Where Used List (Function Module) for SAP ABAP Table/Structure Field KLREP-OBJNR (KLREP)
SAP ABAP Table/Structure Field
KLREP - OBJNR (KLREP) is used by
| # | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
|---|---|---|---|---|---|---|
| 1 |
DEQUEUE_E_KLREP VALUE(OBJNR) TYPE KLREP-OBJNR OPTIONAL
|
Release lock on object E_KLREP | ||||
| 2 |
ENQUEUE_E_KLREP VALUE(OBJNR) TYPE KLREP-OBJNR OPTIONAL
|
Request lock for object E_KLREP | ||||
| 3 |
KLAB_DEAL_EVAL_SINGLE
|
Risk Calculation: Mapped Transactions - Single Record | ||||
| 4 |
KLAB_DEAL_EVAL_TABLE
|
Risk Calculation: Mapped Transactions - Mass Data | ||||
| 5 |
KLAB_FIND_DATA_FOR_CALC_SINGLE
|
Get All Data Required to Calculate Attributable Amount | ||||
| 6 |
KLSI01_SI_OBJECT_READ
|
Credit Limit: Read Collateral (Complete) | ||||
| 7 |
KLTE_GET_TERMINE_SINGLE
|
Get All Required Dates - Single Record Processing | ||||
| 8 |
KL_463FAZ_EVAL_SINGLE
|
ABE EiNeR FAZ in allen geforderten EV. | ||||
| 9 |
KL_AB_DEAL_EVAL_FOR_AR_RFC
|
Use for Prototypes Only | ||||
| 10 |
KL_AB_DELETE_REP_AMOUNTS_COLS
|
Compares reps with anbetrout and collateral | ||||
| 11 |
KL_AB_PARAMETERS_FOR_CALC_GET
|
Get All Factors Required for Calculation of Attributable Amount | ||||
| 12 |
KL_EXT_ABEPOS_DATA_READ_TABLE
|
Credit Limit: Read Risk Single Items from Database | ||||
| 13 |
KL_EXT_ARPOS_SAVE
|
Credit Limit: Function saves ARPOS records in the database (mass data) | ||||
| 14 |
KL_EXT_INACTIVATE
|
Deactivates single transactions | ||||
| 15 |
KL_EXT_KLREPOS_DATA_READ_TABLE
|
Read Risk Line Items from Databae: Mass Processing | ||||
| 16 |
KL_EXT_READ_ACTIV_RECORD
|
Credit Limit: Read Single Records for Risk | ||||
| 17 |
KL_FAZ_EVAL_4EGP_NACHVERB
|
EGP: FAZ-Bewertung für die Nachverbuchung | ||||
| 18 |
KL_FAZ_EVAL_SINGLE
|
4.62: ABE EiNeR FAZ in allen geforderten EV. | ||||
| 19 |
KL_NACHT_EXT_DEAL_POSTPROCESS
|
Select External Transactions for Postprocessing | ||||
| 20 |
KL_NACHT_JBDBSTD_SELECT
|
Selection of Securities Positions | ||||
| 21 |
KL_NACHT_PRELIMINARIES
|
Preparation for Night Run | ||||
| 22 |
KL_NACHT_RISK_CALC_4EGP24
|
End-Of-Day Processing: Post Accumulated Single Transactions from STC | ||||
| 23 |
KL_NACHT_RISK_CALC_SINGLE
|
Calculate Counterparty Risk and Issuer Risk for Single Transactions | ||||
| 24 |
KL_NACHT_STOCK_SECURS_UPDATE
|
Update Position Values for Securities Transactions | ||||
| 25 |
KL_NAC_ABEPOS_INTEGRATE
|
Inclusion of KLABEPOS records that are still active | ||||
| 26 |
KL_NAC_ATTR_AMNT_CALC
|
Counterparty Risk: Determination of Attributable Amount -Single Task | ||||
| 27 |
KL_NAC_BKNZ_REPOS_CALC
|
Get Basic Key Figure Categories and Risk Single Items | ||||
| 28 |
KL_NAC_COUNTERPA_RISK_EXT_DEAL
|
Generation of REP/REPOS Table for CP Risk of External Transactions | ||||
| 29 |
KL_NAC_CP_DB_UPDATE
|
Update of Database for Single Transactions | ||||
| 30 |
KL_NAC_CP_RISK_CALC_BEFORE_FAZ
|
- Delete - Get Attributable Amounts for Single Transactions - Single Task | ||||
| 31 |
KL_NAC_CP_RISK_CALC_FROM_SFGDT
|
Control: Night Run for Counterparty Risk (Part I) | ||||
| 32 |
KL_NAC_CP_RISK_PARALLEL
|
Single Transaction Valuation: Control of Parallel Processing | ||||
| 33 |
KL_NAC_EXT_DEAL_RISK_CALC
|
Calculate Attributable Amount for External Transactions - Single Task | ||||
| 34 |
KL_NAC_EXT_DEAL_RISK_PARALLEL
|
Valuation of External Transactions: Control of Parallel Processing | ||||
| 35 |
KL_NAC_GET_BKNZ_TYPE
|
Determination of Categories of Basic Key Figures | ||||
| 36 |
KL_NAC_GET_DATA_FOR_BEPOS_BSTD
|
Determination of Risk Line Items in Position for Position Objects | ||||
| 37 |
KL_NAC_GET_DATA_FOR_BEPOS_UL
|
Determination of the Risk Line Items in Position for Underlyings | ||||
| 38 |
KL_NAC_GET_DATA_FOR_REP
|
Determination of Risk Line Items by Adjusting the SFGDT | ||||
| 39 |
KL_NAC_GET_DATA_FOR_REPOS
|
Determination of Risk Line Items | ||||
| 40 |
KL_NAC_GET_DIVERT_CHARACT
|
Determination of Derived Limit Characteristics | ||||
| 41 |
KL_NAC_ISSUER_RISK_CALC
|
Night Run I: Calculation of Issuer Risk (Control) | ||||
| 42 |
KL_NAC_NETTING_REP_BUILD
|
can be deleted | ||||
| 43 |
KL_NAC_REP_REPOS_MERGE
|
Placing of Repos and Repo Structures into a Complex Structure | ||||
| 44 |
KL_NAC_SAVE_REP
|
Save Risk Line Items to Database | ||||
| 45 |
KL_NAC_SAVE_REPOS
|
Save Risk Line Items to the Database | ||||
| 46 |
KL_NAC_SETTLEMENT_RISK_DEALS
|
Select Settlement-Risk-Bearing Transactions | ||||
| 47 |
KL_NAC_SETTLEMENT_RISK_DEALS VALUE(I_OBJNR) LIKE KLREP-OBJNR OPTIONAL
|
Select Settlement-Risk-Bearing Transactions | ||||
| 48 |
KL_NAC_SETTLE_ACTUAL_NOM
|
Current Market Value for Settlement-Risk Transactions (T2; T4) | ||||
| 49 |
KL_NAC_SETTL_RISK_CANDIDAT_EXT
|
Get External Candidates for Settlement-Risk Transactions | ||||
| 50 |
KL_NAC_SETTL_RISK_CAND_FILL
|
Add REPOS Records to Candidates for Settlement Risk Trans. in Data Pool | ||||
| 51 |
KL_NAC_SETTL_RISK_CAND_REP_CHK
|
Check Suitability of Candidates for Settlement-Risk Trans. from Data Pool | ||||
| 52 |
KL_NAC_SETTL_RISK_OBJNR_GET
|
Generate Object Number Table for Settlement-Risk Trans. from Data Pool | ||||
| 53 |
KL_NAC_T6_ANBETROUT
|
Writes the attributable amount for FX options | ||||
| 54 |
KL_NAC_T6_CALC
|
Calculate Nominal Value and NPV of Underlying of FX Option | ||||
| 55 |
KL_NAC_T6_DATE_CALC
|
Gets the validity date of the direct settlement risk for FX options | ||||
| 56 |
KL_NAC_T6_DFIKT_FILL
|
Fills the fiction date for FX options | ||||
| 57 |
KL_NAC_T6_EXPORT_BUILD
|
Adds the tables of FX options to the relevant tables | ||||
| 58 |
KL_NAC_T6_RISK_CALC
|
Direct Settlement Risk for FX Options | ||||
| 59 |
KL_NAC_T6_SETTL_DELETE
|
Deletes the indicator for settlement risk for FX options | ||||
| 60 |
KL_NAC_T6_TABLES
|
Writes data to the tables for FX options | ||||
| 61 |
KL_NETTING_DEAL_DISPATCH
|
Grouping of Transactions by Netting Group | ||||
| 62 |
KL_NETTING_GROUP_FIGURES_CALC
|
Calculate Basic Key Figures and Repos for Netting Groups | ||||
| 63 |
KL_NETTING_GROUP_RESULT_CALC
|
Calculate Attributable Amounts for Netting Groups | ||||
| 64 |
KL_NETTING_GR_FIGURE_TYPE_GET
|
Get the key figure categories that are to be calculatead for a netting grp | ||||
| 65 |
KL_NETTING_NID_FROM_OBJNR_GET
|
Generate Netting ID from Object Number of Netting Group | ||||
| 66 |
KL_NETTING_NID_FROM_OBJNR_GET VALUE(I_OBJNR) LIKE KLREP-OBJNR
|
Generate Netting ID from Object Number of Netting Group | ||||
| 67 |
KL_NETTING_OBJNR_CREATE VALUE(E_OBJNR) LIKE KLREP-OBJNR
|
Generate bject Number for Netting Group | ||||
| 68 |
KL_NETTING_OBJNR_CREATE
|
Generate bject Number for Netting Group | ||||
| 69 |
KL_NETTING_OBJNR_DISPATCH
|
Get the object numbers of the transactions that are to be netted | ||||
| 70 |
KL_NETTING_REP_GET
|
Find Risk Single Positions for Netting Groups | ||||
| 71 |
KL_NETTING_REP_PREPARE
|
Determination of Risk Line Items for Netting (Control) | ||||
| 72 |
KL_PROT_COLLATERAL_RED_SEC
|
Collateral: Risk Reduction/Secondary | ||||
| 73 |
KL_PROT_DETAIL_AMOUNT
|
Detail Log for the Calculation of the Attributable Amount | ||||
| 74 |
KL_PROT_DETAIL_AMOUNT VALUE(OBJNR) LIKE KLREP-OBJNR
|
Detail Log for the Calculation of the Attributable Amount | ||||
| 75 |
KL_PROT_DETAIL_AMOUNT_BKNZ
|
Detail Log: Calculation of the Attributable Amount and NPV | ||||
| 76 |
KL_PROT_DETAIL_AMOUNT_BKNZ VALUE(OBJNR) LIKE KLREP-OBJNR OPTIONAL
|
Detail Log: Calculation of the Attributable Amount and NPV | ||||
| 77 |
KL_PROT_DETAIL_AMOUNT_BKNZ_EMI VALUE(OBJNR) LIKE KLREP-OBJNR OPTIONAL
|
Detail Log: Calculation of Attributable Amount + NPV for Issuer Risk | ||||
| 78 |
KL_PROT_DETAIL_AMOUNT_BKNZ_EMI
|
Detail Log: Calculation of Attributable Amount + NPV for Issuer Risk | ||||
| 79 |
KL_PROT_DETAIL_AMOUNT_BKNZ_NEW VALUE(OBJNR) LIKE KLREP-OBJNR OPTIONAL
|
Calculation of Attributable Amount and NPV in New Session | ||||
| 80 |
KL_PROT_DETAIL_AMOUNT_BKNZ_RFC VALUE(I_OBJNR) LIKE KLREP-OBJNR OPTIONAL
|
Calculation of Attributable Amount - Remote Function Call | ||||
| 81 |
KL_PROT_DETAIL_AMOUNT_BKNZ_RFC
|
Calculation of Attributable Amount - Remote Function Call | ||||
| 82 |
KL_PROT_DETAIL_FAZ_AMOUNT
|
Detail Log of the Calculation of the Attributable Amount of a Netting Grp | ||||
| 83 |
KL_PROT_DETAIL_FAZ_AMOUNT VALUE(OBJNR) LIKE KLREP-OBJNR
|
Detail Log of the Calculation of the Attributable Amount of a Netting Grp | ||||
| 84 |
KL_PROT_DETAIL_NETTING_AMOUNT
|
Detail Log of the Calculation of the Attributable Amount of a Netting Grp | ||||
| 85 |
KL_PROT_DETAIL_NETTING_AMOUNT VALUE(OBJNR) LIKE KLREP-OBJNR
|
Detail Log of the Calculation of the Attributable Amount of a Netting Grp | ||||
| 86 |
KL_RES_KLBEST_DATA_READ_TABLE
|
Read Items in Positions from Database: Mass Processing | ||||
| 87 |
KL_RES_KLREPOS_DATA_READ_TABLE
|
Read Risk Line Items from Databae: Mass Processing | ||||
| 88 |
KL_RES_KLREP_DATA_READ_SINGLE
|
Read Risk Single Items from Database | ||||
| 89 |
KL_RES_KLREP_DATA_READ_SINGLE VALUE(I_OBJNR) LIKE KLREP-OBJNR
|
Read Risk Single Items from Database | ||||
| 90 |
KL_RES_KLREP_DATA_READ_TABLE
|
Read Risk Single Items from Databae: Mass Processing | ||||
| 91 |
KL_RES_REP_REPOS_DATA_READ_SIN VALUE(OBJNR) LIKE KLREP-OBJNR
|
Reads REPs and Repos, and places them in a table | ||||
| 92 |
KL_RES_REP_REPOS_DATA_READ_SIN
|
Reads REPs and Repos, and places them in a table | ||||
| 93 |
KL_SIAB_COLLATERAL_EVAL
|
Calculates attributable amounts for securities collateral | ||||
| 94 |
KL_SIAB_COLLATERAL_RISK_CALC
|
Generate Rep/Repos Table for Securities Collateral | ||||
| 95 |
KL_SIAB_COLLAT_COMPLETE_SINGLE
|
Get All Collateral Data for Attribution in Single Transaction Check | ||||
| 96 |
KL_SIAB_CURRENCY_CONVERT
|
Translates the collateraland the WP-REP-REPOS into transaction currency | ||||
| 97 |
KL_SIAB_FOBJ_FOR_SEC_COL_GET
|
Generation of SFGDT for Securities Collateral | ||||
| 98 |
KL_SIAB_SECONDARY_RISC_CALC
|
Secondary Risk: Display and Mitigating Effect |