Where Used List (Function Module) for SAP ABAP Table TBCO_BANK (Output Structure for Bank Data (New with CFM 1.0))
SAP ABAP Table
TBCO_BANK (Output Structure for Bank Data (New with CFM 1.0)) is used by
| # | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
|---|---|---|---|---|---|---|
| 1 |
EXIT_RFTBCOEX_010 T_TBCO_BANK STRUCTURE TBCO_BANK
|
Customer Exit CP - Commercial Paper | ||||
| 2 |
EXIT_RFTBCOEX_020 T_TBCO_BANK STRUCTURE TBCO_BANK
|
Customer Exit FX - Foreign Exchange | ||||
| 3 |
EXIT_RFTBCOEX_030 T_TBCO_BANK STRUCTURE TBCO_BANK
|
Customer Exit OP - Options | ||||
| 4 |
EXIT_RFTBCOEX_040 T_TBCO_BANK STRUCTURE TBCO_BANK
|
Customer Exit TD - Fixed-term Deposit & Deposit at Notice | ||||
| 5 |
EXIT_RFTBCOEX_050 T_TBCO_BANK STRUCTURE TBCO_BANK
|
Customer Exit FR - FRA | ||||
| 6 |
EXIT_RFTBCOEX_060 T_TBCO_BANK STRUCTURE TBCO_BANK
|
Customer Exit CF - CAP/FLOOR | ||||
| 7 |
EXIT_RFTBCOEX_070 T_TBCO_BANK STRUCTURE TBCO_BANK
|
Customer Exit SW - SWAP | ||||
| 8 |
EXIT_RFTBCOEX_080 T_TBCO_BANK STRUCTURE TBCO_BANK
|
Customer Exit SE - Securities | ||||
| 9 |
EXIT_RFTBCOEX_090 T_TBCO_BANK STRUCTURE TBCO_BANK
|
Customer Exit ZZ - Cash flow-based Transaction | ||||
| 10 |
EXIT_RFTBCOEX_100 T_TBCO_BANK STRUCTURE TBCO_BANK
|
Customer Exit IR - Interest Rate Instrument | ||||
| 11 |
EXIT_RFTBCOEX_110 T_TBCO_BANK STRUCTURE TBCO_BANK
|
Customer Exit FIX - Int.Rate Adj. Correspondence Deriv. + Int. Rate Instr. | ||||
| 12 |
EXIT_RFTBCOEX_120 T_TBCO_BANK STRUCTURE TBCO_BANK
|
Customer Exit FC - Facilities | ||||
| 13 |
FTR_CORR_DATA_BANK_DETERMINE
|
Bankdaten zum Finanzgeschäft für Korrespondenz aufbereitet | ||||
| 14 |
FTR_CORR_DATA_CF_WRITE T_TBCO_BANK STRUCTURE TBCO_BANK
|
CAP/FLOOR Korrespondenz drucken (SAPscript) | ||||
| 15 |
FTR_CORR_DATA_CP_WRITE T_TBCO_BANK STRUCTURE TBCO_BANK
|
Commercial Papers Korrespondenz drucken (SAPscript) | ||||
| 16 |
FTR_CORR_DATA_FC_WRITE T_TBCO_BANK STRUCTURE TBCO_BANK
|
Fazilität: Korrespondenz drucken (SAPscript) | ||||
| 17 |
FTR_CORR_DATA_FIXING_WRITE T_TBCO_BANK STRUCTURE TBCO_BANK
|
Fixingvorgänge: Korrespondenz drucken (SAPscript) | ||||
| 18 |
FTR_CORR_DATA_FR_WRITE T_TBCO_BANK STRUCTURE TBCO_BANK
|
FRA Korrespondenz drucken (SAPscript) | ||||
| 19 |
FTR_CORR_DATA_FU_WRITE T_TBCO_BANK STRUCTURE TBCO_BANK
|
Futures: Korrespondenz drucken (SAPscript) | ||||
| 20 |
FTR_CORR_DATA_FW_WRITE T_TBCO_BANK STRUCTURE TBCO_BANK
|
Forwards: Korrespondenz drucken (SAPscript) | ||||
| 21 |
FTR_CORR_DATA_FX_WRITE T_TBCO_BANK STRUCTURE TBCO_BANK
|
Devisengeschäfte Korrespondenz drucken (SAPscript) | ||||
| 22 |
FTR_CORR_DATA_IR_WRITE T_TBCO_BANK STRUCTURE TBCO_BANK
|
Zinsgeschäft: Korrespondenz drucken (SAPscript) | ||||
| 23 |
FTR_CORR_DATA_OP_WRITE T_TBCO_BANK STRUCTURE TBCO_BANK
|
Optionsgeschäfte Korrespondenz drucken (SAPscript) | ||||
| 24 |
FTR_CORR_DATA_RP_WRITE T_TBCO_BANK STRUCTURE TBCO_BANK
|
Repos: Korrespondenz drucken (SAPscript) | ||||
| 25 |
FTR_CORR_DATA_SE_WRITE T_TBCO_BANK STRUCTURE TBCO_BANK
|
Wertpapierorder: Korrespondenz drucken (SAPscript) | ||||
| 26 |
FTR_CORR_DATA_SL_WRITE T_TBCO_BANK STRUCTURE TBCO_BANK
|
Repos: Korrespondenz drucken (SAPscript) | ||||
| 27 |
FTR_CORR_DATA_SW_WRITE T_TBCO_BANK STRUCTURE TBCO_BANK
|
SWAP's Korrespondenz drucken (SAPscript) | ||||
| 28 |
FTR_CORR_DATA_TD_WRITE T_TBCO_BANK STRUCTURE TBCO_BANK
|
Festgeld, Kündigungsgeld: Korrespondenz ausgeben (SAPscript) | ||||
| 29 |
FTR_CORR_DATA_ZZ_WRITE T_TBCO_BANK STRUCTURE TBCO_BANK
|
Finanzstrom-basiertes Geschäft: Korrespondenz drucken (SAPscript) |