Tables with fields of type VVRANLW
The data element VVRANLW is used by fields in the following tables.
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| T71LTI05 | Stock Unit | PAOC_ECM_LTI_BL | Long Term Incentive Plans - Business Logic |
| IDCFMBRSETX_HST | History table for taxation | 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 |
| IDCFMSETX_COMP | Compensating method for Funds (TRM) | ID-CFM | Treasury/CFM Localization Development Class |
| IDCFMSETX_CUST | Cusotmizing for tax posting to FI for funds - Brazil | ID-CFM | Treasury/CFM Localization Development Class |
| IDCFM_DATA_SEC | Valuation-Area-Independent Data for Securities | ID-CFM-FR-RF | Treasury Localization France: FIFO Reevaluation |
| IDCFM_FRIM_DATA | Impairment Main Data | ID-CFM-FR-IM | Treasury Localization France: Impairment |
| IDCFM_FRIM_DEXP | Impairment: BAdI Example Values: Expected & Expert Values | ID-CFM-FR-IM | Treasury Localization France: Impairment |
| IDCFMHU_ASLOG | LOG installments repayment sec. depreciation | ID-CFM-HU-MM | Treasury Localization: Money Market |
| IDCFMHU_CSECDOC | SEC off-blnc postings documents | ID-CFM-HU-MM | Treasury Localization: Money Market |
| IDCFMHU_CSECHDR | SEC off-blnc postings head | ID-CFM-HU-MM | Treasury Localization: Money Market |
| IDCFMHU_DR001 | Addition data for CFM collateral repo transaction | ID-CFM-HU-MM | Treasury Localization: Money Market |
| IDCFMHU_TKESEC | Define KELER Security IDs | ID-CFM-HU-MM | Treasury Localization: Money Market |
| IDCFMHU_TKICFM | KELER Interface Current Date Confirmed Items | ID-CFM-HU-MM | Treasury Localization: Money Market |
| IDCFMHU_TKIKIV | Account List for Except Securities | ID-CFM-HU-MM | Treasury Localization: Money Market |
| IDCFMHU_TR_EPFG | Treasury check | ID-CFM-HU-MM | Treasury Localization: Money Market |
| ICCFITPDRAFT | I_CASHFLOWITEMTP I_CASHFLOWITEMTP | FINS_FIS_CASH | Financials Information System: CASH (SAP_FIN) |
| FDT1 | CMF Line Items for Forex, Money Market, Derivatives | FF | Cash Management |
| FDW1 | Cash Mgt and Forecast - Securities Line Items- Planned Flows | FF | Cash Management |
| TCCT_CCURVE_FUT | Commodity Curve Futures Style Master Data | FTR_COMMODITY_CURVE | Commodity Forward Curves |
| CMMF_SVKOET | RM: Header Table of Cat. of Prim. Trans 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 |
| VTB_FACTORVAL | Market Data: Factor Values | FTA_CORE | TR-CORE: Former Objects from FTA (Applic. Dev. TR General) |
| VWPZUSA | Securities additional information | FVV | R/3 application development for Financial Assets Management |
| TRCCT_TRANS | Currency Changeover Transaction | FTR_CURRENCY_CHANGEOVER | Treasury Currency Changeover |
| TREAT_FUT_DIFF | Treasury: TREA Differentiation for Deal Position | FTR_EXTERNAL_ACCOUNT_MGT | Treasury External Account |
| TRPAT_CMF_GL_VAL | Contractual Change Gain or Loss | FTR_TRL_POS_ATTRIBUTES | Position Attributes for IFRS9 |
| TRPAT_INIT_CLASS | Adjustment of Initial Classifier | FTR_TRL_POS_ATTRIBUTES | Position Attributes for IFRS9 |
| TRPAT_TARGET_STA | Target stage for stage transfer | FTR_TRL_POS_ATTRIBUTES | Position Attributes for IFRS9 |
| TRPAT_WRO_LA_VAL | Indicator for write-off and target loss allowance value | FTR_TRL_POS_ATTRIBUTES | Position Attributes for IFRS9 |
| AFWBM_BASIC | TRM: Additional Attributes of a Basic Benchmark | CFM_AFWBM | RDB: PA Benchmark 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 |
| FTB_I73_STATIC | Risk Mngt: FO w/ static analysis structure [I73] | FTB_STATIC | Static Characteristics |
| FTB_I74_STATIC | Risk Mngt: Base Portfolio w/ static analysis structure [I74] | FTB_STATIC | Static Characteristics |
| JBDBSTD | SAP Banking: Positions | JBD | Application development IS-B Data Pool |
| JBRBPWPV | RM: BP Update Administration for Positions/Securities | JBR | Application development TRM Market Risk Mangement |
| JBRBSTD | RM: Base Portfolios - Single Positions (until F3.03) | JBR | Application development TRM Market Risk Mangement |
| JBRDBKOET | RM: DB Table Header, HIERA and BEST Extended Cat.Prim.Trans. | JBR | Application development TRM Market Risk Mangement |
| JBRHKOET | RM: Version Table Header, HIERA and BEST Ext.Cat.Prim.Trans. | JBR | Application development TRM Market Risk Mangement |
| JBRSVKOET | RM: Header Table of Cat. of Prim. Trans for Saved Datasets | JBR | Application development TRM Market Risk Mangement |
| COMBINATIONS_IR | Combinations of Company Code/Security ID for Issuer Risk | FTBK | Risk Management Counterparty/Issuer Risks |
| KLSDCPROT1 | Log Gen. for Single Transaction Check: Header Information | FTBK | Risk Management Counterparty/Issuer Risks |
| ATRFBETA | Risk factor description beta factors | FTB | Applic. development R/3 Treasury risk simulation analysis |
| ATVO63 | Volatilities - Mapping from Security ID Numbers | FTBB | Risk Management Basis |
| FTBB_YC_REF_ENT | Attributes of Reference Entity | FTBBYC | MRA: New YC Framework -- New DDIC Objects |
| JBRIDXG | Allocation Class - Index | FTB | Applic. development R/3 Treasury risk simulation analysis |
| BMA_GUIDRANL | OLD <<Boundary>> CFM-BM: Assignment of BMGUID-WPKN | CFM_BMA | OLD Benchmark Management (Replaced by CFM_AFWBM) |
| JBRBETA | Beta factors | FTB_CORE | FTB Core |
| TWX2 | Sec.-index class data | FVVW_CORE | TR-CORE: Former Objects from FVVW (TR-TM: Securities) |
| VTIDERI | Master Data Listed Options and Futures | FTT_CORE | Former FTT Objects Required in AL0 |
| VTIDERI | Master Data Listed Options and Futures | FTT_CORE | Former FTT Objects Required in AL0 |
| VWPAKTI | Stock, subscription rights, investment certificates | FVVW_CORE | TR-CORE: Former Objects from FVVW (TR-TM: Securities) |
| VWPANLA | Asset master for securities | FVVW_CORE | TR-CORE: Former Objects from FVVW (TR-TM: Securities) |
| VWPBONO | Securities listing | FVVW_CORE | TR-CORE: Former Objects from FVVW (TR-TM: Securities) |
| VWPT_FREE_ATTR | Free Security Attributes | FVVW_CORE | TR-CORE: Former Objects from FVVW (TR-TM: Securities) |
| /TRMKR/SEC_CUST | Customer Additional Data for Security Class | /TRMKR/SEC_BADI_IMPL | TRM Securities BADI Implementation |
| /TRMKR/SEC_DATA | FWZZ Master Data Additional Fields | /TRMKR/SEC_BADI_IMPL | TRM Securities BADI Implementation |
| BCKTCAT_FLOW | BACKUP: Flow Table of Capital Actions | FVVW | Treasury Management: Securities |
| BCKTERT_FLOW | BACKUP: Flow Table for Executable Rights | FVVW | Treasury Management: Securities |
| BCKVWBEPP | BACKUP: Flow data - Position/Planned | FVVW | Treasury Management: Securities |
| BCKVWPANLA | BACKUP: Asset master | FVVW | Treasury Management: Securities |
| BCKVWPSHARECAP | Backup: BCKVWPSHARECAP | FVVW | Treasury Management: Securities |
| DIFT_POS_IDENT | Persistent Flow Selectors | FTR_DIFFERENTIATION | CFM-TM: Differentiation |
| MIGC_COM_VALCLS | Derive General Valuation Class for Migration to CFM 1.0 | FTR_MIGRATION_10 | CFM 1.0: Data Migration |
| OTC_CONV_FHAPO | Backup Table for Financial Transaction Flows | FTA | R/3 appl. development for Treasury money,forex,forward gen |
| POGT_POS_GUARD | Lock Objects | FTR_POSITION_GUARD | Treasury: Generic Position Lock |
| RDPT_FACTOR2 | Treasury: Drawing Factor | FTBAS | Redemption Schedules |
| RDPT_FACTOR_HDR2 | Treasury: Drawing Factors Header | FTBAS | Redemption Schedules |
| RDPT_SET | Quantity of Redemption Schedules | FTBAS | Redemption Schedules |
| SLDT_FLOW | Subledger Distributor Transactions | FTR_SUBLEDGER_DISTRIBUTOR | Subledger Distributor |
| TCAT_FLOW | Flow Table of the Corporate Actions | FVVW | Treasury Management: Securities |
| TCORT_CO | Correspondence Administrative Data | FTR_CORRESPONDENCE | Treasury Correspondence (Confirmations & Matching) |
| TCORT_CODMD | Deal: Main Data | FTR_CORRESPONDENCE | Treasury Correspondence (Confirmations & Matching) |
| TCORT_CODSRA | Deal: Security Rate Adjustment | FTR_CORRESPONDENCE | Treasury Correspondence (Confirmations & Matching) |
| TCORT_COSAFL | Security Account Transfer: Flows | FTR_CORRESPONDENCE | Treasury Correspondence (Confirmations & Matching) |
| TCORT_COSAPO | Security Account Transfer: Positions | FTR_CORRESPONDENCE | Treasury Correspondence (Confirmations & Matching) |
| TCORT_SI_DERIVE | Settlement Instructions: Derivation table | FTR_CORRESPONDENCE | Treasury Correspondence (Confirmations & Matching) |
| TCORT_TOLERANCE | Tolerance level for dividend payment | FTR_CORRESPONDENCE | Treasury Correspondence (Confirmations & Matching) |
| TERTVWBWER | TRTM-PM: Flow Table for Executable Rights | FVVW | Treasury Management: Securities |
| TERT_FLOW | Flow Table for Rights that can be Exercised | FVVW | Treasury Management: Securities |
| TPMTVMFL | Position management variation margin flows at sec. account | FTT | R/3 application development for Treasury forward trading |
| TPM_MIG_LOT_MIXD | CFM: (Mig) ID Nos. by Coll. Pos. Man -> Corrspnd. PA by Lot | FTR_MIGRATION_10 | CFM 1.0: Data Migration |
| TRDTT_DATA_ADMIN | Legacy Data Transfer Admin. Entries Business Transactions | FTR_DATA_TRANSFER | Legacy Data Transfer |
| TRDTT_DATA_SEC | Valuation-Area-Independent Data for Securities | FTR_DATA_TRANSFER | Legacy Data Transfer |
| TRDTT_IGTDATA_SE | Intragroup Transaction (IGT) Data for Securities | FTR_DATA_TRANSFER | Legacy Data Transfer |
| TRDTT_POS_ADMIN | Legacy Data Transfer Admin. Entries Subledger Positions | FTR_DATA_TRANSFER | Legacy Data Transfer |
| TRDTT_POS_SEC | Position Information for Securities | FTR_DATA_TRANSFER | Legacy Data Transfer |
| TRDTT_VADATA_FUT | Valuation-Area-Dependent Data for Futures | FTR_DATA_TRANSFER | Legacy Data Transfer |
| TRDTT_VADATA_SEC | Valuation-Area-Dependent Data for Securities | FTR_DATA_TRANSFER | Legacy Data Transfer |
| TRDT_FLOW | Persistent distributor flows | FTR_DISTRIBUTOR | CFM-TM: Distributor |
| TRGT_MIGPS_SEC | Assignment of PS Account Assignments to Securities Positions | FTR_MIGRATION_10 | CFM 1.0: Data Migration |
| TRGT_MIGR_PMP | Conversion: Assign to Parallel Position Mangmnt Procedures | FVVW | Treasury Management: Securities |
| TRGT_TRANS_REVAL | Table with Revaluation Structures for Transfer to TR Ledger | FTR_GENERAL | CFM TM: Application Basis / Global Objects |
| TRLT_VCL_FLOW | Flows Valuation Class Transfer | FTR_TRANSFER | General Transfers |
| TRQT_INIT_LOT | (obsolete) | FTR_MIGRATION_10 | CFM 1.0: Data Migration |
| TRTFT_VCLCONTROL | Control Table for Valuation Class Transfer | FTR_TRANSFER | General Transfers |
| TWSPV | Security Prices for Special Valuation | FVVW | Treasury Management: Securities |
| VTBFHA | Transaction | FTA | R/3 appl. development for Treasury money,forex,forward gen |
| VTBFHAPO | Transaction Flow | FTA | R/3 appl. development for Treasury money,forex,forward gen |
| VTBFHAPO_MIGR | Migrated Financial Flows | FTA | R/3 appl. development for Treasury money,forex,forward gen |
| VTBFHAPO_UNFIXED | Non-Fixed Financial Transaction Flows | FTA | R/3 appl. development for Treasury money,forex,forward gen |
| VTBFSEC | Securities Collateral | FTR_LENDING | CFM-TM: Securities Lending |
| VTIUL | Underlying Objects | FTT | R/3 application development for Treasury forward trading |
| VTPPOLI | Cross-Securities-Account Position | FVVW | Treasury Management: Securities |
| VVTIERLEVEL | Tier Level for | FVVW | Treasury Management: Securities |
| VWBEKI | Treasury Securities: Actual Flows - Header | FVVW | Treasury Management: Securities |
| VWBEPP | Treasury Securities: Planned Flows | FVVW | Treasury Management: Securities |
| VWBWKM | TRTM-PM: Flow table for corporate actions | FVVW | Treasury Management: Securities |
| VWORDE | Order Data | FVVW | Treasury Management: Securities |
| VWPANAN | Asset master/asset master relationship | FVVW | Treasury Management: Securities |
| VWPANAN | Asset master/asset master relationship | FVVW | Treasury Management: Securities |
| VWPANIN | Assign Security Class to Security Index | FVVW | Treasury Management: Securities |
| VWPBDEP | Bank Securities Account Position | FVVW | Treasury Management: Securities |
| VWPBUKR | Company Code Position | FVVW | Treasury Management: Securities |
| VWPCSPREAD | Credit Spread per Security | FVVW | Treasury Management: Securities |
| VWPDEPO | Securities Account Position | FVVW | Treasury Management: Securities |
| VWPRATING | Rating | FVVW | Treasury Management: Securities |
| VWPSHARECAP | Securities - Information about Share Capital and Votes | FVVW | Treasury Management: Securities |
| VWPSHARECAPITAL | TR: Secuirity Share Capital and Votes | FVVW | Treasury Management: Securities |
| VWPWPKU | Security prices | FVVW | Treasury Management: Securities |
| VWP_SPPI_CLASSIF | SPPI Classification | FVVW | Treasury Management: Securities |
| VWT_DEFDEP_SEC | CFM: Default Value Securities Account per ID Number | FVVW | Treasury Management: Securities |
| VWZUORD | Securities Assignment Table for Restraints on Disposal | FVVW | Treasury Management: Securities |
| TLVT_MANUAL_VAL | Book Values for Manual Valuation of Positions | FTR_VALUATION | Treasury: General Valuation |
| TRACT_QUEUE | Resubmission for Reversal | FTR_ACCOUNTING_ADAPTOR | CFM TM: Accounting Adaptor |
| TRLT_BACKUPVORAB | Backup Flow Table from Preliminary Solution - Pos. Mgmt Sol. | FTR_TREASURY_LEDGER | Treasury Ledger |
| TRLT_INIT_IGT_SE | Initialization Values for Intragroup Transactions | FTR_TREASURY_LEDGER | Treasury Ledger |
| TRLT_INIT_TRANS | List of Initializing Business Transactions | FTR_TREASURY_LEDGER | Treasury Ledger |
| TRLT_INIT_VAL_FU | Initialization Values for TRL Futures Positions | FTR_TREASURY_LEDGER | Treasury Ledger |
| TRLT_INIT_VAL_SE | Initialization Values for TRL Positions: Securities | FTR_TREASURY_LEDGER | Treasury Ledger |
| VALT_SP_VAL_SEC | Security Prices and NPV for Special Valuation | FTR_VALUATION | Treasury: General Valuation |
| PINT_STOCKEX | Stock Exchange per Company Code and Class | FTR_POSITION_INDICATOR | Position Indicator |
| TPMT_DEDOC_POS | Derivatives Document: Document Item | FTPM | Treasury: Position Management |
| TPMT_DEPAL_FLOWS | Listed Futures: Price Gain Records | FTPM | Treasury: Position Management |
| TPMT_LOT_HEADER | Single Position Master Data for TR Position Management | FTPM | Treasury: Position Management |
| TPMT_POS_IND_DE | Allocation of Acct Assignment Reference to Position | FTPM | Treasury: Position Management |
| TRET_POOL | Additional Pool Data for Fund | FTR_ENDOWMENT | PS /TRM-TM Integration: Endowments (Grants, Donations) |
| TRFT_CLASS_POS | Treasury: TRF Class Position | FTR_LISTED_OPTIONS_FUTURES | Treasury: Listed Options and Futures |
| TRFT_MATCH_TRANS | Treasury: Matching Process Business Transaction | FTR_LISTED_OPTIONS_FUTURES | Treasury: Listed Options and Futures |
| TRST_CLASPOS | Treasury: Class position in Securities Account | FTR_SECURITY_ACCOUNT_MGT | Treasury: Securities Account Management |
| TRST_NOM_CORR | Treasury: Nominal Adjustment | FTR_SECURITY_ACCOUNT_MGT | Treasury: Securities Account Management |
| TRST_RECON_POS | Reconciliation Positions | FTR_SECURITY_ACCOUNT_MGT | Treasury: Securities Account Management |
| TRST_SECACCTRANS | Treasury: Securities Account Transfer | FTR_SECURITY_ACCOUNT_MGT | Treasury: Securities Account Management |
| FTIT_FAS157_SEC | FAS157 : Classifcation of securities into levels | FTI | Application development R/3 Treasury information system |
| FTI_BI_REP_ODS | Reparation Records for Inconsistent Data in ODS 0CFM_O01 /BW | CFM_TR_BIW | Transaction Management: Connection to BW |
| FTI_MARKET_VALS | Reporting: Buffer Table for Market Values - Position Crcy | FTI | Application development R/3 Treasury information system |
| FTI_MARKET_VALST | Reporting: Buffer Table for Market Values - Evaluation Crcy | FTI | Application development R/3 Treasury information system |
| TRSPAT | TR: Security Price Adjustment - Registration and Fixing | FTR_IRATE_ADJUST | Treasury: Interest Rate Adjustment |
| TISSR_MIGTP_EWR | ISSR: Control Table for Migration of Ident. R5/97 10 (Fund) | VVSRFISL | Statutory Reporting for Insurance from FI-SL |
| TZFUND | | VVSRG | Statutory Reporting Germany |
| CMM_VLOGP | Version Table | LOG_CMM_RUNTIME_VALUATION | Runtime Valuation of logistics documents |
| T71LB1 | Award | PCMP | Compensation management |