Where Used List (Class) for SAP ABAP Table/Structure Field TZPA-RANTYP (TZPA)
SAP ABAP Table/Structure Field TZPA - RANTYP (TZPA) is used by
# | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
---|---|---|---|---|---|---|
1 | Class |
CL_DIFF_RULES_TRL Method: LOOKUP_DIFFERENTIATION
|
Grouping of Flows | FTR_TREASURY_LEDGER | EA-FINSERV | EA-FINSERV |
2 | Class |
CL_DIFF_RULES_TRL Method: READ_CRITERIA
|
Grouping of Flows | FTR_TREASURY_LEDGER | EA-FINSERV | EA-FINSERV |
3 | Class |
CL_EXM_IM_TPM_TRL_MANIPULATE Method: IF_EX_TPM_TRL_MANIPULATE~MANIPULATE_DERIVED_FLOWS
|
Example Implementation for BAdI Definition TPM_TRL_MANIPUL | FTR_TREASURY_LEDGER | EA-FINSERV | EA-FINSERV |
4 | Class |
CL_FLOW_TRAC Method: PREPARE_ACCIT_EXTENSION_DATA
|
Accounting Adaptor Flow | FTR_ACCOUNTING_ADAPTOR | EA-FINSERV | EA-FINSERV |
5 | Class | CL_FORW_BOND_POSITION_TRR | Money Market Transaction | FTR_TRL_REPORTING | EA-FINSERV | EA-FINSERV |
6 | Class |
CL_FTI_LDB_POSITION Method: GET_AD_OTC
|
Reporting Position for PREPARE_OUTPUT | FTI_LDB | EA-FINSERV | EA-FINSERV |
7 | Class |
CL_FTI_LDB_POSITION Method: FILL_AD_PL_FLOWS
|
Reporting Position for PREPARE_OUTPUT | FTI_LDB | EA-FINSERV | EA-FINSERV |
8 | Class |
CL_FX_RATE_VAL Method: DETERMINE_CALC_BASIS_NVP
|
Treasury: Rate Valuation Step FX-Forward | FTR_VALUATION | EA-FINSERV | EA-FINSERV |
9 | Class |
CL_IM_ISSR_IM_IFA_RT_TR Method: IF_EX_ISSR_IFA_RANTYP~AUTO_INSTALL_ISSR_RTPT
|
Imp.-Klasse zur BAdI-Imp. ISSR_IM_IFA_RT_TR | VVSRFISL | EA-FINSERV | EA-FINSERV |
10 | Class |
CL_IM_JBA_US_PREPAY_SAP Method: IF_EX_JBA_US_PREPAYMENT~VALUATION
|
Imp. class for BAdI imp. JBA_US_PREPAY_SAP | JBA_US | EA-FINSERV | EA-FINSERV |
11 | Class |
CL_PRICE_VALUATION_VAL Method: DETERMINE_CALCULATION_BASIS
|
Treasury: Single-Level Rate Valuation | FTR_VALUATION | EA-FINSERV | EA-FINSERV |
12 | Class |
CL_RATE_SERVER_VAL Method: GET_IMPAIRMENT_RATE
|
Treasury: Determination of Key Date Exchange Rates | FTR_VALUATION | EA-FINSERV | EA-FINSERV |
13 | Class | CL_RATE_SERVER_VAL | Treasury: Determination of Key Date Exchange Rates | FTR_VALUATION | EA-FINSERV | EA-FINSERV |
14 | Class |
CL_REMI_MIG_CA_SERVICES Method: GET_TZPA_BY_RANTYP
|
General Access Methods | RE_MI_CL | EA-FIN | EA-FIN |
15 | Class |
CL_REMI_MIG_TZK04 Method: ME_PERFORM
|
Migrate TZK04 | RE_MI_CL | EA-FIN | EA-FIN |
16 | Class | CL_REPO_POSITION_TRR | Money Market Transaction | FTR_TRL_REPORTING | EA-FINSERV | EA-FINSERV |
17 | Class |
CL_TITLE_IMPAIRMENT_VAL Method: SET_RANTYP
|
Impairment | FTR_VALUATION | EA-FINSERV | EA-FINSERV |
18 | Class | CL_TITLE_IMPAIRMENT_VAL | Impairment | FTR_VALUATION | EA-FINSERV | EA-FINSERV |
19 | Class |
CL_TITLE_IMPAIRMENT_VAL Method: DETERMINE_CALCULATION_BASIS
|
Impairment | FTR_VALUATION | EA-FINSERV | EA-FINSERV |
20 | Class |
CL_TITLE_VALUATION_VAL Method: DETERMINE_CALCULATION_BASIS
|
Treasury: Security Valuation Step | FTR_VALUATION | EA-FINSERV | EA-FINSERV |
21 | Class |
CL_TRL_POSITION_TRAD Method: SELECT_ALL_FLOWS
|
Wrapper for TRL Position | FTR_ACCRUAL | EA-FINSERV | EA-FINSERV |