Where Used List (Class) for SAP ABAP Table UKM_ITEM (Credit Management: Line Items)
SAP ABAP Table UKM_ITEM (Credit Management: Line Items) is used by
# | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
---|---|---|---|---|---|---|
1 | Class | CL_UKM_ACCOUNT | Credit Account | UKM_BUSINESS_PARTNER | FINANCIAL_BASIS | FINBASIS |
2 | Class |
CL_UKM_ACCOUNT Method: CHECK_COMMITMENT
|
Credit Account | UKM_BUSINESS_PARTNER | FINANCIAL_BASIS | FINBASIS |
3 | Class |
CL_UKM_ACCOUNT Method: UPDATE_COMMITMENTS
|
Credit Account | UKM_BUSINESS_PARTNER | FINANCIAL_BASIS | FINBASIS |
4 | Class |
CL_UKM_ACCOUNT Method: GET_ITEM_TO_BE_CHECKED
|
Credit Account | UKM_BUSINESS_PARTNER | FINANCIAL_BASIS | FINBASIS |
5 | Class |
CL_UKM_ACCOUNT Method: CONVERT_ITEM_CURRENCY
|
Credit Account | UKM_BUSINESS_PARTNER | FINANCIAL_BASIS | FINBASIS |
6 | Class |
CL_UKM_ACCOUNT Method: RECALC_COMMITMENTS
|
Credit Account | UKM_BUSINESS_PARTNER | FINANCIAL_BASIS | FINBASIS |
7 | Class |
CL_UKM_ACCOUNT Method: TOTALIZE_COMMITMENTS
|
Credit Account | UKM_BUSINESS_PARTNER | FINANCIAL_BASIS | FINBASIS |
8 | Class |
CL_UKM_BUPA_FACTORY Method: SAVE_ALL
|
Manager for Business Partners and Accounts | UKM_BUSINESS_PARTNER | FINANCIAL_BASIS | FINBASIS |
9 | Class |
CL_UKM_CREDIT_CHECKER Method: UPDATE_COMMITMENTS
|
Credit Check and Liability Update | UKM_BUSINESS_PARTNER | FINANCIAL_BASIS | FINBASIS |
10 | Class |
CL_UKM_ERROR_HANDLER Method: SET_LOG_ITEM
|
Error Handling of Messages | UKM_BUSINESS_PARTNER | FINANCIAL_BASIS | FINBASIS |
11 | Class |
CL_UKM_ERROR_HANDLER Method: CHECK_ITEM_SEQUENCE
|
Error Handling of Messages | UKM_BUSINESS_PARTNER | FINANCIAL_BASIS | FINBASIS |
12 | Class | CL_UKM_ERROR_HANDLER | Error Handling of Messages | UKM_BUSINESS_PARTNER | FINANCIAL_BASIS | FINBASIS |
13 | Class |
CL_UKM_ERROR_HANDLER Method: ADJUST_ITEM_SEQUENCE
|
Error Handling of Messages | UKM_BUSINESS_PARTNER | FINANCIAL_BASIS | FINBASIS |
14 | Class |
CL_UKM_EVENT_MANAGER Method: HANDLE_EVENT_COMMON_PART
|
Manager for Events (In Particular, of the Business Partner) | UKM_EVENTING | FINANCIAL_BASIS | FINBASIS |
15 | Class |
CL_UKM_EVENT_MANAGER Method: HANDLE_COMMITMENT_EOIO_ERROR
|
Manager for Events (In Particular, of the Business Partner) | UKM_EVENTING | FINANCIAL_BASIS | FINBASIS |
16 | Class |
CL_UKM_XI_FACADE Method: IF_UKM_COMMITMENT_PUSH~PUSH_COMMITMENT
|
Interface between Credit Management and XI Proxies | UKM_XI_PROXIES | FINANCIAL_BASIS | FINBASIS |
17 | Class |
CL_UKM_XI_FACADE Method: ADD_ITEM
|
Interface between Credit Management and XI Proxies | UKM_XI_PROXIES | FINANCIAL_BASIS | FINBASIS |
18 | Class | CL_UKM_XI_FACADE | Interface between Credit Management and XI Proxies | UKM_XI_PROXIES | FINANCIAL_BASIS | FINBASIS |
19 | Class |
CL_UKM_XI_FACADE Method: COMM_PULL_CONVERT_INBOUND
|
Interface between Credit Management and XI Proxies | UKM_XI_PROXIES | FINANCIAL_BASIS | FINBASIS |
20 | Class |
CL_UKM_XI_FACADE Method: COMMITMENT_TO_ITEM
|
Interface between Credit Management and XI Proxies | UKM_XI_PROXIES | FINANCIAL_BASIS | FINBASIS |
21 | Class |
CL_UKM_XI_FACADE Method: IF_UKM_COMMITMENT_PUSH~CONVERT_INBOUND
|
Interface between Credit Management and XI Proxies | UKM_XI_PROXIES | FINANCIAL_BASIS | FINBASIS |