Where Used List (View) for SAP ABAP Table SKB1 (G/L account master (company code))
SAP ABAP Table
SKB1 (G/L account master (company code)) is used by
| # | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
|---|---|---|---|---|---|---|
| 1 | /BEV3/CHCBWA | Maintenance view of validation table movement types | ||||
| 2 | ENT2005 | Company Code - G/L Account | ||||
| 3 | ENT2015 | Company Code - G/L Account - Bank | ||||
| 4 | ENT2039 | Company Code - Reconciliation Account | ||||
| 5 | GL_ACCT_CC | G/L accounts in company code | ||||
| 6 | GL_ACCT_CC_FLAGS | Selection view for search help | ||||
| 7 | GL_ACCT_CC_TEXT | Selection view for search help | ||||
| 8 | H_SKB1_PCA | EC-PCA: G/L Accounts in the Company Code | ||||
| 9 | H_T037S | Acct assignment ref. | ||||
| 10 | IDCN_V_ZJFSAKNR | DB View: G/L Account from P&L Account Closing Posting | ||||
| 11 | V_ACCOUNT | Master data extensions G/L account Treasury | ||||
| 12 | V_FMTF_GLACC | Selection View for Search Help | ||||
| 13 | V_IDCN_ACCITEM1 | Operating Activities for GL Accounts (Golden Audit) | ||||
| 14 | V_IDCN_ACCITEM2 | Assignment of Report Item to GL Account (Golden Audit) | ||||
| 15 | V_IDCN_ACCITEM3 | Assignment of Report Item (Supp. Info) (Golden Audit) | ||||
| 16 | V_SKB1_FIAA | Change Control of Reconciliation Accounts | ||||
| 17 | V_T035D | Cash Management Account Names | ||||
| 18 | V_TAKOF | Reconciliation Accounts with Exception Handling | ||||
| 19 | V_TCMAC05C | Payment Card Authorization | ||||
| 20 | V_TCMAC05CM | Assign Merchant ID | ||||
| 21 | V_TIVEXFIACC | G/L Accout with B-Segment and Text (for Transport) |