Where Used List (Table) for SAP ABAP Table T881 (Ledger Master)
SAP ABAP Table
T881 (Ledger Master) is used by
| # | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
|---|---|---|---|---|---|---|
| 1 | /BEV3/CHFIA | Actual line item table | ||||
| 2 | /BEV3/CHFIP | Plan Line Items Table | ||||
| 3 | /BEV3/CHFIT | Totals table | ||||
| 4 | /BEV3/CHLEDGER | Ledger for Contract Handling | ||||
| 5 | /BEV3/CHVGRA | Actual line item table | ||||
| 6 | /BEV3/CHVGRP | Plan Line Items Table | ||||
| 7 | /BEV3/CHVGRT | Totals table | ||||
| 8 | /CCIS/PBU18A | PBU18: Actual line item table | ||||
| 9 | /CCIS/PBU18P | PBU18: Plan line item table | ||||
| 10 | /CCIS/PBU18T | PBU18: Summary table x | ||||
| 11 | /SAPF15/FMIT | F15 Summentabelle Haushaltsmanagement | ||||
| 12 | AVCT | AVC Summary Table (BCS) | ||||
| 13 | BAPI1028_11 | Transfer structure object 1028: Importstructure_1 GLX | ||||
| 14 | BAPI1028_12 | Transfer structure object 1028: GL GetDocItems | ||||
| 15 | BAPIPCADOC | EC-PCA: Actual Line Items | ||||
| 16 | BAPIPCADOCPLAN | EC-PCA: Plan Line Items | ||||
| 17 | BSPL_TREE_FIELDCAT | Field Catalog for Financial Statement Reporting with ALV | ||||
| 18 | BSPL_TREE_FIELDCAT_WD | Field Catalog for Financial Statement Reporting with ALV | ||||
| 19 | BSPL_TREE_FIELDCAT_WD_GENERIC | Field Catalog for Financial Statement Reporting with ALV | ||||
| 20 | BUAVCLDGR | Availability Control Ledger | ||||
| 21 | BUAVCSRC | Data sources for availability ledger | ||||
| 22 | BUBUDCAT | List of budget category instances | ||||
| 23 | BUDP | Budget line items (BCS) | ||||
| 24 | BUDT | BCS Budget Totals | ||||
| 25 | BUKU_S_GENKEYPART | Generic key part | ||||
| 26 | BURBBLEDGERS | Ledgers for Revenue Increasing the Budget | ||||
| 27 | COFIP | Single plan items for reconciliation ledger | ||||
| 28 | COFIS | Actual line items for reconciliation ledger | ||||
| 29 | COFIT | Totals Records for Reconciliation Ledger | ||||
| 30 | COFIT_K | Key structure for reconciliation ledger totals | ||||
| 31 | ECCSDAT | Data Structure for CS Validation | ||||
| 32 | ECMCA | SAP Cons.: Journal Entry Table (Actual) | ||||
| 33 | ECMCT | SAP Cons.: Totals Table | ||||
| 34 | EISFILC | Sender structure FI-LC (RGCEISS1) | ||||
| 35 | EWUCS11 | SAP Cons.-EURO: Ledger for Conversion | ||||
| 36 | EWULC | EMU conversion: Consolidation processing ledger | ||||
| 37 | EWULC01 | FI-LC: LC ledger | ||||
| 38 | FAGLSKF_REPORT | Dynamic Report Names per Ledger | ||||
| 39 | FAGL_BCF_FIELDS | Summarization: Balance Carryforward for P&L Accounts | ||||
| 40 | FAGL_BELNR_LD | Document Types for Entry View in a Ledger | ||||
| 41 | FAGL_CARRY_FORW | Last Balance Carryforward per Company Code/Ledger | ||||
| 42 | FAGL_CUST_FIELDS | Customer fields for flexible general ledger | ||||
| 43 | FAGL_DOCNR_LD | Document Types for General Ledger View in a Ledger | ||||
| 44 | FAGL_DSOURCE_RLD | New General Ledger Accounting: Assign Ledger to DataSource | ||||
| 45 | FAGL_LEDGER_SCEN | Active Scenarios of a Ledger | ||||
| 46 | FAGL_MIG_SLSOURC | FI-SL Source Ledger for Migration | ||||
| 47 | FAGL_SP_LDGR_OIM | Ledgers for zero-balance follow-on documents | ||||
| 48 | FAGL_S_SREP_PLAN_LINE_ITEMS | General Ledger: Plan Line Items | ||||
| 49 | FAGL_TLDGRP_MAP | Assignment of Ledgers to Ledger Groups | ||||
| 50 | FBICRC001A | ICRC: Open Items GL Accounts: Documents | ||||
| 51 | FBICRC001P | Not in use | ||||
| 52 | FBICRC001T | ICRC: Open Items GL Accounts: Totals | ||||
| 53 | FBICRC002A | ICRC: GL Accounts: Documents | ||||
| 54 | FBICRC002P | Not in use | ||||
| 55 | FBICRC002T | ICRC: GL Accounts: Totals | ||||
| 56 | FBICRC003A | ICRC: Open Items Customers/Vendors: Documents | ||||
| 57 | FBICRC003P | Not in use | ||||
| 58 | FBICRC003T | ICRC: Open Items Customers/Vendors: Totals | ||||
| 59 | FBICRC01000 | Reconciliation Processes: Attributes | ||||
| 60 | FBICRC_S_DISPLAY_001 | Reconciliation Process 001: ALV Display Structure | ||||
| 61 | FBICRC_S_DISPLAY_002 | Reconciliation Process 002: ALV Display Structure | ||||
| 62 | FBICRC_S_DISPLAY_003 | Reconciliation Process 003: ALV Display Structure | ||||
| 63 | FC00ACG10 | Structure of Table Control for Program FICACG10 | ||||
| 64 | FC00_S_BCF | Interface for FC_BCF: Reclassification using Carryforwarding | ||||
| 65 | FC01BASE | Internal table for screen fields concerning cons units | ||||
| 66 | FC01TAB | Internal DDIC table for FBS in function group FC01 | ||||
| 67 | FC01TAB1 | Selection Screen for Authorization Generator | ||||
| 68 | FC03CPY | Copy Totals Records | ||||
| 69 | FC03TAB | Internal table for screen fields of FG FC03 | ||||
| 70 | FC03UPL | SAP Cons., Flexible Upload: Available Fields for Trans. Data | ||||
| 71 | FC03_ONLINE | SAP Consolidation: Online Data Entry | ||||
| 72 | FC03_S_UPL01 | Flexible Upload: Changes in Investments | ||||
| 73 | FC03_S_UPL01FLD | Field Catalog Flexible Upload: Changes in Investments | ||||
| 74 | FC03_S_UPL02 | Flexible Upload: Changes in Equity | ||||
| 75 | FC03_S_UPL02FLD | Field Catalog Flexible Upload: Changes in Equity | ||||
| 76 | FC03_S_UPL03 | Flexible Upload: Equity Holdings Adjustments | ||||
| 77 | FC03_S_UPL03FLD | Field Catalog Flexible Upload: Equity Holdings Adjustments | ||||
| 78 | FC03_S_UPL04 | Flexible Upload: Reported Financial Data | ||||
| 79 | FC03_S_UPL04FLD | Field Catalog Flexible Upload: Reported Financial Data | ||||
| 80 | FC03_S_UPL07FLD | Field Catalog Flexible Upload: Consolidation Units | ||||
| 81 | FC03_S_UPL11 | Flexible Upload: Consolidation Groups | ||||
| 82 | FC03_S_UPL11FLD | Field Catalog Flexible Upload: Consolidation Groups | ||||
| 83 | FC03_S_UPL12FLD | Field Catalog Flexible Upload: FVA (Reported Values) | ||||
| 84 | FC05ECMCLP | SAP Cons.: Structure of List Processor Output for ECMC | ||||
| 85 | FC05JERFLD | SAP Consolidation: Fields for Line Item Reporting | ||||
| 86 | FC05PBDC | Posting transaction: Forwarding table for BDT processing | ||||
| 87 | FC05PBLC | Income statement balance by cons unit / complete document | ||||
| 88 | FC05POST | Posting transaction: Screen fields | ||||
| 89 | FC05SPL | Inc.stmt balance per company / Entire document | ||||
| 90 | FC05TAB | Internal table for screen fields interunit elimination | ||||
| 91 | FC05_ECMC_VAL | SAP Cons.: Validation of Records to be Written | ||||
| 92 | FC05_S_PDOC | Posting Logic: Document Lines | ||||
| 93 | FC06GWHLST | Goodwill History Sheet: Structure for List Output | ||||
| 94 | FC06GWSCR | Goodwill/Negative Goodwill | ||||
| 95 | FC06HRALST | Recorded Fair Value Adjustments | ||||
| 96 | FC06PBDC | Posting transaction: Forwarding table for BDT processing | ||||
| 97 | FC06UPLST | Structure for list fields of program FICUP620 | ||||
| 98 | FC06UPLST | Structure for list fields of program FICUP620 | ||||
| 99 | FC06_S_HR | Fair Value Adjustments | ||||
| 100 | FC06_S_HRA | Fair Value Adjustments | ||||
| 101 | FC06_S_LCGCVAL | Pair of Values for Currency Translation | ||||
| 102 | FC06_S_PGW_VALUE | Values at Push-down Goodwill Items | ||||
| 103 | FC06_S_TF635_A_NKEY | Goodwill/Neg.Goodwill: Data Portion | ||||
| 104 | FCDRD | Structure for data forwarding to drilldown reporting | ||||
| 105 | FCDRD | Structure for data forwarding to drilldown reporting | ||||
| 106 | FCINCICA20 | SAP Cons. Integr.: List Output of Cons Units for Integration | ||||
| 107 | FCINDELRUDOC00_HLP | Help Structure for Deleting Realtime-Update Documents | ||||
| 108 | FCINECMCA | Cons: Extended Jrnl Entry Structure - Display Subseq. Docs | ||||
| 109 | FCINTAB | Structure for Screen Fields of FUGR FCIN | ||||
| 110 | FERC_C0 | General regulatory parameters | ||||
| 111 | FILC | FI-LC: Database Structure for Reporting | ||||
| 112 | FILCA | FI-LC: Actual journal entry table with 2 object tables | ||||
| 113 | FILCP | FI-LC: Plan line items for object table | ||||
| 114 | FILCT | FI-LC: Global totals table with 2 object tables | ||||
| 115 | FIMC | SAP Cons.: Database Structure for Consolidation Reporting | ||||
| 116 | FIMC | SAP Cons.: Database Structure for Consolidation Reporting | ||||
| 117 | FM2BLD_BCS | FM2BL - Derivation structure for BCS records | ||||
| 118 | FM2BLD_OIA | FM2BL - Derivation structure for BCS records | ||||
| 119 | FMAVCA | Actual line item table | ||||
| 120 | FMAVCP | Plan line items table | ||||
| 121 | FMAVCT | AVC Summary Table (BCS) | ||||
| 122 | FMBDA | Actual line item table | ||||
| 123 | FMBDP | FM Budget change line items table | ||||
| 124 | FMBDT | FM budget totals table | ||||
| 125 | FMBULEDGERS | Relation between posting and budgeting ledgers | ||||
| 126 | FMCTRNR02 | Commitment-item-depending FM monitoring number | ||||
| 127 | FMFGAAPAYLEDGER | Set Ledger for 'Payment By Fund' Transaction | ||||
| 128 | FMFGRPTADERIVE | Derivation Structure for additional Reporting Attributes | ||||
| 129 | FMFG_SAV_FACTS1A | Saved FACTS1A data for docs excluded from SL Repost for 600 | ||||
| 130 | FMFG_SAV_FACTS2A | Saved FACTS2A data for docs excluded from SL Repost for 600 | ||||
| 131 | FMFG_SAV_FMUSFGA | Saved FMUSFGA data for docs excluded from SL Repost for 600 | ||||
| 132 | FMFG_SAV_GLIDXA | Saved GLIDXA data for docs excluded from SL Repost for 600 | ||||
| 133 | FMIA | Actual Line Item Table for Funds Management | ||||
| 134 | FMICOIT | FM/CO integration: Line item | ||||
| 135 | FMIOI | Commitment Documents Funds Management | ||||
| 136 | FMIP | Plan Line Items Table for Funds Management | ||||
| 137 | FMIT | Totals Table for Funds Management | ||||
| 138 | FMRBA | Actual line item table | ||||
| 139 | FMRBCS | FM Reporting for BCS using Report Writer | ||||
| 140 | FMRBP | Plan line items table | ||||
| 141 | FMRBT | Summary table | ||||
| 142 | FMSPLITA | Actual line item table | ||||
| 143 | FMSPLITP | Plan line items table | ||||
| 144 | FMSPLITT | Summary table | ||||
| 145 | FMUSFGA | Actual line item table for US Federal Government | ||||
| 146 | FMUSFGFACTS1A | Actual line item table | ||||
| 147 | FMUSFGFACTS1P | Plan line items table | ||||
| 148 | FMUSFGFACTS1T | Summary table | ||||
| 149 | FMUSFGFACTS2A | Actual line item table | ||||
| 150 | FMUSFGFACTS2P | Plan line items table | ||||
| 151 | FMUSFGFACTS2T | Summary table | ||||
| 152 | FMUSFGP | Plan line items table | ||||
| 153 | FMUSFGT | Summary table for US Federal Government | ||||
| 154 | GGREFA | Example for Global FI-SL Line Items (Actual) | ||||
| 155 | GGREFP | Example for Global FI-SL Line Items (Plan) | ||||
| 156 | GGREFT | Example for Global FI-SL Summary Table | ||||
| 157 | GLEX_GESPO | Internal Table: CoItem | ||||
| 158 | GLEX_GVBND | Internal Table: TradPartners | ||||
| 159 | GLEX_IMPTA | Internal Table: Imptble | ||||
| 160 | GLEX_POSDA | Internal Table: ItmData | ||||
| 161 | GLE_TADB_LCUST | Ledger Customizing for Average Daily Balance | ||||
| 162 | GLFF | Fixed Fields in FI-SL | ||||
| 163 | GLFLEX00_INC | General ledger: Organizational units | ||||
| 164 | GLFLEXA | Flexible general ledger: Actual line items | ||||
| 165 | GLFLEXP | Flexible G/L: Plan line items | ||||
| 166 | GLFUNCA | Actual Line Items Table for Cost of Sales Accounting | ||||
| 167 | GLFUNCP | Plan Line Items Table for Cost of Sales Accounting | ||||
| 168 | GLFUNCT | Totals Table for Cost of Sales Accounting | ||||
| 169 | GLFUNCU | Rollup line item tables with function area for IDES | ||||
| 170 | GLFUNCV | Rollup plan line items table with function area for IDES | ||||
| 171 | GLIDXA | Index to Find FI-SL Documents Based on AWKEY | ||||
| 172 | GLIDXB | Line-item index for FI-SL BUKRS | ||||
| 173 | GLIDXC | Line Item Index for FI-SL Global Company | ||||
| 174 | GLISDEA | Actual Line Item Tables for Insurance (DE) | ||||
| 175 | GLISDEP | Plan Line Item Table for Insurance (DE) | ||||
| 176 | GLISDET | Summary Table for Insurance (DE) | ||||
| 177 | GLP0 | Local Logical General Ledger Plan Line Items | ||||
| 178 | GLP1 | Local Logical General Ledger Plan Line Items | ||||
| 179 | GLP1 | Local Logical General Ledger Plan Line Items | ||||
| 180 | GLP2 | Global Special Purpose Ledger Plan Line Item Table | ||||
| 181 | GLP2 | Global Special Purpose Ledger Plan Line Item Table | ||||
| 182 | GLPCA | EC-PCA: Actual Line Items | ||||
| 183 | GLPCP | EC-PCA: Plan Line Items | ||||
| 184 | GLPCR | EC-PCA: Transfer structure for drill-down reporting | ||||
| 185 | GLPCT | EC-PCA: Totals Table | ||||
| 186 | GLPO1 | Plan Line Items for Object Table | ||||
| 187 | GLPO1 | Plan Line Items for Object Table | ||||
| 188 | GLPO2 | Plan Line Items for Object Table Global | ||||
| 189 | GLPO2 | Plan Line Items for Object Table Global | ||||
| 190 | GLPO3 | Plan Line Items for Object Table | ||||
| 191 | GLPO3 | Plan Line Items for Object Table | ||||
| 192 | GLPPC | Profit Center Accounting: Plan line items | ||||
| 193 | GLREFA | Example for Local FI-SL Line Items (Actual) | ||||
| 194 | GLREFP | Example for Local FI-SL Line Items (Plan) | ||||
| 195 | GLREFT | Example for Local FI-SL Summary Table | ||||
| 196 | GLREFU | Example for FI-SL Rollup Line Items (Actual) | ||||
| 197 | GLREFV | Example for Rollup FI-SL Line Items (Plan) | ||||
| 198 | GLS0 | Line Item Structure G/L Account Monthly Debits and Credits | ||||
| 199 | GLS1 | Local Logical General Ledger Actual Line Items | ||||
| 200 | GLS1 | Local Logical General Ledger Actual Line Items | ||||
| 201 | GLS2 | Global logical Consolidation line items | ||||
| 202 | GLS2IDX | Index table for FI-LC document cluster | ||||
| 203 | GLS3 | Line item structure G/L account mnthly Dr/Cr with FI-LC info | ||||
| 204 | GLS3 | Line item structure G/L account mnthly Dr/Cr with FI-LC info | ||||
| 205 | GLSO1 | FI-SL Line Item Table with Objects for GLTO1 | ||||
| 206 | GLSO1 | FI-SL Line Item Table with Objects for GLTO1 | ||||
| 207 | GLSO2 | FI-SL Table with Objects, Structure corresponds to GLS2 | ||||
| 208 | GLSO2 | FI-SL Table with Objects, Structure corresponds to GLS2 | ||||
| 209 | GLSO3 | FI-SL LI Table with Objects for GLTO3 | ||||
| 210 | GLSO3 | FI-SL LI Table with Objects for GLTO3 | ||||
| 211 | GLSPC | Profit Center Accounting: Line Items | ||||
| 212 | GLSPC | Profit Center Accounting: Line Items | ||||
| 213 | GLT0 | G/L account master record transaction figures | ||||
| 214 | GLT0_BAK | G/L Account Master Record Transaction Figures | ||||
| 215 | GLT0_DIF | Delta Table: G/L Account Master Transaction Figures | ||||
| 216 | GLT1 | Local General Ledger Summary Table | ||||
| 217 | GLT1 | Local General Ledger Summary Table | ||||
| 218 | GLT1_STRUCT | FI Planning : Structure for GLT1 | ||||
| 219 | GLT2 | Consolidation totals table | ||||
| 220 | GLT2 | Consolidation totals table | ||||
| 221 | GLT3 | Summary Data Preparations for Consolidation | ||||
| 222 | GLT3 | Summary Data Preparations for Consolidation | ||||
| 223 | GLTO1 | FI-SL Table with Objects, Structure Corresponds to GLT1 | ||||
| 224 | GLTO1 | FI-SL Table with Objects, Structure Corresponds to GLT1 | ||||
| 225 | GLTO2 | FI-SL Table with Objects, Structure Corresponds to GLT2 | ||||
| 226 | GLTO2 | FI-SL Table with Objects, Structure Corresponds to GLT2 | ||||
| 227 | GLTO3 | FISL Table with Objects, Amounts and Quantities in Format P9 | ||||
| 228 | GLTO3 | FISL Table with Objects, Amounts and Quantities in Format P9 | ||||
| 229 | GLTPC | Profit Center Accounting | ||||
| 230 | GLTPC | Profit Center Accounting | ||||
| 231 | GLU1 | G/L user table 1 | ||||
| 232 | GLUFIX | Fixed Fields of LI Structure | ||||
| 233 | GMAVCA | Actual line item table | ||||
| 234 | GMAVCP | Plan line items table | ||||
| 235 | GMAVCT | Summary table | ||||
| 236 | GMIA | Actual Line Item Table | ||||
| 237 | GMIP | Plan line items table | ||||
| 238 | GMIT | Summary table | ||||
| 239 | GMREVRESULTALV1 | Result list of revaluation | ||||
| 240 | GPLS | Parameters for Ledger Selection | ||||
| 241 | GRISDEA | Actual Line Item Table for Insurance (DE) - Rollup | ||||
| 242 | GRISDEP | Plan Line Item Table for Insurance (DE) - Rollup | ||||
| 243 | GRISDET | Summary Table for Insurance (DE) - Rollup | ||||
| 244 | IDCN_ACCTBLNSTR_SELSCREEN | Selection Screen Structure for Account Balance Report | ||||
| 245 | IDCN_ZJFPLBAL | P&L Balances for Period Account Entry Closing Method | ||||
| 246 | IFMBLCOBU_SOURCE | FM Budgetary Ledger Colombian Budgeting - Source Fields | ||||
| 247 | IFMBLCOFI_SOURCE | FM Budgetary Ledger Colombian FI RWIN - Source Fields | ||||
| 248 | IFMBLCOOA_SOURCE | FM Budgetary Ledger Colombian Open Items & Actuals | ||||
| 249 | IFMFGAAPAYSEL | Payment by fund: Structure for Selection Screen | ||||
| 250 | IFMFGRCN_FIELDS_AVC | Reconciliation: List of fields supported by AVC data providr | ||||
| 251 | IFMFGRCN_FIELDS_FMA | Reconciliation fields available from FM Actuals provider | ||||
| 252 | IFMREP_LDB_B02 | Structure for program RFFMBCS_LDB_B02 | ||||
| 253 | ISSRFLDEA | Actual line item table | ||||
| 254 | ISSRFLDEP | Plan line items table | ||||
| 255 | ISSRFLDET | Summary table | ||||
| 256 | ISSR_DE_TP_DATA | Strukt.für Überg.der Daten von VZBAVV/VZBAVF an ISSR_RPI_MFT | ||||
| 257 | ISSR_GENERAL_AMOUNT_FIELDS | ISSR-Varianten unabhängige Betragsfelder | ||||
| 258 | ISSR_NW673 | ISSR: Hilfs-Struktur für NW673 | ||||
| 259 | ISSR_VALUES_CASHFLOW | Werte im Finanzstrom für Bestandsermittlung | ||||
| 260 | ISSR_VALUES_CASHFLOW_DEPOT | Werte im Finanzstrom für Bestandsermittlung Depot | ||||
| 261 | JBDVTGL | Variable Transaction - General Ledger Assignment | ||||
| 262 | JBDVTLD | Variable Transaction: Ledger Assignment | ||||
| 263 | JVPO1 | JVA: Plan Line Items | ||||
| 264 | JVPSC01A | Actual line item table | ||||
| 265 | JVPSC01P | Plan line item table | ||||
| 266 | JVPSC01T | Summary table | ||||
| 267 | JVS1 | JV Line Items | ||||
| 268 | JVS1 | JV Line Items | ||||
| 269 | JVSO1 | JV LI Table with Objects for JVTO1 | ||||
| 270 | JVSO2 | JV Billing FI-SL Line Item | ||||
| 271 | JVT1 | JV Summary Table | ||||
| 272 | JVT1 | JV Summary Table | ||||
| 273 | JVTO1 | JV Summary Table with Objects | ||||
| 274 | JVTO2 | JV Billing FI-SL Summary Table | ||||
| 275 | J_1AINFMET | Inflation Methods | ||||
| 276 | J_3RFTAXRA | Tax Accounting: Actual line item table | ||||
| 277 | J_3RFTAXRP | Tax Accounting: Plan line item table | ||||
| 278 | J_3RFTAXRT | Tax Accounting: Summary table | ||||
| 279 | J_3RFTAXRVA | Tax Accounting: Actual line item table | ||||
| 280 | J_3RFTAXRVP | Tax Accounting: Plan line item table | ||||
| 281 | J_3RFTAXRVT | Tax Accounting: Summary table | ||||
| 282 | J_3RFTAX_CHAIND | Tax chain details | ||||
| 283 | J_3RKNEWGLLEDGER | Activate non-leading ledger for Offsetting Account Syst. | ||||
| 284 | KONSPARAM | Fields for documentation from program parameters | ||||
| 285 | KONSPARAM | Fields for documentation from program parameters | ||||
| 286 | KONSTAB | Additional field for table entry in views | ||||
| 287 | LCUPLOAD | FI-LC, flexible Upload: possible Fields | ||||
| 288 | OIHEDA | Actual line item table, IS-OIL Excise Duty Special Ledger | ||||
| 289 | OIHEDP | Plan line item table, IS-OIL Excise Duty Special Ledger | ||||
| 290 | OIHEDT | Summary table, IS-OIL Excise Duty Special Ledger | ||||
| 291 | OIHSLA | TDP (excise duty) special ledger actual line item table | ||||
| 292 | OIHSLT | TDP (excise duty) special ledger summary table | ||||
| 293 | PCRRETAILA | Actual line item table | ||||
| 294 | PCRRETAILP | Plan line items table | ||||
| 295 | PCRRETAILT | Totals Table | ||||
| 296 | RF02E | Work fields for SAPMF02E | ||||
| 297 | RF10B | Help fields for screens SAPMF10B | ||||
| 298 | RF10G | Help fields for screens SAPMF10G | ||||
| 299 | RF10I | Help fields for screens SAPMF10I | ||||
| 300 | RF10L | Help Field Screens SAPMF10L | ||||
| 301 | RF10N | Transaction GC35 (SAPMF10N): Screen Fields | ||||
| 302 | RF10T | SAPMF10T: Screen Fields | ||||
| 303 | RFBILA_ALV_DATA | Data for Financial Statement Reporting with ALV | ||||
| 304 | RFMOT | Structure for RGCMOT00 - Create and change totals records | ||||
| 305 | RFRRS01 | Financial Statement Analysis | ||||
| 306 | RFRRS02 | Financial Statement Key Figures | ||||
| 307 | RFRRS10 | Balance display | ||||
| 308 | RFRRS51 | Financial statements analysis from cost of sales ledger | ||||
| 309 | RFRRS52 | Key figures for cost of sales ledger | ||||
| 310 | RGBUK | Table for Module Pool SAPMGBUK | ||||
| 311 | RGCU0 | Internal Structure for Screen in FI-SL Customizing | ||||
| 312 | RGCU1 | Internal Structure for Standardized Ouput of Texts in Screen | ||||
| 313 | RGCU4 | Internal Structure for FI-SL Customizing | ||||
| 314 | RGCU6 | Data Structure for the FI-SL Diagnostic Tool | ||||
| 315 | RGGRAPH | Structure for Graphical Functions in FI-SL Configuration | ||||
| 316 | RGLLC | Check structure f.roll-ups in FI-LC | ||||
| 317 | RGLRP | Input/Output Fields for Planning Model-Rollup | ||||
| 318 | RGPLN | Planning: Input/Output Fields in Dynpros | ||||
| 319 | RGUD0 | Screen table for totals records display | ||||
| 320 | RK70V | Period Distribution: Entry and Output Fields on Screens | ||||
| 321 | RKAL1 | Screen Fields- SAPMKAL1 | ||||
| 322 | RKGA1 | Work area for SAPMKGA1 | ||||
| 323 | RKGA2 | Screen fields SAPMKGA2 | ||||
| 324 | RPCA2 | EC-PCA: Transfer Structure for Actual Line Item Report | ||||
| 325 | RPCA4 | EC-PCA: Fields on screens for running report SAPLPC10 | ||||
| 326 | RPCA8 | EC-PCA: Transfer Structure for Plan Line Item Report | ||||
| 327 | RPCAC80 | EC-PCA: Actual Document Entry | ||||
| 328 | RPCAC81 | EC-PCA: Balances for Actual Costs/Revenues | ||||
| 329 | RPCAC83 | EC-PCA: Balances for Actual Statistical Key figures | ||||
| 330 | RPCAC84 | EC-PCA: Balances for Actual Stocks | ||||
| 331 | RPCAC87 | EC-PCA: Document Entry Actual Statistical Key Figures | ||||
| 332 | RPCAP | EC-PCA: Input/output fields on screens (Planning) | ||||
| 333 | RPCPP01 | EC-PCA: Planning for Costs/Revenues | ||||
| 334 | RPCPP03 | EC-PCA: Planning for Statistical Key Figures | ||||
| 335 | RPCPP04 | EC-PCA: Planning for Inventories | ||||
| 336 | SI_AUTHA | Authorization Fields for Application Departments | ||||
| 337 | SI_TKA01 | Controlling areas | ||||
| 338 | T000K | Group | ||||
| 339 | T034 | Cash Mgmt: Determine Account Assignments/Document Splitting | ||||
| 340 | T807 | Rollup Sequence | ||||
| 341 | T807R | FI-SL Rollup: History of Executions | ||||
| 342 | T851 | Changes in Investments | ||||
| 343 | T851 | Changes in Investments | ||||
| 344 | T852 | Subgroups | ||||
| 345 | T852V | Version-dependent subgroup characteristics | ||||
| 346 | T853 | Company status | ||||
| 347 | T853K | Subgroup status | ||||
| 348 | T858I | Versions for Consolidation integration | ||||
| 349 | T868 | Elimination of IC profit and loss | ||||
| 350 | T868 | Elimination of IC profit and loss | ||||
| 351 | T871 | Changes in investee equity | ||||
| 352 | T871 | Changes in investee equity | ||||
| 353 | T872 | Equity Holdings Adjustments | ||||
| 354 | T872 | Equity Holdings Adjustments | ||||
| 355 | T872I | Periodic entry for affiliated companies | ||||
| 356 | T873 | Hidden reserves | ||||
| 357 | T873 | Hidden reserves | ||||
| 358 | T874 | Elimination of hidden reserves | ||||
| 359 | T874 | Elimination of hidden reserves | ||||
| 360 | T875 | Asset transfers within the group | ||||
| 361 | T875 | Asset transfers within the group | ||||
| 362 | T875C | Changes in depreciation | ||||
| 363 | T875C | Changes in depreciation | ||||
| 364 | T875D | Asset transfers | ||||
| 365 | T875D | Asset transfers | ||||
| 366 | T875E | Change in depreciation of asset transfers | ||||
| 367 | T875E | Change in depreciation of asset transfers | ||||
| 368 | T876V | Validation of Consolidation document | ||||
| 369 | T881 | Ledger Master | ||||
| 370 | T881IS | FI-SL Ledger | ||||
| 371 | T881IS_PI | Assignment of TT/SI DataSource for FI-SL Ledger (Plug-In) | ||||
| 372 | T881T | FI-SL Ledger text | ||||
| 373 | T881Z | Additional Ledger with Special Calculation Type | ||||
| 374 | T882 | Company Code/Ledger Assignment | ||||
| 375 | T882C | Global Company-Ledger Assignment in FI-SL | ||||
| 376 | T882G | Company code - ledger assignment | ||||
| 377 | T884C | Control Balance Carried Forward | ||||
| 378 | T886A | Activity/Ledger Information | ||||
| 379 | T886B | Activity/Ledger/CCode Information | ||||
| 380 | T886C | Activity/Ledger/Company Information | ||||
| 381 | T886G | Flexible general ledger: Interface information | ||||
| 382 | T886PCA | EC-PCA: Activities | ||||
| 383 | T887 | Activity/Ledger/CCode Information | ||||
| 384 | T887C | Activity/Ledger/Company Information | ||||
| 385 | T893 | Ledger Selection Conditions | ||||
| 386 | T894 | FI-SL and FI-LC Versions | ||||
| 387 | T894T | FI-SL and FI-LC Version Texts | ||||
| 388 | T894TPCA | EC-PCA: Texts for plan versions | ||||
| 389 | T895 | Local Fiscal Year-Dependent Version Parameters | ||||
| 390 | T895C | Global Fiscal Year-Dependent Version Parameters | ||||
| 391 | T895PCA | EC-PCA: Fiscal-Year Dependent Version Parameters | ||||
| 392 | T8APP_GLPCM | EC-PCA: Plan Costs from Material Costing for Rep. Material | ||||
| 393 | T8G40 | Account assignment objects for document splitting | ||||
| 394 | T8G41B | Values of constants | ||||
| 395 | T8HSPLITACT | Online Split for FI Postprocessing Costs | ||||
| 396 | TF080 | List Directory of MCDX | ||||
| 397 | TF168 | Consolidation Units Ledger-Dependent | ||||
| 398 | TF184 | Consolidation Groups, Version- and Year-Dependent | ||||
| 399 | TF362 | Download: Selection Parameters for Downloading Fin. Data | ||||
| 400 | TF620 | Changes in Investments | ||||
| 401 | TF620 | Changes in Investments | ||||
| 402 | TF630 | Changes in Investee Equity | ||||
| 403 | TF630 | Changes in Investee Equity | ||||
| 404 | TF635 | Goodwill/Neg.Goodwill | ||||
| 405 | TF635 | Goodwill/Neg.Goodwill | ||||
| 406 | TF635A | Goodwill/Neg.Goodwill | ||||
| 407 | TF645 | Reporting Fair Value Adjustment Data | ||||
| 408 | TF645 | Reporting Fair Value Adjustment Data | ||||
| 409 | TF646 | Recorded Fair Value Adjustments | ||||
| 410 | TF650 | C/I Activity Numbers | ||||
| 411 | TF651 | Activity Numbers - Sequence | ||||
| 412 | TF660 | Equity Holdings Adjustments | ||||
| 413 | TF660 | Equity Holdings Adjustments | ||||
| 414 | TF661 | Equity Holdings Adjustments by Upper Unit | ||||
| 415 | TF661 | Equity Holdings Adjustments by Upper Unit | ||||
| 416 | TFIN005 | Ledger Selection | ||||
| 417 | TFMIG01 | Allocation: Ledger -> Ledger | ||||
| 418 | TISSR_MALE | ISSR: Definition feste SR-Ledger (reservierte FI-SL Ledger) | ||||
| 419 | TRACTSLA | Actual Line Item Table | ||||
| 420 | TRACTSLP | Plan Line Items Table | ||||
| 421 | TRACTSLT | Totals Table | ||||
| 422 | TRGC_TAC_VA | Assignment of Accounting Code to Valuation Area | ||||
| 423 | TXI_T881 | FI-SL Ledger | ||||
| 424 | TXW_S_GLT0 | Retrieve archived GLT0 data | ||||
| 425 | VIPRLEDTAGRA | Isteinzelposten-Tabelle | ||||
| 426 | VIPRLEDTAGRP | Planeinzelposten-Tabelle | ||||
| 427 | VIPRLEDTAGRT | Summentabelle Ledger 7A Mandate |