SAP Table JBSBETFE
Substructure for Amount Fields in Report Data Record
JBSBETFE (Substructure for Amount Fields in Report Data Record) is a standard table in SAP R\3 ERP systems. Below you can find the technical details of the fields that make up this table. Key fields are marked in blue.
Additionally we provide an overview of foreign key relationships, if any, that link JBSBETFE to other SAP tables.
JBSBETFE table fields
Field | Data element | Checktable | Datatype | Length | Decimals | |||
---|---|---|---|---|---|---|---|---|
BABSCH | Depreciation of Own Holdings | JBBABSCH | CURR | 17 | 2 | |||
BAUSBT | Disbursement in Reporting Period | JBBAUSBT | CURR | 17 | 2 | |||
BDIFSL | Balance Difference for Zero Bonds | JBBDIFSL | CURR | 17 | 2 | |||
BEWBRE | Individual Value Adjustment Surplus Amount | JBBEWBRE | CURR | 17 | 2 | |||
BOFLIM | Open Commitments (Principle 1 and BISTA) | JBBOFLIM | CURR | 17 | 2 | |||
BSREAL | Real Estate Loan according to SA1.1 031/QS1.1 031 | JBBSREAL | CURR | 17 | 2 | |||
BSPARB | Balance of Debits in Savings Transactions | JBBSPARB | CURR | 17 | 2 | |||
BSPARG | Balance of Credits in Savings Transactions | JBBSPARG | CURR | 17 | 2 | |||
BWKTSL | Balance in Original Currency | JBBWKTSL | CURR | 17 | 2 | |||
BWNOML | Nominal Value in Currency | JBBWNOML | CURR | 17 | 2 | |||
BWTFSL | Special Balance Receivables Due Daily | JBBWTFSL | CURR | 17 | 2 | |||
BWTVSL | Special Balance Payables Due Daily | JBBWTVSL | CURR | 17 | 2 | |||
BZINSL | Balance Interest Accrued for Zero Bonds | JBBZINSL | CURR | 17 | 2 | |||
BZUSAG | Amount Commitments (Commitment Statistics) | JBBZUSAG | CURR | 17 | 2 | |||
BGSIKO | Correction Value for Principle I Balance | JBBGSIKO | CURR | 17 | 2 | |||
BSBE80 | Pledge with 20% Weighting in Principle I | JBBSBE80 | CURR | 17 | 2 | |||
BSBEVO | Pledge with 0% Weighting in Principle I | JBBSBEVO | CURR | 17 | 2 | |||
BSVOLL | Guarantees with 0% Weighting in Provision I | JBBSVOLL | CURR | 17 | 2 | |||
BSW80K | Securities Pledge with 20% Weighting in Provision I | JBBSW80K | CURR | 17 | 2 | |||
BSW80N | Securities Pledge with 20% Weighting in Provision I | JBBSW80N | CURR | 17 | 2 | |||
BSWPVO | Securities Pledge with 0% Weighting in Provision I | JBBSWPVO | CURR | 17 | 2 | |||
BSZENB | Guarantees from Central Banks in Zone B | JBBSZENB | CURR | 17 | 2 | |||
BIKI80 | Collat.of CI with 20% Weight.for Simul.Rep.Agreement in Pr.I | JBBIKI80 | CURR | 17 | 2 | |||
BIPKIB | Guarantee of CI in Zone B with Simul.Rep.Agreement in Pr.I | JBBIPKIB | CURR | 17 | 2 | |||
BINB80 | Collateral of Non-Bank w.20% Weight.for Simul.Rep.Agreement | JBBINB80 | CURR | 17 | 2 | |||
BIVOLL | Collateral for Simul.Rep.Agreement with 0% Weighting in Pr.I | JBBIVOLL | CURR | 17 | 2 | |||
BIZENB | Guarantees from Foreign Central Banks, 0% Weighting | JBBIZENB | CURR | 17 | 2 | |||
BIASL1 | Balance for Principle Ia | JBBIASL1 | CURR | 17 | 2 | |||
BIASL2 | Balance 2 for Principle Ia | JBBIASL2 | CURR | 17 | 2 | |||
BSF80K | Collateral for Financial Innov.of CI with 20% Weight.in PrI | JBBSF80K | CURR | 17 | 2 | |||
BSF80N | Collat. for Financ. Innov. of Non-Banks w.20% Weight.in PrI | JBBSF80N | CURR | 17 | 2 | |||
BSFKIB | Collateral for Financ. Innov. of CI w. 20% Weight. in Pr.I | JBBSFKIB | CURR | 17 | 2 | |||
BSFVOL | Collateral for Fin.Innov.with 0% Weighting in Pr.I | JBBSFVOL | CURR | 17 | 2 | |||
BTERMP | Forward Price for Option Price Model | JBBTERMP | DEC | 11 | 5 | |||
BSIBT0 | Secured Amount 0 | JBBSIBT0 | CURR | 17 | 2 | |||
BSIBT1 | Secured Amount 1 | JBBSIBT1 | CURR | 17 | 2 | |||
BSIBT2 | Secured Amount 2 | JBBSIBT2 | CURR | 17 | 2 | |||
BSIBT3 | Secured Amount 3 | JBBSIBT3 | CURR | 17 | 2 | |||
BSIBT4 | Secured Amount 4 | JBBSIBT4 | CURR | 17 | 2 | |||
BSIBT5 | Secured Amount 5 | JBBSIBT5 | CURR | 17 | 2 | |||
BSIBT6 | Secured Amount 6 | JBBSIBT6 | CURR | 17 | 2 | |||
BSIBT7 | Secured Amount 7 | JBBSIBT7 | CURR | 17 | 2 | |||
BSIBT8 | Secured Amount 8 | JBBSIBT8 | CURR | 17 | 2 | |||
BSIBT9 | Secured Amount 9 | JBBSIBT9 | CURR | 17 | 2 | |||
BZUSGA | Amount Open Commitment for Foreign Loan Portfolio | JBBZUSGA | CURR | 17 | 2 | |||
BZUSGC | Amount Open Commitments for COOKE | JBBZUSGC | CURR | 17 | 2 | |||
BKRAEQ | Credit Equivalence Amount | JBBKRAEQ | CURR | 17 | 2 | |||
BNETLZ | Amount Used as Calculation Base for Netting | JBBNETLZ | CURR | 17 | 2 | |||
BNETMB | Net Coverage Cost (with Netting) | JBBNETMB | CURR | 17 | 2 | |||
BOFFLS | Secondary Balance from Direct Debit Transactions | JBBOFFLS | CURR | 17 | 2 | |||
BZAHLB | Reporting Amount Payments | JBBZAHLB | CURR | 17 | 2 | |||
BSONSA | Reporting Amount for Other Expenses | JBBSONSA | CURR | 17 | 2 | |||
BSONSE | Reporting Amount for Other Revenue | JBBSONSE | CURR | 17 | 2 | |||
BZAUFW | Reporting Amount Costs Equivalent to Interest | JBBZAUFW | CURR | 17 | 2 | |||
BZERTR | Reporting Amount Interest Equivalent to Income | JBBZERTR | CURR | 17 | 2 | |||
BZAUSB | Reporting Amount Interest Costs | JBBZAUSB | CURR | 17 | 2 | |||
BZEINB | Reporting Amount Interest Income | JBBZEINB | CURR | 17 | 2 | |||
BRLZ1J | Loan Parts w.Resid.Term of Upto 1 Year to For.Parties in DM | JBBRLZ1J | CURR | 17 | 2 | |||
BRLZ2J | Loan Parts w.Resid.Term of 1 Year Plus to For.Parties in DM | JBBRLZ2J | CURR | 17 | 2 | |||
BAVALD | Amount of Guarantee | JBBAVALD | CURR | 17 | 2 | |||
BSB1_1 | Collateral Amount according to �13(1) for Collateral Key 1 | JBBSB1_1 | CURR | 17 | 2 | |||
BSB1_2 | Collateral Amount according to �13(2) for Collateral Key 1 | JBBSB1_2 | CURR | 17 | 2 | |||
BSB14E | Collateral Amount acc. �13(4)(Indiv.) for Collateral Key 1 | JBBSB14E | CURR | 17 | 2 | |||
BSB14G | Collateral Amount acc. �13(4)(Overall) for Collateral Key 1 | JBBSB14G | CURR | 17 | 2 | |||
BSB2_1 | Collateral Amount according to �13(1) for Collateral Key 2 | JBBSB2_1 | CURR | 17 | 2 | |||
BSB2_2 | Collateral Amount according to �13(2) for Collateral Key 2 | JBBSB2_2 | CURR | 17 | 2 | |||
BSB24E | Collateral Amount acc. �13(4) (Indiv.) for Collateral Key 2 | JBBSB24E | CURR | 17 | 2 | |||
BSB24G | Collateral Amount acc. �13(4) (Overall) for Collateral Key 2 | JBBSB24G | CURR | 17 | 2 | |||
BSB3_1 | Collateral Amount according to �13(1) for Collateral Key 3 | JBBSB3_1 | CURR | 17 | 2 | |||
BSB3_2 | Collateral Amount according to �13(2) for Collateral Key 3 | JBBSB3_2 | CURR | 17 | 2 | |||
BSB34E | Collateral Amount acc. �13(4)(Indiv.) for Collateral Key 3 | JBBSB34E | CURR | 17 | 2 | |||
BSB34G | Collateral Amount acc. �13(4)(Overall) for Collateral Key 3 | JBBSB34G | CURR | 17 | 2 | |||
BSB4_1 | Collateral Amount acc. to �13(1) for Collateral Key 4 | JBBSB4_1 | CURR | 17 | 2 | |||
BSB4_2 | Collateral Amount acc. to �13(2) for Collateral Key 4 | JBBSB4_2 | CURR | 17 | 2 | |||
BSB44E | Collateral Amount acc. �13(4)(Indiv.) for Collateral Key 4 | JBBSB44E | CURR | 17 | 2 | |||
BSB44G | Collateral Amount acc. �13(4)(Overall) for Collateral Key 4 | JBBSB44G | CURR | 17 | 2 | |||
BSB5_1 | Collateral Amount acc. to �13(1) for Collateral Key 5 | JBBSB5_1 | CURR | 17 | 2 | |||
BSB5_2 | Collateral Amount acc. to �13(2) for Collateral Key 5 | JBBSB5_2 | CURR | 17 | 2 | |||
BSB54E | Collateral Amount acc. to �13(4)(single) for Coll.Key 5 | JBBSB54E | CURR | 17 | 2 | |||
BSB54G | Collateral Amount acc.to �13(4)(total) for Collateral Key 5 | JBBSB54G | CURR | 17 | 2 | |||
BAKAKN | Syndicate Share of the Lender | JBBAKAKN | CURR | 17 | 2 | |||
BDMGEG | DM Equivalent | JBBDMGEG | CURR | 17 | 2 | |||
BEWBER | Individual Value Adjustments | JBBEWBER | CURR | 17 | 2 | |||
BIANOM | Nominal Amount Forward/Option Transaction in DM | JBBIANOM | CURR | 17 | 2 | |||
BILIMT | Internal Credit Limit | JBBILIMT | CURR | 17 | 2 | |||
BINNOM | Securities in Investment Fund/ GBA Nominal Values | JBBINNOM | CURR | 17 | 2 | |||
BKKOST | Credit Costs Effective p.a. (�13 Display) | JBBKKOST | DEC | 6 | 3 | |||
BKLIM2 | 2nd External Credit Commitment | JBBKLIM2 | CURR | 17 | 2 | |||
BKLIMI | Irreducible Credit Limit | JBBKLIMI | CURR | 17 | 2 | |||
BKOMPE | Netting Amount | JBBKOMPE | CURR | 17 | 2 | |||
BMBMTP | MVM Amount Valued with Forward Rate | JBBMBMTP | CURR | 17 | 2 | |||
BMBMBP | MVM Amount Valued with Base Price | JBBMBMBP | CURR | 17 | 2 | |||
BMBMSL | Amount for Market Valuation Method | JBBMBMSL | CURR | 17 | 2 | |||
BMIOS2 | Second Secured Amount in Millions | JBBMIOS2 | CURR | 17 | 2 | |||
BMIOSI | Secured Amount in Millions | JBBMIOSI | CURR | 17 | 2 | |||
BNACHH | Risk Amount for Underwriting Bank with Pass-Through Security | JBBNACHH | CURR | 17 | 2 | |||
BORGSI | Secured Staff Loan | JBBORGSI | CURR | 17 | 2 | |||
BRUECK | Separate Display of Arrears with Display in Millions | JBBRUECK | CURR | 17 | 2 | |||
BSKI80 | Guarantee CI with 20% Weighting in Provision I | JBBSKI80 | CURR | 17 | 2 | |||
BSKIZB | Guarantee from Credit Institution in Zone B | JBBSKIZB | CURR | 17 | 2 | |||
BSNB80 | Guarantees fr.Non-Banks with 20% Weighting in Pr.I | JBBSNB80 | CURR | 17 | 2 | |||
BSPBET | Special Amount for Exempted Partial Balance | JBBSPBET | CURR | 17 | 2 | |||
BSTRIB | Exercise Price or Percentage Rate | JBBSTRIB | CURR | 17 | 2 | |||
BUNEPG | Simulated Repurchase Transaction | JBBUNEPG | CURR | 17 | 2 | |||
BUNTER | Subparticipation | JBBUNTER | CURR | 17 | 2 | |||
BVORHA | Risk Amount for Suggested CI with Pass-Through Loans | JBBVORHA | CURR | 17 | 2 | |||
BBETRG | Contract Size of a Security Contract (amount) | JBBKONBE | CURR | 17 | 2 | |||
BSTUCK | Contract Size of a Security Contract (number) | JBBSTUCK | DEC | 15 | 5 | |||
BKONAN | Contract Size of a Security Contract (number) | JBBKONAN | DEC | 15 | 5 |