Where Used List (Class) for SAP ABAP Table/Structure Field VWPANLA-GSART (VWPANLA)
SAP ABAP Table/Structure Field
VWPANLA - GSART (VWPANLA) is used by
| # | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
|---|---|---|---|---|---|---|
| 1 |
CA_CLASS_POSITION_TRF Method: DETERMINE_POSITION_CATEGORY
|
Agent Class Flows in Futures Account | ||||
| 2 |
CL_AMORTIZATION_VAL Method: IF_VALUATION_STEP_VAL~VALUE
|
Treasury: Amortization Step | ||||
| 3 | CL_BEPP_ADAPTOR_BPA | BEPP/BEPI Adaptor | ||||
| 4 |
CL_CALCULATION_POSITION_TRF Method: SIMULATE_VARIATION_MARGIN
|
Treasury: Options/Futures Position | ||||
| 5 |
CL_CALCULATION_SERVICE_CAL Method: GET_INTEREST_CALC_METHOD
|
Calculation Service for the Amortization | ||||
| 6 | CL_CLASS_POSITION_OP_TRS | TRS Position for Operative Functions | ||||
| 7 |
CL_CLASS_POSITION_TRF Method: GETU_PRODUCT_TYPE
|
Treasury: Class Position in Futures Account | ||||
| 8 |
CL_CLASS_POSITION_TRS Method: CHECK_AUTHORIY
|
Class Position in Securities Account | ||||
| 9 |
CL_CLASS_POSITION_TRS Method: CALCULATE_CLEARING_FLOWS
|
Class Position in Securities Account | ||||
| 10 |
CL_CLASS_POSITION_TRS Method: CALCULATE_FIMA_FLOWS
|
Class Position in Securities Account | ||||
| 11 |
CL_CLASS_POSITION_TRS Method: DERIVE_CLEARING_FLOWS
|
Class Position in Securities Account | ||||
| 12 |
CL_CLASS_POSITION_TRS Method: CONVERT_FIMA_FLOW_TO_TRD_FLOW
|
Class Position in Securities Account | ||||
| 13 |
CL_DIFF_RULES_TRL Method: READ_CRITERIA
|
Grouping of Flows | ||||
| 14 |
CL_EXM_IM_FTR_TAX_POSTING_SE Method: IF_EX_FTR_TAX_POSTING_SE~PREPARE_FI_TABLES
|
Sample Implementation for BAdI Definition FTR_TAX_POSTING | ||||
| 15 |
CL_FUNCTIONS_TRAD Method: CHECK_FLOW_DUE_DATE
|
Accrual/Deferral Functions | ||||
| 16 |
CL_IM_FTR_BAVM Method: IF_EX_FTR_BAV~EVT_CHANGE_ASSET_BY_DIALOG
|
Imp. Class for BAdI Imp. FTR_BAVM | ||||
| 17 |
CL_IM_FTR_BAVM Method: _FILL_ASSET_KEY_TRNX
|
Imp. Class for BAdI Imp. FTR_BAVM | ||||
| 18 |
CL_IM_FTR_BAVM Method: _FILL_ASSET_KEY
|
Imp. Class for BAdI Imp. FTR_BAVM | ||||
| 19 | CL_IM_FTR_BAVM | Imp. Class for BAdI Imp. FTR_BAVM | ||||
| 20 |
CL_IM_FTR_TAX_POSTING_SE Method: IF_EX_FTR_TAX_POSTING_SE~PREPARE_FI_TABLES
|
Imp. Class for BAdI Imp. FTR_TAX_POSTING_SE | ||||
| 21 |
CL_IM_FTR_TR_DISTRIBUTOR Method: ACCOUNT_TRANSFER_CONVERT
|
BAdI Implementation of Adapter "Transactions to Distributor" | ||||
| 22 |
CL_IM_ISSR_IM_RWIN_CFM Method: IF_EX_ISSR_IFA_RWIN_PROJ~BUILD_ISSRPREFLOW
|
Imp.-Klasse zur BAdI-Imp. ISSR_IM_RWIN_CFM | ||||
| 23 |
CL_ISSR_IF_SERVICES_FAM Method: IF_EX_ISSR_IF_SERVICES_FAM~GET_SEC_CONDITION
|
Klasse zur BAdI-Impl.: ISSR_IF_SERVICES_FAM | ||||
| 24 |
CL_MANAGER_TRF Method: SHOW_CLASS_POSITION_LIST
|
Treasury: Manager Class Options/Futures Management | ||||
| 25 |
CL_MANAGER_TRS Method: UPDATE_FLOWS_FOR_POSITION_AUTO
|
Treasury: Manager Class Securities Account Management | ||||
| 26 |
CL_MANAGER_TRS Method: PREPARE_PROCESSING
|
Treasury: Manager Class Securities Account Management | ||||
| 27 | CL_MANAGER_TRS | Treasury: Manager Class Securities Account Management | ||||
| 28 |
CL_MANAGER_TRS Method: TRANSACTIONS_DISPLAY
|
Treasury: Manager Class Securities Account Management | ||||
| 29 |
CL_MIGRCFM10_EXTRACTOR_MIG Method: MIGRATE_VWBEVI
|
Extractor for Migrating to CFM 1.0 | ||||
| 30 |
CL_MIGRCFM10_EXTRACTOR_MIG Method: MIGRATE_VWBEPP
|
Extractor for Migrating to CFM 1.0 | ||||
| 31 |
CL_OLD_SAC_CALCULATOR_CAL Method: LOAD_MASTER_DATA_FOR_SEC
|
Treasury: SAC Calculation | ||||
| 32 |
CL_OPTION_POSITION_TRR Method: CALCULATE_COMPONENTS
|
Position of a Listed Option for Data Extraction | ||||
| 33 |
CL_POSITIONCONTEXT_TRAC Method: CLS_COMPLETE_ADTL_SE
|
Position Context | ||||
| 34 |
CL_POSITION_INDICATOR_MGT_PIN Method: CREATE_TRF_POSITION
|
Position Indicator Manager | ||||
| 35 |
CL_RDPT_SET Method: CONSTRUCTOR
|
Redemption Set | ||||
| 36 |
CL_RDPT_SET Method: GETPRODUCTTYPE
|
Redemption Set | ||||
| 37 |
CL_RDPT_SET_MANAGER Method: GETPRODUCTTYPE
|
Manage Redemption Sets | ||||
| 38 |
CL_STANDARD_CALCULATOR_TRS Method: SET_CONTROLDATA
|
Cash Flow Calculator | ||||
| 39 |
CL_STANDARD_CALCULATOR_TRS Method: DETERMINE_APLAN_DATE
|
Cash Flow Calculator | ||||
| 40 |
CL_STANDARD_CALCULATOR_TRS Method: READ_MASTERDATA
|
Cash Flow Calculator | ||||
| 41 |
CL_STANDARD_CALCULATOR_TRS Method: DETERMINE_END_OF_TERM
|
Cash Flow Calculator | ||||
| 42 |
CL_SUBTRANSACTION_TRF Method: GENERATE_FLOW
|
Treasury: TRF Business Subtransaction | ||||
| 43 |
CL_TAX_FLOW_CALCULATOR_TRG Method: CONSTRUCTOR
|
Tax Flow Calculator | ||||
| 44 |
CL_TRANSACTION_TRAT Method: PROCESS_MIGR
|
Account Assignment Reference - Transfer Business Transaction | ||||
| 45 |
CL_TRANSACTION_TRS Method: GETU_FIX_STRAT_FOR_CL
|
Business Transaction in TRS Module | ||||
| 46 |
CL_TRD_ADAPTER_SE_FTR Method: CONVERT_FLOWS_REPOS_UL
|
Treasury: TRD Adapter for Transaction Management | ||||
| 47 |
CL_TRD_ADAPTER_SE_FTR Method: CONVERT_FLOWS_FORWARDS_UL
|
Treasury: TRD Adapter for Transaction Management | ||||
| 48 |
CL_TRD_ADAPTOR_ER Method: CREATE_TRANSACTION
|
TRD Adaptor | ||||
| 49 |
CL_TRD_ADAPTOR_KM Method: CREATE_TRANSACTION
|
TRD Adaptor |