Where Used List (Table) for SAP ABAP Table T000 (Clients)
SAP ABAP Table
T000 (Clients) is used by
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| # | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
|---|---|---|---|---|---|---|
| 1 | ISMTXT | SDB: Problem Short Text | ||||
| 2 | ISMVALCAT | SDB: Problem Validation Category | ||||
| 3 | ISM_DM_CHKF | IS-M DM: File Name for Last Check Out | ||||
| 4 | ISM_DM_CHKO | IS-M DM: Check-Out Data for a Physical Information Object | ||||
| 5 | ISM_DM_CONT | IS-M DM: Table for Document Contents (Import/Export) | ||||
| 6 | ISM_DM_CONT_URL | IS-M DM: Table for Document Contents (Import/Export) | ||||
| 7 | ISM_DM_IDXSTA | IS-M DM: Status Table for Indexing Documents | ||||
| 8 | ISM_DM_LOIO | IS-M DM: Instances of Logical Information Objects | ||||
| 9 | ISM_DM_LOIOT | IS-M DM: Descriptions of Logical Information Objects | ||||
| 10 | ISM_DM_LOPR | IS-M DM: Attribute Values for Logical Information Objects | ||||
| 11 | ISM_DM_LORE | IS-M DM: Outgoing Relationships for Logical Information Objs | ||||
| 12 | ISM_DM_LOREPR | IS-M DM: Attributes of Outgoing Relationships for LOIOs | ||||
| 13 | ISM_DM_LORI | IS-M DM: Incoming Relationships for Logical Infomation Objs. | ||||
| 14 | ISM_DM_LORIPR | IS-M DM: Attributes of Incoming Relationships for LOIOs | ||||
| 15 | ISM_DM_PHF | IS-M DM: Files for Physical Information Objects | ||||
| 16 | ISM_DM_PHHR | IS-M DM: Outgoing Hyperlinks from Physical Objects | ||||
| 17 | ISM_DM_PHHRPR | IS-M DM: Attributes of Hyperlink Relationships | ||||
| 18 | ISM_DM_PHIO | IS-M DM: Instances of Physical Information Objects | ||||
| 19 | ISM_DM_PHNM | IS-M DM: Use of Target Anchors in Physical Objects | ||||
| 20 | ISM_DM_PHNMPR | IS-M DM: Attributes of Target Anchor Relationships | ||||
| 21 | ISM_DM_PHPR | IS-M DM: Attributes of Physical Information Objects | ||||
| 22 | ISM_DM_PHRE | IS-M DM: Outgoing Relationships for Physical InformationObjs | ||||
| 23 | ISM_DM_PHREPR | IS-M DM: Attributes of Outgoing Relationships for PHIOs | ||||
| 24 | ISM_DM_PHRI | IS-M DM: Incoming Relationships of Physical Information Objs | ||||
| 25 | ISM_DM_PHRIPR | IS-M DM: Attributes of Incoming Relationships for PHIOs | ||||
| 26 | ISOL | SDB: Solution table | ||||
| 27 | ISOTXT | SDB: Solution Short Text Table | ||||
| 28 | ISSRFLDEA | Actual line item table | ||||
| 29 | ISSRFLDEC | Object table 2 | ||||
| 30 | ISSRFLDEO | Object table 1 | ||||
| 31 | ISSRFLDEP | Plan line items table | ||||
| 32 | ISSRFLDET | Summary table | ||||
| 33 | ISSR_59710_K_OLD | ISSR: Kombinationsmöglichkeiten R5/97 Anlage 10 (alt) | ||||
| 34 | ISSR_BAV_59710_K | ISSR: Kombinationsmöglichkeiten R5/97 Anlage 10 | ||||
| 35 | ISSR_BAV_TZ29 | Struktur zur Datenübergabe NW101/201/600 ins Neudesign | ||||
| 36 | ISSR_BAV_TZ32 | Struktur zur Datenübergabe NW102 ins Neudesign | ||||
| 37 | ISSR_CDHDR_CDPOS | Struktur zur Aufnahme der Felder für Änderungsbelege GP-Ände | ||||
| 38 | ISSR_COLL_AMOUNT | ISSR: Hilfsstruktur für Ermittlung der umbuchbaren Anlagen | ||||
| 39 | ISSR_CUSTOUT_FMT | Output Format | ||||
| 40 | ISSR_CUST_COLMAP | Column mapping to custom out format. | ||||
| 41 | ISSR_CUST_HDPARM | Parameters required from main progarm to generate header | ||||
| 42 | ISSR_CUST_HD_DE | Customer report header format for DE | ||||
| 43 | ISSR_CUST_ROWMAP | Row/Line mapping to custom out format. | ||||
| 44 | ISSR_CUST_ROWSUM | Row sum information. | ||||
| 45 | ISSR_DE_TP_DATA | Strukt.für Überg.der Daten von VZBAVV/VZBAVF an ISSR_RPI_MFT | ||||
| 46 | ISSR_DE_TP_DT_OLD | Zusammenführung der rel.Datenfelder VZBAVV/VZBAVF | ||||
| 47 | ISSR_DE_TP_MFT | Strukt.zur Selekt.der umb.relevanten Daten aus ISSR_RPI_MFT | ||||
| 48 | ISSR_DYN_TP_UMB | ISSR: Hilfsstruktur für Dynpro Umbuchung Meldedaten | ||||
| 49 | ISSR_EXTID_ADMIN | ISSR: Verwaltung ext.Idnr-Vergabe im laufenden Programm | ||||
| 50 | ISSR_EXT_IDNR | ISSR: Tabelle zur Aufnahme und Prüfung der externen IDNR | ||||
| 51 | ISSR_EXT_IDNR_2 | ISSR: Tabelle zur Aufnahme und Prüfung der externen IDNR | ||||
| 52 | ISSR_IFB_PCPTRT | ISSR: Beziehungstabelle Mw-PCAT<->Mw-PTYP<->Mw-RANTYP | ||||
| 53 | ISSR_IFPOIF | ISSR: ISSR_Interfaces für Converter | ||||
| 54 | ISSR_IFPOIFT | ISSR: Texte für ISSR-Interfaces des Converter | ||||
| 55 | ISSR_IF_GSETINGS | ISSR: Globale Einstellungen für die ISSRPREFLOW-Erstellung | ||||
| 56 | ISSR_MACV | ISSR: Steuerungstabelle für Feldzuordnung (Nachbuchung) | ||||
| 57 | ISSR_MACVFIAS | ISSR: Converter Steuerungstabelle für Feldzuordnung | ||||
| 58 | ISSR_MACVRU | ISSR: Converter Tabelle für indirekt zuzuweisende Felder | ||||
| 59 | ISSR_MACVTA | ISSR: Converter Bedingungen für Ableitungen über U-tab | ||||
| 60 | ISSR_MIG_BCK | ISSR: Feste und variable Daten Meldewesen | ||||
| 61 | ISSR_OUT_ASTVW | ISSR: Feste und variable Daten Meldewesen | ||||
| 62 | ISSR_OUT_BUFFER | ISSR: var. Plazierung der Felder auf SF mit Hilfe Methoden | ||||
| 63 | ISSR_RANGE_SUBOB | ISSR: Wertetabelle für Nummernkreisunterobjekt | ||||
| 64 | ISSR_RPI_MFT | ISSR: Feste und variable Daten Meldewesen | ||||
| 65 | ISSR_RPI_MFT_BCK | ISSR: Feste und variable Daten Meldewesen als Backuptabelle | ||||
| 66 | ISSR_SCR_CV_DEP_TAB | ISSR: Strukt.f.Selektionsbildschirm Rep.RISSR_CV_DATA_REC | ||||
| 67 | ISSR_T009B | ISSR: Mustertabelle Perioden SR-Geschäftsjahresvariante | ||||
| 68 | ISSR_TGRP_TO_MFT | ISSR: Zuordnung FISL Tabellengruppe zur Stammdatentabelle | ||||
| 69 | ISSR_TP_MESSAGE | ISSR: Struktur zur Aufnahme von Meldungsdaten Umbuchung MW | ||||
| 70 | ISSR_TP_MWDATA | BAV-Meldedaten je Anlage (für Selection-Screen) | ||||
| 71 | ISSR_TP_RESULT_MIG_DATA | ISSR: Struktur zur Anzeigeder migrierten/abgewiesenen Sätze | ||||
| 72 | IST000C | Service Data Distribution for Telecommunications Component | ||||
| 73 | ISTBED | Actual requirements records | ||||
| 74 | ISTRUCT035D | Cash Management Account Names (structure for T035D) | ||||
| 75 | IST_ADD_REF | Control Table for Additional Reference Object | ||||
| 76 | IST_ADD_REF_TXT | Text Table: Additional Reference Object IS-T | ||||
| 77 | IST_ADD_SERVICET | Text Table for Services | ||||
| 78 | IST_C_BTACT | Disconnection Activity | ||||
| 79 | IST_C_BTACTDUN | Assignment of Dunning Levels and Disconnection Activities | ||||
| 80 | IST_C_BTACTT | Texts for Disconnection Activities | ||||
| 81 | IST_C_TDATA | Assignment of REFOBJID to Search Help | ||||
| 82 | IST_EBS_TOI_COPA | CO-PA Characteristic Derivation from IDOC Data | ||||
| 83 | IST_TDATA | Telco Object Data for Contract A/R & A/P | ||||
| 84 | ISU_BALHDR | Last Log as Starting Point for Extract Generation | ||||
| 85 | ISU_PRICE_D | Screen Price | ||||
| 86 | ITAGCYACT | Activities that Can Be Executed in Agency Collections | ||||
| 87 | ITAGCYACTT | Text Table for ITAGCYACT | ||||
| 88 | ITAGCYCDM | Master Data for Cash Desks | ||||
| 89 | ITAGCYCDMODE | Mode Within Cash Desk | ||||
| 90 | ITAGCYCDMODET | Text Table for ITAGCYCDMODE | ||||
| 91 | ITAGCYCDMT | Text Table for ITAGCYCDMT | ||||
| 92 | ITAGCYCONTH | Header Data for Cash Desk Container | ||||
| 93 | ITAGCYPAY | Payment Information | ||||
| 94 | ITAGCYSEL | Selection Variants for OI Selection in Agency Collections | ||||
| 95 | ITAGCYSFACT | OBSOLETE | ||||
| 96 | ITAGCYSFACTT | OBSOLETE | ||||
| 97 | ITAGCYSFDEF | SmartForm Printing: Customizing Activities | ||||
| 98 | ITAGCYSFDEFT | SmartForm Printing: Customizing Activities | ||||
| 99 | ITCY50 | Chart sequence with title | ||||
| 100 | ITMF_D_NFACCT | Nota fiscal writer configurable accounts | ||||
| 101 | ITMF_D_NFACCTTAX | Nota fiscal writer configurable accounts for taxes | ||||
| 102 | ITOBCUST | System Settings for Alternative Labeling of FunctLocations | ||||
| 103 | ITSEG | Internal Structure for Database View VTSEG | ||||
| 104 | ITSEGEXT | Internal Structure for Database View VTSEG + Additional Flds | ||||
| 105 | ITZKN2 | Enhancement TZKN2 | ||||
| 106 | IWOT_LNK | Assignment of View Profiles | ||||
| 107 | IWOT_PROF | View Profiles for Basic Order View | ||||
| 108 | IWOT_PROFN | Assignment of Pushbuttons to Tab Pages | ||||
| 109 | IWOT_PROFT | View Profile Texts for Basic Order View | ||||
| 110 | IWOT_PROF_SUB | Tab Pages for View Profiles | ||||
| 111 | IWOT_PROF_SUBT | Tab Page Titles for View Profiles | ||||
| 112 | IWP_AREA_F | Audit Area Fields | ||||
| 113 | IWP_AREA_S | Audit Area Tables | ||||
| 114 | IWP_AUTH_IOBJ | Definition of Infoobjects to be used for authorization | ||||
| 115 | IWP_BI_OBJECTNUM | Numbers of Objects to be created in BI | ||||
| 116 | IWP_CONF_MESSAGE | Adopt Messages in Message Log | ||||
| 117 | IWP_DB_AREAT | Description of audit areas | ||||
| 118 | IWP_DB_AREA_ND | Hierachy of the audit area | ||||
| 119 | IWP_DB_AREA_NDT | Description of a folder in the hierachy | ||||
| 120 | IWP_DB_REPOS | Retention Warehouse: Repository | ||||
| 121 | IWP_DB_REPOST | Retention Warehouse: Repository Description | ||||
| 122 | IWP_DB_REPOS_F | Retention Warehouse: Repository Fields | ||||
| 123 | IWP_DB_REPOS_FT | Retention Warehouse: Repository field description | ||||
| 124 | IWP_DB_REPOS_S | Retention Warehouse: Repository structures | ||||
| 125 | IWP_DB_REPOS_ST | Retention Warehouse: Repository structure description | ||||
| 126 | IWP_DB_SETT | Set description | ||||
| 127 | IWP_DB_SET_F | Fields of the set | ||||
| 128 | IWP_DB_SET_S | Structures of a set | ||||
| 129 | IWP_GEN_CONFIG | Configuration of BI extraction | ||||
| 130 | IWP_GEN_SETTINGS | Define Settings for Parallelization | ||||
| 131 | IWP_IOBJASS | Definition of Audit Area specific Infoobjects | ||||
| 132 | IWP_IOBJASS_CP | Definition of Audit Area specific Infoobjects (copies) | ||||
| 133 | IWP_IOBJA_APT | Definition of Audit Area Template specific Infoobjects | ||||
| 134 | IWP_IOBJA_APT_CP | Definition of Audit Area Template specific Infoobj. (copies) | ||||
| 135 | IWP_IOBJA_PT | Definition of Audit Area specific Infoobjects | ||||
| 136 | IWP_IOBJA_PT_CP | Definition of Audit Area specific Infoobjects (copies) | ||||
| 137 | IWP_IOBJ_CUST | Definition of Customer specific Infoobjects | ||||
| 138 | IWP_IOBJ_CUST_CP | Definition of Customer specific Infoobjects (copies) | ||||
| 139 | IWP_KEYMOD | Adoption of the key field order | ||||
| 140 | IWP_REPOS_BW | Available Tables for BW | ||||
| 141 | IWP_REPOS_BW_C | Available Tables for BW - Customer adoptions | ||||
| 142 | IWP_REPOS_BW_V | Available Views for BW | ||||
| 143 | IWP_REPOS_BW_V_C | Available Views for BW - Customer adoption | ||||
| 144 | IWP_REPOS_F | Retention Warehouse: Repository Fields | ||||
| 145 | IWP_REPOS_FT | Retention Warehouse: Repository Field Description | ||||
| 146 | IWP_REPOS_OT_S | Retention Warehouse Repository: Structures ILM Objects | ||||
| 147 | IWP_REPOS_S | Retention Warehouse: Repository Structures | ||||
| 148 | IWP_REPOS_ST | Retention Warehouse: Repository Structure Description | ||||
| 149 | IWP_TABLE_DIR | Directory of generated tables for data transfer | ||||
| 150 | IWP_TRANS_ATTRIB | Transferattributes of a table | ||||
| 151 | IWP_WP_AREA | Areas Assigned to Audit Packages | ||||
| 152 | J2SDDROPOFF_IDX | IS-M/SD: LES Interface Index Drop-Offs - Purchase Quantities | ||||
| 153 | JBACDLI | List of conditions | ||||
| 154 | JBACDLITY | Condition List Types | ||||
| 155 | JBACDLITY_T | Name of Condition List Type | ||||
| 156 | JBACDLI_RFACC | Source of Condition List from Reference Account | ||||
| 157 | JBACDLI_T | Description of Condition List | ||||
| 158 | JBAFOKOKO | Condition Header | ||||
| 159 | JBAFOKOPO | Condition Items | ||||
| 160 | JBALMDLADM | ALM: Administration Information for Detailed Logs | ||||
| 161 | JBALMDLADMT | ALM: Text Definitions for Detailed Logs | ||||
| 162 | JBAMPGPAR | ALM Market Price Weighting: Parameters | ||||
| 163 | JBAPHKMERK | ALM Assignment of Characteristics to PH Nodes | ||||
| 164 | JBAPLANPAR | ALM Assignment of Planning Parameters to Planning Variant | ||||
| 165 | JBAPLANPARLZB | ALM Assignment of Planning Parameters to Planning Variant | ||||
| 166 | JBAPLANV | ALM Planning Variant | ||||
| 167 | JBAPLANVT | ALM Planning Variant: Text Table | ||||
| 168 | JBARTSEITE | Assignment: Transaction Type - Transaction Direction | ||||
| 169 | JBASIMA | ALM Simulation Type | ||||
| 170 | JBASIMAP | ALM Simulation Type: Parameters | ||||
| 171 | JBASIMAT | ALM Simulation Type: Texts | ||||
| 172 | JBASTCH | Standard Conditions: Condition Header | ||||
| 173 | JBASTCP | Standard Conditions: Condition Item | ||||
| 174 | JBBEWART | Flow Types | ||||
| 175 | JBBEWART_T | Flow Types - Text Table | ||||
| 176 | JBBEWZU | Assign Flow Types to Transaction Type + Transaction Direct. | ||||
| 177 | JBCFBEWEG | Cash Flow Transaction: Flows | ||||
| 178 | JBCFBZR | Cash Flow Transaction: Analysis Period | ||||
| 179 | JBCFFIX | Cash Flow Transaction: Interest Rate Fixing | ||||
| 180 | JBCFKOPF | Cash Flow Transaction: Header Data | ||||
| 181 | JBCFSEITE | Cash Flow Transaction: Transaction Directions | ||||
| 182 | JBCFVER | Cash Flow Transaction: Additional Versions | ||||
| 183 | JBCFZSTRBEWEG | Cash Flow Transaction: Flow Data for Cash Flow | ||||
| 184 | JBCFZSTRKOPF | Cash Flow Transaction: Header Data for Cash Flow | ||||
| 185 | JBC_CCURVE_TYPE | Commodity Curve Type | ||||
| 186 | JBC_CCURVE_TYPET | Commodity Curve Type Text Table | ||||
| 187 | JBD11 | IS-B: Extended interest rate table | ||||
| 188 | JBD14 | Yield Curve Types (Header Information) | ||||
| 189 | JBD15 | Yield Curve Types (Values) | ||||
| 190 | JBD1T | Yield Curve Types (Texts) | ||||
| 191 | JBDBFUS | Bank Position Management Point | ||||
| 192 | JBDBFUT | IS-B: Bank Position Management Point - Texts | ||||
| 193 | JBDBLAN | Country-Specific Data | ||||
| 194 | JBDBPKR | IS-B: Determination of the Costing Rule | ||||
| 195 | JBDBPRD | Bank Product | ||||
| 196 | JBDBPRT | Bank Product Text | ||||
| 197 | JBDBPVR | Value Table for JBRBPVAR | ||||
| 198 | JBDBPVT | Product Variant Text | ||||
| 199 | JBDBSTD | SAP Banking: Positions | ||||
| 200 | JBDBSTK | Positions for Single Transaction Costing | ||||
| 201 | JBDBSTS | Position Control | ||||
| 202 | JBDBSTW | Position Values | ||||
| 203 | JBDCPHDR | Header Table for Change Pointer | ||||
| 204 | JBDCPHDR2 | Header Table for Change Pointer | ||||
| 205 | JBDCTVTBPRD | Conversion of Variable Transaction: Bank Product Assignment | ||||
| 206 | JBDCTVTBPVR | Conversion Variable Transaction: Bank Product Variant Assgn. | ||||
| 207 | JBDEURO | Indicator Table for EURO Conversion (CC) | ||||
| 208 | JBDEXPACT | Activate Export Interface | ||||
| 209 | JBDEXPRELHDR | Header Table for Export Relevance | ||||
| 210 | JBDEXPRELPOS | Item Table for Export Relevance | ||||
| 211 | JBDFRIS | Maturity Pattern for Core Deposits Products | ||||
| 212 | JBDFRST | Maturity Pattern for Core Deposits Products Text | ||||
| 213 | JBDFRVL | SAP Banking: Volume Distribution for Existing Core Deposits | ||||
| 214 | JBDFUNCDEAKT | Deactivate Datapool Functions | ||||
| 215 | JBDGSCH | IS-B: Transaction Master Data | ||||
| 216 | JBDI0000 | Template Structure for Generated Qty Table in STC for ABC | ||||
| 217 | JBDKKON | SAP Banking: Business Partner Account | ||||
| 218 | JBDKKOW | Account Balances | ||||
| 219 | JBDKOKO | Condition Header | ||||
| 220 | JBDKOKOADDON | Additional Information on Table VZZKOKO | ||||
| 221 | JBDKOPO | Condition Items | ||||
| 222 | JBDKRVF | Assignment of Procedures for Costing Rules | ||||
| 223 | JBDKUMS | Turnovers for Business Partner Accounts | ||||
| 224 | JBDLSZA | Type 2 Cash Flow Disturbance (Shifting of a Payment) | ||||
| 225 | JBDOBJ1 | Object Table for Financial Transactions, General Part | ||||
| 226 | JBDSERV | SAP Banking: Master Table for Service Transactions | ||||
| 227 | JBDT001 | Bank Company Code | ||||
| 228 | JBDTZK01 | Condition Types for Variable Transactions | ||||
| 229 | JBDUBPC | Profit Center - Non-Interest-Bearing Position | ||||
| 230 | JBDUBPCGR | Profit Center Group - Non-Interest-Bearing Position | ||||
| 231 | JBDUBPO | Position Items for Non-Interest-Bearing Position | ||||
| 232 | JBDUBST | SAP Banking: Non-Interest-Bearing Position | ||||
| 233 | JBDUBT | Text for Non-Interest-Bearing Positions | ||||
| 234 | JBDVDAK | Summarization of Current Indicators per Sender Program | ||||
| 235 | JBDVTBA | Variable Transaction - Balances | ||||
| 236 | JBDVTCH | Variable Transaction - Condition Headers | ||||
| 237 | JBDVTCP | Variable Transaction - Condition Items | ||||
| 238 | JBDVTGL | Variable Transaction - General Ledger Assignment | ||||
| 239 | JBDVTGLAC | Variable Transaction - Reference to FI G/L Account | ||||
| 240 | JBDVTMD | Variable transaction - master data | ||||
| 241 | JBDVTMD_T | Variable Transaction - Description | ||||
| 242 | JBDVTTO | Variable Transaction - Turnovers | ||||
| 243 | JBDZSAUSVER | Cash Flow Transaction: Individual Disbursement Procedure | ||||
| 244 | JBDZSEK | Cash Flow (Effective Capital and NIM between Payment Dates) | ||||
| 245 | JBDZSKO | Cash Flow Header | ||||
| 246 | JBDZSTR | Cash Flow | ||||
| 247 | JBDZSVO | Cash Flow (Volume Information) | ||||
| 248 | JBDZSZT | SAP Banking: Cash Flow (Interest and Repayment Schedule) | ||||
| 249 | JBDZZTK | Standard Customizing for Condition Field Selection | ||||
| 250 | JBD_STR_JBRDBKO_RT | Structure f.Reading/Checking Residence Time f.Obj.GETR_ARCH | ||||
| 251 | JBD_STR_JBRHKO_RT | Structure f.Reading/Checking Residence Time f. Obj.GTVS_ARCH | ||||
| 252 | JBGESCHART | Transaction Type | ||||
| 253 | JBGESCHART_T | Transaction Type - Text Table | ||||
| 254 | JBGESCHSEITE | Direction of the Transaction | ||||
| 255 | JBGESCHSEITE_T | Transaction Direction - Text Table | ||||
| 256 | JBIBSTK | Structure for Costing Positions | ||||
| 257 | JBIDBSF | Criteria for Determining the Position Object Number | ||||
| 258 | JBISIMAP | Work Structure for ...ALM_GET_SIM_PARAMETERS | ||||
| 259 | JBISTWF | Standard Value Fields for all Operating Concerns | ||||
| 260 | JBIT001 | Company Code Table for Costing | ||||
| 261 | JBIUBSD | Structure for Position Master Updates | ||||
| 262 | JBIUBSW | Structure for Position Value Updates | ||||
| 263 | JBIUDA1 | TR: EDT Loans | ||||
| 264 | JBIUDAR | IS-B: Loans Transfer | ||||
| 265 | JBIUDERIV | Transfer Structure for Derivatives | ||||
| 266 | JBIUPA1 | TR Business partner transfer - external fields (3.0 BP) | ||||
| 267 | JBIUPDAR | Loan Transfer; Loan Conditions, Header, Item | ||||
| 268 | JBIUPDERIV | Extended Transfer Structure for Derivatives | ||||
| 269 | JBIXFRV | Volume Assignment for Core Deposit Products, Costing | ||||
| 270 | JBIXWPO | EDT Extended Securities Order | ||||
| 271 | JBIXZSKO | Extended Structure for Cash Flow Headers | ||||
| 272 | JBIXZSTR | Extended Structure for Cash Flow Items | ||||
| 273 | JBKLBEST | Credit Limit: Characteristics for Position Objects | ||||
| 274 | JBKLOBJ1 | Segment Table for Financial Transactions, CL Part | ||||
| 275 | JBNIPL_DATA | ALM Non Interest Profit and Loss Data | ||||
| 276 | JBRABREGTAB | RM: Write-Down Rule for P+L Evaluation | ||||
| 277 | JBRABREGTABT | RM: Write-Down Rule for P+L Simulation (Texts) | ||||
| 278 | JBRACCOUNT | RM BP Update Administration for Account Balances | ||||
| 279 | JBRADKET | Text Table for JBRADKEY | ||||
| 280 | JBRADKEY | Transaction Differentiation | ||||
| 281 | JBRALF | Due Date Scenario - Items | ||||
| 282 | JBRALFD | Due Date Scenario: Definition | ||||
| 283 | JBRALFDT | Texts for Due Date Scenario - Definition | ||||
| 284 | JBRAMOUNT | RM: Account Balance Summarization in Base Portfolio | ||||
| 285 | JBRBEST | General Risk Management position structure | ||||
| 286 | JBRBETA | Beta factors | ||||
| 287 | JBRBEWEG | General structure for Risk Management flows | ||||
| 288 | JBRBEWREG | Valuation Rules for Evaluations (Per Object) | ||||
| 289 | JBRBEWREGT | Valuation Rules for Evaluations (Texts) | ||||
| 290 | JBRBFART | Beta factor type | ||||
| 291 | JBRBFARTT | Beta factor type texts | ||||
| 292 | JBRBG0 | Gap Analysis - Global Control | ||||
| 293 | JBRBG1 | Gap Analysis - Control using Valuation Rule | ||||
| 294 | JBRBG2 | Gap Analysis - Global Control | ||||
| 295 | JBRBG2T | Text Table for Gap Type | ||||
| 296 | JBRBG3 | Gap Analysis - Control using Valuation Rule | ||||
| 297 | JBRBGR | RM: Position Group | ||||
| 298 | JBRBGRPO | RM Position Groups: Items | ||||
| 299 | JBRBGRT | RM: Position Group (Text) | ||||
| 300 | JBRBP | Base Portfolio Definition | ||||
| 301 | JBRBPAKTIN | Net Present Value (Old) | ||||
| 302 | JBRBPCFV | RM: BP Update Administration for Cash Flows | ||||
| 303 | JBRBPCFVN | RM: BP Update Management for Cash Flows | ||||
| 304 | JBRBPFART | RM: Update Type for Objects per View | ||||
| 305 | JBRBPGENUE | Generated Views for an RM Area | ||||
| 306 | JBRBPKSV | RM BP Update Administration for Account Balances | ||||
| 307 | JBRBPT | Base Portfolio Definition: Text | ||||
| 308 | JBRBPWPV | RM: BP Update Administration for Positions/Securities | ||||
| 309 | JBRBRFS | RM: Assignment of Valuation Rule to Due Date Scenario | ||||
| 310 | JBRBRIASZ | Assignment of Utilization Scenario to Valuation Rule | ||||
| 311 | JBRBRLQSZ | Assignment of Liquidation Scenario to Valuation Rule | ||||
| 312 | JBRBSTD | RM: Base Portfolios - Single Positions (until F3.03) | ||||
| 313 | JBRBSTV | RM: Base Portfolio for Position Management | ||||
| 314 | JBRBV0 | VaR - Global Control | ||||
| 315 | JBRBV1 | VaR - Local Control | ||||
| 316 | JBRBV2 | VaR Simulation Types | ||||
| 317 | JBRBV2_T | Text Table for Table JBRBV2 (VaR Type) | ||||
| 318 | JBRCFART | Cash flow type | ||||
| 319 | JBRCFART2KNZ | Cash flow type | ||||
| 320 | JBRCFARTT | Texts for Description of Cash Flow Type | ||||
| 321 | JBRCFEV | Cash Flow Evaluation - Assignment | ||||
| 322 | JBRCFKAP | RM: Aggregated Capital Commitment Cash Flows per BP | ||||
| 323 | JBRCFZINS | RM: Aggregated Fixed-Interest Cash Flows per BP | ||||
| 324 | JBRDBABEST | RM: DB Table ABEST Fields | ||||
| 325 | JBRDBBEWEG | RM: DB Table BEWEG Extended Category of Primary Transaction | ||||
| 326 | JBRDBFML | RM: Formula Components for Individual Cash Flows | ||||
| 327 | JBRDBHIER | RM: DB Table for Hierarchy Structure xDTFT/DTFT | ||||
| 328 | JBRDBKO | RM: DB Table Header Information Extended Risk Object | ||||
| 329 | JBRDBKOET | RM: DB Table Header, HIERA and BEST Extended Cat.Prim.Trans. | ||||
| 330 | JBRDBKOMIG | RM: Migration Table for Corrections to Generic Transaction | ||||
| 331 | JBRDBOPTI | RM: DB Table OPTI Extended Category of Primary Transaction | ||||
| 332 | JBRDBRTBSTD | RM: Position for Extended Risk Object | ||||
| 333 | JBRDBRTBSTDII | RM: Position for Generic Transaction; Additional Data | ||||
| 334 | JBRDBRTBSTDPO | RM: Position Items of Extended Risk Objects | ||||
| 335 | JBRDBRTEXT | RM: DB Table for External Risk Object | ||||
| 336 | JBRDERI | Characteristic Derivation Settings for Analysis Structure | ||||
| 337 | JBREGSH | RM Base Portfolio for Single Transactions | ||||
| 338 | JBREVAL | Risk Management evaluation type - definition | ||||
| 339 | JBREVALT | Risk Management evaluation type - texts | ||||
| 340 | JBRFSZ | Due Date Scenario - Header Information | ||||
| 341 | JBRFSZABS | Absolute Due Date Scenario, Parameters | ||||
| 342 | JBRFSZREL | Relative Due Date Scenario, Parameters | ||||
| 343 | JBRHABEST | RM: Version Table for ABEST Fields | ||||
| 344 | JBRHBEWEG | RM: Version Table BEWEG for Extended Cat. of Primary Trans. | ||||
| 345 | JBRHFML | RM: Version Table: Formula Components for Individ.Cash Flows | ||||
| 346 | JBRHHIER | RM: Version Table for Hierarchy Structure xDTFT/DTFT | ||||
| 347 | JBRHISPHBAUMS | Tree Structure for Deactivated Portfolio Hierarchies | ||||
| 348 | JBRHISPHTEXT | RM: Portfolio Texts for Deactivated Portfolio Hierachy | ||||
| 349 | JBRHISPHZUORDN | RM Deactivated PH: Assign Base Portfolios to End Nodes | ||||
| 350 | JBRHKO | RM: Version Table: Header Information: Extended Risk Object | ||||
| 351 | JBRHKOET | RM: Version Table Header, HIERA and BEST Ext.Cat.Prim.Trans. | ||||
| 352 | JBRHOPTI | RM: Version Table OPTI Extended Category of Primary Trans. | ||||
| 353 | JBRIASZ | Settings for Utilization Scenarios | ||||
| 354 | JBRIASZD | Definitions of Utilization Scenarios | ||||
| 355 | JBRIASZDT | Descriptions for Utilization Scenarios | ||||
| 356 | JBRIDXG | Allocation Class - Index | ||||
| 357 | JBRINDX | RM: Cluster for Storing Datasets Derived from INDX | ||||
| 358 | JBRINDXCAT | RM: Cluster for Storing Datasets, Catalog Entries | ||||
| 359 | JBRINDXKAT | RM: Cluster for Storage of Datasets, Catalog | ||||
| 360 | JBRKNZ | RM: External Key Figures for Financial Object | ||||
| 361 | JBRKON | RM: Account Balance Summarization in Base Portfolio | ||||
| 362 | JBRLQSZD | Settings for Liquidation Scenarios | ||||
| 363 | JBRLQSZH | Defintions of Liquidation Scenarios | ||||
| 364 | JBRLQSZHT | Texts for Liquidation Scenarios | ||||
| 365 | JBRLZB | Maturity band | ||||
| 366 | JBRLZBD | Date Entries in Maturity Band | ||||
| 367 | JBRLZBP | Maturity band parameters | ||||
| 368 | JBRLZBT | Maturity Band - Texts | ||||
| 369 | JBRMATSCEPAR | RM: Parameters for Adding Data to Due Date Scenarios | ||||
| 370 | JBRMSGSEL | RM: Indicators that control the Filter for Messages | ||||
| 371 | JBRMZBG | RM: Assignment of Transactions to Business Partners | ||||
| 372 | JBROBJ1 | RM: Definition of Fields/Characteristics Specific to RM | ||||
| 373 | JBROBJCHAR | RM: Flat Structure of Characteristics for a Financial Object | ||||
| 374 | JBRPBL | Period block | ||||
| 375 | JBRPBLD | Period Block - Definition | ||||
| 376 | JBRPBLDT | Texts for Period Block - Definition | ||||
| 377 | JBRPH | Portfolio hierarchy | ||||
| 378 | JBRPHBAUM1 | RM: Portfolio Hierarchy - Tree Structure | ||||
| 379 | JBRPHBAUMS | Storage of Portfolio Hierarchy | ||||
| 380 | JBRPHDEF | Definitions Used to Derive Portfolio Hierarchy | ||||
| 381 | JBRPHDEFBK | RM: Backup for Table JBRPHDEF | ||||
| 382 | JBRPHGE | RM: Portfolio Hierarchy: Generation Data | ||||
| 383 | JBRPHT | Portfolio hierarchy | ||||
| 384 | JBRREGD | Rule Definition | ||||
| 385 | JBRREGDT | Text Table Market Data Shift Definition | ||||
| 386 | JBRREGW | Rules for multi-dimensional risk factor shift | ||||
| 387 | JBRREGWT | Text table for risk factor shift | ||||
| 388 | JBRRH | Check Table for Risk Hierarchy | ||||
| 389 | JBRRHBAUM | Tree Structure of Risk Hierarchy | ||||
| 390 | JBRRHBAUMT | Texts for Tree Structure of Risk Hierarchy | ||||
| 391 | JBRRHBL | End Node Structure of a Risk Hierarchy | ||||
| 392 | JBRRHBLATT | End Node Structure of a Risk Hierarchy | ||||
| 393 | JBRRHBLT | End-Node Structure of a Risk Hierarchy (Risk Factors) | ||||
| 394 | JBRRHKNT | Node Structure of a Risk Hierarchy | ||||
| 395 | JBRRHKNTT | Texts (only used for data definitions) | ||||
| 396 | JBRRHST | Check Table for Risk Hierarchy | ||||
| 397 | JBRRHT | Texts for Risk Hierarchy Check Table | ||||
| 398 | JBRRMB | Assignment of Analysis Structure to Client | ||||
| 399 | JBRRMBBF | Analysis Structure | ||||
| 400 | JBRRMEA3 | RM: RM Area Maintenance, Work Fields Corresp.to RKEA3 | ||||
| 401 | JBRRPGAPEX | RM: Gap Eval. Results Structure for Drilldown Reporting | ||||
| 402 | JBRRPHSBCK | Back testing | ||||
| 403 | JBRRPHSGIN | Value-at-Risk | ||||
| 404 | JBRRPHSGUV | Profit/Loss | ||||
| 405 | JBRRPSENIN | RM: Calculation of Sensitivites/NPV | ||||
| 406 | JBRSAEV | Assign Balance Type to Yield Curve for Evaluation | ||||
| 407 | JBRSART | Balance Type for Characterizing an Account Balance | ||||
| 408 | JBRSARTT | Text Table for Balance Types | ||||
| 409 | JBRSHBAUM | Tree Structure of Nodes in a Portfolio Hierarchy | ||||
| 410 | JBRSHKN | Nodes in Portfolio Hierarchy | ||||
| 411 | JBRSI | Views | ||||
| 412 | JBRSICRIT | Restrictions for Subviews | ||||
| 413 | JBRSIHIM | Hierarchy of Characteristics | ||||
| 414 | JBRSIM | Assign Characteristics to Views | ||||
| 415 | JBRSIMZ | Simulated Interest - Definition | ||||
| 416 | JBRSIMZT | Texts for Simulated Interest Payments | ||||
| 417 | JBRSIT | Dims texts | ||||
| 418 | JBRSPH | Definition of Portfolio Hierarchy (Check Table) | ||||
| 419 | JBRSPHT | Definition of Portfolio Hierarchy (Text Table) | ||||
| 420 | JBRSVADOKU | RM-SA: Table for Documentation in Generated Reports 39-42 | ||||
| 421 | JBRSVGAPSZEN | RM Gap: Scenarios for Stored Gap Evaluation Results | ||||
| 422 | JBRSVRBR | Assignment of View and Summarization Rule to Valuation Rule | ||||
| 423 | JBRSVRCFK | Assignment of View and Summarization Rule to Cash Flow Ind. | ||||
| 424 | JBRTKCHABK | RM: Backup Table for Characteristic Hierarchies | ||||
| 425 | JBRUBSTV | RM: Base Portfolio - Management of Non-Int-Bearing Positions | ||||
| 426 | JBRVBRDEF | RM: Default Setting for Summarization (with Valuation Rule) | ||||
| 427 | JBRVBRSA | RM: Summarization for Balances (with Valuation Rule) | ||||
| 428 | JBRVBRSPEZ | RM: Specific Settings for Summarization(with Valuation Rule) | ||||
| 429 | JBRVORLAGE | RM: Reference Table | ||||
| 430 | JBRVRCA | Assignment of Flow Type to RM Cash Flow Type | ||||
| 431 | JBRVRDEF | Summarization Rule - Default Setting | ||||
| 432 | JBRVREG | Summarization Rule | ||||
| 433 | JBRVREGT | Texts for Summarization Rule | ||||
| 434 | JBRVRSA | Assignment of Summarization Rule to Balance Type | ||||
| 435 | JBRZUORDNT | RM: Assignment of Base Portfolios to PH End Nodes | ||||
| 436 | JBSMDS | SAP Report Data Record (only as structure due to size) | ||||
| 437 | JBSREFTEX1 | Reference Texts for SAMBA (Loans of 1 Million Plus) | ||||
| 438 | JBSREFTEX2 | Reference Texts for SAMBA (Large-Scale and Corporate Loans) | ||||
| 439 | JBSSAMOB | Regulatory Reporting - Grouping Objects | ||||
| 440 | JBSSICH | Regulatory Reporting - Collateral | ||||
| 441 | JBSSKB1 | IS-B: Additional FI account info.(Regulatory Reporting) | ||||
| 442 | JBSSPAR | Regulatory Reporting - Savings | ||||
| 443 | JBSWPOFF | Open, Non-Fulfilled Spot Securities Transactions (RR) | ||||
| 444 | JBTAUSVER | Disbursement Procedure (Loans) - Customizing | ||||
| 445 | JBTAUSVERT | Disbursement Procedure (Loans) - Customizing (Texts) | ||||
| 446 | JBTBEWWERT | Assignment of Flow Type to Value Fields | ||||
| 447 | JBTBEWZUSA | Additional Information for Flow Types | ||||
| 448 | JBTKABC | Assignment of CO-ABC Templates to Costing Rules | ||||
| 449 | JBTKREG | Costing Rule | ||||
| 450 | JBTKRET | Costing Rule Texts | ||||
| 451 | JBTKZEIT | Costing Times | ||||
| 452 | JBTOBJ1 | Segment Table for Financial Transactions, STC Part | ||||
| 453 | JBTOBJP | Commission Fields for Financial Transactions | ||||
| 454 | JBTOZGW | Weighting of Opportunity Interest Rate | ||||
| 455 | JBT_VAL_AR_ACT | Activate TRM Valuation Area in SEM PA | ||||
| 456 | JCDO | Change Documents for Status Object (Table JSTO) | ||||
| 457 | JCDO1 | Reorg Structure Status Change Document Header for Object | ||||
| 458 | JCDO2 | Reorg structure status change document header for object | ||||
| 459 | JCDO3 | Reorg structure status change document header for object | ||||
| 460 | JCDO4 | Reorg structure status change document header for object | ||||
| 461 | JCDS | Change Documents for System/User Statuses (Table JEST) | ||||
| 462 | JDTBEZTYP | IS-M: Mix Types (per Edition) | ||||
| 463 | JDTBZANG | IS-M/SD: Mix Offer | ||||
| 464 | JDTBZUS | IS-M: Mix Type Definition (Combination of Mix Types) | ||||
| 465 | JDTDRER | IS-M/SD: Publications | ||||
| 466 | JDTGENER | IS-M: Generation Rules | ||||
| 467 | JDTGENTR | IS-M/SD: Generation Trigger | ||||
| 468 | JDTMLAN | IS-M/SD: Tax Code for Publication | ||||
| 469 | JDTPVA | IS-M/SD: Editions | ||||
| 470 | JDTPVAVTR | IS-M/SD: Edition Sales Data | ||||
| 471 | JDTPVAWERK | IS-M/SD: Edition Plant (Printing Works) Data | ||||
| 472 | JDTPVAWGRP | IS-M/SD: Edition Plant Assignment to Bundle Group | ||||
| 473 | JDTSTVOPA | IS-M: Bundling Rule | ||||
| 474 | JDTSTVOPA_COPY | IS-M/SD: Bundling Rule | ||||
| 475 | JDTTGBZ | IS-M/SD: Mix Variances | ||||
| 476 | JDTVAUSGB | IS-M/SD: Issues | ||||
| 477 | JDTVAWERK | IS-M/SD: Issue Plant (Printing Works) Data | ||||
| 478 | JDTWGHVOPA | IS-M/SD: Bundling Rule - Weight Scale | ||||
| 479 | JEST | Individual Object Status | ||||
| 480 | JEST1 | Individual Object Status | ||||
| 481 | JEST2 | Individual Status per Object | ||||
| 482 | JEST3 | Individual Status per Object | ||||
| 483 | JEST4 | Individual Status per Object | ||||
| 484 | JEST_UPD | Individual Status per Object - Interface Structure | ||||
| 485 | JFDFS | IS-M/SD: Billing/Settlement Index | ||||
| 486 | JFDFSVB | IS-M/SD: Ref.Structure for YJFDFS/XJFDFS | ||||
| 487 | JFFA | IS-M/SD: Object Flow | ||||
| 488 | JFFAVB | IS-PSD: Ref.Structure for YJFFA/XJFFA | ||||
| 489 | JFFDICHT | Object Flow of Deliveries for Summarized Billing Item | ||||
| 490 | JFFS | IS-M/SD: Error Log for Collective Billing Doc.Processing | ||||
| 491 | JFGBZP | IS-M/SD: Minimum/Maximum Amounts for Payment Program | ||||
| 492 | JFPA | IS-M/SD: Sales Document - Partner | ||||
| 493 | JFREVACC | IS-M/SD: Pl.Cir.f.Rev. - Revenue per Liab.Acct + G/L Account | ||||
| 494 | JFREVLIABACC | IS-M/SD: Accr.Table for Rev.Dist.w/Liab.Acct for Transfer | ||||
| 495 | JFREVLIABACC_REV | IS-M/SD: Reverse Revenue Dist. w/Liability Acct for Trans. | ||||
| 496 | JFREVPER | IS-M/SD: Accrual Table for Period-Related Revenue Dist. | ||||
| 497 | JFREVPER_REVERSE | IS-M/SD: Reverse Period-Related Revenue Distribution | ||||
| 498 | JFREVVA | IS-M/SD: Accr.Table for Issue-Rel.Revenue Dist.w/o Liab.Acct | ||||
| 499 | JFREVVAACC | IS-M/SD: Accr.Table for Issue-Related Rev.Dist.w/Liab.Acct | ||||
| 500 | JFREVVAACC_REVER | IS-M/SD: Reverse Issue-Related Revenue Dist. w/Liab. Account |