Where Used List (Table) for SAP ABAP Table T856 (Transaction Types)
SAP ABAP Table
T856 (Transaction Types) is used by
| # | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
|---|---|---|---|---|---|---|
| 1 | /CCIS/TAX00_INC | General ledger: Transaction attributes | ||||
| 2 | ACGL_ITEM | Structure for Table Control: G/L Account Entry | ||||
| 3 | BAPICOBL_APP01 | Append Structure for BAPICOBL (Transport Layer SAPP) | ||||
| 4 | BAPIPCADOC | EC-PCA: Actual Line Items | ||||
| 5 | BAPIPCADOCPLAN | EC-PCA: Plan Line Items | ||||
| 6 | BSACC_HIST_TA | Account History: Transaction Types Used | ||||
| 7 | BSEG | Accounting Document Segment | ||||
| 8 | BSEG_ADD | Entry View of Accounting Document for Additional Ledgers | ||||
| 9 | BSIS | Accounting: Secondary Index for G/L Accounts | ||||
| 10 | BSIS_BAK | Accounting: Secondary Index for G/L Accounts | ||||
| 11 | BSPL_ADJUSTMENT_POSTING | Adjustment Postings: Transaction Types | ||||
| 12 | BSPL_TRANSACTION_TYPES | Transaction Types for Account History | ||||
| 13 | EBSEG | Doc.Segment of Fin.Accntng External Documents | ||||
| 14 | EWULC04 | FI-LC: Settings for euro conversion adjustments | ||||
| 15 | F107_TASS_A2MT | Assignment of Actions to Trans. Types (Automatic Postings) | ||||
| 16 | F107_TASS_MT2A | Assignment of Transaction Types to Actions (Manual Posting) | ||||
| 17 | FAGLBSIS | Accounting: Secondary Index for G/L Accounts | ||||
| 18 | FAGLBSIS_BAK | Accounting: Secondary Index for G/L Accounts | ||||
| 19 | FAGLFLEX00_INC | General ledger: Transaction attributes | ||||
| 20 | FAGLFLEXA_FS | General Ledger Line Items | ||||
| 21 | FAGLFLEXT_FS | General Ledger Balances | ||||
| 22 | FAGLPOSE_CORE | Core Fields for Reading Data of Line Items in New GL | ||||
| 23 | FAGLPOSG | Additional Data for Line Items: New GL (GL Fields) | ||||
| 24 | FAGL_BW_LOG_TOTL | FI-GL: Log for BW Extraction: Totals Records | ||||
| 25 | FAGL_DERIVE_VALIDITY_SOURCE | Validation of Account Assignment Combinations: Source Fields | ||||
| 26 | FAGL_R_RMVCT | Reorganization: Transaction Type | ||||
| 27 | FAGL_S_SREP_PLAN_LINE_ITEMS | General Ledger: Plan Line Items | ||||
| 28 | FAGL_TOT_SEG | Transfer Structure: Balances in FI for Segment,Profit Center | ||||
| 29 | FIDOCUMNT_FC_003 | Data Structure for Virtual Field Catalog SAP_FI_DOC_003 | ||||
| 30 | FILC | FI-LC: Database Structure for Reporting | ||||
| 31 | FILCA | FI-LC: Actual journal entry table with 2 object tables | ||||
| 32 | FILCC | FI-LC: Transaction-related fields for table FILCT | ||||
| 33 | FILCEIS2 | Sender Structure for Data Transfer from FI-LC to EIS | ||||
| 34 | FILCP | FI-LC: Plan line items for object table | ||||
| 35 | FILCT | FI-LC: Global totals table with 2 object tables | ||||
| 36 | FMGLFLEX00_INC | General ledger: Transaction attributes | ||||
| 37 | FUD_BSEG | BSEG For FIN UI-Decoupling | ||||
| 38 | FVVZEV | Incoming pmnts distribution/max. amount of valid sort fields | ||||
| 39 | GLE_MCA_STR_BSEG_MIN | MCA document line (reduced number of fields) | ||||
| 40 | GLE_STR_ADB_FAGLFLEX00_INC | General ledger: Transaction attributes | ||||
| 41 | GLFUNCA | Actual Line Items Table for Cost of Sales Accounting | ||||
| 42 | GLFUNCC | Object Table 2 for Cost of Sales Accounting | ||||
| 43 | GLFUNCP | Plan Line Items Table for Cost of Sales Accounting | ||||
| 44 | GLFUNCT | Totals Table for Cost of Sales Accounting | ||||
| 45 | GLFUNCU | Rollup line item tables with function area for IDES | ||||
| 46 | GLFUNCV | Rollup plan line items table with function area for IDES | ||||
| 47 | GLISDEA | Actual Line Item Tables for Insurance (DE) | ||||
| 48 | GLISDEC | Object Table 2 for Insurance (DE) | ||||
| 49 | GLISDEP | Plan Line Item Table for Insurance (DE) | ||||
| 50 | GLISDET | Summary Table for Insurance (DE) | ||||
| 51 | GLOO1 | Object Table for FI-SL Table GLTO1 | ||||
| 52 | GLOO2 | Object Table for GLT02: Global | ||||
| 53 | GLOO3 | Object Table for FI-SL Table GLTO3 | ||||
| 54 | GLP1 | Local Logical General Ledger Plan Line Items | ||||
| 55 | GLP2 | Global Special Purpose Ledger Plan Line Item Table | ||||
| 56 | GLPCA | EC-PCA: Actual Line Items | ||||
| 57 | GLPCC | EC-PCA: Transaction Attributes | ||||
| 58 | GLPCP | EC-PCA: Plan Line Items | ||||
| 59 | GLPCT | EC-PCA: Totals Table | ||||
| 60 | GLPO1 | Plan Line Items for Object Table | ||||
| 61 | GLPO2 | Plan Line Items for Object Table Global | ||||
| 62 | GLPO3 | Plan Line Items for Object Table | ||||
| 63 | GLPPC | Profit Center Accounting: Plan line items | ||||
| 64 | GLS1 | Local Logical General Ledger Actual Line Items | ||||
| 65 | GLS3 | Line item structure G/L account mnthly Dr/Cr with FI-LC info | ||||
| 66 | GLSO1 | FI-SL Line Item Table with Objects for GLTO1 | ||||
| 67 | GLSO2 | FI-SL Table with Objects, Structure corresponds to GLS2 | ||||
| 68 | GLSO3 | FI-SL LI Table with Objects for GLTO3 | ||||
| 69 | GLSPC | Profit Center Accounting: Line Items | ||||
| 70 | GLT1 | Local General Ledger Summary Table | ||||
| 71 | GLT2 | Consolidation totals table | ||||
| 72 | GLT3 | Summary Data Preparations for Consolidation | ||||
| 73 | GLTO1 | FI-SL Table with Objects, Structure Corresponds to GLT1 | ||||
| 74 | GLTO2 | FI-SL Table with Objects, Structure Corresponds to GLT2 | ||||
| 75 | GLTO3 | FISL Table with Objects, Amounts and Quantities in Format P9 | ||||
| 76 | GLU1 | G/L user table 1 | ||||
| 77 | GRISDEA | Actual Line Item Table for Insurance (DE) - Rollup | ||||
| 78 | GRISDEC | Object Table 2 for Insurance (DE) - Rollup | ||||
| 79 | GRISDEP | Plan Line Item Table for Insurance (DE) - Rollup | ||||
| 80 | GRISDET | Summary Table for Insurance (DE) - Rollup | ||||
| 81 | GSEG | Offsetting Items for B-Segment in Reporting | ||||
| 82 | JVGLFLEX00_INC | General ledger: Transaction attributes | ||||
| 83 | JVGLFLEXA_FS | General Ledger Line Items | ||||
| 84 | JVGLFLEXT_FS | General Ledger Balances | ||||
| 85 | KMZEI | FI: Account Assignment Model Item Information | ||||
| 86 | KONS_PARAM | Fields for Customizing Consolidation | ||||
| 87 | LCPOS | Transfer string for Line Item Reporting | ||||
| 88 | LCRMVCT_RA | Range for Transaction Types | ||||
| 89 | LCUPLOAD | FI-LC, flexible Upload: possible Fields | ||||
| 90 | REEX_PL_PLAIN_L | Posting Log: Flat Display | ||||
| 91 | RF10B | Help fields for screens SAPMF10B | ||||
| 92 | RF10N | Transaction GC35 (SAPMF10N): Screen Fields | ||||
| 93 | RF10V | Work field for SAPMF10V | ||||
| 94 | RFMOT | Structure for RGCMOT00 - Create and change totals records | ||||
| 95 | RPCPP04 | EC-PCA: Planning for Inventories | ||||
| 96 | T030C | Global Standard Account Table | ||||
| 97 | T851 | Changes in Investments | ||||
| 98 | T854S | Selected FS items | ||||
| 99 | T856 | Transaction Types | ||||
| 100 | T856K | Default Transaction Type for FI Accounts | ||||
| 101 | T856L | Assignment of LO Transaction Type to FI Transaction Type | ||||
| 102 | T856T | Transaction type texts | ||||
| 103 | T859 | Data entry forms | ||||
| 104 | T864 | Reclassifications | ||||
| 105 | T865 | Intercompany Elimination | ||||
| 106 | T866 | Elimination of IC profit/loss: FS items | ||||
| 107 | T866Z | Elimination of IC P/L: Assignment of additional fields | ||||
| 108 | T869 | Consolidation methods | ||||
| 109 | T871 | Changes in investee equity | ||||
| 110 | T884 | Currency translation | ||||
| 111 | T8APP_GLPCM | EC-PCA: Plan Costs from Material Costing for Rep. Material | ||||
| 112 | TABW | Asset transaction types | ||||
| 113 | TFMIG05 | Allocation: Transaction Type -> Subitem | ||||
| 114 | TSTGC | Consolidation test data | ||||
| 115 | TXI_T856 | Transaction Types | ||||
| 116 | VVKKFOP | Single Doc in Posting Data Interface |