Where Used List (Class) for SAP ABAP Table/Structure Field SITAGCYPM_PAY-COMPCODE (SITAGCYPM_PAY)
SAP ABAP Table/Structure Field SITAGCYPM_PAY - COMPCODE (SITAGCYPM_PAY) is used by
# | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
---|---|---|---|---|---|---|
1 | Class |
CL_BSP_BROK_ACC_MAIN_M Method: POST
|
Model Class Account Maintenance Italian Agency Collections | FSCDITAGCY_ACC | FS-CD | INSURANCE |
2 | Class |
CL_BSP_BROK_ACC_MAIN_M Method: POST_INSCOMP
|
Model Class Account Maintenance Italian Agency Collections | FSCDITAGCY_ACC | FS-CD | INSURANCE |
3 | Class |
CL_BSP_BROK_ACC_MAIN_M Method: ADD_DETAILS_UPDATE
|
Model Class Account Maintenance Italian Agency Collections | FSCDITAGCY_ACC | FS-CD | INSURANCE |
4 | Class |
CL_BSP_BROK_ACC_MAIN_M Method: POST_ONLCHECK
|
Model Class Account Maintenance Italian Agency Collections | FSCDITAGCY_ACC | FS-CD | INSURANCE |
5 | Class |
CL_BSP_BROK_CARRYFWD_SERVICE Method: SAVE_CARRYFWD
|
Service Class for Carryforward | FSCDITAGCY_CARRYFWD | FS-CD | INSURANCE |
6 | Class |
CL_BSP_BROK_CDDIFF_SERVICE Method: SAVE_PAYMENT
|
Service Class for Cash Desk Differences | FSCDITAGCY_CDDIFF | FS-CD | INSURANCE |
7 | Class |
CL_BSP_BROK_CDTRANSFER_SERVICE Method: TRANSFER_CHECK
|
Service Class for Cash Desk Transfer | FSCDITAGCY_CDTRANSFER | FS-CD | INSURANCE |
8 | Class |
CL_BSP_BROK_COLLECT_DOCHANDLE Method: PAYMENT_SUMMARY_GET
|
Service Class - Creation of Documents | FSCDITAGCY_COLLECT | FS-CD | INSURANCE |
9 | Class |
CL_BSP_BROK_COLLECT_DOCHANDLE Method: PAYMENTADD_GL_LINES_BUILD
|
Service Class - Creation of Documents | FSCDITAGCY_COLLECT | FS-CD | INSURANCE |
10 | Class |
CL_BSP_BROK_COLLECT_ONLCHECK Method: SAVE_CHECK_REGISTRATION
|
Service Class: Printing Online Checks | FSCDITAGCY_COLLECT | FS-CD | INSURANCE |
11 | Class |
CL_BSP_BROK_COLLECT_POST Method: COLL_A1A3_DC_PMCHECK
|
Update Payment Transactions | FSCDITAGCY_COLLECT | FS-CD | INSURANCE |
12 | Class |
CL_BSP_BROK_CONTCL_PREPCLOSE Method: POST_COLLECTION_SUBAGENCY
|
Service Class for Container Prepare to Close | FSCDITAGCY_CONTCL | FS-CD | INSURANCE |
13 | Class |
CL_BSP_BROK_CONT_OVW_SERVICE Method: GET_ADD_PAYMETHODS
|
Service Class for Container Overviews | FSCDITAGCY_CONT_OVW | FS-CD | INSURANCE |
14 | Class |
CL_BSP_BROK_CONT_OVW_SERVICE Method: GET_TP_NUMBER
|
Service Class for Container Overviews | FSCDITAGCY_CONT_OVW | FS-CD | INSURANCE |
15 | Class |
CL_BSP_BROK_CONT_OVW_SERVICE Method: GET_TP_AMOUNT
|
Service Class for Container Overviews | FSCDITAGCY_CONT_OVW | FS-CD | INSURANCE |
16 | Class |
CL_BSP_BROK_DEPOSIT_SERVICE Method: SAVE_PAYMENT_CASH
|
Service Class for Deposits | FSCDITAGCY_DEPOSIT | FS-CD | INSURANCE |
17 | Class |
CL_BSP_BROK_DEPOSIT_SERVICE Method: SAVE_PAYMENT_CHECK
|
Service Class for Deposits | FSCDITAGCY_DEPOSIT | FS-CD | INSURANCE |
18 | Class |
CL_BSP_BROK_DIFF_TP_COLLECT Method: COLLECT_A1_A3_DC_PMCHECK
|
Service Class for Differences in Third Party Collections | FSCDITAGCY_DIFF_TP | FS-CD | INSURANCE |
19 | Class |
CL_BSP_BROK_PM_MAIN_M Method: SET_DEFAULT_BANK
|
Model Class for ITAGCY_PM main.do | FSCDITAGCY_PM | FS-CD | INSURANCE |
20 | Class |
CL_BSP_BROK_PM_MAIN_M Method: SET_DEFAULT_CHECK
|
Model Class for ITAGCY_PM main.do | FSCDITAGCY_PM | FS-CD | INSURANCE |
21 | Class |
CL_BSP_BROK_PM_MAIN_M Method: SET_DEFAULT_ADD
|
Model Class for ITAGCY_PM main.do | FSCDITAGCY_PM | FS-CD | INSURANCE |
22 | Class |
CL_BSP_BROK_PM_MAIN_M Method: SET_DEFAULT_TRANSFER
|
Model Class for ITAGCY_PM main.do | FSCDITAGCY_PM | FS-CD | INSURANCE |
23 | Class |
CL_BSP_BROK_PM_MAIN_M Method: SET_DEFAULT_CASH
|
Model Class for ITAGCY_PM main.do | FSCDITAGCY_PM | FS-CD | INSURANCE |
24 | Class |
CL_BSP_BROK_PM_MAIN_M Method: SET_DEFAULT_CC
|
Model Class for ITAGCY_PM main.do | FSCDITAGCY_PM | FS-CD | INSURANCE |
25 | Class |
CL_BSP_BROK_PM_MAIN_M Method: SET_DEFAULT_CHANGE
|
Model Class for ITAGCY_PM main.do | FSCDITAGCY_PM | FS-CD | INSURANCE |
26 | Class |
CL_BSP_BROK_REVERSE_POST Method: POST_TP_PM_A1A3
|
Service Class Posting Reversal | FSCDITAGCY_REVERSE | FS-CD | INSURANCE |
27 | Class |
CL_BSP_BROK_WD_SERVICE Method: UPDATE_PAY_CASH
|
Service Class for Withdrawals | FSCDITAGCY_WD | FS-CD | INSURANCE |
28 | Class |
CL_BSP_BROK_WD_SERVICE Method: UPDATE_PAY_CHECK
|
Service Class for Withdrawals | FSCDITAGCY_WD | FS-CD | INSURANCE |
29 | Class |
CL_ISCDITAGCY_CONTAINER Method: GET_NUMBER
|
User Data | FSCDITAGCY_CONT_OVW | FS-CD | INSURANCE |
30 | Class |
CL_ISCDITAGCY_CONTAINER Method: GET_CASH
|
User Data | FSCDITAGCY_CONT_OVW | FS-CD | INSURANCE |
31 | Class |
CL_ISCDITAGCY_CONTAINER Method: GET_AMOUNT
|
User Data | FSCDITAGCY_CONT_OVW | FS-CD | INSURANCE |
32 | Class |
CL_ISCDITAGCY_CONTAINER Method: GET_COMPCODES
|
User Data | FSCDITAGCY_CONT_OVW | FS-CD | INSURANCE |