Where Used List (Class) for SAP ABAP Table TWD01 (Treasury: Securities Account Master Data)
SAP ABAP Table
TWD01 (Treasury: Securities Account Master Data) is used by
| # | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
|---|---|---|---|---|---|---|
| 1 |
CA_POS_IDENTIFIER_DIF Method: GET_PERSISTENT_BY_RANGE
|
Agent Persistent Flow Selector | ||||
| 2 |
CL_ACCOUNT_GROUP_TRG Method: GET_ACCOUNT_GROUP
|
Securities Account Group | ||||
| 3 |
CL_ACCOUNT_GROUP_TRG Method: CONSTRUCTOR
|
Securities Account Group | ||||
| 4 |
CL_ADAPTOR_SLA Method: DETERMINE_SEC_ACCT_GROUP
|
Adaptor for Subledger | ||||
| 5 | CL_BEPP_ADAPTOR_BPA | BEPP/BEPI Adaptor | ||||
| 6 |
CL_CLASS_POSITION_TRS Method: DERIVE_CLEARING_FLOWS
|
Class Position in Securities Account | ||||
| 7 |
CL_CLASS_POSITION_TRS Method: CHECK_EXISTING_GUARDS_NEW
|
Class Position in Securities Account | ||||
| 8 |
CL_COL_POSITION_TRQ Method: IF_POSITION_TRQ~CHECK_SHORT_OK
|
Treasury: Quantity Ledger Collective Position | ||||
| 9 |
CL_EXM_IM_SECURITY_ACCOUNT_TRS Method: IF_EX_SECURITY_ACCOUNT_TRS~VALIDATE_XT
|
Example-Implementation for BAdI Definition SECURITY_ACCOUN | ||||
| 10 |
CL_EX_SECURITY_ACCOUNT_TRS Method: IF_EX_SECURITY_ACCOUNT_TRS~VALIDATE_XT
|
BAdI Class CL_EX_SECURITY_ACCOUNT_TRS | ||||
| 11 |
CL_FLOW_SELECTOR_DIF Method: GET_VALUE_TEXT
|
Selector for Flows | ||||
| 12 |
CL_FLOW_TRAC Method: GET_GSBER_SE
|
Accounting Adaptor Flow | ||||
| 13 |
CL_FTI_LDB_POSITION Method: MAP_POSITION_DATA
|
Reporting Position for PREPARE_OUTPUT | ||||
| 14 |
CL_IM_FTR_TR_DISTRIBUTOR Method: ACCOUNT_TRANSFER_CONVERT
|
BAdI Implementation of Adapter "Transactions to Distributor" | ||||
| 15 |
CL_IM_TPM_INCOMING_PAYMENT Method: IF_EX_TPM_INCOMING_PAYMENT~EXECUTE
|
Example Implementation for Business Add-In | ||||
| 16 |
CL_ISSR_ADMN_ASSET_SE Method: ME_SET_DEFAULTS
|
Kapitalanlage (ISSR_RPI_MFT): Wertpapier | ||||
| 17 |
CL_ISSR_ADMN_ASSET_SE Method: IF_ISSR_ADMN_ASSET~CHECK_SEC_ACCOUNT
|
Kapitalanlage (ISSR_RPI_MFT): Wertpapier | ||||
| 18 |
CL_ISSR_ADMN_SERVICES Method: GUI_GET_XASSET_CLASSIC
|
ISSR: Stammdaten Services | ||||
| 19 |
CL_ISSR_ADMN_SERVICES Method: GUI_GET_XASSET
|
ISSR: Stammdaten Services | ||||
| 20 | CL_ISSR_DYNMIC_FUNCTION_CALL_S | ISSR: Dynamic Function Module Call (SAP) | ||||
| 21 |
CL_ISSR_DYNMIC_FUNCTION_CALL_S Method: DEPOSIT_BANK_READ
|
ISSR: Dynamic Function Module Call (SAP) | ||||
| 22 |
CL_ISSR_DYNMIC_FUNCTION_CALL_S Method: SECURITIES_ACCOUNT_READ_SEC
|
ISSR: Dynamic Function Module Call (SAP) | ||||
| 23 | CL_ISSR_IF_SERVICES_CFM | ISSR: Services aus dem CFM | ||||
| 24 |
CL_ISSR_IF_SERVICES_CFM Method: GET_SEC_ACCOUNT
|
ISSR: Services aus dem CFM | ||||
| 25 |
CL_ISSR_IF_SERVICES_FAM Method: IF_EX_ISSR_IF_SERVICES_FAM~GET_SEC_ACCOUNT
|
Klasse zur BAdI-Impl.: ISSR_IF_SERVICES_FAM | ||||
| 26 |
CL_ISSR_IF_SERVICES_FAM_RMT Method: IF_EX_ISSR_IF_SERVICES_FAM~GET_SEC_ACCOUNT
|
Klasse zur BAdI-Impl.: ISSR_IF_SERVICES_FAM_RMT | ||||
| 27 |
CL_ISSR_OUT_SERVICES_GUI_ALV Method: GET_ASSET_TEXT_BY_TREE
|
ISSR: Services Ausgabe ALV | ||||
| 28 |
CL_LOT_POSITION_TRQ Method: IF_POSITION_TRQ~CHECK_SHORT_OK
|
Treasury: Quantity Ledger Single Position | ||||
| 29 |
CL_MANAGER_TRS Method: PREPARE_FLOW_PROTOCOL
|
Treasury: Manager Class Securities Account Management | ||||
| 30 |
CL_POSITIONCONTEXT_TRAC Method: CLS_COMPLETE_ADTL_SE
|
Position Context | ||||
| 31 |
CL_POSITIONSERVICE_TRQ Method: GET_VALUES_FOR_POSITION
|
Treasury: Quantity Ledger: Position Service | ||||
| 32 |
CL_POSITION_INDICATOR_MGT_PIN Method: GET_TRS_TRL_POS_ATTRIBUTES
|
Position Indicator Manager | ||||
| 33 | CL_POSTING_PROTOCOL_TRAC | Posting Log | ||||
| 34 |
CL_RECON_ENTITY_TRS Method: GETSECURITYACCOUNTTEXT
|
Reconciliation Entity | ||||
| 35 | CL_RECON_ENTITY_TRS | Reconciliation Entity | ||||
| 36 | CL_REVERSAL_PROTOCOL_TRAC | Reversal log | ||||
| 37 |
CL_TAX_FLOW_CALCULATOR_TRG Method: ACCOUNT_BANK_COUNTRY_GET
|
Tax Flow Calculator |