HKTID - ID for Account Details

SAP data element HKTID has the title "ID for Account Details".
It is part of development package BF in software component CA-BK. This development package consists of objects that can be grouped under "FI Cross-application Objects".

Properties of data element HKTID

Property
DomainHKTID
Data TypeCHAR
Length5
Decimals0
Output Length5
Supports lower caseNo
Conversion Routine
Short DescriptionAccount ID
Medium DescriptionAccount ID
Long DescriptionAccount ID

Tables with fields of type HKTID

The data element HKTID is used by fields in the following tables.

Table
Development Package
T7RU1655Infotype 1655 Fields: Legal properties (Russia)PAOC_PAD_RUAdd-on Personnel Administration: Russia
TBKCBHouse Bank per CurrencyFMZEISPS: Payment program for payment requests - EU-specifics
TBKCRHouse Bank per Super Region and CurrencyFMZEISPS: Payment program for payment requests - EU-specifics
PFM_12TD01FI: PA - authorization header dataPFM_12FIObjects for FI module
PAYRCAdditional Header Data for Recovery OrderFMFI_EUIS-PS: Basics for Funds Management for EU
PSOSEGDDocument Segment: Recurring Request, CustomerFMFIIS-PS: FI Basics for Funds Management
PSOSEGKRecurring Request Document Segment, VendorsFMFIIS-PS: FI Basics for Funds Management
FMSHERLOCKClarification List (Payments to be Clarified)FMBELIDCProcessing List (Assign/Process Unsolved Documents)
TKKVBAKTBanks for PaymentISCDFUNFS-CD: Collections/Disbursements Functionality
ITAGCYHBNKHouse Banks for AgenciesFSCDITAGCY_DDICFS-CD: Italian Agency Management - DDIC Objects
ITAGCYPYMETSETSetting Payment Methods in Agency CollectionsFSCDITAGCY_DDICFS-CD: Italian Agency Management - DDIC Objects
TICLCHECK01Check Register Including Check Number AssignmentICL_CFFS-CM: Claims Management Financials
/PRA/C_PP_BANKPayment Processing - Cash Company Bank Info/PRA/PAYMENT_PROCESSINGPayment Processing
/PRA/PP_RUN_HDRPayment Processing - Run Header/PRA/PAYMENT_PROCESSINGPayment Processing
GLE_FI_ITEM_MODFECS: Modified FI Line Items (Header/Item/Currency Data)AC_INT_ECS_PER_APPLECS: Persistence Layer
GLE_FI_ITEM_ORIGECS: Original FI Line Items (Header/Line Item/Crcy Actg I/F)AC_INT_ECS_PER_APPLECS: Persistence Layer
CNV_20100_SKB1CNV backup copy for SKB1CNV_20100CNCC: Chart of accounts conversion
CNV_10993_HKTIDRemoved HKTID from Coding Scan based on HBKIDCNV_10993SLO Coding Scan 10993
EDOEUBANKACCBank Accounts for Company CodeGLO-EDO-EUeDocument EU
ABPPAYBT_DRAFTI_ABPPAYMENTBATCHTP I_ABPPAYMENTBATCHTPODATA_BANK_PAYMENT_APPROVALBank Payment Approval
ABPPAY_DRAFTI_ABPPAYMENTBATCHTP I_ABPPAYMENTTPODATA_BANK_PAYMENT_APPROVALBank Payment Approval
PAYRQ_DRAFTI_PAYMENTREQUESTTP I_PAYMENTREQUESTTPODATA_PROCESS_FF_PAYMENTSoData Services - Process Free Form Payments
ALLOC_RUN_RESAllocation run resultODATA_RUN_ALLOCATIONRun Allocations
T8JNJV Funding Group assignmentGJVB
T8JVBCC_HBHousebank for cash call direct billGJVA
BSAD_BAKAccounting: Secondary index for customers (cleared items)FBASFinancial Accounting "Basis"
BSAD_BCKAccounting: Secondary index for customers (cleared items)FBASFinancial Accounting "Basis"
BSAK_BAKAccounting: Secondary Index for Vendors (Cleared Items)FBASFinancial Accounting "Basis"
BSAK_BCKAccounting: Secondary index for vendors (cleared items)FBASFinancial Accounting "Basis"
BSEGAccounting Document SegmentFBASFinancial Accounting "Basis"
BSID_BAKAccounting: Secondary Index for CustomersFBASFinancial Accounting "Basis"
BSID_BCKAccounting: Secondary Index for CustomersFBASFinancial Accounting "Basis"
BSIK_BAKAccounting: Secondary index for vendorsFBASFinancial Accounting "Basis"
BSIK_BCKAccounting: Secondary index for vendorsFBASFinancial Accounting "Basis"
T045EPresentation to BankFBASFinancial Accounting "Basis"
T046AAssignment:1 Bank Cmmt Acct - diverse Bill of Ex.Return ActsFBASFinancial Accounting "Basis"
T048YCompany Code Data on Attached Payment MediumsFAPMAttached Payment Media
VBSEGDDocument Segment for Customer Document ParkingFBASFinancial Accounting "Basis"
VBSEGKDocument Segment for Vendor Document ParkingFBASFinancial Accounting "Basis"
VBSEGSDocument Segment for Document Parking - G/L Account DatabaseFBASFinancial Accounting "Basis"
FUDT_VDOCBSEGVerification Document Item with Additional InfoEA_FIN_UI_DECO_API_VERIFYFrontend Backend Decoupling - APIs for Verification
FUDT_VDOCBSEGEVVerification Document Item in the Entry ViewEA_FIN_UI_DECO_API_VERIFYFrontend Backend Decoupling - APIs for Verification
FUDT_VDOCBSEGHVerification Document Segment with Additional Info(History)EA_FIN_UI_DECO_API_VERIFYFrontend Backend Decoupling - APIs for Verification
CUP_T012K_ITHouse bank details for CUP/CIGFBZPayments
FPRL_ITEMItem DataFIN_PRLPayment Release List
OPN_J1Japanese DME Foreign Payment Accounting Data (Open FI)FBZPayments
OPN_J1Japanese DME Foreign Payment Accounting Data (Open FI)FBZPayments
OPN_J1Japanese DME Foreign Payment Accounting Data (Open FI)FBZPayments
PYORDHPayment order header dataFBZPayments
REGUHSettlement data from payment programFBZPayments
REGUHHREGUH version before the 'n'th changeFBZPayments
REGUHOREGUH version before the 'n'th changeFBZPayments
T042DAvailable amounts for payment programFBZPayments
T042IAccount determination for payment programFBZPayments
T042IYAccount Determination for Payment ProgramsFBZPayments
T042VValue date for automatic paymentsFBZPayments
T045TUser ID for bank transactionsFBZPayments
IDFIPAYM_CCHACollection characteristic values assignmentID-FI-REU-PAYMFI Localization: Country-specific Payment Formats
IDFIPAYM_EOB_CDetermine External transaction - settings for payment sym.ID-FI-REU-PAYMFI Localization: Country-specific Payment Formats
BSIXIndex table for customer bills of exchange usedFBDCustomers
T045BExpense/Bank Accounts and Tax Codes for Bill PresentationFBDCustomers
T045DAvailable amounts for bill of exchange presentationFBDCustomers
T045FBank selection for bill of exchange presentationFBDCustomers
DFPAYGPayment date: GroupingBFIBL_PAYMPayment medium
DFPAYVPayment Medium: Selection VariantsBFIBL_PAYMPayment medium
T012KHouse Bank AccountsBFIBL_BANKHouse Banks
T012THouse Bank Account NamesBFIBL_BANKHouse Banks
FIBL_RPCODEMaster Data for Repetitive CodeFIBL_RPCODERepetitive Codes
REGUHMPayment Data for Cross-Payment Run Payment MediumFIBL_MPAYPayment Media from Several Payment Runs
TCJ_POSITIONSCash Journal Document ItemsCAJOCash Journal Development
TFIBLMPVAROnline Payment: VariantsFIBL_OPAYCreate Payments Online
PAYRPayment Medium FileBFIBL_CHECK_DPayment : General Section
PCECPrenumbered ChecksBFIBL_CHECK_DPayment : General Section
T042YPAccount Determination for HR PaymentsBFIBL_PAYBank Subledger: Interface and Payments
TFIBLHBG1Group of House Bank Accounts: DetailsBFIBL_PAYBank Subledger: Interface and Payments
FEBKOElectronic Bank Statement Header RecordsFTEBank accounting: External payment information
FEBKO_REVERSEDHeader of Reversed Bank StatementsFTEBank accounting: External payment information
T028PAssign Search Strings to Bank Statement TransactionsFTEBank accounting: External payment information
TFTE_BSM_CUSTCustomizing: Bank Statement MonitorFTEBank accounting: External payment information
PAYRQPayment RequestsFMZAPayment program for payment requests
T018VAcct Transfer: Determine Receiving Bank's Clearing AccountFMZAPayment program for payment requests
T042YAccount Determination for Bank to Bank PaymentsFMZAPayment program for payment requests
FEBKO_TRANSFERTransferred Bank StatementsFIN_EB_BSIMPElectronic Bank Statement - Import
FEB_IMP_POSTPosting Parameters for Electronic Bank StatementFIN_EB_BSIMPElectronic Bank Statement - Import
FEB_IMP_SELOPTSelection Options of Posting ParametersFIN_EB_BSIMPElectronic Bank Statement - Import
DFKKCFPAYRUN2Clarification Worklist: Payment Program (New Version)FKK_PAYMENT_RUNFI-CA: Payment Run
DFKKCMKManually Issued Checks Lot: Header DataFKK_CHECK_MANAGEMENTFI-CA: Check Management
DFKKCMPManually Issued Checks Lot: Item DataFKK_CHECK_MANAGEMENTFI-CA: Check Management
DFKKCRRepository For ChecksFKK_CHECK_MANAGEMENTFI-CA: Check Management
DFKKCR2PCheck Repository: Additional PayeesFKK_CHECK_MANAGEMENTFI-CA: Check Management
DFKKCRADDCR: Additional Information for Payment MediumFKK_CHECK_MANAGEMENTFI-CA: Check Management
DFKKCRCASHCR: Cashed Checks Not Yet Entered in RegisterFKK_CHECK_MANAGEMENTFI-CA: Check Management
DFKKCRCLTable for Checks To Be ClarifiedFKK_CHECK_MANAGEMENTFI-CA: Check Management
DFKKCRCL_DOCSTable for Checks To Be ClarifiedFKK_CHECK_MANAGEMENTFI-CA: Check Management
DFKKCRDELCR: Deleted Payment Medium / Basic DataFKK_CHECK_MANAGEMENTFI-CA: Check Management
DFKKCRDEL2PCR: Deleted Payment Medium / Payee DataFKK_CHECK_MANAGEMENTFI-CA: Check Management
DFKKCRDELADDCR: Deleted Payment Medium / Additional DataFKK_CHECK_MANAGEMENTFI-CA: Check Management
DFKKCRDELD2Check Register: Deleted Payment Media/Partial EncashmentsFKK_CHECK_MANAGEMENTFI-CA: Check Management
DFKKCRDELESCHCheck Register: Escheatment DataFKK_CHECK_MANAGEMENTFI-CA: Check Management
DFKKCRDOC2Check Management: Partial EncashmentsFKK_CHECK_MANAGEMENTFI-CA: Check Management
DFKKCRESCHCheck Register: Escheatment DataFKK_CHECK_MANAGEMENTFI-CA: Check Management
DFKKCRESCHCClarification Cases for Manual Escheatment ProcessFKK_CHECK_MANAGEMENTFI-CA: Check Management
DFKKCROWNCR: Information on Issued Check FormsFKK_CHECK_MANAGEMENTFI-CA: Check Management
DFKKEXCExternal Payment InformationFKKEXCExternal Cash Desk Services
DFKKEXC_TMPExternal Payment Information: Account Assignment ParametersFKKEXCExternal Cash Desk Services
DFKKMOPKItems in contract account documentFKKBContract A/R & A/P: Central Objects
DFKKOPKItems in contract account documentFKKBContract A/R & A/P: Central Objects
DFKKPAHPayment NotificationFKKBContract A/R & A/P: Central Objects
DFKKPOHPayment Order: Header DataFKKBContract A/R & A/P: Central Objects
DFKKPRQRIPayment Request - ReferenceFKKB_ENContract accounting: Core objects ( language English)
DFKKRHReturns HistoryFKK_RETURNSFI-CA: Returns
DFKKRKReturns lot: Header dataFKK_RETURNSFI-CA: Returns
DFKKRPReturns lot: Data for paymentFKK_RETURNSFI-CA: Returns
DFKKSUMPosting totals from FI-CAFKK_GLTRANSFI-CA: G/L Transfer
DFKKZARepayment RequestFKKBContract A/R & A/P: Central Objects
DFKKZKPayment lot: Header dataFKKBContract A/R & A/P: Central Objects
DPAYCHKHHeader: Accounting Using Creation of Payment MediaFKK_CHECK_MANAGEMENTFI-CA: Check Management
DPAYCHKH1Supplemental Assignments with Creation of Payment MediaFKK_CHECK_MANAGEMENTFI-CA: Check Management
DPAYCHKNUMCheck Number Lot: HeaderFKK_CHECK_MANAGEMENTFI-CA: Check Management
DPAYCHKNUMPCheck Number Lot: Single NumbersFKK_CHECK_MANAGEMENTFI-CA: Check Management
DPAYCHKPHeader: Accounting Using Creation of Payment MediaFKK_CHECK_MANAGEMENTFI-CA: Check Management
DPAYCHKSETCheck: Settings for Check Creation for House BanksFKK_CHECK_MANAGEMENTFI-CA: Check Management
DPAYGPayment program - payment groupFKK_PAYMENT_RUNFI-CA: Payment Run
DPAYHPayment program - data for paymentFKK_PAYMENT_RUNFI-CA: Payment Run
DPAYVPayment program: Variants for payment medium and listFKK_PAYMENT_MEDIUMFI-CA: Payment Medium
TFK012Bank clearing accountsFKKBContract A/R & A/P: Central Objects
TFK012AAllocation pmnt methods -> Bank trans.FKKBContract A/R & A/P: Central Objects
TFK012BAdditional Bank Accounts for Bank Clearing AccountsFKKBContract A/R & A/P: Central Objects
TFK042APayment Program: Bank SelectionFKK_PAYMENT_RUNFI-CA: Payment Run
TFK042AXLPayment Program: Bank Selection - ID (Values)FKK_PAYMENT_RUNFI-CA: Payment Run
TFK042HOwn Bank DetailsFKK_PAYMENT_RUNFI-CA: Payment Run
TFK042UPayment Medium: Internal Note to PayeeFKK_PAYMENT_MEDIUMFI-CA: Payment Medium
TFK042VPayment Program: Determination of Value DateFKK_PAYMENT_RUNFI-CA: Payment Run
TFK045TUser ID for Bank TransactionsFKKBContract A/R & A/P: Central Objects
TFKBBOL_DEFLTBoleto: default instruction keysFKKBContract A/R & A/P: Central Objects
TFKBOL_ICODEBoleto: Internal action code for the instruction keyFKKBContract A/R & A/P: Central Objects
TFKPRQP1Payment Request - Payment ProvidersFKKB_ENContract accounting: Core objects ( language English)
TFKPRQPR1Payment Request Profile - ItemsFKKB_ENContract accounting: Core objects ( language English)
CFIN_CPAY_PAYRCPAY: Outgoing Check MigrationFINS_CFIN_APARCentral Finance - AP/AR
CFIN_ACCITTransfer Table for ACCITFIN_CFIN_INTEGRATIONCentral Finance � Integration
CFGFCHI_O005N70for eCATT /SMBUSE/FCHI_O005_N70FINS_GEN_CONT_ACTIVContent Activation
CFG_FIN_BAM_AMDCBC: C-table for RC CL_FINS_CNTACT_BAM_AMDFINS_GEN_CONT_ACTIVContent Activation
CFG_FIN_BAM_AMDCBC: C-table for RC CL_FINS_CNTACT_BAM_AMDFINS_GEN_CONT_ACTIVContent Activation
FAP_RSIV_TMPLRtemplate of recurring supplier invoicesODATA_RECUR_SUPPLIER_INVOICESoData Service - Manage Recurring Supplier Invoices
FAP_RSIV_TMPLR_DR_RECRRGSUPLRINVCTMPLTP R_RECRRGSUPLRINVCTMPLTPODATA_RECUR_SUPPLIER_INVOICESoData Service - Manage Recurring Supplier Invoices
FAR_PSTRL_HISTPosting rule proposed based on historical dataODATA_AR_POSTING_RULESPosting rules for RBS automation
SKB1_DRAFTG/L Account (Company Code) DraftODATA_MANAGE_GLACCOUNTManage G/L Account
SKB1_DRAFT_20I_GLACCTINCHTACCTSTP I_GLACCTINCOCODETPODATA_MANAGE_GLACCOUNTManage G/L Account
KBLK_USERFields for addtl funds commt, funds precommt etc. hdr dataFMEUEarmarked Funds: Additional Developments
GLACCT_Q2P_MIG_BG/L account migration to Q2P: Transfer Table for SKB1FBSCR/3 customizing for G/L accounts
SKB1G/L account master (company code)FBSG/L Accounts
SKB1CEG/L Account Master (Company Code) + CELEMFBS_SE_GLMASTER_REPLCTNServices for Proxies
SKM1Sample G/L accountsFBSG/L Accounts
BSEG_ADDEntry View of Accounting Document for Additional LedgersFAGL_DB_PERSISTENCYDB Tables + Read/Write Accesses for FI Documents
ACDOCAUniversal Journal Entry Line ItemsFINS_ACDOC_DBUnified Journal Entry - Database Layer
ACDOCDUniversal Journal: Aged DetailsFINS_ACDOC_DBUnified Journal Entry - Database Layer
ACDOCTEMPUniversal Journal: Temporary DataFINS_ACDOC_DBUnified Journal Entry - Database Layer
FGL_BCF_PREBalance Carry Forward Preview DataFINS_ACDOC_DBUnified Journal Entry - Database Layer
T049APosting Data For Autocash With LockboxFREPRF reporting
/SAPCE/FK_MAXPRIPayment order limits/SAPCE/FKCZSKFI-CA localization Czech Republic, Slovakia
/SAPCE/FK_SLOZNASet B cheques/SAPCE/FKCZSKFI-CA localization Czech Republic, Slovakia
DFKKPNBKAPrenotification data (latest)FKK_INTDEVFI-CA: Country specific development
DFKKPNBKHPrenotification data (history)FKK_INTDEVFI-CA: Country specific development
DPAY_CHEZAGZTF Switzerland: Assignment of POR Number to Document NumberFKK_ID_XX_PAYMFI-CA Localization Cross-Country: Payment Medium
DFKKBOHBoleto: Header dataFKK_LOCAL_BRA_BOLETOBrazil Localization - Boleto
DFKKBOL_BANKIDBoleto: Bank ID Determination ResultsFKK_LOCAL_BRA_BOLETOBrazil Localization - Boleto
DFKKBRLEVYRECLevy Way: Data from Payment Lot for Levy Way report (Brazil)FKK_ID_BRFI-CA: Country specific development (Brazil)
TFK012DCVElectronic Bank Statement: Payment Agreements (Brazil)FKK_ID_BRFI-CA: Country specific development (Brazil)
TFKBOL_BANKIDBoleto: Bank ID Determination CustomizingFKK_LOCAL_BRA_BOLETOBrazil Localization - Boleto
TFKBOL_BANKID2Boleto: Bank ID Determination Customizing II-payment methodFKK_LOCAL_BRA_BOLETOBrazil Localization - Boleto
TFKBOL_BOLEXTBoleto: Number range for external BoletoFKK_LOCAL_BRA_BOLETOBrazil Localization - Boleto
TFKBOL_BOLXTBoleto: external Boleto number rangesFKK_LOCAL_BRA_BOLETOBrazil Localization - Boleto
TFKBOL_INST_CODEBoleto: Instruction KeysFKK_LOCAL_BRA_BOLETOBrazil Localization - Boleto
TFKB_015WInstruction keysFKK_LOCAL_BRA_BOLETOBrazil Localization - Boleto
PAYREQN_PAYSTGYPayment Requisition: Payment StrategyGLO_FIN_PAY_REQN_CNGlobalization Financials Payment Requisition for China
PAYREQN_PAYSTGYDDraft Table for entity R_CN_RequisitionPayStrategyTPGLO_FIN_PAY_REQN_CNGlobalization Financials Payment Requisition for China
BOE_BLANK_NOTESBlank NotesEA_FIN_CM_BOE_SRVBusiness Objects for Bill of Exchange
BOE_COL_ITEMCollection item data tableEA_FIN_CM_BOE_SRVBusiness Objects for Bill of Exchange
BOE_COL_ITEMCollection item data tableEA_FIN_CM_BOE_SRVBusiness Objects for Bill of Exchange
BOE_CUS_ITEMCustody item data tableEA_FIN_CM_BOE_SRVBusiness Objects for Bill of Exchange
BOE_DIS_ITEMDiscount item data tableEA_FIN_CM_BOE_SRVBusiness Objects for Bill of Exchange
BOE_DIS_ITEMDiscount item data tableEA_FIN_CM_BOE_SRVBusiness Objects for Bill of Exchange
BOE_DOCBoe DocumentEA_FIN_CM_BOE_SRVBusiness Objects for Bill of Exchange
BOE_PAY_ITEMPayment item data tableEA_FIN_CM_BOE_SRVBusiness Objects for Bill of Exchange
BOE_PAY_ITEMPayment item data tableEA_FIN_CM_BOE_SRVBusiness Objects for Bill of Exchange
BOE_PLE_ITEMPledge item data table of BoE managementEA_FIN_CM_BOE_SRVBusiness Objects for Bill of Exchange
EPICT_BRSBank Reconciliation StatementGLO_FIN_EPIC_CNGlobalization Financials E-Payment Integration China
EPICT_BRS_BSIBRS: Bank Statement ItemsGLO_FIN_EPIC_CNGlobalization Financials E-Payment Integration China
EPICT_BRS_UJEIBRS: Universal Journal Entry ItemsGLO_FIN_EPIC_CNGlobalization Financials E-Payment Integration China
CID_DB_INB_TARGTClearing Partner for PEXR2002ID-FI-EPIC-COPCGlobalization: E-Payment Integration Cash Operation Center
COPC_ACCOUNTCash AccountID-FI-EPIC-COPCGlobalization: E-Payment Integration Cash Operation Center
COPC_ACCTCOPC Org and Account RelationshipID-FI-EPIC-COPCGlobalization: E-Payment Integration Cash Operation Center
COPC_ACCT_GROUPCOPC: account group for cash concentrationID-FI-EPIC-COPCGlobalization: E-Payment Integration Cash Operation Center
COPC_CA_ACCClearing Account Determ. for COPC PAYRQ Posting ExampleID-FI-EPIC-COPCGlobalization: E-Payment Integration Cash Operation Center
COPC_PAYRQ_DTLCOPC: PAYRQ DetailID-FI-EPIC-COPCGlobalization: E-Payment Integration Cash Operation Center
COPC_RECON_STATSCOPC_RECON_STATSID-FI-EPIC-COPCGlobalization: E-Payment Integration Cash Operation Center
COPC_RPR_CA_ACCEPIC Cash Application Account ConfigurationID-FI-EPIC-COPCGlobalization: E-Payment Integration Cash Operation Center
COPC_RPR_CA_ACCEPIC Cash Application Account ConfigurationID-FI-EPIC-COPCGlobalization: E-Payment Integration Cash Operation Center
COPC_RPR_VAR_VLCOPC: RPR variant valueID-FI-EPIC-COPCGlobalization: E-Payment Integration Cash Operation Center
COPC_RPR_VAR_VLCOPC: RPR variant valueID-FI-EPIC-COPCGlobalization: E-Payment Integration Cash Operation Center
COPC_SEL_CCONSelection for Cash ConcentrationID-FI-EPIC-COPCGlobalization: E-Payment Integration Cash Operation Center
COPC_SET_CCONSettings for Cash ConcentrationID-FI-EPIC-COPCGlobalization: E-Payment Integration Cash Operation Center
EPIC_BRS_EBS_BUFepic: brs ebs line item value date period snap shotID-FI-EPIC-BRSGlobalization: E-Payment Integration Bank Recon. Statement
EPIC_EBOE_HISTTable of EBoE HistoryID-FI-EPIC-EBRGlobalization: E-Payment Integration Bank Receipt
EPIC_EBR_BALBank Account Balance by Bank ReceiptID-FI-EPIC-EBRGlobalization: E-Payment Integration Bank Receipt
EPIC_EBR_DUMMYBank receipt lock tableID-FI-EPIC-EBRGlobalization: E-Payment Integration Bank Receipt
EPIC_EBR_HDROBSOLETE!!!ID-FI-EPIC-EBRGlobalization: E-Payment Integration Bank Receipt
EPIC_EBR_KEYBank Receipt Key FieldsID-FI-EPIC-EBRGlobalization: E-Payment Integration Bank Receipt
EPIC_EBR_REQBank Receipt Request RecordID-FI-EPIC-EBRGlobalization: E-Payment Integration Bank Receipt
EPIC_EBR_SEGOBSOLETE!!!ID-FI-EPIC-EBRGlobalization: E-Payment Integration Bank Receipt
EPIC_EBR_SEG_REFOBSOLETE!!!ID-FI-EPIC-EBRGlobalization: E-Payment Integration Bank Receipt
EPIC_C_BPSOTC_ASEPIC: Bank Payment Service Operation Type Code AssignmentID-FI-EPIC-BACO-BLGlobalization: EPIC Bank Connection Services: Business Logic
EPIC_C_HB_COMMElectronic Payment Integration: House Bank Commun. SettingsID-FI-EPIC-BACO-BLGlobalization: EPIC Bank Connection Services: Business Logic
EPIC_APIS_C_BCDActivate Services for Data ExchangeID-FI-EPIC-BACOM-BL-CLOUDGlobalization: E-Payment Int. Bank Comm. Business Logic(CE)
EPIC_BACOM_DATBank Communication Program DataID-FI-EPIC-BACOM-BLGlobalization: E-Payment Int. Bank Comm. Business Logic
EPIC_BC_UAEPIC: User Assignment Bank CommunicationID-FI-EPIC-BACOM-BLGlobalization: E-Payment Int. Bank Comm. Business Logic
EPIC_C_BCDBank Communication DetailsID-FI-EPIC-BACOM-BLGlobalization: E-Payment Int. Bank Comm. Business Logic
EPIC_C_BCSBank Communication StepsID-FI-EPIC-BACOM-BLGlobalization: E-Payment Int. Bank Comm. Business Logic
EPIC_C_BSTBank Statement FormatID-FI-EPIC-BACOM-BLGlobalization: E-Payment Int. Bank Comm. Business Logic
/BGLOCS/BNK_DATAHouse bank for print in invoice/BGLOCS/FICEE Financials and Logistics - Bulgaria
/ATL/FI_CAMaintain FI or BP indicators/ATL/VENDORvendores enhancement
/CEECV/ROFI_SPHBRO VAT Split - Define VAT House banks for currency/CEECV/ROFIRomania development class - FI
/CEECV/ROFI_SPHBRO VAT Split - Define VAT House banks for currency/CEECV/ROFIRomania development class - FI
/CEECV/ROFI_SPLTRO VAT Split Assignment/CEECV/ROFIRomania development class - FI
J_3R_SO_PAYMENTSAssignment of Payments to Sales OrdersJ3RFLocalization Russia: FI
FIAPSK_EOBDefinition of external operations - obsoleteID-FI-SKFI Localization (Slovakia)
FIAPSK_FBNHome bank specific entries for PO generation - obsoleteID-FI-SKFI Localization (Slovakia)
J_1IG_VPAMapping of Virtual Payment Address to House BankJ1I_GST_LOGST India (Logistics)
J_1IG_VPAIDMapping of Virtual Payment Address to House BankJ1I_GST_LOGST India (Logistics)
ICADOCMMatching EntriesFIN_ICA_MATCHInter-Company Matching Engine
ICA_DOCM_GTTGlobal Temporary Table of Matching EntriesFIN_ICA_MATCHInter-Company Matching Engine
IMAKEBTDFI_MAKEBANKTRANSFERTP I_MAKEBANKTRANSFERTPODATA_BANKTRANSFERoData for Bank Transfer
IMAKEBTDFI_MAKEBANKTRANSFERTP I_MAKEBANKTRANSFERTPODATA_BANKTRANSFERoData for Bank Transfer
IMBKWITHTMPLDFI_MAKEBANKTRANSFERTEMPLATETP I_MAKEBANKTRANSFERTEMPLATETPODATA_BANKTRANSFERoData for Bank Transfer
IMBTMPLITMTI_MAKEBKTRANSFWITHTMPLTP I_MAKEBKTRANSFWTHTMPLITMTPODATA_BANKTRANSFERoData for Bank Transfer
IMBTTMPLITMTI_MAKEBKTRANSWITHTMPLTP I_MAKEBKTRANSFWTHTMPITMTPODATA_BANKTRANSFERoData for Bank Transfer
IHC_PI_INB_TARGTPI: Payment Parameters for Inbound IDOCIHC_PIIDoc (PAYEXT Inbound) Interface
TBNK_PAYMED_OPTPayment medium create optionsFIN_BNK_COM_COREBank Communication: Core Objects
FSCM_BCM_FBRAReset and reversal rule after rejection in BCM for cloudFIN_BNK_COM_CLOUD_WF_RRBank Communication Management: Reset and Reversal Workflow
ICCFISUBDRAFTI_CASHFLOWITEMTP I_CASHFLOWSUBITEMTPFINS_FIS_CASHFinancials Information System: CASH (SAP_FIN)
ICCFITPDRAFTI_CASHFLOWITEMTP I_CASHFLOWITEMTPFINS_FIS_CASHFinancials Information System: CASH (SAP_FIN)
FCLM_CFA_INTMDFilter Table for CFAFCLM_PLANNINGLiquidity Plan
FCLM_CFA_INTMD_LFilter Table for CFAFCLM_PLANNINGLiquidity Plan
FCLM_CMRmemo recordFCLM_CMRContextual Memo Record
FCLM_FB_BRICKFlow Builder: BricksFCLM_REUSECommon / Reusable Components
FCLM_FB_BRICK2Flow Builder: BricksFCLM_REUSECommon / Reusable Components
FCLM_FB_BSEG_UTFlow Builder unit test - simulate BSEG tableFCLM_REUSECommon / Reusable Components
FCLM_FB_FLOWFlow Builder: FlowsFCLM_REUSECommon / Reusable Components
FCLM_FB_FLOW2Flow Builder: Final flows before savingFCLM_REUSECommon / Reusable Components
FCLM_FB_ITEMFlow Builder: Items from BSEG and BKPFFCLM_REUSECommon / Reusable Components
FCLM_FB_MD_UTFlow Builder unit test - simulate master data tableFCLM_REUSECommon / Reusable Components
FCLM_FB_VBSEGSUTTable VBSEGK UTFCLM_REUSECommon / Reusable Components
FCLM_MRMemo record itemsFCLM_CMRContextual Memo Record
FCLM_MR_MIGRBackup of memo record migrationFCLM_MRNew Memo record
IMEMORECORDTI_MEMORECORDTP I_MEMORECORDTPFCLM_MRNew Memo record
IMEMORECORDTI_MEMORECORDTP I_MEMORECORDTPFCLM_MRNew Memo record
BANKACCWDI_BANKACCOUNTTP I_BANKACCOUNTTPFCLM_BAMBank Account Management
FCLM_BAM_HBA_IDXStandard index tableFCLM_BAMBank Account Management
T012K_HKTID_TDCPreset UI for House Bank AccountFCLM_BAMBank Account Management
FDESCash Management and Forecast: Memo RecordsFFCash Management
FDESDISTCash management memo records (distributed)FFCash Management
FEBPIPolling Statement Line Item InformationFTCMTreasury: Cash Management (SWIFT, BAI, Fed Wire)
T012AAllocation pmnt methods -> Bank trans.FTTreasury: Central control data bank
T012BDescription of trans. typesFTTreasury: Central control data bank
T012CTerms for bank transactionsFTTreasury: Central control data bank
T018ZCash Transfer: Payment Method Determination Payment RequestsFFCash Management
T018ZCash Transfer: Payment Method Determination Payment RequestsFFCash Management
T028RRepetitive Funds Transfer TypesFTCMTreasury: Cash Management (SWIFT, BAI, Fed Wire)
T028RTRANSRepetitive Transfer TransactionsFTCMTreasury: Cash Management (SWIFT, BAI, Fed Wire)
T038NGrouping for Bank AccountsFFCash Management
FQM_BALREC_SERSerialization Table for FQM Balance ReconsolidationFQMFinancial Quantity Management
FQM_FLOWFQM FlowsFQMFinancial Quantity Management
FQM_FLOWFQM FlowsFQMFinancial Quantity Management
FQM_FLOWFQM FlowsFQMFinancial Quantity Management
FQM_MNE_BALFQM FlowsFQMFinancial Quantity Management
IHC_DB_CL_XBSIHC Bank Statement: Determine Sender or Clearing PartnerFIN_IHCPayment Order In-House Cash
IHC_DB_INB_TARGTClearing Partner for PEXR2002FIN_IHCPayment Order In-House Cash
TBKKIHB4FI Data for Manual Outgoing Payments In-House BankFKBIBank Customer Accounts: In-House Bank Functions
TBKKIHB5Payt Method Determination HQ FI for Payment In-House BankFKBIBank Customer Accounts: In-House Bank Functions
/PF1/T_BCM_RULE1BCM Connector: Maintain Rule ID/PF1/BCM_MAINIntegration to BCM components
REFCCReferences between CO object numbers, currency differencesFTRApplication development R/3 Treasury referencing (unit)
TCORT_CODPIDeal: Payment InformationFTR_CORRESPONDENCETreasury Correspondence (Confirmations & Matching)
VTBZVPayment Details for TransactionFTAR/3 appl. development for Treasury money,forex,forward gen
VTBSTC1Components of Payment Details for Standing InstructionFTBP_SIFS Business Partner: Standing Instructions
TTONFTVDARLTest New FIMA: Basic Data and VDARLFVVD_TEST_NEW_FIMATest of New FIMA
TTONFTVZZBEPPTest new FIMA: VZZBEPPFVVD_TEST_NEW_FIMATest of New FIMA
VDARLLoansFVVDTreasury Loans
VDBEPIPosted line items for document headerFVVDTreasury Loans
VDBEPI_SHADOWShadow Table for VDBEPI (Restrictions)FVVDTreasury Loans
VDBEPPFlow Data - Planned ItemFVVDTreasury Loans
VDBOBEPPBusiness Operation: Entered and Activated Flow DataFVVDTreasury Loans
VDORDERBorrower's note loan order dataFVVDTreasury Loans
VDZNB_USAGEPayment Postprocessing: Usage of a Payment Postpr. ActivityFVVDTreasury Loans
VDZVPayment Details for the LoanFVVZTR-LO: Payment Requests for Loans
VZFZE_VDBEPPCentral Entry Table for Release ProcedureFVVDTreasury Loans
/BSNAGT/T_EBICSEBICS Order Type Determination/BSNAGT/MASTER_DATABSN agent master data
RBKPDocument Header: Invoice ReceiptMRMAppl. Development: R/3 Decentralized Invoice Verification
MMIV_SI_D_ROOTSupplier Invoice Root - #GENERATED#APPL_MM_IV_MODELDevelopment MM Invoice Verification for sSuite
RFVIAUSZUGTest Data for RE Multicash Statement DataFVVIR/3 appl.dev. for Financial Assets Management: Real estate
RFVIBK01ABank Procedure Test Data - A-RecordFVVIR/3 appl.dev. for Financial Assets Management: Real estate
RFVIBK01CBank Procedure Test Data - C-RecordFVVIR/3 appl.dev. for Financial Assets Management: Real estate
RFVIBK01EBank Procedure Test Data: E-RecordFVVIR/3 appl.dev. for Financial Assets Management: Real estate
RFVIBK01VBank Procedure Test Data - C-Record - File ExtensionFVVIR/3 appl.dev. for Financial Assets Management: Real estate
RFVIUMSATZTest Data for RE Multicash Sales DataFVVIR/3 appl.dev. for Financial Assets Management: Real estate
/CEERE/RIZENIPT settings for company code/CEERE/DANNEM
TIVXCSKHLAVPRTax Payer DataGLO_REFX_SK
VIMMHBACCHouse Bank AccountRE_MM_MNRE: Mandate Master Data
VIRALSRHDStatistics - Returned Debit Memos in RE: Header DataRERARE: Rental Accounting
VIRALSRITStatistics - Returned Debit Memos in RE: Source ItemsRERARE: Rental Accounting
FLQBANK_GRP[Obseleted] Liquidity Calc. - Assignmt of Acct to Query Seq.FFLQLiquidity Calculation
T7BGA1Bank transfer - interface tablePCBGHR payroll: Bulgaria
T5T1LT5T1LPC18HR payroll: Czech Republic
T5TA1Source data for external transfersPC18HR payroll: Czech Republic
T5TPS1LSource materials for transfer orders for ER - PublicSectorP18PSHRCZ Public Sector
T5FDSN_PREDMELOGLog for Pre-DMEP06_DSNPackage for Nominative Social Declaration (DSN)
T7HRA1Bank transfer - interface tablePB58HR Croatia
T5H4YCompany data to contribution computationPC21HR accounting: Hungary
T5H8YBank formats for bank transfer downloadPC21HR accounting: Hungary
T5H8ZBank transfer download logPC21HR accounting: Hungary
P05T_LA_PREDMEWage Return: Pre-DME for payment of Wage TaxP05THR Payroll: The Netherlands
T5V2ENorwegian Organizational AttributesPB20HR master data: Norway
T5V2GConnection org. numbers and rep. org. numberPC20HR accounting: Norway
T7ROA1Bank transfer - interface tablePC61HR Romania
T7RU9AAddresses of organizationsPB33HR master data : Russia
T7SIA6Bank transfer - interface tablePC62HR Slovenia
T7SK1LData for basis of employer's transfer ordersPC31Payroll objects HR SK
T7SKA1Bases for external paymentsPC31Payroll objects HR SK
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