_RM_GENER_EO_BW_EXPORT
|
IS-B: RM erzeugt und exportiert ein generiertes Ergebnisobjekt Barwert | ||||
| 73 |
ISB_RM_GENER_EO_GAP_EXPORT
|
IS-B: RM erzeugt und exportiert ein generiertes Ergebnisobjekt Gap | ||||
| 74 |
ISB_RM_GENER_EO_XGAP_EXPORT
|
IS-B: RM erzeugt und exportiert ein gen. Ergebnisobj. Gap (erweitert) | ||||
| 75 |
ISB_RM_PH_BP_UPDATE
|
IS-B: RM erzeugt oder aktualisiert eine PH aus existierenden BPs | ||||
| 76 |
KLSI01_FDU_CHECK
|
EDT for Coll: Check of Master Data Settings of Imported Collateral Data | ||||
| 77 |
KLSI01_FDU_SAVE
|
EDT for Collateral: Update Collateral | ||||
| 78 |
KLSI01_FDU_SAVE_RFC
|
Credit Limit: Saves Collateral | ||||
| 79 |
KLSI01_FDU_SAVE_RFC VALUE(I_PROTOCOL_LEVEL) LIKE BAPIERR-LEVEL OPTIONAL
|
Credit Limit: Saves Collateral | ||||
| 80 |
KLSI01_SI_CHECK
|
Credit Limit: Checks the data transferred for the collateral | ||||
| 81 |
KLSI01_SI_CHECK REFERENCE(I_PROTOCOL_LEVEL) LIKE BAPIERR-LEVEL
|
Credit Limit: Checks the data transferred for the collateral | ||||
| 82 |
KLSI01_SI_CHECK_EZS_POS VALUE(I_PROTOCOL_LEVEL) LIKE BAPIERR-LEVEL DEFAULT 1
|
Checks the percentage collateralization | ||||
| 83 |
KLSI01_SI_CHECK_EZS_POS
|
Checks the percentage collateralization | ||||
| 84 |
KLSI01_SI_CHECK_RFC VALUE(I_PROTOCOL_LEVEL) LIKE BAPIERR-LEVEL OPTIONAL
|
Credit Limit: Checks the collateral | ||||
| 85 |
KLSI01_SI_CHECK_RFC
|
Credit Limit: Checks the collateral | ||||
| 86 |
KLSI01_SI_COMPLETE VALUE(I_PROTOCOL_LEVEL) LIKE BAPIERR-LEVEL
|
Credit Limit: Add Administration Data to Collateral Data | ||||
| 87 |
KLSI01_SI_COMPLETE
|
Credit Limit: Add Administration Data to Collateral Data | ||||
| 88 |
KLSI01_SI_CREATE_OBJECT
|
Credit Limit: Create Object | ||||
| 89 |
KLSI01_SI_CREATE_OBJECT REFERENCE(I_PROTOCOL_LEVEL) LIKE BAPIERR-LEVEL
|
Credit Limit: Create Object | ||||
| 90 |
KLSI01_SI_OBJECT_READ VALUE(I_PROTOCOL_LEVEL) LIKE BAPIERR-LEVEL DEFAULT 1
|
Credit Limit: Read Collateral (Complete) | ||||
| 91 |
KLSI01_SI_READ_RFC
|
Credit Limit: RFC Module for Reading Collateral | ||||
| 92 |
KLSI01_SI_READ_RFC VALUE(I_PROTOCOL_LEVEL) LIKE BAPIERR-LEVEL DEFAULT 1
|
Credit Limit: RFC Module for Reading Collateral | ||||
| 93 |
KLSI01_SI_SAVE_RFC VALUE(I_PROTOCOL_LEVEL) LIKE BAPIERR-LEVEL DEFAULT 1
|
Credit Limit: Saves Collateral | ||||
| 94 |
KLSI01_SI_SAVE_RFC
|
Credit Limit: Saves Collateral | ||||
| 95 |
KL_EXT_ARP_UPD_BP_CHARACT REFERENCE(I_PROTOCOL_LEVEL) LIKE BAPIERR-LEVEL DEFAULT 1
|
Update the derived characteristics in KLARP for date | ||||
| 96 |
KL_EXT_ARP_UPD_BP_CHARACT
|
Update the derived characteristics in KLARP for date | ||||
| 97 |
KL_EXT_BSTD_MERKMALE_GET VALUE(I_PROTOCOL_LEVEL) LIKE BAPIERR-LEVEL DEFAULT 1
|
Credit Limit: Determination of Limit Characteristics for Position Objects | ||||
| 98 |
KL_EXT_BSTD_MERKMALE_GET
|
Credit Limit: Determination of Limit Characteristics for Position Objects | ||||
| 99 |
KL_EXT_CALCULATE_AROBJ VALUE(I_PROTOCOL_LEVEL) LIKE BAPIERR-LEVEL DEFAULT 1
|
Credit Limit: Calculation of Attributable Amount + Update | ||||
| 100 |
KL_EXT_CALCULATE_AROBJ
|
Credit Limit: Calculation of Attributable Amount + Update | ||||
| 101 |
KL_EXT_CALCULATE_AROBJ_RFC
|
Default Risk Limitation: Calculate Attributable Amount + Update | ||||
| 102 |
KL_EXT_CALCULATE_AROBJ_RFC VALUE(I_PROTOCOL_LEVEL) LIKE BAPIERR-LEVEL DEFAULT 1
|
Default Risk Limitation: Calculate Attributable Amount + Update | ||||
| 103 |
KL_EXT_CHECK_EV VALUE(I_PROTOCOL_LEVEL) LIKE BAPIERR-LEVEL OPTIONAL
|
Credit Limit: Compares determ. procedure with risk category table in STC | ||||
| 104 |
KL_EXT_COMPLETE_ARPOBJ
|
Credilt Limit: Update (update, deactivate) Object Management | ||||
| 105 |
KL_EXT_CONSTRUCT_POSITIONS
|
Credit Limit: Generates items for internal default risk object | ||||
| 106 |
KL_EXT_CONSTRUCT_POSITIONS VALUE(I_PROTOCOL_LEVEL) LIKE BAPIERR-LEVEL
|
Credit Limit: Generates items for internal default risk object | ||||
| 107 |
KL_EXT_GET_RISKTYPS_FROM_PARAM VALUE(I_PROTOCOL_LEVEL) LIKE BAPIERR-LEVEL DEFAULT 1
|
Credit Limit: Determines the risk categories from the control structure | ||||
| 108 |
KL_EXT_GET_RISKTYPS_FROM_PARAM
|
Credit Limit: Determines the risk categories from the control structure | ||||
| 109 |
KL_EXT_KEY_SEPARATE VALUE(I_PROTOCOL_LEVEL) LIKE BAPIERR-LEVEL OPTIONAL
|
Credit Limit: Use External Interface to Break Down Transferred Data | ||||
| 110 |
KL_EXT_KEY_SEPARATE
|
Credit Limit: Use External Interface to Break Down Transferred Data | ||||
| 111 |
KL_EXT_READ_ACTIV_RECORD
|
Credit Limit: Read Single Records for Risk | ||||
| 112 |
KL_EXT_READ_ACTIV_RECORD VALUE(I_PROTOCOL_LEVEL) LIKE BAPIERR-LEVEL DEFAULT 1
|
Credit Limit: Read Single Records for Risk | ||||
| 113 |
KL_EXT_READ_KLOBJ_KEY VALUE(I_PROTOCOL_LEVEL) LIKE BAPIERR-LEVEL DEFAULT 1
|
Credit Limit: Find Active Key for Default Risk Records | ||||
| 114 |
KL_EXT_WRITE_PROTOCOL_INCOMING
|
Write Data of One RFC Call to SDC to Database | ||||
| 115 |
KL_EXT_WRITE_PROTOCOL_INCOMING VALUE(I_PROTOCOL_LEVEL) LIKE BAPIERR-LEVEL
|
Write Data of One RFC Call to SDC to Database | ||||
| 116 |
KL_FAZ_BUILD_FROM_OBJNR REFERENCE(I_PROTOKOLL_LEVEL) LIKE BAPIERR-LEVEL DEFAULT 1
|
EGP: Build a Faz-Contract from the Faz | ||||
| 117 |
KL_FAZ_BUILD_FROM_OBJNR
|
EGP: Build a Faz-Contract from the Faz | ||||
| 118 |
KL_FAZ_EVAL_4EGP_NACHVERB
|
EGP: FAZ-Bewertung für die Nachverbuchung | ||||
| 119 |
KL_FAZ_EVAL_4EGP_NACHVERB REFERENCE(I_PROTOKOLL_LEVEL) LIKE BAPIERR-LEVEL
|
EGP: FAZ-Bewertung für die Nachverbuchung | ||||
| 120 |
KL_FAZ_EVAL_TABLE
|
4.62: ABE AllEr FAZ'en in allen geforderten EV. | ||||
| 121 |
KL_GET_ACCOUNT_LINE
|
Get Credit Line Amount for Multiple Accounts | ||||
| 122 |
KL_GET_NEXT_REK_NUMBER
|
Credit Limit: Takes the next free number from the number range object | ||||
| 123 |
KL_NACHT_INITIALIZE
|
Initialization for Night Run | ||||
| 124 |
KL_NACHT_RISK_CALC_SINGLE
|
Calculate Counterparty Risk and Issuer Risk for Single Transactions | ||||
| 125 |
KL_NAC_BKNZ_REPOS_CALC
|
Get Basic Key Figure Categories and Risk Single Items | ||||
| 126 |
KL_NAC_BKNZ_REPOS_CALC VALUE(I_PROTOCOL_LEVEL) LIKE BAPIERR-LEVEL DEFAULT 1
|
Get Basic Key Figure Categories and Risk Single Items | ||||
| 127 |
KL_NAC_EXPOSURE_WRITE_SINGLE
|
Capsule for Call of Limit Management | ||||
| 128 |
KL_PROT_ERROR_ITAB_CONNECT
|
Connects 2 BAPI error tables with a heading | ||||
| 129 |
KL_PROT_OBJNR_FOR_ABORT_TASKS
|
Logs the object numbers for aborted tasks | ||||
| 130 |
KL_PROT_WRITE_TO_WORK_STOCK
|
Write to Worklist | ||||
| 131 |
LMSDC_TRTM_LIMIT_CHECK
|
Check Data Before Saving: Limit Check in Open TRTM | ||||
| 132 |
PFAIM_SEL_FLOWS_FI_VIA_B2
|
Selektion Bewegungen: FI (cash-Konten) | ||||
| 133 |
PFAIM_SEL_FLOWS_TPM_SEC
|
Selektion PA-Bewegungen: TR-SE-Bestände | ||||
| 134 |
PFAIM_SEL_FLOWS_TR_MM
|
OBSOLET - Selektion Bewegungen: TR: MM | ||||
| 135 |
RM_ALM_AMORTIZATION_ANALYZER
|
RM: Calculation of Write-Off Risks | ||||
| 136 |
RM_ALM_GET_RATE
|
ALM: Reading of Interest for Reference Interest Rate | ||||
| 137 |
RM_ALM_MAT_SCE_IN_IND_SIM
|
RM ALM: Due date scenarios within framework of individual simulation | ||||
| 138 |
RM_ALM_PLAN_DELETE_AND_WARN
|
ALM: Deletion of Planning Variants due to Deletion/Generation of PH | ||||
| 139 |
RM_BFT_DISPLAY
|
RM: Anzeigen von Geschäftsdaten | ||||
| 140 |
RM_EXTKZ_VALUES_DELETE
|
Löschen externe Kennzahlen von Datenbank | ||||
| 141 |
RM_EXTKZ_VALUES_DELETE VALUE(I_PROTOCOL_LEVEL) LIKE BAPIERR-LEVEL DEFAULT 1
|
Löschen externe Kennzahlen von Datenbank | ||||
| 142 |
RM_EXTKZ_VALUES_SAVE VALUE(I_PROTOCOL_LEVEL) LIKE BAPIERR-LEVEL DEFAULT 1
|
RM: Schreiben von Kennzahlen in die Datenbank | ||||
| 143 |
RM_EXTKZ_VALUES_SAVE
|
RM: Schreiben von Kennzahlen in die Datenbank | ||||
| 144 |
RM_GAP_AGGREGATE_LZB
|
Aggregates the results to a maturity band | ||||
| 145 |
RM_GAP_APPLY_MAT_SCE_GUV
|
RM ALM: Use a different due date scenario for result of p + l simulation | ||||
| 146 |
RM_GAP_BOND_ANALYZER
|
RM Gap: Gap-Analysebaustein für Wertpapiere | ||||
| 147 |
RM_GAP_CALC
|
Gets the original gap analysis results | ||||
| 148 |
RM_GAP_CALL_FORW_CORRECTION
|
Corrects BNWHR for swaps with variable capitalized interest | ||||
| 149 |
RM_GAP_CALL_FORW_RESELECTION
|
Gap Analysis: Call of RM_FGDT_RESELECT_WITH_FORWARDS | ||||
| 150 |
RM_GAP_CURRENCY
|
Calculation of Amount in Evaluation Currency | ||||
| 151 |
RM_GAP_EVAL
|
IS-B: RM Gap Analysis | ||||
| 152 |
RM_GAP_FGDT_PREPARE
|
IS-B: RM Formatting of Technical Trans. Categories Before Gap Analysis | ||||
| 153 |
RM_GAP_FILL_VAR_CF
|
RM Gap Analysis: Enter Amounts for CFs with Variable Rates/Var. Exch.Rate | ||||
| 154 |
RM_GAP_FINISH_EW
|
Formats the results for the object evaluations | ||||
| 155 |
RM_GAP_FINISH_PH
|
Formats the results of the portfolio hierarchy evaluations | ||||
| 156 |
RM_GAP_FINISH_RMB
|
Formats the results for the RMB evaluations | ||||
| 157 |
RM_GAP_FOR_MATURITY_SCEN_GUV
|
IS-B: RM Gap Evaluation for Due Date Scenarios (P+L) | ||||
| 158 |
RM_GAP_GET_LZB
|
Generates entries for the maturity band | ||||
| 159 |
RM_GAP_GET_PH_INFO
|
Gets Information about the Portfolio Hierarchy | ||||
| 160 |
RM_GAP_GET_RMB_INFO
|
Gets information about the risk management area | ||||
| 161 |
RM_GAP_GET_SAVED_RESULTS
|
Get Saved Results Objects in Gap Analysis | ||||
| 162 |
RM_GAP_INIT
|
Intialize All Related Function Groups | ||||
| 163 |
RM_GAP_MATURITY_SCENARIO_IST
|
RM Gap: Use of a due date scenario on actual result of gap analysis | ||||
| 164 |
RM_GAP_MATURITY_SCENARIO_SIM
|
RM ALM: Use of a due date scenario on simulated results | ||||
| 165 |
RM_GAP_RATE_REFERENCES_RESOLVE
|
RM Gap Analysis: Resolve Reference Interest Rate for Variable Transactions | ||||
| 166 |
RM_GAP_SFGDT_PREPARE
|
IS-B: RM Formatting of Technical Trans. Categories Before Gap Analysis | ||||
| 167 |
RM_SE_BALANCE_CONVERT
|
SFGDT-Konstruktion für Konten | ||||
| 168 |
RM_SE_BALANCE_SELECT
|
Rohselektion für Kontensalden | ||||
| 169 |
RM_SE_BANKACCT_CONVERT
|
RM: BKK Konten - SFGDT-Konstruktion | ||||
| 170 |
RM_SE_BANKACCT_SELECT
|
RM: BKK Konten - Roh-Selektion | ||||
| 171 |
RM_SE_BCA_TD_SELECT
|
RM: Devisen/Geldhandel - Roh-Selektion | ||||
| 172 |
RM_SE_FZ_MODIFY_FOR_GAP
|
RM: Fazilität - Gap-Modifikation | ||||
| 173 |
RM_SE_IFP_MODIFY_FOR_RA
|
Risikoanalyse-Modifikation unverzinslicher Bestände | ||||
| 174 |
RM_SE_SEC_AC_CL_POS_SELECT
|
RM: WP-Bestände - Roh-Selektion | ||||
| 175 |
RM_SE_VAR_TRANS_MODIFY_FOR_KL
|
RM: Credit Limit Modification for Variable Transactions | ||||
| 176 |
RM_SE_VAR_TRANS_SELECT
|
RM: Rohselektion für das variable Geschäft | ||||
| 177 |
RM_SHOW_LOCAL_ERROR_ITAB
|
Ausgabe einer über die Schnittstelle übergebenen lokalen Fehlertabelle | ||||
| 178 |
RM_SIM_BALANCE_SHEET_ITEM
|
Simulation of Growth Rates | ||||
| 179 |
TB_ACCRUED_INTEREST_SIM
|
Simulierte Zinsabgrenzung-liefert Abgrenzungsbetrag (GH,Devisen,Derivate) | ||||
| 180 |
TPM_TRG_READ_CUSTOMIZING
|
Lesen des Customizing für Parallelisierung | ||||
| 181 |
VAR_DATA_GET_WITH_PH
|
IS-B: RM Datenbeschaffung Value-at-Risk mit Portfoliohierarchie | ||||
| 182 |
VAR_DB_DATA_GET_WITH_PH
|
RM: Datenbeschaffung VaR aus gesichertem Ergebnis | ||||
| 183 |
VAR_SV_DATA_GET_WITH_PH
|
RM: Datenbeschaffung Value-at-Risk mit ges. Stand | ||||
| 184 |
XGAP_DATA_GET_XXXX
|
IS-B: RM Datenbeschaffung Gap erweitert - generisches Reporting |