Where Used List (Table) 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 | Table | AFWCH_STR_SAMP | Sample Customizing | CFM_AFWCH | EA-FINSERV | EA-FINSERV |
2 | Table | BAPI1062_HEADER_CREATE | Header Data of External Securities Account Statement | FTR_SECURITY_ACCOUNT_MGT | EA-FINSERV | EA-FINSERV |
3 | Table | BCKVWBEPP | BACKUP: Flow data - Position/Planned | FVVW | EA-FINSERV | EA-FINSERV |
4 | Table | DIFS_DIFF_VALUES | Structure for Differentiation Values | FTR_DIFFERENTIATION | EA-FINSERV | EA-FINSERV |
5 | Table | DIFS_DIFF_VALUES_EXT | Structure for Differentiation Values | FTR_TREASURY_LEDGER | EA-FINSERV | EA-FINSERV |
6 | Table | FTI_BIW_CFM_INIT_POSITION | CFM: Initialize Position | CFM_TR_BIW | EA-FINSERV | EA-FINSERV |
7 | Table | FTI_BIW_CFM_VALUES | CFM: Market Values & Simulated Values of Position Management | CFM_TR_BIW | EA-FINSERV | EA-FINSERV |
8 | Table | FTI_BIW_DELTA_DEAL_ATTR | TR-BI: Transaction Master Data | CFM_TR_BIW | EA-FINSERV | EA-FINSERV |
9 | Table | FTI_BI_REP_ODS | Reparation Records for Inconsistent Data in ODS 0CFM_O01 /BW | CFM_TR_BIW | EA-FINSERV | EA-FINSERV |
10 | Table | FTI_LDB_TR_ATTR_LOAN | Loan Attributes Used in the Logical Database | FTI_LDB | EA-FINSERV | EA-FINSERV |
11 | Table | FTI_LDB_TR_ATTR_SECACC | Securities Account Attributes Used in the Logical Database | FTI_LDB | EA-FINSERV | EA-FINSERV |
12 | Table | FTI_LDB_TR_CASH_FLOWS | Treasury: Payment Information | FTI_LDB | EA-FINSERV | EA-FINSERV |
13 | Table | FTI_LDB_TR_DEAL_MAIN | Treasury: Transaction Reporting, Main Data (-> LDB) | FTI_LDB | EA-FINSERV | EA-FINSERV |
14 | Table | FTI_LDB_TR_PERIODS | Treasury: Period-Based Evaluations (-> LDB) | FTI_LDB | EA-FINSERV | EA-FINSERV |
15 | Table | FTI_LDB_TR_PERIOD_FLOWS | Treasury: Flow Information | FTI_LDB | EA-FINSERV | EA-FINSERV |
16 | Table | FTI_LDB_TR_PL_CF | Treasury: Revenue and Cash Flow Information | FTI_LDB | EA-FINSERV | EA-FINSERV |
17 | Table | FTI_LDB_TR_POSITIONS | Treasury: Positions (-> LDB) | FTI_LDB | EA-FINSERV | EA-FINSERV |
18 | Table | FTI_LDB_TR_POS_LOAN_ATTR | Loan Attributes Used in the Logical Database | FTI_LDB | EA-FINSERV | EA-FINSERV |
19 | Table | FTI_LDB_TR_SEC_DEAL_1 | Treasury: Transaction Reporting, Securities Main Data | FTI_LDB | EA-FINSERV | EA-FINSERV |
20 | Table | FTI_MARKET_VALS | Reporting: Buffer Table for Market Values - Position Crcy | FTI | EA-FINSERV | EA-FINSERV |
21 | Table | FTI_MARKET_VALST | Reporting: Buffer Table for Market Values - Evaluation Crcy | FTI | EA-FINSERV | EA-FINSERV |
22 | Table | FTI_S_IMPAIRMENT_EXPORT | Data Structure for Impairment Export | FTI | EA-FINSERV | EA-FINSERV |
23 | Table | FTI_S_REP_CHECK_IMPAIRMENT | Data Structure for Selection Report for Impairment | FTI | EA-FINSERV | EA-FINSERV |
24 | Table | FTR_GDPDU_XSTR_CLASPOS | Class Position in Securities Account | FTR_GDPDU | EA-FINSERV | EA-FINSERV |
25 | Table | FTR_GDPDU_XSTR_VWPDEPO | Securities Account Position | FTR_GDPDU | EA-FINSERV | EA-FINSERV |
26 | Table | ISSR_DEPOT_EXTENSION | ISSR: Erweiterung für Meldewesendaten bei Depotanlage | VVSRFISL | EA-FINSERV | EA-FINSERV |
27 | Table | JBDBSTD | SAP Banking: Positions | JBD | EA-FINSERV | EA-FINSERV |
28 | Table | JBDDERIVDERI | Derivation structure for derivates | JBT | EA-FINSERV | EA-FINSERV |
29 | Table | JBDFXDERI | Derivation Structure Foreign Currencies | JBT | EA-FINSERV | EA-FINSERV |
30 | Table | JBDMONEYDERI | Derivation Structure: Money Market | JBT | EA-FINSERV | EA-FINSERV |
31 | Table | JBDSTOCKDERI | Derivation structure Positions | JBT | EA-FINSERV | EA-FINSERV |
32 | Table | JBI_DYN_BBEW | Structure for Screen Position Changes | JBA | EA-FINSERV | EA-FINSERV |
33 | Table | KLJCUR | External Key Fields for Original Objects in Credit Limit | FTBK | EA-FINSERV | EA-FINSERV |
34 | Table | MIGC_COM_VALCLS | Derive General Valuation Class for Migration to CFM 1.0 | FTR_MIGRATION_10 | EA-FINSERV | EA-FINSERV |
35 | Table | PINS_TRS_POSITION_DISPLAY | Securities Account Position Indicator: Display Structure | FTR_POSITION_INDICATOR | EA-FINSERV | EA-FINSERV |
36 | Table | RMF64G200 | Screem fields for securities transfer-0200 | FVVW | EA-FINSERV | EA-FINSERV |
37 | Table | RMF64T200 | Screen fields for function module transfer posting | FVVW | EA-FINSERV | EA-FINSERV |
38 | Table | RMF64Z_100 | Structure for screen 100 in module pool SAPMF64Z | FVVW | EA-FINSERV | EA-FINSERV |
39 | Table | SEC_ACC_DYNPRO | Screen Structure for Class Master Data (Securities) | FTR_SECURITY_ACCOUNT_MGT | EA-FINSERV | EA-FINSERV |
40 | Table | SEC_ACC_DYNPRO_CREATE | Dynpro Structure - Create | FTR_SECURITY_ACCOUNT_MGT | EA-FINSERV | EA-FINSERV |
41 | Table | SLDT_FLOW | Subledger Distributor Transactions | FTR_SUBLEDGER_DISTRIBUTOR | EA-FINSERV | EA-FINSERV |
42 | Table | TBCO_SE_ACC | Sec. Acct Master Data + Address of Dep. Bank for Correspond. | FTTR | EA-FINSERV | EA-FINSERV |
43 | Table | TERS_MD_POSITION_ALV | Structure Position | FVVW | EA-FINSERV | EA-FINSERV |
44 | Table | TLVT_MANUAL_VAL | Book Values for Manual Valuation of Positions | FTR_VALUATION | EA-FINSERV | EA-FINSERV |
45 | Table | TPMTVMFL | Position management variation margin flows at sec. account | FTT | EA-FINSERV | EA-FINSERV |
46 | Table | TPMT_DEDOC_POS | Derivatives Document: Document Item | FTPM | EA-FINSERV | EA-FINSERV |
47 | Table | TPMT_DEPAL_FLOWS | Listed Futures: Price Gain Records | FTPM | EA-FINSERV | EA-FINSERV |
48 | Table | TPM_TRS_CFD_200 | Structure for Entry Screen of Securities Account Cash Flow | FTR_SECURITY_ACCOUNT_MGT | EA-FINSERV | EA-FINSERV |
49 | Table | TPM_TRS_SAT_200 | Screen Structure for Securities Account Transfer | FTR_SECURITY_ACCOUNT_MGT | EA-FINSERV | EA-FINSERV |
50 | Table | TRACS_ADTL_SE_MISC | Determination of Acct Assgmnt Ref. - Other Data Class Papers | FTR_ACCOUNTING_ADAPTOR | EA-FINSERV | EA-FINSERV |
51 | Table | TRACT_QUEUE | Resubmission for Reversal | FTR_ACCOUNTING_ADAPTOR | EA-FINSERV | EA-FINSERV |
52 | Table | TRDT_FLOW | Persistent distributor flows | FTR_DISTRIBUTOR | EA-FINSERV | EA-FINSERV |
53 | Table | TRGC_TAX | CFM: Derivation Rules for Tax Flows | FTR_GENERAL | EA-FINSERV | EA-FINSERV |
54 | Table | TRLT_INIT_VAL_SE | Initialization Values for TRL Positions: Securities | FTR_TREASURY_LEDGER | EA-FINSERV | EA-FINSERV |
55 | Table | TRQT_INIT_LOT | (obsolete) | FTR_MIGRATION_10 | EA-FINSERV | EA-FINSERV |
56 | Table | TRSS_CF_DISPLAY_SA | Input Screen Fields with Selection for Securities Account | FTR_SECURITY_ACCOUNT_MGT | EA-FINSERV | EA-FINSERV |
57 | Table | TRSS_CLASPOS_I | Treasury: Include Struct. for Class Pos. in Securities Acct | FTR_SECURITY_ACCOUNT_MGT | EA-FINSERV | EA-FINSERV |
58 | Table | TRSS_CLASPOS_KEY | Treasury: Structure for the Key of Class Pos. in Sec. Acct | FTR_SECURITY_ACCOUNT_MGT | EA-FINSERV | EA-FINSERV |
59 | Table | TRSS_CLASS_POS_SELECTION | CFM: Structure for Report Selections TRS | FTR_SECURITY_ACCOUNT_MGT | EA-FINSERV | EA-FINSERV |
60 | Table | TRSS_POS_LOCK_PARAM | Treasury: Lock Parameter for TRS Position | FTR_SECURITY_ACCOUNT_MGT | EA-FINSERV | EA-FINSERV |
61 | Table | TRSS_SECACC_BANK_ALV | Payment Information for Securities Account | FTR_SECURITY_ACCOUNT_MGT | EA-FINSERV | EA-FINSERV |
62 | Table | TRST_RECON_RCE | Treasury: External Securities Account Statement | FTR_SECURITY_ACCOUNT_MGT | EA-FINSERV | EA-FINSERV |
63 | Table | TRST_SECACC_BANK | Payment Details for Securities Account | FTR_SECURITY_ACCOUNT_MGT | EA-FINSERV | EA-FINSERV |
64 | Table | TRXT_WT_ASSIGN | TRM Withholding Tax Information Assignment | FTR_TAX_MGT | EA-FINSERV | EA-FINSERV |
65 | Table | TWSPV | Security Prices for Special Valuation | FVVW | EA-FINSERV | EA-FINSERV |
66 | Table | TXI_TWD01 | Treasury: Securities Account Master Data | FTR_ILM | EA-FINSERV | EA-FINSERV |
67 | Table | VALT_SP_VAL_SEC | Security Prices and NPV for Special Valuation | FTR_VALUATION | EA-FINSERV | EA-FINSERV |
68 | Table | VTBFHA | Transaction | FTA | EA-FINSERV | EA-FINSERV |
69 | Table | VTVBARM_MR | Treasury: Non-Cumulative Values Market Risk: Characteristics | FTI | EA-FINSERV | EA-FINSERV |
70 | Table | VTVBARM_TR | Treasury: Non-Cumulative (MM+FX+SEC): Charact. Trans./Activ. | FTI | EA-FINSERV | EA-FINSERV |
71 | Table | VTVBARM_WP | Treasury: Non-Cumulative Values Sec.: Charact. Trans./Act. | FTI | EA-FINSERV | EA-FINSERV |
72 | Table | VWBEKI | Treasury Securities: Actual Flows - Header | FVVW | EA-FINSERV | EA-FINSERV |
73 | Table | VWBEPP | Treasury Securities: Planned Flows | FVVW | EA-FINSERV | EA-FINSERV |
74 | Table | VWORDE | Order Data | FVVW | EA-FINSERV | EA-FINSERV |
75 | Table | VWPDEPO | Securities Account Position | FVVW | EA-FINSERV | EA-FINSERV |
76 | Table | VWT_DEFDEP_PT | CFM: Default Value Securities Account per Product Type | FVVW | EA-FINSERV | EA-FINSERV |
77 | Table | VWT_DEFDEP_SEC | CFM: Default Value Securities Account per ID Number | FVVW | EA-FINSERV | EA-FINSERV |
78 | Table | VZKOPF | General header structure Treasury | FTVV | EA-FINSERV | EA-FINSERV |