TB_FLG_CASH_FLOW_CONSTRUCT - Cash Flow Calculation Period in Planned Record Update
SAP data element TB_FLG_CASH_FLOW_CONSTRUCT has the title "Cash Flow Calculation Period in Planned Record Update".
It is part of development package FVVD in software component FS-CML. This development package consists of objects that can be grouped under "Treasury Loans".
It is part of development package FVVD in software component FS-CML. This development package consists of objects that can be grouped under "Treasury Loans".
Properties of data element TB_FLG_CASH_FLOW_CONSTRUCT
Property | |
|---|---|
| Domain | FLAG |
| Data Type | CHAR |
| Length | 1 |
| Decimals | 0 |
| Output Length | 1 |
| Supports lower case | No |
| Conversion Routine | |
| Short Description | |
| Medium Description | Calculation Period |
| Long Description | Cash Flow Calculation Period |
Tables with fields of type TB_FLG_CASH_FLOW_CONSTRUCT
The data element TB_FLG_CASH_FLOW_CONSTRUCT is used by fields in the following tables.
Table | Development Package | ||
|---|---|---|---|
| TDPZZ | IS-IS Loans: Installation parameters on client level | FVVD | Treasury Loans |