VVSINCL - Inclusive indicator for beginning and end of a period

SAP data element VVSINCL has the title "Inclusive indicator for beginning and end of a period".
It is part of development package FIMA in software component CA-FIM-FMA. This development package consists of objects that can be grouped under "Financial mathematics".

Properties of data element VVSINCL

Property
DomainVVSINCL
Data TypeNUMC
Length1
Decimals0
Output Length1
Supports lower caseNo
Conversion Routine
Short DescriptionInclude
Medium DescriptionInclusive ID
Long DescriptionInclusive indicator

Tables with fields of type VVSINCL

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

Table
Development Package
FILA_RE_PRGRefinancing ProgramFI_LA_RE_APPLApplications for the Refinancing Solution
VZZKOPOTable condition itemsFVVR/3 application development for Financial Assets Management
VZZKOKOTable condition headerFTVVTR - Objects from FVV in both Loans/Securities areas
TREAT_FLOWTreasury: TREA FlowsFTR_EXTERNAL_ACCOUNT_MGTTreasury External Account
OTC_CONV_FHAPOBackup Table for Financial Transaction FlowsFTAR/3 appl. development for Treasury money,forex,forward gen
OTC_CONV_FINKOBackup Table for Financial Transaction ConditionsFTAR/3 appl. development for Treasury money,forex,forward gen
OTC_CONV_IFHAPOBackup Table for Underlying Transaction FlowsFTAR/3 appl. development for Treasury money,forex,forward gen
OTC_CONV_IFINKOBackup Table for Financial Transaction Underlying ConditionsFTAR/3 appl. development for Treasury money,forex,forward gen
RDPT_CONDITIONCondition within Redemption ScheduleFTBASRedemption Schedules
RDPT_SETQuantity of Redemption SchedulesFTBASRedemption Schedules
SLDT_FLOWSubledger Distributor TransactionsFTR_SUBLEDGER_DISTRIBUTORSubledger Distributor
TCAT_FLOWFlow Table of the Corporate ActionsFVVWTreasury Management: Securities
TCORT_CODCODeal: ConditionsFTR_CORRESPONDENCETreasury Correspondence (Confirmations & Matching)
TCORT_CODULCODeal : Underlying's ConditionsFTR_CORRESPONDENCETreasury Correspondence (Confirmations & Matching)
TERTVWBWERTRTM-PM: Flow Table for Executable RightsFVVWTreasury Management: Securities
TERT_FLOWFlow Table for Rights that can be ExercisedFVVWTreasury Management: Securities
TRDT_FLOWPersistent distributor flowsFTR_DISTRIBUTORCFM-TM: Distributor
TRQT_BUSTRANSTreasury: Business TransactionsFTR_QUANTITY_LEDGERTreasury: Quantity Ledger
TRQT_FLOWTreasury: Flow Data Quantity LedgerFTR_QUANTITY_LEDGERTreasury: Quantity Ledger
VTBFHAPOTransaction FlowFTAR/3 appl. development for Treasury money,forex,forward gen
VTBFHAPO_MIGRMigrated Financial FlowsFTAR/3 appl. development for Treasury money,forex,forward gen
VTBFHAPO_UNFIXEDNon-Fixed Financial Transaction FlowsFTAR/3 appl. development for Treasury money,forex,forward gen
VTBFINKOTransaction ConditionFTAR/3 appl. development for Treasury money,forex,forward gen
VTBPFHAPOTreasury: Flow ShellsFTAR/3 appl. development for Treasury money,forex,forward gen
VTIFHAPOUnderlying transaction flowsFTTR/3 application development for Treasury forward trading
VTIFINKOUnderlying transaction conditionsFTTR/3 application development for Treasury forward trading
VWBEPITreasury Securities: Actual Flows - ItemFVVWTreasury Management: Securities
VWBEPPTreasury Securities: Planned FlowsFVVWTreasury Management: Securities
VWORDEOrder DataFVVWTreasury Management: Securities
TRLT_FLOWTreasury Ledger FlowsFTR_TREASURY_LEDGERTreasury Ledger
TRST_CLASFLOCFM: Class Flows in Securities AccountFTR_SECURITY_ACCOUNT_MGTTreasury: Securities Account Management
TRST_CLASFLO_REVCFM: Reversed Class Flows in Securities AccountFTR_SECURITY_ACCOUNT_MGTTreasury: Securities Account Management
FTI_BI_REP_ODSReparation Records for Inconsistent Data in ODS 0CFM_O01 /BWCFM_TR_BIWTransaction Management: Connection to BW
FTI_BI_REP_ODSReparation Records for Inconsistent Data in ODS 0CFM_O01 /BWCFM_TR_BIWTransaction Management: Connection to BW
TCHT_HD_CONDInstrument ConditionsFTR_CROSS_HEDGE_AUXComponents of Cross Hedge (used by Old and New)
TTONFTVVZZKOPOTest New FIMA: VVZZKOPOFVVD_TEST_NEW_FIMATest of New FIMA
TTONFTVZZBEPPTest new FIMA: VZZBEPPFVVD_TEST_NEW_FIMATest of New FIMA
TTONFTVZZKOKOTest New FIMA: VZZKOKOFVVD_TEST_NEW_FIMATest of New FIMA
TRDC_RECSummarization of Loan Document Items: Carryforward RecordsFVVDTreasury Loans
VDARC_DOC_RECCarryforward Records for Reorganization of Loan Doc. ItemsFVVD_ARCHIVELoan Reorganization and Archiving
VDAVISPayment advice note tableFVVDTreasury 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
VDCFWAREHOUSECash Flow ManagementFVVD_REPPayoff
VDREPAYMENTPayoff Master DataFVVD_REPPayoff
VDVORTRLoan carry-forward totalsFVVD_DELETEObsolete CML Objects
VZFZE_VDBEPPCentral Entry Table for Release ProcedureFVVDTreasury Loans
VDIOA_CALC_DETProgress (Interest) of Model Account IOA CalculationFVVCL_IOACalculation of Interest on Arrears for Consumer Loans
VDESCROWKOKO0TEMPORARY USE: Escrow Condition HeadersFVVD_ESCROWEscrow
VDESCROWKOPO0TEMPORARY USE: Escrow Condition ItemsFVVD_ESCROWEscrow
VDCOT_VER_CONConditions in the Condition TableFVVD_CONDITION_TABLECondition Table
TZK02Condition group, condition group - condition type allocationFVVIR/3 appl.dev. for Financial Assets Management: Real estate
VICDCFOBJObject-Related Cash FlowRE_CD_CFRE: Cash Flow
VICDCFPAYPayment-Related Cash FlowRE_CD_CFRE: Cash Flow
PPMGAG_T_VTBFHAPTransaction FlowPPMG_INTERESTPrepayment Interest
PPMGAG_T_VTBFHAPTransaction FlowPPMG_INTERESTPrepayment Interest
PPMGAG_T_VTBFINKTransaction ConditionPPMG_INTERESTPrepayment Interest
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