Where Used List (Class) for SAP ABAP Table TZPA (Financial Assets Management Product Types)
SAP ABAP Table
TZPA (Financial Assets Management Product Types) is used by
| # | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
|---|---|---|---|---|---|---|
| 1 |
CA_POS_IDENTIFIER_DIF Method: LOAD_BUFFER_LDB
|
Agent Persistent Flow Selector | ||||
| 2 |
CA_POS_IDENTIFIER_DIF Method: GET_PERSISTENT_BY_RANGE
|
Agent Persistent Flow Selector | ||||
| 3 |
CL_ADAPTOR_SLA Method: GET_DATA_FROM_FLOWS
|
Adaptor for Subledger | ||||
| 4 |
CL_ADAPTOR_SLA Method: IF_PARTNER_TRD~GET_CHANGES
|
Adaptor for Subledger | ||||
| 5 |
CL_ADAPTOR_SLA Method: CREATE_TRANS_VAL_AREA
|
Adaptor for Subledger | ||||
| 6 |
CL_AMORTIZATION_VAL Method: DETERMINE_CALCULATION_BASIS
|
Treasury: Amortization Step | ||||
| 7 |
CL_CAP_FLOOR_TRR Method: RETRIEVE_POSITIONS
|
FRA Position for Data Extraction | ||||
| 8 |
CL_CAP_FLOOR_TRR Method: CONSTRUCTOR
|
FRA Position for Data Extraction | ||||
| 9 |
CL_DERIVED_TRANSACTION_MGT_TRL Method: GET_SOURCE_PRODUCT_CAT
|
Derived Business Transactions (Manager) | ||||
| 10 |
CL_DIFF_RULES_TRL Method: READ_CRITERIA
|
Grouping of Flows | ||||
| 11 |
CL_DIFF_RULES_TRL Method: LOOKUP_DIFFERENTIATION
|
Grouping of Flows | ||||
| 12 |
CL_DIFF_RULES_TRQ Method: GET_CRITERIA
|
Grouping of Flows | ||||
| 13 |
CL_DTRANS_TRIL Method: PROCESS_MIGR
|
Business Transaction TR-IL | ||||
| 14 |
CL_EXM_IM_SMOD_FVDREPF4 Method: IF_EX_SMOD_FVDREPF4~F4_SKUEND
|
Example Implementation for BAdI Definition SMOD_FVDREPF4 | ||||
| 15 |
CL_EXM_IM_SMOD_FVDREPF4 Method: IF_EX_SMOD_FVDREPF4~F4_REASON
|
Example Implementation for BAdI Definition SMOD_FVDREPF4 | ||||
| 16 |
CL_EXM_IM_TPM_TRL_MANIPULATE Method: IF_EX_TPM_TRL_MANIPULATE~MANIPULATE_DERIVED_FLOWS
|
Example Implementation for BAdI Definition TPM_TRL_MANIPUL | ||||
| 17 |
CL_EX_SMOD_FVDDEBOL Method: IF_EX_SMOD_FVDDEBOL~EXIT_SAPLFVD_DEBTTR_OL_002
|
BAdI Class CL_EX_SMOD_FVDDEBOL | ||||
| 18 |
CL_EX_SMOD_FVDDEBOL Method: IF_EX_SMOD_FVDDEBOL~EXIT_SAPLFVD_DEBTTR_OL_001
|
BAdI Class CL_EX_SMOD_FVDDEBOL | ||||
| 19 |
CL_FE_VALUATION_VAL Method: CHECK_CUSTOMIZING
|
Treasury: Foreign Currency Valuation Step | ||||
| 20 |
CL_FE_VALUATION_VAL Method: DETERMINE_CALCULATION_BASIS
|
Treasury: Foreign Currency Valuation Step | ||||
| 21 |
CL_FLOW_SELECTOR_DIF Method: IS_PART_OF_RANGES
|
Selector for Flows | ||||
| 22 |
CL_FLOW_TRAC Method: PREPARE_ACCIT_EXTENSION_DATA
|
Accounting Adaptor Flow | ||||
| 23 | CL_FORW_BOND_POSITION_TRR | Money Market Transaction | ||||
| 24 |
CL_FRA_POSITION_TRR Method: RETRIEVE_POSITIONS
|
FRA Position for Data Extraction | ||||
| 25 |
CL_FRA_POSITION_TRR Method: CONSTRUCTOR
|
FRA Position for Data Extraction | ||||
| 26 |
CL_FTI_LDB_POSITION Method: FILL_AD_PL_FLOWS
|
Reporting Position for PREPARE_OUTPUT | ||||
| 27 |
CL_FTI_LDB_POSITION Method: GET_AD_OTC
|
Reporting Position for PREPARE_OUTPUT | ||||
| 28 | CL_FTI_LDB_POSITION | Reporting Position for PREPARE_OUTPUT | ||||
| 29 |
CL_FTI_LDB_POSITION Method: MAP_POSITION_DATA
|
Reporting Position for PREPARE_OUTPUT | ||||
| 30 |
CL_FTI_LDB_POSITION Method: SET_TZPA_FACILITY
|
Reporting Position for PREPARE_OUTPUT | ||||
| 31 |
CL_FTI_LDB_POSITION Method: CHECK_ZERO_POSITION
|
Reporting Position for PREPARE_OUTPUT | ||||
| 32 |
CL_FTR_APPL_CTRL Method: SET_PRODUCTTYPE
|
TR Transaction Management: Application Control | ||||
| 33 |
CL_FTR_GUI_ENTRY Method: CHECK_TRANSACTIONNUMBER
|
TR Transaction Management: GUI Class Initial Screen | ||||
| 34 |
CL_FTR_GUI_ENTRY Method: CHECK_PRODUCTTYPE
|
TR Transaction Management: GUI Class Initial Screen | ||||
| 35 | CL_FUNCTIONS_TRAD | Accrual/Deferral Functions | ||||
| 36 |
CL_FUTURES_POSITION_TRR Method: SET_ATTRIBUTES
|
Futures Position for Data Extraction | ||||
| 37 |
CL_FVD_CL_COND_VERIFIER Method: SET_BASIC_DATA
|
Conditions Check Tool IL | ||||
| 38 |
CL_FVD_COMPONENT_ACOP_CANCRES Method: CREATE_CONDITION
|
Rescission / Withdrawal (Account Operation) | ||||
| 39 | CL_FVD_COND_VERIFIER | Condition Verifier | ||||
| 40 |
CL_FVD_COND_VERIFIER Method: GET_BALANCE_SIDE
|
Condition Verifier | ||||
| 41 |
CL_FVD_COND_VERIFIER Method: GET_TZPA
|
Condition Verifier | ||||
| 42 |
CL_FVD_IL_COND_VERIFIER Method: SET_BASIC_DATA
|
Conditions Check Tool IL | ||||
| 43 |
CL_FVD_INV_ACC_CHECKS Method: IS_INVESTOR_ACCOUNT
|
Checks for Investor Contract | ||||
| 44 |
CL_FVD_INV_ACC_CHECKS Method: IS_NO_KOPO
|
Checks for Investor Contract | ||||
| 45 |
CL_FVD_LOAN_CATEGORY Method: IS_INSTALLMENT_PRODUCT_TYPE
|
Test for Loan | ||||
| 46 |
CL_FVD_LOAN_CUSTOMIZING Method: LOAD_CUSTOMIZING_FOR_GSART
|
Consumer Loan Model | ||||
| 47 | CL_FVD_LOAN_CUSTOMIZING | Consumer Loan Model | ||||
| 48 |
CL_FVD_LOAN_CUSTOMIZING Method: GET_TZPA
|
Consumer Loan Model | ||||
| 49 |
CL_FVD_LOAN_CUSTOMIZING Method: GET_SBEWART_FOR_SLOANFUNC
|
Consumer Loan Model | ||||
| 50 |
CL_FVD_LOAN_CUSTOMIZING Method: GET_SRELEASE_FOR_GSART
|
Consumer Loan Model | ||||
| 51 | CL_FVD_LOAN_PRODUCT | Information Class for CML Products | ||||
| 52 | CL_FVD_LOAN_PRODUCT | Information Class for CML Products | ||||
| 53 |
CL_FVD_LOAN_PRODUCT Method: GET_TZPA
|
Information Class for CML Products | ||||
| 54 |
CL_FVD_LOAN_PRODUCT Method: GET_VALUES
|
Information Class for CML Products | ||||
| 55 |
CL_FVD_LOAN_TOOLS Method: SIMULATE_DISBURSEMENT
|
General Tools | ||||
| 56 |
CL_FVD_ML_COND_VERIFIER Method: SET_BASIC_DATA
|
Conditions Check Tool IL | ||||
| 57 |
CL_FVD_PRODUCT_ATTRIBUTES Method: GET_ATTRIBUTES
|
Info Class for CML Products - Attributes | ||||
| 58 |
CL_FX_FORWARD_TRR Method: CONSTRUCTOR
|
Object for Reporting | ||||
| 59 |
CL_FX_RATE_VAL Method: DETERMINE_CALC_BASIS_NVP
|
Treasury: Rate Valuation Step FX-Forward | ||||
| 60 |
CL_FX_RATE_VAL Method: DETERMINE_CALCULATION_BASIS
|
Treasury: Rate Valuation Step FX-Forward | ||||
| 61 |
CL_IM_ISSR_IM_IFA_PTYP_TR Method: IF_EX_ISSR_IFA_PTYP~AUTO_INSTALL_ISSR_PRODUCTTYPE
|
Imp.-Klasse zur BAdI-Imp. ISSR_IM_IFA_PTYP_TR | ||||
| 62 |
CL_IM_ISSR_IM_IFA_RT_TR Method: IF_EX_ISSR_IFA_RANTYP~AUTO_INSTALL_ISSR_RTPT
|
Imp.-Klasse zur BAdI-Imp. ISSR_IM_IFA_RT_TR | ||||
| 63 |
CL_IM_JBA_US_PREPAY_SAP Method: IF_EX_JBA_US_PREPAYMENT~VALUATION
|
Imp. class for BAdI imp. JBA_US_PREPAY_SAP | ||||
| 64 | CL_ISSR_IF_SERVICES_TRLO | ISSR: Services aus dem CML | ||||
| 65 |
CL_ISSR_IF_SERVICES_TRLO Method: GET_PRODUCT_TYPE
|
ISSR: Services aus dem CML | ||||
| 66 |
CL_ISSR_OUT_LIST_VV_DECKD02 Method: GET_LOAN_AMOUNT
|
ISSR: Listausgabe Vermögensverzeichnis 02 Hypotheken | ||||
| 67 |
CL_MARGIN_SWAP_DEF_VAL Method: DETERMINE_CALCULATION_BASIS
|
Treasury: Step Margin/Swap Accrual | ||||
| 68 |
CL_OPTION_POSITION_TRR Method: SET_ATTRIBUTES
|
Position of a Listed Option for Data Extraction | ||||
| 69 |
CL_POSITIONCONTEXT_TRAC Method: CLS_DETERMINE_ENVIRONMENT
|
Position Context | ||||
| 70 |
CL_POSITIONCONTEXT_TRAC Method: CLS_DETERMINE_AA_REF_ADTL
|
Position Context | ||||
| 71 |
CL_POSITIONCONTEXT_TRAC Method: CLS_COMPLETE_ADTL_LO
|
Position Context | ||||
| 72 |
CL_POSITIONCONTEXT_TRAC Method: CLS_COMPLETE_ADTL_OC
|
Position Context | ||||
| 73 |
CL_POSITION_INDICATOR_MGT_PIN Method: CREATE_TRL_POSITION
|
Position Indicator Manager | ||||
| 74 |
CL_POSITION_TRL Method: CHECK_POS_MAN_PROC
|
Treasury Ledger Position | ||||
| 75 |
CL_POS_MAN_PROC_ASGN_RULE_TRL Method: CLS_CHECK_DERIVATION_CAT
|
Customizing: Derivation Category Determination | ||||
| 76 |
CL_PRICE_INDEX_VAL Method: DETERMINE_CALCULATION_BASIS
|
Treasury: Index Valuation Step | ||||
| 77 |
CL_PRICE_VALUATION_VAL Method: DETERMINE_CALCULATION_BASIS
|
Treasury: Single-Level Rate Valuation | ||||
| 78 |
CL_QUERY_SERVICE_TRL Method: CLS_DET_PRODUCT_CAT4POS
|
Treasury Ledger Query Service | ||||
| 79 | CL_RATE_SERVER_VAL | Treasury: Determination of Key Date Exchange Rates | ||||
| 80 |
CL_REMI_CHECK_NON_SPECIFIC Method: CHECK_AVAIL_PARTNERS
|
Other Checks | ||||
| 81 |
CL_REMI_CHECK_NON_SPECIFIC Method: CHECK_CASHFLOW_LI
|
Other Checks | ||||
| 82 |
CL_REMI_MIG_CA_SERVICES Method: GET_TZPA_BY_RANTYP
|
General Access Methods | ||||
| 83 |
CL_REMI_MIG_TIV26 Method: ME_PERFORM
|
Migrate TIV26 | ||||
| 84 |
CL_REMI_MIG_TZK04 Method: ME_PERFORM
|
Migrate TZK04 | ||||
| 85 |
CL_REMI_MIG_TZK04 Method: MIG_TZK02_TIVCDCONDREL
|
Migrate TZK04 | ||||
| 86 |
CL_REMI_MIG_VICN01 Method: ME_SELECT_MIGRATED_ROWS
|
Migrate VICN01 | ||||
| 87 | CL_REPO_POSITION_TRR | Money Market Transaction | ||||
| 88 |
CL_SETTLEMENT_POSITION_TRR Method: LOAD_DATA
|
Trading Position | ||||
| 89 |
CL_SWAP_POSITION_TRR Method: CONSTRUCTOR
|
Position for Swap | ||||
| 90 |
CL_SWAP_VALUATION_VAL Method: DETERMINE_CALCULATION_BASIS
|
Treasury: Swap Valuation Step | ||||
| 91 |
CL_TITLE_IMPAIRMENT_VAL Method: DETERMINE_CALCULATION_BASIS
|
Impairment | ||||
| 92 | CL_TITLE_IMPAIRMENT_VAL | Impairment | ||||
| 93 |
CL_TITLE_VALUATION_VAL Method: DETERMINE_CALCULATION_BASIS
|
Treasury: Security Valuation Step | ||||
| 94 |
CL_TPM_AMORTIZATION_CALCULATOR Method: CONSTRUCTOR
|
Generic Amortization Calculator | ||||
| 95 |
CL_TRADING_POSITION_TRR Method: LOAD_DATA
|
Trading Position | ||||
| 96 |
CL_TRANSACTION_ADJ Method: POST_DIST_SPEC
|
Treasury: Reconciliation Business Transaction | ||||
| 97 |
CL_TRANSACTION_TRAT Method: _PROCESSDISTRIBUTOR
|
Account Assignment Reference - Transfer Business Transaction | ||||
| 98 |
CL_TRANSACTION_TRL Method: DETERMINE_POSITION_RELEVANCE
|
Class TRL Transactions | ||||
| 99 |
CL_TRL_POSITION_TRAD Method: SET_TRL_POSITION
|
Wrapper for TRL Position | ||||
| 100 |
CL_TRL_POSITION_TRAD Method: SELECT_ALL_FLOWS
|
Wrapper for TRL Position | ||||
| 101 |
CL_VALUATION_AREAS_RULE_TRG Method: CLS_GET_PRODUCT_TYPE_EXCL
|
Customizing Class: ACC <--> Valuation Area | ||||
| 102 |
CL_VALUATION_AREAS_RULE_TRG Method: CLS_GET_PROD_EXCL_ALL_VAL_AREA
|
Customizing Class: ACC <--> Valuation Area | ||||
| 103 |
CL_VALUATION_TRANSACTION_TLV Method: FIX_REDEMPTION
|
Valuation Business Transaction | ||||
| 104 |
CL_VALUATION_TRANSACTION_TLV Method: PROCESS_DISTRIBUTOR
|
Valuation Business Transaction | ||||
| 105 |
CL_VALUATION_TRANSACTION_TLV Method: FIX_REDEMPTION_SCHEDULE
|
Valuation Business Transaction |