Where Used List (Class) for SAP ABAP Table/Structure Field FINB_RP_S_APPL_CHAR-FIELD (FINB_RP_S_APPL_CHAR)
SAP ABAP Table/Structure Field FINB_RP_S_APPL_CHAR - FIELD (FINB_RP_S_APPL_CHAR) is used by
# | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
---|---|---|---|---|---|---|
1 | Class |
CL_CON_ACC_COMPARE_BALANCES Method: IF_FINB_REPORTING_APPL_SERVICE~GET_LAYOUT
|
Reconcile Monthly Totals Inventory Ledger - General Ledger | CON_ACC | FINANCIALS | SEM-BW |
2 | Class |
CL_CON_ACC_COMPARE_SETTLEMENT Method: IF_FINB_REPORTING_APPL_SERVICE~GET_LAYOUT
|
Reconcile Settl. Doc. - Doc. FI and Subsid. Led. | CON_ACC | FINANCIALS | SEM-BW |
3 | Class |
CL_CON_ACC_DOC_DISPLAY_RT Method: SET_FIELDCATALOG_GRIR
|
Document Line Display in FB03 with Reporting Tool | CON_ACC | FINANCIALS | SEM-BW |
4 | Class |
CL_CON_ACC_DOC_DISPLAY_RT Method: SET_FIELDCATALOG_WIP
|
Document Line Display in FB03 with Reporting Tool | CON_ACC | FINANCIALS | SEM-BW |
5 | Class |
CL_CON_ACC_DOC_DISPLAY_RT Method: SET_FIELDCATALOG_INV
|
Document Line Display in FB03 with Reporting Tool | CON_ACC | FINANCIALS | SEM-BW |
6 | Class |
CL_FINB_CHECK_SUM Method: IF_FINB_REPORTING_APPL_SERVICE~GET_LAYOUT
|
Output of Totals Check with Reporting Tool | FINB_ACC_DOCUMENT | FINANCIALS | SEM-BW |
7 | Class |
CL_FINB_REPORTING_SERVICE Method: FILL_ALV_INFO
|
Reporting Tool | FINB_REPORTING | FINANCIAL_BASIS | FINBASIS |
8 | Class |
CL_FINB_REPORTING_SERVICE Method: CREATE_ALV_INFO
|
Reporting Tool | FINB_REPORTING | FINANCIAL_BASIS | FINBASIS |
9 | Class |
CL_UAV_CURRENCY_SERVICE Method: IF_FINB_REPORTING_APPL_SERVICE~GET_LAYOUT
|
Service for Exchange Rates | UA_PRICE_MAINTENANCE | FINANCIALS | SEM-BW |
10 | Class |
CL_UAV_PRICE_COMPARE_EVT_SERV Method: IF_FINB_REPORTING_APPL_SERVICE~GET_LAYOUT
|
Price Comparison - Popup Service | UA_PRICE_REPORTING | FINANCIALS | SEM-BW |
11 | Class |
CL_UAV_PRICE_COMPARE_SERVICE Method: DEFINE_COMP_SPECIFIC_FIELDS
|
Reporting Price Comparison | UA_PRICE_REPORTING | FINANCIALS | SEM-BW |
12 | Class |
CL_UAV_PRICE_MAINTENANCE Method: IF_FINB_REPORTING_APPL_SERVICE~GET_LAYOUT
|
Price Maintenance | UA_PRICE_MAINTENANCE | FINANCIALS | SEM-BW |
13 | Class |
CL_UAV_PRICE_MAINT_DETAIL Method: IF_FINB_REPORTING_APPL_SERVICE~GET_LAYOUT
|
Details for a Price | UA_PRICE_MAINTENANCE | FINANCIALS | SEM-BW |
14 | Class |
CL_UA_INV_BSV_ACCOUNT_VALUES Method: CREATE_FIELDCATALOG
|
Balance Sheet Values by Account - Framework Class | UA_INV_BALANCE_SHEET_VALUATION | FINANCIALS | SEM-BW |
15 | Class |
CL_UA_INV_BSV_DETAIL_FOR_MPR Method: CREATE_FIELDCATALOG
|
Details for Market Prices | UA_INV_BALANCE_SHEET_VALUATION | FINANCIALS | SEM-BW |
16 | Class |
CL_UA_INV_BSV_DETAIL_LAYER1 Method: CREATE_FIELDCATALOG
|
Distribution of Journal Entries to Intermediate Layers | UA_INV_BALANCE_SHEET_VALUATION | FINANCIALS | SEM-BW |
17 | Class |
CL_UA_INV_BSV_DETAIL_LAYER2 Method: CREATE_FIELDCATALOG
|
Distribution of Journal Entries to Intermediate Layers | UA_INV_BALANCE_SHEET_VALUATION | FINANCIALS | SEM-BW |
18 | Class |
CL_UA_INV_BSV_INTERMEDIATE Method: CREATE_FIELDCATALOG
|
Build Intermediate Layers for Balance Sheet Valuation | UA_INV_BALANCE_SHEET_VALUATION | FINANCIALS | SEM-BW |
19 | Class |
CL_UA_INV_BSV_LAYER1_REPORTING Method: CREATE_FIELDCATALOG
|
Controls Detail Lists | UA_INV_BALANCE_SHEET_VALUATION | FINANCIALS | SEM-BW |
20 | Class |
CL_UA_INV_BSV_MARKET_PRICE Method: CREATE_FIELDCATALOG
|
Market Prices - Framework Class | UA_INV_BALANCE_SHEET_VALUATION | FINANCIALS | SEM-BW |
21 | Class |
CL_UA_INV_BSV_RULE_ALL Method: CREATE_FIELDCATALOG
|
List of Rules: General Information | UA_INV_BALANCE_SHEET_VALUATION | FINANCIALS | SEM-BW |
22 | Class |
CL_UA_INV_BSV_RULE_DETAIL Method: CREATE_FIELDCATALOG
|
List of Rules: Detailed Information | UA_INV_BALANCE_SHEET_VALUATION | FINANCIALS | SEM-BW |
23 | Class |
CL_UA_INV_BSV_VALUATION Method: CREATE_DISPLAY_LIST
|
Balance Sheet Valuation Procedure - Framework Class | UA_INV_BALANCE_SHEET_VALUATION | FINANCIALS | SEM-BW |
24 | Class |
CL_UA_INV_DEBITCREDIT_DOC Method: DEFINE_FIELDS
|
Document for Material Debit/Credit | UA_INV_DEBITCREDIT | FINANCIALS | SEM-BW |
25 | Class |
CL_UA_INV_DEBITCREDIT_MAT Method: DEFINE_FINOBJ_FIELDS
|
Debit/Credit Reporting Material | UA_INV_DEBITCREDIT | FINANCIALS | SEM-BW |
26 | Class |
CL_UA_INV_PRICE_MAINTENANCE Method: IF_UAV_PRICE_MAINTENANCE~GET_LAYOUT
|
Price Maintenance - Inventory Accounting | UA_INV_PRICE_MAINTENANCE | FINANCIALS | SEM-BW |
27 | Class |
CL_UA_INV_REPORTING_APPL Method: CONSTRUCTOR
|
Do not use: Simple Call of Reporting Tool | UA_INV_REPORTING | FINANCIALS | SEM-BW |
28 | Class |
CL_UA_INV_REVALUATION Method: IF_FINB_REPORTING_APPL_SERVICE~GET_LAYOUT
|
Inventory Revaluation | UA_INV_REVALUATION | FINANCIALS | SEM-BW |
29 | Class |
CL_UA_INV_REVALUATION_DOC Method: IF_FINB_REPORTING_APPL_SERVICE~GET_LAYOUT
|
Document for Price Change/Inventory Revaluation | UA_INV_REVALUATION | FINANCIALS | SEM-BW |
30 | Class |
CL_UA_INV_TAP_REP_SERV Method: IF_FINB_REPORTING_APPL_SERVICE~GET_LAYOUT
|
Target/Actual/Plan--Comparison on Orders | UA_INV_REPORTING | FINANCIALS | SEM-BW |
31 | Class |
CL_UA_INV_WIP_DISTRIBUTION Method: CREATE_DISPLAY_LIST
|
WIP Distribution to Settlement Receiver | UA_INV_WIP_CLEARING | FINANCIALS | SEM-BW |