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CMS_CUR_ACCT_CONTR_FSCHGD_IN15 - Deposit Account Contract FS Condition Item Refund Interest

CMS_CUR_ACCT_CONTR_FSCHGD_IN15 - Deposit Account Contract FS Condition Item Refund Interest

General Material Data   SUBST_MERGE_LIST - merge external lists to one complete list with #if... logic for R3up  
This documentation is copyright by SAP AG.
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Field
Type
Length
Data element
Description
CONTROLLER
TTYP
000000
BANK_CONTRACT_FINANCIAL_CONDIT
STRU
000000
CONTROLLER
TTYP
000000
BANK_CONTRACT_FINANCIAL_CONDI5
STRU
000000
CONTROLLER
TTYP
000000
SCHEME_ID
CHAR
000060
SCHEME_AGENCY_ID
CHAR
000060
CONTENT
CHAR
000036
Universally Unique Identifier
BANK_PRODUCT_PRICE_LIST_REFERE
STRU
000000
CONTROLLER
TTYP
000000
SCHEME_ID
CHAR
000060
SCHEME_AGENCY_ID
CHAR
000060
CONTENT
CHAR
000036
Universally Unique Identifier
VALIDITY_PERIOD
STRU
000000
CONTROLLER
TTYP
000000
START_DATE
DATS
000008
Proxy Data Element (generated)
END_DATE
DATS
000008
Proxy Data Element (generated)
CURRENCY_CODE
CHAR
000003
Proxy Data Element (generated)
BANK_CONTRACT_FINANCIAL_CONDI6
STRU
000000
CONTROLLER
TTYP
000000
LIST_ID
CHAR
000060
LIST_VERSION_ID
CHAR
000015
LIST_AGENCY_ID
CHAR
000060
CONTENT
CHAR
000006
Proxy Data Element (generated)
BANK_CONTRACT_FINANCIAL_CONDI1
STRU
000000
CONTROLLER
TTYP
000000
LIST_ID
CHAR
000060
LIST_VERSION_ID
CHAR
000015
LIST_AGENCY_ID
CHAR
000060
CONTENT
CHAR
000006
Proxy Data Element (generated)
BANK_CONTRACT_FINANCIAL_CONDIT
CHAR
000002
Proxy Data Element (generated)
BANK_CONTRACT_FINANCIAL_CONDI4
CHAR
000001
Proxy Data Element (generated)
BANK_CONTRACT_FINANCIAL_CONDI2
CHAR
000002
Proxy Data Element (generated)
BANK_CONTRACT_FINANCIAL_CONDI3
STRU
000000
CONTROLLER
TTYP
000000
LIST_ID
CHAR
000060
LIST_VERSION_ID
CHAR
000015
LIST_AGENCY_ID
CHAR
000060
CONTENT
CHAR
000003
Proxy Data Element (generated)
BANK_CONTRACT_FINANCIAL_CONDI7
STRU
000000
CONTROLLER
TTYP
000000
LIST_ID
CHAR
000060
LIST_VERSION_ID
CHAR
000015
LIST_AGENCY_ID
CHAR
000060
CONTENT
CHAR
000002
Proxy Data Element (generated)
ROUNDING_RULE_CODE
CHAR
000002
Proxy Data Element (generated)
ROUNDING_UNIT_DECIMAL_VALUE
DEC
000031
Proxy Data Element (generated)
SYSTEM_ADMINISTRATIVE_DATA
STRU
000000
CONTROLLER
TTYP
000000
CREATION_DATE_TIME
DEC
000021
Proxy Data Element (generated)
CREATION_IDENTITY_UUID
STRU
000000
CONTROLLER
TTYP
000000
SCHEME_ID
CHAR
000060
SCHEME_AGENCY_ID
CHAR
000060
CONTENT
CHAR
000036
Universally Unique Identifier
CREATION_USER_ACCOUNT_ID
STRU
000000
CONTROLLER
TTYP
000000
SCHEME_AGENCY_ID
CHAR
000060
SCHEME_AGENCY_SCHEME_AGENCY_ID
CHAR
000003
An AgencyIdentificationCode is a code representation of the
CONTENT
CHAR
000255
Proxy Data Element (generated)
LAST_CHANGE_DATE_TIME
DEC
000021
Proxy Data Element (generated)
LAST_CHANGE_IDENTITY_UUID
STRU
000000
CONTROLLER
TTYP
000000
SCHEME_ID
CHAR
000060
SCHEME_AGENCY_ID
CHAR
000060
CONTENT
CHAR
000036
Universally Unique Identifier
LAST_CHANGE_USER_ACCOUNT_ID
STRU
000000
CONTROLLER
TTYP
000000
SCHEME_AGENCY_ID
CHAR
000060
SCHEME_AGENCY_SCHEME_AGENCY_ID
CHAR
000003
An AgencyIdentificationCode is a code representation of the
CONTENT
CHAR
000255
Proxy Data Element (generated)
ZERO_CONDITION_APPLY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
STATISTICAL_CONDITION_APPLY_IN
CHAR
000001
Indicator is the representation of a situation that has exac
CORRESPONDENCE_REQUESTED_INDIC
CHAR
000001
Indicator is the representation of a situation that has exac
INDIVIDUAL_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
DESCRIPTION
CHAR
000040
Proxy Data Element (generated)
PRIORITY_VALUE
DEC
000015
Proxy Data Element (generated)
CALCULATION_SPECIFICATION
STRU
000000
CONTROLLER
TTYP
000000
USAGE_PERIOD_SPECIFICATION
STRU
000000
CONTROLLER
TTYP
000000
BANK_CONTRACT_FINANCIAL_CONDIT
STRU
000000
CONTROLLER
TTYP
000000
LIST_ID
CHAR
000060
LIST_VERSION_ID
CHAR
000015
LIST_AGENCY_ID
CHAR
000060
CONTENT
CHAR
000002
Proxy Data Element (generated)
BANK_CONTRACT_FINANCIAL_CONDI1
CHAR
000002
Proxy Data Element (generated)
FIRST_USAGE_PERIOD_START_DATE
STRU
000000
CONTROLLER
TTYP
000000
OFFSET_DURATION
STRG
000000
Proxy Data Element (generated)
START_DAY_OF_MONTH
CHAR
000005
Proxy Data Element (generated)
DETERMINATION_BASE_AMOUNT_CALC
STRU
000000
CONTROLLER
TTYP
000000
BANK_CONTRACT_FINANCIAL_CONDIT
STRU
000000
CONTROLLER
TTYP
000000
LIST_ID
CHAR
000060
LIST_VERSION_ID
CHAR
000015
LIST_AGENCY_ID
CHAR
000060
CONTENT
CHAR
000002
Proxy Data Element (generated)
CALCULATION_PERIOD_START_DATE
STRG
000000
Proxy Data Element (generated)
DETERMINATION_BASE_AMOUNT_CALC
STRU
000000
CONTROLLER
TTYP
000000
BANK_CONTRACT_FINANCIAL_CONDIT
STRU
000000
CONTROLLER
TTYP
000000
LIST_ID
CHAR
000060
LIST_VERSION_ID
CHAR
000015
LIST_AGENCY_ID
CHAR
000060
CONTENT
CHAR
000003
Proxy Data Element (generated)
BANK_ACCOUNT_BALANCE
STRU
000000
CONTROLLER
TTYP
000000
BANK_ACCOUNT_BALANCE_TYPE_CODE
STRU
000000
CONTROLLER
TTYP
000000
LIST_ID
CHAR
000060
LIST_VERSION_ID
CHAR
000015
LIST_AGENCY_ID
CHAR
000060
LIST_AGENCY_SCHEME_ID
CHAR
000060
LIST_AGENCY_SCHEME_AGENCY_ID
CHAR
000003
An AgencyIdentificationCode is a code representation of the
CONTENT
CHAR
000030
Proxy Data Element (generated)
BANK_ACCOUNT_BALANCE_CALCULATI
STRU
000000
CONTROLLER
TTYP
000000
LIST_ID
CHAR
000060
LIST_VERSION_ID
CHAR
000015
LIST_AGENCY_ID
CHAR
000060
CONTENT
CHAR
000003
Proxy Data Element (generated)
BANK_ACCOUNT_BALANCE_PERIOD_AG
CHAR
000002
Proxy Data Element (generated)
SELECTION_BY_DEBIT_CREDIT_CODE
CHAR
000001
Coded representation of the debit or credit side of an accou
DEBIT_CREDIT_DAYS_BALANCE_SELE
CHAR
000001
Indicator is the representation of a situation that has exac
CALCULATION_DATE_RECURRENCE_SP
STRU
000000
CONTROLLER
TTYP
000000
BANK_CONTRACT_FINANCIAL_CONDIT
CHAR
000002
Proxy Data Element (generated)
CALCULATION_DATE_INCLUDED_INDI
CHAR
000001
Indicator is the representation of a situation that has exac
FIRST_KEY_DATE_SPECIFICATION
STRU
000000
CONTROLLER
TTYP
000000
DATE
DATS
000008
Proxy Data Element (generated)
BANK_CONTRACT_FINANCIAL_CONDIT
CHAR
000002
Proxy Data Element (generated)
OFFSET_DURATION
STRG
000000
Proxy Data Element (generated)
RECURRENCE
STRU
000000
CONTROLLER
TTYP
000000
FREQUENCY_CODE
CHAR
000002
Proxy Data Element (generated)
FREQUENCY_VALUE
INT4
000010
Proxy Data Element (generated)
WEEKDAY_SELECTION
STRU
000000
CONTROLLER
TTYP
000000
MONDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
TUESDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
WEDNESDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
THURSDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
FRIDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
SATURDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
SUNDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
KEY_DATE_WORKING_DAY_ADJUSTMEN
CHAR
000001
Proxy Data Element (generated)
WORKING_DAY_ADJUSTMENT_FIXED_D
CHAR
000001
Indicator is the representation of a situation that has exac
DAY_OF_MONTH_SET
TTYP
000000
RELATIVE_RECURRENCE
STRU
000000
CONTROLLER
TTYP
000000
BANK_CONTRACT_FINANCIAL_CONDIT
CHAR
000002
Proxy Data Element (generated)
KEY_DATE_WORKING_DAY_ADJUSTMEN
CHAR
000001
Proxy Data Element (generated)
WORKING_DAY_ADJUSTED_BASE_DATE
CHAR
000001
Indicator is the representation of a situation that has exac
YEARLY_BLOCK_OF_DATES_RECURREN
STRU
000000
CONTROLLER
TTYP
000000
KEY_DATE_WORKING_DAY_ADJUSTMEN
CHAR
000001
Proxy Data Element (generated)
YEARLY_BLOCK_OF_DATES
TTYP
000000
WORKING_DAY_CALENDAR_ASSIGNMEN
TTYP
000000
DUE_DATE_RECURRENCE_SPECIFICAT
STRU
000000
CONTROLLER
TTYP
000000
BANK_CONTRACT_FINANCIAL_CONDIT
CHAR
000002
Proxy Data Element (generated)
DUE_DATE_ADJUSTMENT_CODE
CHAR
000002
Proxy Data Element (generated)
FIRST_KEY_DATE_SPECIFICATION
STRU
000000
CONTROLLER
TTYP
000000
DATE
DATS
000008
Proxy Data Element (generated)
BANK_CONTRACT_FINANCIAL_CONDIT
CHAR
000002
Proxy Data Element (generated)
OFFSET_DURATION
STRG
000000
Proxy Data Element (generated)
RECURRENCE
STRU
000000
CONTROLLER
TTYP
000000
FREQUENCY_CODE
CHAR
000002
Proxy Data Element (generated)
FREQUENCY_VALUE
INT4
000010
Proxy Data Element (generated)
WEEKDAY_SELECTION
STRU
000000
CONTROLLER
TTYP
000000
MONDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
TUESDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
WEDNESDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
THURSDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
FRIDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
SATURDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
SUNDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
KEY_DATE_WORKING_DAY_ADJUSTMEN
CHAR
000001
Proxy Data Element (generated)
WORKING_DAY_ADJUSTMENT_FIXED_D
CHAR
000001
Indicator is the representation of a situation that has exac
DAY_OF_MONTH_SET
TTYP
000000
RELATIVE_RECURRENCE
STRU
000000
CONTROLLER
TTYP
000000
BANK_CONTRACT_FINANCIAL_CONDIT
CHAR
000002
Proxy Data Element (generated)
CALENDAR_DAY_OFFSET_DURATION
STRG
000000
Proxy Data Element (generated)
KEY_DATE_WORKING_DAY_ADJUSTMEN
CHAR
000001
Proxy Data Element (generated)
WORKING_DAY_ADJUSTED_BASE_DATE
CHAR
000001
Indicator is the representation of a situation that has exac
YEARLY_BLOCK_OF_DATES_RECURREN
STRU
000000
CONTROLLER
TTYP
000000
KEY_DATE_WORKING_DAY_ADJUSTMEN
CHAR
000001
Proxy Data Element (generated)
YEARLY_BLOCK_OF_DATES
TTYP
000000
PRICING_DUE_DATE_RELATIVE_RECU
STRU
000000
CONTROLLER
TTYP
000000
BANK_CONTRACT_FINANCIAL_CONDIT
CHAR
000002
Proxy Data Element (generated)
CALENDAR_DAY_OFFSET_DURATION
STRG
000000
Proxy Data Element (generated)
KEY_DATE_WORKING_DAY_ADJUSTMEN
CHAR
000001
Proxy Data Element (generated)
WORKING_DAY_CALENDAR_ASSIGNMEN
TTYP
000000
CALCULATION_BASE_REDUCTION_SPE
STRU
000000
CONTROLLER
TTYP
000000
REDUCTION_AMOUNT
STRU
000000
CONTROLLER
TTYP
000000
CURRENCY_CODE
CHAR
000003
Proxy Data Element (generated)
CONTENT
DEC
000028
Proxy Data Element (generated)
REDUCTION_PERCENT
DEC
000022
Proxy Data Element (generated)
REDUCTION_REFERENCE_INTEREST_C
STRU
000000
CONTROLLER
TTYP
000000
LIST_ID
CHAR
000060
LIST_VERSION_ID
CHAR
000015
LIST_AGENCY_ID
CHAR
000060
LIST_AGENCY_SCHEME_ID
CHAR
000060
LIST_AGENCY_SCHEME_AGENCY_ID
CHAR
000003
An AgencyIdentificationCode is a code representation of the
CONTENT
CHAR
000010
Proxy Data Element (generated)
CAP_REDUCTION_PERCENT
DEC
000022
Proxy Data Element (generated)
FLOOR_REDUCTION_PERCENT
DEC
000022
Proxy Data Element (generated)
CONTEXT_SPECIFICATION
TTYP
000000
PRICE_SPECIFICATION
STRU
000000
CONTROLLER
TTYP
000000
PAYMENT_CURRENCY_CODE
CHAR
000003
Proxy Data Element (generated)
INTEREST_CALCULATION_SPECIFICA
STRU
000000
CONTROLLER
TTYP
000000
INTEREST_CALCULATION_METHOD_CO
STRU
000000
CONTROLLER
TTYP
000000
LIST_VERSION_ID
CHAR
000015
CONTENT
CHAR
000002
Proxy Data Element (generated)
INTEREST_RATE_CALENDAR_UNIT_CO
CHAR
000003
Proxy Data Element (generated)
EXPONENTIAL_INTEREST_SETTLEMEN
CHAR
000001
Proxy Data Element (generated)
EXPONENTIAL_INTEREST_CALCULATI
CHAR
000001
Indicator is the representation of a situation that has exac
WORKING_DAY_CALENDAR_ASSIGNMEN
STRU
000000
CONTROLLER
TTYP
000000
WORKING_DAY_CALENDAR_CODE
STRU
000000
CONTROLLER
TTYP
000000
LIST_ID
CHAR
000060
LIST_VERSION_ID
CHAR
000015
LIST_AGENCY_ID
CHAR
000060
LIST_AGENCY_SCHEME_ID
CHAR
000060
LIST_AGENCY_SCHEME_AGENCY_ID
CHAR
000003
An AgencyIdentificationCode is a code representation of the
CONTENT
CHAR
000006
Proxy Data Element (generated)
NO_PRICE_DETERMINATION
STRU
000000
CONTROLLER
TTYP
000000
SIMPLE_PRICE
STRU
000000
CONTROLLER
TTYP
000000
PRICING_PERCENT
DEC
000022
Proxy Data Element (generated)
RELATED_BANK_CONTRACT_FINANCIA
STRU
000000
CONTROLLER
TTYP
000000
LIST_ID
CHAR
000060
LIST_VERSION_ID
CHAR
000015
LIST_AGENCY_ID
CHAR
000060
CONTENT
CHAR
000006
Proxy Data Element (generated)
VARIABLE_INTEREST
STRU
000000
CONTROLLER
TTYP
000000
REFERENCE_INTEREST_CURVE_CODE
STRU
000000
CONTROLLER
TTYP
000000
LIST_ID
CHAR
000060
LIST_VERSION_ID
CHAR
000015
LIST_AGENCY_ID
CHAR
000060
LIST_AGENCY_SCHEME_ID
CHAR
000060
LIST_AGENCY_SCHEME_AGENCY_ID
CHAR
000003
An AgencyIdentificationCode is a code representation of the
CONTENT
CHAR
000010
Proxy Data Element (generated)
INTEREST_RATE_FORMULA_EXPRESSI
STRG
000000
Proxy Data Element (generated)
MARGIN_ABSOLUTE_RELATIVE_CODE
CHAR
000001
Proxy Data Element (generated)
INTEREST_RATE_ROUNDING_RULE_CO
CHAR
000002
Proxy Data Element (generated)
INTEREST_RATE_ROUNDING_UNIT_DE
DEC
000031
Proxy Data Element (generated)
MARGIN_PERCENT
DEC
000022
Proxy Data Element (generated)
CAP_PERCENT
DEC
000022
Proxy Data Element (generated)
FLOOR_PERCENT
DEC
000022
Proxy Data Element (generated)
CAP_REFERENCE_INTEREST_CURVE_C
STRU
000000
CONTROLLER
TTYP
000000
LIST_ID
CHAR
000060
LIST_VERSION_ID
CHAR
000015
LIST_AGENCY_ID
CHAR
000060
LIST_AGENCY_SCHEME_ID
CHAR
000060
LIST_AGENCY_SCHEME_AGENCY_ID
CHAR
000003
An AgencyIdentificationCode is a code representation of the
CONTENT
CHAR
000010
Proxy Data Element (generated)
FLOOR_REFERENCE_INTEREST_CURVE
STRU
000000
CONTROLLER
TTYP
000000
LIST_ID
CHAR
000060
LIST_VERSION_ID
CHAR
000015
LIST_AGENCY_ID
CHAR
000060
LIST_AGENCY_SCHEME_ID
CHAR
000060
LIST_AGENCY_SCHEME_AGENCY_ID
CHAR
000003
An AgencyIdentificationCode is a code representation of the
CONTENT
CHAR
000010
Proxy Data Element (generated)
FLUCTUATION_MARGIN_CAP_PERCENT
DEC
000022
Proxy Data Element (generated)
FLUCTUATION_MARGIN_FLOOR_PERCE
DEC
000022
Proxy Data Element (generated)
SCALED_PRICE
STRU
000000
CONTROLLER
TTYP
000000
BANK_CONTRACT_FINANCIAL_CONDIT
CHAR
000001
Proxy Data Element (generated)
RELATED_BANK_CONTRACT_FINANCIA
STRU
000000
CONTROLLER
TTYP
000000
LIST_ID
CHAR
000060
LIST_VERSION_ID
CHAR
000015
LIST_AGENCY_ID
CHAR
000060
CONTENT
CHAR
000006
Proxy Data Element (generated)
ITEM_LOWER_BOUNDARY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
VARIABLE_INTEREST_RATE_DATE_SP
STRU
000000
CONTROLLER
TTYP
000000
ADJUSTMENT_DATE_RECURRENCE_SPE
STRU
000000
CONTROLLER
TTYP
000000
BANK_CONTRACT_FINANCIAL_CONDIT
CHAR
000002
Proxy Data Element (generated)
FIRST_KEY_DATE_SPECIFICATION
STRU
000000
CONTROLLER
TTYP
000000
DATE
DATS
000008
Proxy Data Element (generated)
BANK_CONTRACT_FINANCIAL_CONDIT
CHAR
000002
Proxy Data Element (generated)
OFFSET_DURATION
STRG
000000
Proxy Data Element (generated)
RECURRENCE
STRU
000000
CONTROLLER
TTYP
000000
FREQUENCY_CODE
CHAR
000002
Proxy Data Element (generated)
FREQUENCY_VALUE
INT4
000010
Proxy Data Element (generated)
WEEKDAY_SELECTION
STRU
000000
CONTROLLER
TTYP
000000
MONDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
TUESDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
WEDNESDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
THURSDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
FRIDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
SATURDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
SUNDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
KEY_DATE_WORKING_DAY_ADJUSTMEN
CHAR
000001
Proxy Data Element (generated)
WORKING_DAY_ADJUSTMENT_FIXED_D
CHAR
000001
Indicator is the representation of a situation that has exac
DAY_OF_MONTH_SET
TTYP
000000
RELATIVE_RECURRENCE
STRU
000000
CONTROLLER
TTYP
000000
BANK_CONTRACT_FINANCIAL_CONDIT
CHAR
000002
Proxy Data Element (generated)
WORKING_DAY_OFFSET_DURATION
STRG
000000
Proxy Data Element (generated)
KEY_DATE_WORKING_DAY_ADJUSTMEN
CHAR
000001
Proxy Data Element (generated)
WORKING_DAY_ADJUSTED_BASE_DATE
CHAR
000001
Indicator is the representation of a situation that has exac
YEARLY_BLOCK_OF_DATES_RECURREN
STRU
000000
CONTROLLER
TTYP
000000
KEY_DATE_WORKING_DAY_ADJUSTMEN
CHAR
000001
Proxy Data Element (generated)
YEARLY_BLOCK_OF_DATES
TTYP
000000
WORKING_DAY_CALENDAR_ASSIGNMEN
TTYP
000000
FIXING_DATE_RECURRENCE_SPECIFI
STRU
000000
CONTROLLER
TTYP
000000
BANK_CONTRACT_FINANCIAL_CONDIT
CHAR
000002
Proxy Data Element (generated)
FIRST_KEY_DATE_SPECIFICATION
STRU
000000
CONTROLLER
TTYP
000000
DATE
DATS
000008
Proxy Data Element (generated)
BANK_CONTRACT_FINANCIAL_CONDIT
CHAR
000002
Proxy Data Element (generated)
OFFSET_DURATION
STRG
000000
Proxy Data Element (generated)
RECURRENCE
STRU
000000
CONTROLLER
TTYP
000000
FREQUENCY_CODE
CHAR
000002
Proxy Data Element (generated)
FREQUENCY_VALUE
INT4
000010
Proxy Data Element (generated)
WEEKDAY_SELECTION
STRU
000000
CONTROLLER
TTYP
000000
MONDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
TUESDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
WEDNESDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
THURSDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
FRIDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
SATURDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
SUNDAY_INDICATOR
CHAR
000001
Indicator is the representation of a situation that has exac
KEY_DATE_WORKING_DAY_ADJUSTMEN
CHAR
000001
Proxy Data Element (generated)
WORKING_DAY_ADJUSTMENT_FIXED_D
CHAR
000001
Indicator is the representation of a situation that has exac
DAY_OF_MONTH_SET
TTYP
000000
RELATIVE_RECURRENCE
STRU
000000
CONTROLLER
TTYP
000000
BANK_CONTRACT_FINANCIAL_CONDIT
CHAR
000002
Proxy Data Element (generated)
WORKING_DAY_OFFSET_DURATION
STRG
000000
Proxy Data Element (generated)
KEY_DATE_WORKING_DAY_ADJUSTMEN
CHAR
000001
Proxy Data Element (generated)
WORKING_DAY_ADJUSTED_BASE_DATE
CHAR
000001
Indicator is the representation of a situation that has exac
YEARLY_BLOCK_OF_DATES_RECURREN
STRU
000000
CONTROLLER
TTYP
000000
KEY_DATE_WORKING_DAY_ADJUSTMEN
CHAR
000001
Proxy Data Element (generated)
YEARLY_BLOCK_OF_DATES
TTYP
000000
WORKING_DAY_CALENDAR_ASSIGNMEN
TTYP
000000

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