Where Used List (Table) for SAP ABAP Table AT10 (Transaction type)
SAP ABAP Table
AT10 (Transaction type) is used by
| # | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
|---|---|---|---|---|---|---|
| 1 | AT10B | Treasury: Customizing for Valuation | ||||
| 2 | AT10S | Securities | ||||
| 3 | AT10T | Name of Transaction Type | ||||
| 4 | AT10X | Forex Attributes for Transaction Types | ||||
| 5 | AT11 | Allocation of Condition Types to Transaction Types | ||||
| 6 | AT13 | Allocation of Flow Types to Transaction Types | ||||
| 7 | AT13U | Flow types for transfer posting for activity transition | ||||
| 8 | AT14 | Status Transfers | ||||
| 9 | AT16 | Treasury: Fixing Settings for Forex Transactions | ||||
| 10 | AT50 | Future/Option Groups | ||||
| 11 | AT80 | Treasury: Correspondence Control MM, FX, DE, SE | ||||
| 12 | ATDEALDFT | Update Types for Position Update | ||||
| 13 | ATPA | Treasury: Product Type Supplements | ||||
| 14 | ATRELE1 | Transaction release: Release procedure | ||||
| 15 | ATRELE2 | Transaction release: Release procedure for detail parameters | ||||
| 16 | BAPI2042 | Financial Transaction: BUS2042 General Method Parameters | ||||
| 17 | BAPI2042_GETLIST | FTR: BAPI transfer structure for GetList method | ||||
| 18 | BAPI2042_MAINTAIN_FX | Forex: BAPI transfer structure for maintaining transactions | ||||
| 19 | BAPI2042_MAINTAIN_MM | Money market: BAPI transf. struct. for maintaining transact. | ||||
| 20 | BAPI2042_TT_RANGE | Range for Transaction Types | ||||
| 21 | EXBWG | Export Structure Cumulative Data (Drilldown) | ||||
| 22 | FTI_BIW_DELTA_DEAL_ATTR | TR-BI: Transaction Master Data | ||||
| 23 | FTI_LDB_TR_ATTR_DEAL | Transaction Attributes Used in the Logical Database | ||||
| 24 | FTI_LDB_TR_DEAL_MAIN | Treasury: Transaction Reporting, Main Data (-> LDB) | ||||
| 25 | FTI_LDB_TR_OTC_DEAL_1 | Treasury RAPIs - OTC Transaction Reporting | ||||
| 26 | FTI_LDB_TR_OTC_DEAL_2 | TR RAPIs - OTC Transact. Reporting Incl. Risk Man. Figures | ||||
| 27 | FTI_LDB_TR_POS_DEAL_ATTR | Transaction Attributes Used in the Logical Database | ||||
| 28 | FTI_LDB_TR_SEC_DEAL_1 | Treasury: Transaction Reporting, Securities Main Data | ||||
| 29 | FTR_GDPDU_XSTR_AT10B | Valuation Customizing | ||||
| 30 | FTR_GDPDU_XSTR_VTIFHA | Underlying Transaction | ||||
| 31 | IDCFMFLOWCALC | Flow calculation using condition technique | ||||
| 32 | IDCFM_ICLTXFLDIR | Flow Types for Tax Types with Sign | ||||
| 33 | INCL_FK_SFHAART | Foreign Key for Field SFHAART | ||||
| 34 | JBDDERIVDERI | Derivation structure for derivates | ||||
| 35 | JBDFUNCDEAKT | Deactivate Datapool Functions | ||||
| 36 | JBDFXDERI | Derivation Structure Foreign Currencies | ||||
| 37 | JBDMONEYDERI | Derivation Structure: Money Market | ||||
| 38 | JBIUDERIV | Transfer Structure for Derivatives | ||||
| 39 | JBIUPDERIV | Extended Transfer Structure for Derivatives | ||||
| 40 | JBNIPL | ALM Non Interest Profit and Loss | ||||
| 41 | KLEGZU | Assignment of TR Product/Tran. Type to CL Default Risk Rule | ||||
| 42 | KLMAXLIMIT | Limit per Product Type/Transaction Type | ||||
| 43 | OTC_CONV_FHAZU | Backup Table for Financial Transaction Activities | ||||
| 44 | SLDT_FLOW | Subledger Distributor Transactions | ||||
| 45 | THMHRT_HR_FLAGS | Hedge Management: Flags that trigger the HR events | ||||
| 46 | TRACS_ADTL_OC_MASTER_DATA | Determination of Acct Assgmnt Ref.- Master Data OTC Trans | ||||
| 47 | TRDT_FLOW | Persistent distributor flows | ||||
| 48 | TRGC_CVC1 | Assignment of Product Cat. and Trans. Cat. to GVC Group | ||||
| 49 | TRGC_PM_PROC_ASS | Assignment of Position Management Procedure | ||||
| 50 | TRGS_POSITION_SELECTION | Selection Parameters | ||||
| 51 | TRIL_BWGART | OLD!!! Flow types for Hedge Accounting | ||||
| 52 | TRSC_LEND_TRANS | Update Types for Securities Account Transfer for Sec.Lending | ||||
| 53 | TRXT_WT_ASSIGN | TRM Withholding Tax Information Assignment | ||||
| 54 | TXI_AT10 | Transaction type | ||||
| 55 | VBFHA | Updating Table for Transaction | ||||
| 56 | VBFHAZU | Updating Table for Activity | ||||
| 57 | VTBFHA | Transaction | ||||
| 58 | VTBFHAZU | Transaction Activity | ||||
| 59 | VTBMADT | Mast. Agreement: Permitted Trans. Types | ||||
| 60 | VTBMDEX | CFM: Mirror Transaction - Initial Table | ||||
| 61 | VTBMDINFKT | CFM: Mirror Transaction Mapping Functions | ||||
| 62 | VTBMDMAP | CFM: Mirror Transaction - Map PType/TType in Meta Name | ||||
| 63 | VTBSTA1 | Allocation of Payment Details as Standing Instructions | ||||
| 64 | VTBSTA1_T | Allocation of Payment Details as Standing Instructions | ||||
| 65 | VTBSTA2 | Standing Instructions for Correspondence | ||||
| 66 | VTBSTA2_T | Allocation of Payment Details as Standing Instructions | ||||
| 67 | VTBSTA3 | SI for Business Partner: Transaction Authorizations | ||||
| 68 | VTBSTA3_T | Allocation of Payment Details as Standing Instructions | ||||
| 69 | VTBSTA4 | SI for Business Partner: Derived Flows | ||||
| 70 | VTBSTA4_T | Allocation of Payment Details as Standing Instructions | ||||
| 71 | VTBTRA1 | Transaction Authoriz. for Traders | ||||
| 72 | VTBUHEADER | Header for Underlying | ||||
| 73 | VTB_FMOD_SFGZUST | Field Modification at Activity Category Level | ||||
| 74 | VTB_FMOD_SFHAART | Field Modification Values | ||||
| 75 | VTB_FMOD_SFUNKTL | Field Modification Values | ||||
| 76 | VTB_FRGST | Control parameter for Release - Status management | ||||
| 77 | VTB_RULESET_TT | FTR Rule Management: Transaction Type Rules | ||||
| 78 | VTB_SIFX | Transaction in Hedge Allocations | ||||
| 79 | VTB_ST2 | Screen Structure Standing Instructions Correspondence BusPar | ||||
| 80 | VTB_ST3 | Screen Structure for Standing Instructions BP Authorization | ||||
| 81 | VTB_TR1 | Screen Structure Transaction Authoriz. for Traders | ||||
| 82 | VTIABBRE | Dynprostrukture Für SAPMF71D | ||||
| 83 | VTIFHA | Underlying transaction | ||||
| 84 | VTIZU | Transfer structure for Status | ||||
| 85 | VTI_HEADER | Master Data Options/Futures | ||||
| 86 | VTMIFDC | Money Market: Interface for Entering Transactions | ||||
| 87 | VTMWRK0 | View of Transaction for Collective Processing and Reporting | ||||
| 88 | VTM_IN_TRANS | Money Market: Inbound Interface: Transaction | ||||
| 89 | VTS_FMOD_FTR | Structure for Field Modification Strings | ||||
| 90 | VTVBARM_DR | Treasury: Non-Cumulative Values Deriv.: Charact. Trans./Act. | ||||
| 91 | VTVBARM_DR_OTC | Derivative OTC Interest Rate Instruments: Trans./Act. Char. | ||||
| 92 | VTVBARM_DV | Treasury: Non-Cumulative Values FX: Charact. Trans./Act. | ||||
| 93 | VTVBARM_GH | Treasury: Non-Cumulative Values MM: Charact. Trans./Act. | ||||
| 94 | VTVBARM_TR | Treasury: Non-Cumulative (MM+FX+SEC): Charact. Trans./Activ. | ||||
| 95 | VTVBARM_WP | Treasury: Non-Cumulative Values Sec.: Charact. Trans./Act. | ||||
| 96 | VTVBARW_DE | Derivatives: Non-Cumulative Values | ||||
| 97 | VTVDETA_DR_BOE | Derivatives (Listed Transactions): For a Given Period | ||||
| 98 | VTV_SIGESH | Simulative Entry of Hedge Transactions | ||||
| 99 | VTXI10 | Transfer Structure for forex entry | ||||
| 100 | VWFL_FT_DE | CFM: Assign Update Type to Flow Type | ||||
| 101 | VZBEST | Treasury general portfolio structure | ||||
| 102 | VZBEST_RT | Position Structure/Reporting Char. MRM for Risk Objects | ||||
| 103 | VZKOPF | General header structure Treasury |