Tables with fields of type TB_SFHAART
The data element TB_SFHAART is used by fields in the following tables.
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AT200 | Rules for Determining a Tax Indicator | ID-CFM | Treasury/CFM Localization Development Class |
AT210 | Rules for Determining a Taxes for CFM postings | ID-CFM | Treasury/CFM Localization Development Class |
IDCFMBRSE_PST | Customizing for creation of sales transactions for tax pmnts | ID-CFM | Treasury/CFM Localization Development Class |
IDCFMBRSE_PST | Customizing for creation of sales transactions for tax pmnts | ID-CFM | Treasury/CFM Localization Development Class |
IDCFMFLOWCALC | Flow calculation using condition technique | ID-CFM | Treasury/CFM Localization Development Class |
IDCFMFLOWCALCIN | Flow calculation using conditions: map CFM data to KOMK/KOMP | ID-CFM | Treasury/CFM Localization Development Class |
IDCFMFLOWCALCOUT | Flow calc.using conditions:map KOMK/KOMP fields to flow data | ID-CFM | Treasury/CFM Localization Development Class |
IDCFM_ICLTXCALC | Intercompany Loan Tax Calculation Method | ID-CFM | Treasury/CFM Localization Development Class |
IDCFM_ICLTXCAT | Intercompany Loan Tax Calculation Category | ID-CFM | Treasury/CFM Localization Development Class |
IDCFM_ICLTXFLDIR | Flow Types for Tax Types with Sign | ID-CFM | Treasury/CFM Localization Development Class |
IDCFM_SWP_FLOWS | Flows for Net Amount Procedure | ID-CFM | Treasury/CFM Localization Development Class |
IDCFM_SWP_NET | Net Amount Procedure | ID-CFM | Treasury/CFM Localization Development Class |
IDCFM_FRAM_DICRI | Assignment of Alternative Position Management Procedure | ID-CFM-FR-AM | Treasury Localization France: Amortized Costs |
IDCFMHU_CFW_HDR | CFM - FW off-blnc postings head | ID-CFM-HU-MM | Treasury Localization: Money Market |
IDCFMHU_CISWHDR | CFM - ISW off-blnc postings head | ID-CFM-HU-MM | Treasury Localization: Money Market |
IDCFMHU_COPTHDR | CFM - OPT off-blnc postings head | ID-CFM-HU-MM | Treasury Localization: Money Market |
IDCFMHU_CREPO | Treasury - Repo off-blnc postings | ID-CFM-HU-MM | Treasury Localization: Money Market |
IDCFMHU_CREPO_C | Assign G/L Accounts for Repo Off-Balance Postings | ID-CFM-HU-MM | Treasury Localization: Money Market |
IDCFMHU_SP | Off-blnc postings selection parameters | ID-CFM-HU-MM | Treasury Localization: Money Market |
IDCFMHU_TR002 | Authorized flowtypes for collateral REPO transactions | ID-CFM-HU-MM | Treasury Localization: Money Market |
ICCFITPDRAFT | I_CASHFLOWITEMTP I_CASHFLOWITEMTP | FINS_FIS_CASH | Financials Information System: CASH (SAP_FIN) |
AT85 | CMF - Generating pmnt advices (prod./trans.type) | FF | Cash Management |
CMMFDOF_C_TRMDRV | Commodity Derivative Order Fill Packet Type TRM | FS_CMM_CDOTE_ORDER_FILL | Commodity Derivative Order Fill |
CMMC_HACC_TR_DFT | mandtdities: Assignment of update types for quantity change | FIN_CMM_CMDTY_HEDGE_ACCOUNTING | Commodity Hedge Accounting - TRM |
CMMF_SVABEST | RM: Header Table SDTFT (Additional Info.) for Saved Datasets | FTR_COMMODITY_EVALUATION | Commodity Evaluation |
FQM_FLOW | FQM Flows | FQM | Financial Quantity Management |
FQM_MNE_BAL | FQM Flows | FQM | Financial Quantity Management |
FXM_SNAP_ITEM | Snapshot Item (Balance Sheet FX Risk) | FXM_CORE | FX Risk Management Core |
TREAC_CLEAR_OPT | Treasury: Cent.Clearing Option per Comp.Code/Prod.Tp/TransTp | FTR_EXTERNAL_ACCOUNT_MGT | Treasury External Account |
TREAT_CLEAR_ASG | Treasury: Central Clearing Assignement | FTR_EXTERNAL_ACCOUNT_MGT | Treasury External Account |
TTMC_COPY_UL | Transfer Administration Fields to Excercise Transaction | FTR_TRANSACTION_MANAGEMENT | Transaction Management |
AFWCH_STR_SAMP | Sample Customizing [obsolete] | CFM_AFWCH | RDB: Analyzer Characteristic Management |
AFWCH_STR_SP_N | Sample Customizing | CFM_AFWCH | RDB: Analyzer Characteristic Management |
JBNIPL | ALM Non Interest Profit and Loss | JBA_US | Analytical Banking US |
JBRSVABEST | RM: Header Table SDTFT (Additional Info.) for Saved Datasets | JBR | Application development TRM Market Risk Mangement |
KLEGZU | Assignment of TR Product/Tran. Type to CL Default Risk Rule | FTBK | Risk Management Counterparty/Issuer Risks |
KLLIMITEXCEEDED | Management of Exceeded Limits per Product/Transaction Type | FTBK | Risk Management Counterparty/Issuer Risks |
KLMAXLIMIT | Limit per Product Type/Transaction Type | FTBK | Risk Management Counterparty/Issuer Risks |
AT10 | Transaction Types | FTA | R/3 appl. development for Treasury money,forex,forward gen |
AT10B | Treasury: Customizing for Valuation | FTA | R/3 appl. development for Treasury money,forex,forward gen |
AT10S | Securities | FTA | R/3 appl. development for Treasury money,forex,forward gen |
AT10T | Name of Transaction Type | FTA | R/3 appl. development for Treasury money,forex,forward gen |
AT10X | Forex Attributes for Transaction Types | FTA | R/3 appl. development for Treasury money,forex,forward gen |
AT11 | Allocation of Condition Types to Transaction Types | FTA | R/3 appl. development for Treasury money,forex,forward gen |
AT13 | Allocation of Flow Types to Transaction Types | FTA | R/3 appl. development for Treasury money,forex,forward gen |
AT13U | Flow types for transfer posting for activity transition | FTA | R/3 appl. development for Treasury money,forex,forward gen |
AT14 | Status Transfers | FTA | R/3 appl. development for Treasury money,forex,forward gen |
AT16 | Treasury: Fixing Settings for Forex Transactions | FTA | R/3 appl. development for Treasury money,forex,forward gen |
AT16B | Treasury: Settings for mirror transaction types | FTD | R/3 Application development for Treasury foreign exchange |
AT16B | Treasury: Settings for mirror transaction types | FTD | R/3 Application development for Treasury foreign exchange |
AT80 | Treasury: Correspondence Control MM, FX, DE, SE | FTA | R/3 appl. development for Treasury money,forex,forward gen |
ATDEALDFT | Update Types for Position Update | FTAC | R/3 customizing for Treasury money, forex, forward |
FTRT_OFF_MAP | Mapping for Offsetting - Portfolio | FTR | Application development R/3 Treasury referencing (unit) |
FTRT_OFF_MAP_HC | Mapping for Offsetting - Hedqe | FTR | Application development R/3 Treasury referencing (unit) |
FTRT_OFF_MAP_PF | Mapping for Offsetting - Portfolio | FTR | Application development R/3 Treasury referencing (unit) |
OTC_CONV_FHAZU | Backup Table for Financial Transaction Activities | FTA | R/3 appl. development for Treasury money,forex,forward gen |
SLDT_FLOW | Subledger Distributor Transactions | FTR_SUBLEDGER_DISTRIBUTOR | Subledger Distributor |
TCORC_ALOWED_BPG | (Obsolete)Allowed BP Groups for Deal Corr.activities | FTR_CORRESPONDENCE | Treasury Correspondence (Confirmations & Matching) |
TCORC_DEAL_ACTVT | Correspondence Deal's activity assignment | FTR_CORRESPONDENCE | Treasury Correspondence (Confirmations & Matching) |
TCORC_PRES_ACTVT | Correspondence Letter of Credit presentaion act assignment | FTR_CORRESPONDENCE | Treasury Correspondence (Confirmations & Matching) |
TCORT_CO | Correspondence Administrative Data | FTR_CORRESPONDENCE | Treasury Correspondence (Confirmations & Matching) |
TCORT_CODMD | Deal: Main Data | FTR_CORRESPONDENCE | Treasury Correspondence (Confirmations & Matching) |
TCORT_EXT_ASSIGN | Assignments of Profiles & BP groups to external recipients | FTR_CORRESPONDENCE | Treasury Correspondence (Confirmations & Matching) |
TCORT_INB_ASSIGN | BP Group Assignment for Inbound Correspondence | FTR_CORRESPONDENCE | Treasury Correspondence (Confirmations & Matching) |
TCORT_INT_ASSIGN | Assignments of Profiles & BP groups to internal recipients | FTR_CORRESPONDENCE | Treasury Correspondence (Confirmations & Matching) |
THMHRT_HR | Hedge Relationship | FTHM_HEDGING_RELATIONSHIP | Hedge Management - Package hedging relationship |
THMHRT_HR_FLAGS | E-HA: Flags that trigger the HR events | FTHM | Hedge Management - central objects |
TLRC_TARO_TAR_AS | Assignment of Trade Repository | FTR_LEGAL_REPORTING | Legal Reporting |
TLRC_THM_PROD_IG | Assign Products to Instrument Groups | FTR_LEGAL_REPORTING | Legal Reporting |
TLRT_RISKM_DER | Derivation for Risk Mitigation Indicator | FTR_LEGAL_REPORTING | Legal Reporting |
TLRT_TARO_ADM | Trade Repository Object Administrative Data | FTR_LEGAL_REPORTING | Legal Reporting |
TRDT_FLOW | Persistent distributor flows | FTR_DISTRIBUTOR | CFM-TM: Distributor |
TRGC_CVC1 | Assignment of Product Cat. and Trans. Cat. to GVC Group | FTR_GENERAL | CFM TM: Application Basis / Global Objects |
TRGC_FICLASS_PT | Classification of Product and Transaction Types | FTR_GENERAL | CFM TM: Application Basis / Global Objects |
TRGC_MIG_PMP_OTC | Conversion: Assignment of OTC Position Management Procedures | FTR_MIGRATION_10 | CFM 1.0: Data Migration |
TRGC_PM_PROC_ASS | Assignment of Position Management Procedure | FTR_GENERAL | CFM TM: Application Basis / Global Objects |
TRQT_FLOW | Treasury: Flow Data Quantity Ledger | FTR_QUANTITY_LEDGER | Treasury: Quantity Ledger |
TRTFC_DFTASS | Update Types for Transfer Posting | FTR_TRANSFER | General Transfers |
TRXT_WT_ASSIGN | TRM Withholding Tax Information Assignment | FTR_TAX_MGT | Taxes |
VTBFHA | Transaction | FTA | R/3 appl. development for Treasury money,forex,forward gen |
VTBFHAZU | Transaction Activity | FTA | R/3 appl. development for Treasury money,forex,forward gen |
VTBMADT | Mast. Agreement: Permitted Trans. Types | FTA | R/3 appl. development for Treasury money,forex,forward gen |
VTBSIZU | Hedge Allocation | FTH | Application development R/3 treasury hedging |
VTBTRA1 | Transaction Authoriz. for Traders | FTA | R/3 appl. development for Treasury money,forex,forward gen |
VTB_FRGST | Control parameter for Release - Status management | FTD | R/3 Application development for Treasury foreign exchange |
VTB_TRADER_AUTH | Transparent Table for Trader Authorizations | FTA | R/3 appl. development for Treasury money,forex,forward gen |
VTIFHA | Underlying transaction | FTT | R/3 application development for Treasury forward trading |
VTIFHAZU | Underlying transaction status table | FTT | R/3 application development for Treasury forward trading |
VWFL_FT_DE | CFM: Assign Update Type to Flow Type | FTAC | R/3 customizing for Treasury money, forex, forward |
TRACT_TAX_ASSIGN | TRM Tax Code Assignment | FTR_ACCOUNTING_ADAPTOR | CFM TM: Accounting Adaptor |
TRIL_BWGART | OLD!!! Flow types for Hedge Accounting | FTHM_ACCOUNTING | Accounting FAS operative valuation area |
TRSC_LEND_TRANS | Update Types for Securities Account Transfer for Sec.Lending | FTR_SECURITY_ACCOUNT_MGT | Treasury: Securities Account Management |
TLCT_ASSN_FTYP | For the Association of Flow Type definition | FTR_TRADE_FINANCE | Treasury: Trade Finance |
TLCT_SD_INTEG | Activiation of Integration with SD | FTR_TRADE_FINANCE | Treasury: Trade Finance |
ATALRT | Treasury: Alert Category Assignment | FTTR | Treasury: Financial Transaction |
ATRELE1 | Transaction release: Release procedure | FTTR | Treasury: Financial Transaction |
ATRELE2 | Transaction release: Release procedure for detail parameters | FTTR | Treasury: Financial Transaction |
TCHT_HD_SFGDT | SFGDT Representation of Instruments | FTR_CROSS_HEDGE_AUX | Components of Cross Hedge (used by Old and New) |
VTBMDEX | CFM: Mirror Transaction - Initial Table | FTTR | Treasury: Financial Transaction |
VTBMDINFKT | CFM: Mirror Transaction Mapping Functions | FTTR | Treasury: Financial Transaction |
VTBMDMAP | CFM: Mirror Transaction - Map PType/TType in Meta Name | FTTR | Treasury: Financial Transaction |
VTBMDMAPFLW | CFM: Mirror Transaction - Map Flows | FTTR | Treasury: Financial Transaction |
VTBMDMAPKOND | CFM: Mirror Transaction - Map Conditions | FTTR | Treasury: Financial Transaction |
VTB_FMOD_SFGZUST | Field Modification at Activity Category Level | FTTR | Treasury: Financial Transaction |
VTB_FMOD_SFHAART | Field Modification Values | FTTR | Treasury: Financial Transaction |
VTB_FMOD_SFUNKTL | Field Modification Values | FTTR | Treasury: Financial Transaction |
VTB_RULESET_TT | FTR Rule Management: Transaction Type Rules | FTTR | Treasury: Financial Transaction |
FINSTF_MIG_FD | SD-FT Financial Document Type Mapping with TRM Product Type | FINS_FI_MIG | Financial Accounting - Migration (SAP_FIN) |
VTBSTA1 | Allocation of Payment Details as Standing Instructions | FTBP_SI | FS Business Partner: Standing Instructions |
VTBSTA2 | Standing Instructions for Correspondence | FTBP_SI | FS Business Partner: Standing Instructions |
VTBSTA3 | SI for Business Partner: Transaction Authorizations | FTBP_SI | FS Business Partner: Standing Instructions |
VTBSTA4 | SI for Business Partner: Derived Flows | FTBP_SI | FS Business Partner: Standing Instructions |
JBDFUNCDEAKT | Deactivate Datapool Functions | JBDC | SEM-B (deprecated): Customizing IS-B Data Pool |
CMM_VFIND | CMM Versioned Financial Transactions Data | FTR_COMMODITY_EXPOSURE | Commodity Price Exposures |
TEXT_CTY_EXPOS | Commodity Price Exposure (obsolete) | FTR_COMMODITY_EXPOSURE | Commodity Price Exposures |
CMM_VLOGP | Version Table | LOG_CMM_RUNTIME_VALUATION | Runtime Valuation of logistics documents |
T691K | Forms of payment guarantee | VKM | Application development R/3 credit management |
/ILE/AT21_ANNX | Localization:Annexing in CFM-Derived flow for Principal | /ILE/FTA | IL Localization - Annexing in CFM |