SIMULATED_CLEARING |
Account balance: Simulated clearing postings |
XZAHL_KK |
|
CHAR |
|
1 |
0 |
Possible values
|
ZERO_CLEARING |
Zero clearing |
BP_XZCLR_KK |
|
CHAR |
|
1 |
0 |
Possible values
|
SIMULATED_OI |
Account balance: Simulated open items |
BP_XSMOI_KK |
|
CHAR |
|
1 |
0 |
Possible values
|
NOT_DISPLAY |
Do not display item |
BP_XNDSP_KK |
|
CHAR |
|
1 |
0 |
Possible values
|
DOC_NO |
Number of Contract Accts Rec. & Payable Doc. |
OPBEL_KK |
|
CHAR |
|
12 |
0 |
|
REP_ITEM |
Repetition Item in Contract Account Document |
OPUPW_KK |
|
NUMC |
|
3 |
0 |
|
ITEM |
Item number in contract account document |
OPUPK_KK |
|
NUMC |
|
4 |
0 |
|
SUB_ITEM |
Subitem for a Partial Clearing in Document |
OPUPZ_KK |
|
NUMC |
|
3 |
0 |
|
COMP_CODE |
Company Code |
BUKRS |
T001
|
CHAR |
|
4 |
0 |
|
BUS_AREA |
Business Area |
GSBER |
TGSB
|
CHAR |
|
4 |
0 |
|
STATUS |
Clearing status |
AUGST_KK |
|
CHAR |
|
1 |
0 |
Possible values
NULL |
Open Item |
9 |
Cleared Item |
|
BUSPARTNER |
Business Partner Number |
GPART_KK |
BUT000
|
CHAR |
|
10 |
0 |
|
CONTRACT |
Reference Specifications from Contract |
VTREF_KK |
|
CHAR |
|
20 |
0 |
|
CONTRACT2 |
Additional Reference Information |
VTRE2_KK |
|
CHAR |
|
20 |
0 |
|
CONT_ACCT |
Contract Account Number |
VKONT_KK |
FKKVK
|
CHAR |
|
12 |
0 |
|
SUB_DOC |
Number of the substitute FI-CA document |
ABWBL_KK |
|
CHAR |
|
12 |
0 |
|
DOC_CAT |
Category of substitute document in FI-CA |
ABWTP_KK |
|
CHAR |
|
1 |
0 |
Possible values
R |
Installment Plan |
S |
Collective Bill |
P |
Promise to Pay |
|
APPL_AREA |
Application area |
APPLK_KK |
|
CHAR |
|
1 |
0 |
Possible values
* |
Valid for all application areas |
M |
Media Companies |
P |
Public Administration |
R |
Utility company |
T |
Telecommunications |
V |
Insurance company |
X |
In-house development |
S |
Extended FI-CA |
|
MAIN_TRANS |
Main Transaction for Line Item |
HVORG_KK |
TFKHVO
|
CHAR |
|
4 |
0 |
|
SUB_TRANS |
Subtransaction for Document Item |
TVORG_KK |
TFKTVO
|
CHAR |
|
4 |
0 |
|
ACTDETERID |
Account Determination ID |
KOFIZ_KK |
|
CHAR |
|
2 |
0 |
|
DIVISION |
Division |
SPART_KK |
TSPA
|
CHAR |
|
2 |
0 |
|
G_L_ACCT |
General ledger account |
HKONT_KK |
SKA1
|
CHAR |
|
10 |
0 |
|
TAX_CODE |
Tax on sales/purchases code |
MWSKZ |
T007A
|
CHAR |
|
2 |
0 |
|
DOWN_PMNT |
Item is a Down Payment/Down Payment Request |
XANZA_KK |
|
CHAR |
|
1 |
0 |
Possible values
|
STAT_KEY |
Type of statistical item |
STAKZ_KK |
|
CHAR |
|
1 |
0 |
Possible values
A |
Down Payment Request |
B |
Quotation |
G |
Other statistical receivable (charges,interest) |
H |
Cash Security Deposit Request |
I |
Down Payment Request from Invoicing |
J |
Payment Request from Invoicing |
K |
Correspondence Request |
R |
Installment Plan Item |
S |
Collective Bill Item |
P |
Budget Billing Plan Item |
Q |
Expected withholding tax deduction |
T |
Statisitcal receivable for other taxes |
Z |
Payment Request |
|
DOC_DATE |
Document Date in Document |
BLDAT |
|
DATS |
|
8 |
0 |
|
POST_DATE |
Posting Date in the Document |
BUDAT_KK |
|
DATS |
|
8 |
0 |
|
TEXT |
Item text |
OPTXT_KK |
|
CHAR |
|
50 |
0 |
|
NET_DATE |
Due date for net payment |
FAEDN_KK |
|
DATS |
|
8 |
0 |
|
DISC_DUE |
Due Date for Cash Discount |
FAEDS_KK |
|
DATS |
|
8 |
0 |
|
ONLY_OFF |
Item Can Only Be Cleared |
VERKZ_KK |
|
CHAR |
|
1 |
0 |
Possible values
NULL |
No restrictions |
X |
Can only be cleared |
|
DEFERRAL |
Deferral to |
STUDT_KK |
|
DATS |
|
8 |
0 |
|
DISC_RATE |
Cash discount rate |
SKTPZ_KK |
|
DEC |
|
5 |
3 |
|
NO_DUNNING |
Exclude Item from Dunning Run |
XMANL_KK |
|
CHAR |
|
1 |
0 |
Possible values
|
TRAN_RATE |
Exchange rate |
KURSF_KK |
|
DEC |
|
9 |
5 |
|
CURRENCY |
Transaction Currency |
BLWAE_KK |
TCURC
|
CUKY |
|
5 |
0 |
|
CURRENCY_ISO |
ISO currency code |
ISOCD |
|
CHAR |
|
3 |
0 |
|
AMOUNT_LOC_CURR |
Amount in Local Currency with +/- Signs |
BP_BETRH_KK |
|
DEC |
|
23 |
4 |
|
AMOUNT |
Amount in Transaction Currency with +/- Sign |
BP_BETRW_KK |
|
DEC |
|
23 |
4 |
|
AMOUNT_PAR2_CURR |
Amount in second parallel currency with +/- sign |
BP_BETR2_KK |
|
DEC |
|
23 |
4 |
|
AMOUNT_PAR3_CURR |
Amount in third parallel currency with +/- sign |
BP_BETR3_KK |
|
DEC |
|
23 |
4 |
|
DISCOUNT_BASE |
Amount eligible for cash discount in document currency |
BP_SKFBT_KK |
|
DEC |
|
23 |
4 |
|
TAX_AMOUNT_LOC_CURR |
Tax Amount in Local Currency with +/- Sign |
BP_SBETH_KK |
|
DEC |
|
23 |
4 |
|
TAX_AMOUNT |
Tax amount in transaction currency with +/- sign |
BP_SBETW_KK |
|
DEC |
|
23 |
4 |
|
TAX_AMOUNT_PAR2_CURR |
Tax amount in second parallel currency |
BP_SBET2_KK |
|
DEC |
|
23 |
4 |
|
TAX_AMOUNT_PAR3_CURR |
Tax amount in third parallel currency |
BP_SBET3_KK |
|
DEC |
|
23 |
4 |
|
TAX_ACCT |
Account for posting taxes for down payments |
MWSKO_KK |
SKA1
|
CHAR |
|
10 |
0 |
|
OFFSET_TAX |
Account for offsetting tax posting in down payments |
MWVKO_KK |
SKA1
|
CHAR |
|
10 |
0 |
|
PMNT_BLOCK |
Lock Reason for Automatic Payment |
SPZAH_KK |
TFK008
|
CHAR |
|
1 |
0 |
|
PMNT_METH |
Payment Method |
PYMET_KK |
TFK042Z
|
CHAR |
|
1 |
0 |
|
PERSON_NO |
Personnel Number |
PERNR_D |
|
NUMC |
|
8 |
0 |
|
GROUPING |
Grouping Key for Displaying Open Items |
GRKEY_KK |
|
CHAR |
|
3 |
0 |
|
PERIOD_KEY |
Key for Period Assignment |
PERSL_KK |
TFK001P
|
CHAR |
|
4 |
0 |
|
CHG_BLOCK |
Printing - No Changes Possible |
XAESP_KK |
|
CHAR |
|
1 |
0 |
Possible values
|
CLEARDATE |
Clearing date |
AUGDT_KK |
|
DATS |
|
8 |
0 |
|
CLEARDOCNO |
Clearing Document or Printed Document |
AUGBL_KK |
|
CHAR |
|
12 |
0 |
|
CL_POSTDTE |
Clearing document posting date |
AUGBD_KK |
|
DATS |
|
8 |
0 |
|
CLEAR_REAS |
Clearing Reason |
AUGRD_KK |
TFK001A
|
CHAR |
|
2 |
0 |
|
CLRG_CURR |
Clearing currency |
AUGWA_KK |
TCURC
|
CUKY |
|
5 |
0 |
|
CLRG_CURR_ISO |
ISO currency code |
ISOCD |
|
CHAR |
|
3 |
0 |
|
AMOUNT_CLEAR |
Clearing amount in clearing currency |
BP_AUGBT_KK |
|
DEC |
|
23 |
4 |
|
TAX_AMOUNT_CLEAR |
Tax Amount in Clearing Currency |
BP_AUGBS_KK |
|
DEC |
|
23 |
4 |
|
VAL_DATE |
Value date for clearing |
AUGVD_KK |
|
DATS |
|
8 |
0 |
|
CANCELED |
Item Canceled |
AUGOB_KK |
|
CHAR |
|
1 |
0 |
Possible values
|
NO_REPS |
Number of repetition items |
WHANG_KK |
|
NUMC |
|
3 |
0 |
|
REPET_GRP |
Repetition group |
WHGRP_KK |
|
NUMC |
|
3 |
0 |
|
LINE_ITEM |
Create Line Item in General Ledger |
XEIPH_KK |
|
CHAR |
|
1 |
0 |
Possible values
|
DUNN_PROC |
Dunning Procedure |
MAHNV_KK |
TFK047A
|
CHAR |
|
2 |
0 |
|
DUNN_BLOCK |
Dunning Lock Reason |
MANSP_KK |
TFK047S
|
CHAR |
|
1 |
0 |
|
CHECK_CLNG |
Check Sample Record Clearing |
XAUGP_KK |
|
CHAR |
|
1 |
0 |
Possible values
|
CALC_PERLO |
Lower Limit of Settlement Period |
ABRZU_KK |
|
DATS |
|
8 |
0 |
|
CALC_PERHI |
Upper Limit of the Billing Period |
ABRZO_KK |
|
DATS |
|
8 |
0 |
|
PLAN_GRP |
Planning Group |
FDGRP_KK |
T035
|
CHAR |
|
10 |
0 |
|
PLAN_LEVEL |
Planning level |
FDLEV_KK |
T036
|
CHAR |
|
2 |
0 |
|
CM_EX_DAYS |
Additional Days for Cash Management |
FDZTG_KK |
|
NUMC |
|
2 |
0 |
|
AMOUNT_PLANNED |
Currency amount in BAPI interfaces |
BAPICURR_D |
|
DEC |
|
23 |
4 |
|
PART_CLRG |
Item Split |
XTAUS_KK |
|
CHAR |
|
1 |
0 |
Possible values
|
RESTRICT |
Clearing restriction |
AUGRS_KK |
|
CHAR |
|
1 |
0 |
Possible values
0 |
Document is incorrect (no zero balance) |
1 |
Down Payment from IS-U: Can Only be Cleared in Invoicing |
2 |
Security Deposit: No Clearing Permitted |
3 |
Difference amount cannot be cleared until next invoice |
4 |
Donations or payment for equity funds |
5 |
Down payment from SD: Can only be cleared against SD recevbl |
6 |
Payable Only after Budget Billing Request |
7 |
Collective invoice: Only payable after collective billing |
8 |
Items cannot be processed until next regular invoice |
9 |
Renewals Down Payment: Only Clear with IS-M-SD Receivable |
A |
Gen. down payment: Can be cleared in next invoice |
B |
Agency Collections: Can Only Be Paid via Agency Collections |
C |
Broker report: Item in clarification |
D |
Deposit: Can only be cleared with open item clearing |
E |
Est. Posting |
G |
Budget Billing as Down Payment on Vendor Side (Deregulation) |
I |
Rounding Carryforward from Invoicing |
P |
Cannot be Paid before Budget Billing Request (Deregulation) |
R |
Items Relevant for Payment Scheme |
S |
Cash Loss/Held Items |
T |
Clearing Only via External Interface |
U |
Reserved payment on account |
V |
Clearing Only Permitted after Confirmation of Partner |
W |
Clearing only by Account Maintenance |
X |
Paid statistical charge |
Z |
Clearing Only by Payment Program |
NULL |
No restriction |
F |
Automatic Clearing of Temporary Premium Requests (FS-CD) |
Y |
Additional Deregulation Items |
K |
Posting to Prepaid Account |
H |
Provisional Posting |
|
PAYMNT_GRP |
Grouping field for automatic payments |
PYGRP_KK |
|
CHAR |
|
10 |
0 |
|
INT_BLOCK |
Interest Lock Reason |
SPERZ_KK |
TFK056S
|
CHAR |
|
1 |
0 |
|
INT_INFO |
Doubtful Item Entry/Individual Value Adjustment |
INFOZ_KK |
|
NUMC |
|
3 |
0 |
Possible values
000 |
Item is not marked as doubtful/indiv. value adjusted |
901 |
Item is marked as doubtful/indiv. value adjusted |
902 |
Doubtful marking/individual value adjustment reset |
903 |
Item doubtful or has IVA in at least one valuation area |
904 |
DE/IVA reset in at least one valuation area |
|
TAXJURCODE |
Tax Jurisdiction |
TXJCD |
TTXJ
|
CHAR |
|
15 |
0 |
|
TAX_DATE |
Decisive Date for Calculating Taxes |
TXDAT_KK |
|
DATS |
|
8 |
0 |
|
TRADE_ID |
Company ID of trading partner |
RASSC |
T880
|
CHAR |
|
6 |
0 |
|
ACCTASSCAT |
Account Assignment Category |
KONTT_KK |
TFK000K
|
CHAR |
|
2 |
0 |
|
ACCT_ASSGT |
Acct assnmnt string for industry-specific account assngments |
KONTL_KK |
|
CHAR |
|
50 |
0 |
|
DUN_INDIC |
Dunning indicator |
OPSTA_KK |
|
CHAR |
|
3 |
0 |
|
DOC_TYPE |
Document Type |
BLART_KK |
TFK003
|
CHAR |
|
2 |
0 |
|
PARTNER |
Alternative Business Partner for Payments |
EMGPA_KK |
BUT000
|
CHAR |
|
10 |
0 |
|
BK_DETAILS |
Bank Details ID of Payee |
EMBVT_KK |
|
CHAR |
|
4 |
0 |
|
ADDR_NO |
Address number |
AD_ADDRNUM |
|
CHAR |
|
10 |
0 |
|
INT_KEY |
Interest Key |
IKEY_KK |
TFK056A
|
CHAR |
|
2 |
0 |
|
EURO_STAT |
Status of Euro Conversion |
EUROU_KK |
|
CHAR |
|
1 |
0 |
Possible values
1 |
Local currency 1 converted |
2 |
Local currency 2 converted |
3 |
Local currency 1 + 2 converted |
4 |
Local currency 3 converted |
5 |
Local currency 1 + 3 converted |
6 |
Local currency 2 + 3 converted |
7 |
Local currency 1 + 2 converted |
NULL |
No conversion |
A |
Local currency 1 converted but not complete |
B |
Local currency 2 converted but not complete |
C |
Local currency 1+2 converted but not complete |
D |
Local currency 3 converted but not complete |
E |
Local currency 1+3 converted but not complete |
F |
Local currency 2+3 converted but not complete |
G |
Local currency 1+2+3 converted but not complete |
|
REVERSECLG |
Clearing posting reversed |
XRAGL_KK |
|
CHAR |
|
1 |
0 |
Possible values
|
XREPETPOS |
Expanded Repetition Item |
XWHPO_KK |
|
CHAR |
|
1 |
0 |
Possible values
|
STAT_KEY_SRC |
Statistical Key of the Initiating Item |
ASTKZ_KK |
|
CHAR |
|
1 |
0 |
Possible values
A |
Down Payment Request |
B |
Quotation |
G |
Other Statistical Receivable (Charges,Interest) |
H |
Cash Security Deposit Request |
I |
Down Payment Request from Invoicing |
J |
Payment Request from Invoicing |
P |
Budget Billing Plan Item |
Z |
Payment Request |
> |
Item from Sample Document |
|
REF_DOC_NO |
Reference document number |
XBLNR_KK |
|
CHAR |
|
16 |
0 |
|
COLLECTION_POS |
Collection Item |
INKPS_KK |
|
NUMC |
|
3 |
0 |
|
DUNN_RUN_DATE |
Date ID |
LAUFD_KK |
|
DATS |
|
8 |
0 |
|
DUNN_IDENTIFICATION |
Additional Identification Characteristic |
LAUFI_KK |
|
CHAR |
|
6 |
0 |
|
DUNN_ISSUE_DATE |
Date of issue |
AUSDT_KK |
|
DATS |
|
8 |
0 |
|
DUNN_PRINT_DATE |
Execution Date of Dunning Notice |
MDRKD_KK |
|
DATS |
|
8 |
0 |
|
DUNN_GROUP |
Grouping fur Dunning Notices |
MGRUP_KK |
TFK047F
|
CHAR |
|
2 |
0 |
|
DUNN_LEVEL |
Dunning Level |
MAHNS_KK |
TFK047B
|
NUMC |
|
2 |
0 |
|
DUNN_LEVEL_TYPE |
Dunning Level Category |
MSTYP_KK |
TFK047G
|
CHAR |
|
2 |
0 |
|
DUNN_LEVEL_NEW |
New dunning level |
MAHNN_KK |
TFK047B
|
NUMC |
|
2 |
0 |
|
DUNN_LEVEL_OPTIONAL |
Dunning Level is Optional |
XMFAK_KK |
|
CHAR |
|
1 |
0 |
Possible values
|
DUNN_NOTICE_CANCELED |
Dunning Notice Reversed |
XMSTO_KK |
|
CHAR |
|
1 |
0 |
Possible values
|
RETURN_REASON |
Return reason |
RLGRD_KK |
TFK045A
|
CHAR |
|
3 |
0 |
|
RETURN_VALUE_DATE |
Value date of returns document |
VALUT_RR |
|
DATS |
|
8 |
0 |
|
NUMBER_OF_RETURNS |
Number Of Returns That Occurred in The Observation Period |
RLANZ_KK |
|
NUMC |
|
2 |
0 |
|
RETURN_PAYMENT_DOC |
Payment document for returns |
OPZBEL_KK |
|
CHAR |
|
12 |
0 |
|
RETURN_DOCUMENT |
Number of the return document |
RLBEL_KK |
|
CHAR |
|
12 |
0 |
|
RETURN_REASON_TEXT |
Name of Returns Reason |
RTEXT_KK |
|
CHAR |
|
50 |
0 |
|
AMOUNT_OPEN_LOC |
Amount still open in local currency (with +/- sign) |
BP_OBETH_KK |
|
DEC |
|
23 |
4 |
|
AMOUNT_OPEN |
Amount still open in transaction currency (with +/- sign) |
BP_OBETW_KK |
|
DEC |
|
23 |
4 |
|
AMOUNT_TOTAL_LOC |
Total amount in local currency |
BP_GBETH_KK |
|
DEC |
|
23 |
4 |
|
AMOUNT_TOTAL |
Total amount in transaction currency |
BP_GBETW_KK |
|
DEC |
|
23 |
4 |
|
AMOUNT_CLEARED_LOC |
Cleared amount in local currency |
BP_CBETH_KK |
|
DEC |
|
23 |
4 |
|
AMOUNT_CLEARED |
Cleared amount in transaction currency |
BP_CBETW_KK |
|
DEC |
|
23 |
4 |
|
AMOUNT_DUE_LOC |
Amount due in local currency |
BP_DBETH_KK |
|
DEC |
|
23 |
4 |
|
AMOUNT_DUE |
Amount due in transaction currency |
BP_DBETW_KK |
|
DEC |
|
23 |
4 |
|
AMOUNT_DEBIT_LOC |
Debit Amount in Local Currency |
BP_SBTRH_KK |
|
DEC |
|
23 |
4 |
|
AMOUNT_CREDIT_LOC |
Credit Amount in Local Currency |
BP_HBTRH_KK |
|
DEC |
|
23 |
4 |
|
AMOUNT_DEBIT |
Debit amount in transaction currency |
BP_SBTRW_KK |
|
DEC |
|
23 |
4 |
|
AMOUNT_CREDIT |
Credit amount in transaction currency |
BP_HBTRW_KK |
|
DEC |
|
23 |
4 |
|
AMOUNT_RUN_TOTAL_LOC |
Current total in local currency |
BP_LBTRH_KK |
|
DEC |
|
23 |
4 |
|
AMOUNT_RUN_TOTAL |
Current total in transaction currency |
BP_LBTRW_KK |
|
DEC |
|
23 |
4 |
|
DUNN_AMOUNT |
Dunned amount in transaction currency |
BP_MBETM_KK |
|
DEC |
|
23 |
4 |
|
DUNN_AMOUNT_LOC |
Dunning notice amount in local currency |
BP_MBETH_KK |
|
DEC |
|
23 |
4 |
|
EURO_AMOUNT_LOC_CURR |
Amount in Local Currency with +/- Signs |
BP_BETRH_KK |
|
DEC |
|
23 |
4 |
|
EURO_AMOUNT |
Amount in Transaction Currency with +/- Sign |
BP_BETRW_KK |
|
DEC |
|
23 |
4 |
|
EURO_AMOUNT_OPEN_LOC |
Amount still open in local currency (with +/- sign) |
BP_OBETH_KK |
|
DEC |
|
23 |
4 |
|
EURO_AMOUNT_OPEN |
Amount still open in transaction currency (with +/- sign) |
BP_OBETW_KK |
|
DEC |
|
23 |
4 |
|
EURO_AMOUNT_TOTAL_LOC |
Total amount in local currency |
BP_GBETH_KK |
|
DEC |
|
23 |
4 |
|
EURO_AMOUNT_TOTAL |
Total amount in transaction currency |
BP_GBETW_KK |
|
DEC |
|
23 |
4 |
|
EURO_AMOUNT_CLEARED_LOC |
Cleared amount in local currency |
BP_CBETH_KK |
|
DEC |
|
23 |
4 |
|
EURO_AMOUNT_CLEARED |
Cleared amount in transaction currency |
BP_CBETW_KK |
|
DEC |
|
23 |
4 |
|
EURO_AMOUNT_DUE_LOC |
Amount due in local currency |
BP_DBETH_KK |
|
DEC |
|
23 |
4 |
|
EURO_AMOUNT_DUE |
Amount due in transaction currency |
BP_DBETW_KK |
|
DEC |
|
23 |
4 |
|
EURO_AMOUNT_DEBIT_LOC |
Debit Amount in Local Currency |
BP_SBTRH_KK |
|
DEC |
|
23 |
4 |
|
EURO_AMOUNT_CREDIT_LOC |
Credit Amount in Local Currency |
BP_HBTRH_KK |
|
DEC |
|
23 |
4 |
|
EURO_AMOUNT_DEBIT |
Debit amount in transaction currency |
BP_SBTRW_KK |
|
DEC |
|
23 |
4 |
|
EURO_AMOUNT_CREDIT |
Credit amount in transaction currency |
BP_HBTRW_KK |
|
DEC |
|
23 |
4 |
|
DOC_TYPE_DESCRIPTION |
Document Type Description |
LTEXT_003T |
|
CHAR |
|
20 |
0 |
|
PAYMENT_AMOUNT |
Payment amount |
BP_NEBTR_KK |
|
DEC |
|
23 |
4 |
|
PAYMENT_CURRENCY |
Payment Currency |
NECUR_KK |
|
CUKY |
|
5 |
0 |
|
PAYMENT_CURRENCY_ISO |
ISO currency code |
ISOCD |
|
CHAR |
|
3 |
0 |
|
LOC_CURRCY |
Local Currency |
HWAER |
|
CUKY |
|
5 |
0 |
|
LOC_CURRCY_ISO |
ISO currency code |
ISOCD |
|
CHAR |
|
3 |
0 |
|
PAR2_CURRENCY |
Currency Key of Second Local Currency |
HWAE2 |
|
CUKY |
|
5 |
0 |
|
PAR2_CURRENCY_ISO |
ISO currency code |
ISOCD |
|
CHAR |
|
3 |
0 |
|
PAR3_CURRENCY |
Currency Key of Third Local Currency |
HWAE3 |
|
CUKY |
|
5 |
0 |
|
PAR3_CURRENCY_ISO |
ISO currency code |
ISOCD |
|
CHAR |
|
3 |
0 |
|
DOCNO_CLEARED_ITEM |
Document Number of Cleared Item |
CDOCN |
|
CHAR |
|
12 |
0 |
|
DISC_RATE_CHAR |
Discount percentage in CHARACTER format |
SKTPZ_CHAR |
|
CHAR |
|
6 |
0 |
|
TRAN_RATE_CHAR |
Exchange rate in CHARACTER format |
KURSF_CHAR |
|
CHAR |
|
15 |
0 |
|
AMOUNT_DEDUCTION_LOC |
Deduction amount in local currency with +/- sign |
BP_SKTHW_KK |
|
DEC |
|
23 |
4 |
|
AMOUNT_DEDUCTION |
Deduction amount in document currency with +/- sign |
BP_SKTFW_KK |
|
DEC |
|
23 |
4 |
|
DUE_ITEM |
Item is due |
XDUET_KK |
|
CHAR |
|
1 |
0 |
Possible values
|
DOWN_PAYMENT_ITEM |
Item is a real down payment |
XEANZ_KK |
|
CHAR |
|
1 |
0 |
Possible values
|
ROW |
Lines in parameter |
BAPI_LINE |
|
INT4 |
|
10 |
0 |
|
FM_CATEGORY |
Update Method for FM - FI-CA Integration |
FMTYP_KK |
|
CHAR |
|
2 |
0 |
Possible values
A |
Invoice |
B |
Paid Invoice |
C |
Clearing |
D |
Clearing of Invoice in Prior Year |
E |
Clearing of Invoice in Next Year |
F |
Transfer Posting |
G |
Payment on Account |
H |
Down Payment |
I |
G/L Account Transfer Posting |
J |
Clarification Worklist |
K |
Tax Item Created Automatically |
L |
Invoice from Legacy System |
M |
Reversal of Invoice in Prior Year |
O |
Paid Invoice from Prior Year |
P |
No Update |
Q |
Clearing of Invoice and Credit Memo |
R |
Clearing of Invoice and Credit Memo (Document in Prior Year) |
S |
Clearing of Invoice and Credit Memo (Document in Next Year) |
T |
Paid Invoice (Clearing with Credit Memo) |
U |
Paid Invoice Prior Year (Clearing with Credit Memo) |
V |
Posting before FM Activation |
|
FM_ORIG_AREA |
Original FM Area for FM Account Assignment |
ORIGFIKRS_KK |
|
CHAR |
|
4 |
0 |
|
CMMT_ITEM |
Commitment Item |
FM_FIPEX |
|
CHAR |
|
24 |
0 |
|
FUNDS_CTR |
Funds Center |
FISTL |
|
CHAR |
|
16 |
0 |
|
FUND |
Fund |
BP_GEBER |
|
CHAR |
|
10 |
0 |
|
FUNC_AREA |
Functional Area |
FKBER |
|
CHAR |
|
16 |
0 |
|
W_TAX_CODE |
Withholding Tax Code |
QSSKZ |
|
CHAR |
|
2 |
0 |
|
W_TAX_SUPPL |
Withholding Tax Supplement |
QSSEW_KK |
|
CHAR |
|
2 |
0 |
|
W_TAX_LICAT |
Line Item Category From Withholding Tax View |
QSPTP_KK |
|
CHAR |
|
1 |
0 |
Possible values
NULL |
No item with withholding tax information |
A |
Withholding Tax Withheld by Us at Payment |
E |
Credit memo for withholding tax that the customer withholds |
U |
Withholding tax withheld by customer, still no credit memo |
G |
Withholding tax withheld by customer, credit memo exists too |
N |
W/Tax Zero Percent on Debit Side, Report on Payment |
R |
W/Tax Zero Percent on Debit Side, Report on Invoice |
S |
Withholding Tax Deducted by Us at Invoicing |
P |
Withholding Tax Partially Deducted by Us at Invoicing |
V |
Withholding Tax Deducted at Invoicing |
|
W_TAX_BASE |
Tax Base Amount |
BP_QSSHB_KK |
|
DEC |
|
23 |
4 |
|
W_TAX_AMOUNT |
Withholding Tax Amount in Document Currency |
BP_QBSHB_KK |
|
DEC |
|
23 |
4 |
|
EXEMPT_NO |
Certificate Number of the Withholding Tax Exemption |
QSZNR |
|
CHAR |
|
10 |
0 |
|
CLASS_KEY |
Classification Key |
OPORD_KK |
|
CHAR |
|
35 |
0 |
|
SUB_APPLICATION |
Subapplication in Contract Accounts Receivable and Payable |
SUBAP_KK |
|
CHAR |
|
1 |
0 |
Possible values
|
TAX_AMOUNT_GL |
Tax Amount for Update in General Ledger |
BP_PSWTX_KK |
|
DEC |
|
23 |
4 |
|
CURRENCY_GL |
Update Currency for General Ledger Transaction Figures |
PSWSL_KK |
|
CUKY |
|
5 |
0 |
|
CURRENCY_GL_ISO |
ISO currency code |
ISOCD |
|
CHAR |
|
3 |
0 |
|
AMOUNT_GL |
Amount for Updating in General Ledger |
BP_PSWBT_KK |
|
DEC |
|
23 |
4 |
|
MEASURE |
Funded Program |
FM_MEASURE |
|
CHAR |
|
24 |
0 |
|
GRANT_NBR |
Grant |
GM_GRANT_NBR |
|
CHAR |
|
20 |
0 |
|
FISC_YEAR |
Fiscal Year |
GJAHR |
|
NUMC |
|
4 |
0 |
|
SEGMENT |
Segment for Segmental Reporting |
SEGMT_KK |
|
CHAR |
|
10 |
0 |
|
STAT_TAX_AMOUNT |
Tax Amount as Statistical Information in Document Currency |
BP_STTAX_KK |
|
DEC |
|
23 |
4 |
|
FINAL_RECIPIENT |
Contract Account of Final Recipient |
FINRE_KK |
|
CHAR |
|
12 |
0 |
|
REFERENCE_POSITION |
Reference Item for External Billing System |
REFKY_KK |
|
CHAR |
|
35 |
0 |
|
EXTERNAL_SYSTEM |
ID of External System |
REFSY_KK |
|
CHAR |
|
3 |
0 |
|
PORTION_TAX_AMOUNT_LOC |
Tax Portion in FI-CA Local Currency |
BP_SCTAX_KK |
|
DEC |
|
23 |
4 |
|
FUND_LONG |
Char 20 |
CHAR20 |
|
CHAR |
|
20 |
0 |
|
CRD_DETAILS |
Alternative Payment Card ID in Document |
EMCRD_KK |
|
CHAR |
|
6 |
0 |
|
REFERENCE_ITEM |
Reference Item In FI-CA Document |
RFUPK_KK |
|
NUMC |
|
4 |
0 |
|
OTHER_TAX_CODE |
Tax Code for Other Taxes |
STRKZ_KK |
|
CHAR |
|
2 |
0 |
|
TAX_CATEGORY |
Tax type |
J_1AFITP_D |
|
CHAR |
|
2 |
0 |
|
SENDER_ID |
Sender ID of Systems Connected to FI-CA |
SENDR_KK |
|
CHAR |
|
3 |
0 |
|
PROFIT_CTR |
Profit Center |
PRCTR |
|
CHAR |
|
10 |
0 |
|
BUDGET_PERIOD |
FM: Budget Period |
FM_BUDGET_PERIOD |
|
CHAR |
|
10 |
0 |
|
CONTRACT_POS |
Contract: Item Number |
VTPOS_KK |
|
NUMC |
|
6 |
0 |
|
COLLSTRAT |
Collection Strategy |
STRAT_CM_KK |
|
CHAR |
|
2 |
0 |
|
COLLSTEP |
Collection Step |
STEP_CM_KK |
|
CHAR |
|
4 |
0 |
|
COLLSTEPLEVEL |
Collection Level |
STEPLEVEL_CM_KK |
|
NUMC |
|
2 |
0 |
|