FI_LA_GF - Lease Accounting General Functions

The development package FI_LA_GF contains objects for "Lease Accounting General Functions".
It is a subpackage in its parent development package FI_LA. It belongs to software component FI-LA.
This development package contains no child development packages.

Tables for development package FI_LA_GF

Table
Description
FILA_GF_ITEMDATAProcess Data
FILA_GF_ITEMDOCSAssignment of Process - FI/CO Document Numbers
FILA_GF_ITEMLINKAssignment of Objects to Assets
FILA_GF_ITEMPARMObject Data: Additional Information
FILA_GF_ITEMVALCObject Data: Changed Value IDs
FILA_GF_ITEMVALSObject Data: Value IDs and their Values/Contents
FILA_GF_PROCINFOObject Data: Processing Info for Process
LAE_BILLING_DATPayment Schedule
LAE_BILLING_DATAPayment Schedule
LAE_CRM_BILLPLANPayment Schedule
LAE_CRM_CLASSContract Classification
LAE_CRM_CONDSLease-Accounting-Relevant Conditions
LAE_CRM_HEADERLAE: CRM Contract Header
LAE_CRM_ITEMSLAE: Contract Items
LAE_CRM_LNKLink between LAE and CRM Contract Items
LAE_CRM_PRODSProduct Information
TFILA_GF_000Process Mapping for Processs from External Systems
TFILA_GF_000CPosting Periods Closed for Processes in LAE
TFILA_GF_000MMethods
TFILA_GF_000MTMethod Texts
TFILA_GF_000PProcesses
TFILA_GF_000PTProcess Texts
TFILA_GF_001Assignment Process -> Subprocess
TFILA_GF_001ASYST: Allowed Change Events
TFILA_GF_001CESpecifications for Change Processes
TFILA_GF_001EProcesses for Changing Value ID Contents
TFILA_GF_001MAssignment Subprocess -> Processing Methods
TFILA_GF_001MCAssignment- Subprocesses to User-Defined Processing Methods
TFILA_GF_001SSubprocesses
TFILA_GF_001STSubprocesses
TFILA_GF_003Value IDs and their Determination
TFILA_GF_003CFAssignment of Value ID -> Payment Schedule for Calculation
TFILA_GF_003MFor Later Use of Value IDs for Retrieval
TFILA_GF_003MVAssignment Value ID <-> Processing Method
TFILA_GF_003RValue IDs Referenced from Method
TFILA_GF_003RBValues/Data Required by Method
TFILA_GF_003RMValues/Data Required by Method
TFILA_GF_003TValue IDs
TFILA_GF_004Assignment Value ID -> Accrual Method
TFILA_GF_004BTAssignment of Value ID -> Accrual Method for Determ. Balance
TFILA_GF_004CFAssignment of Payment Schedule for Accrual Postings
TFILA_GF_005Specifications for One-Time Postings per Value ID
TFILA_GF_006Assignment Company Code -> Accounting Principles
TFILA_GF_007Assignment Condition Type -> Value ID
TFILA_GF_007CValue IDs to Be Included in Payment Schedule
TFILA_GF_007CFPayment Schedules
TFILA_GF_007CFAPayment Schedule Definition
TFILA_GF_007CFTPayment Schedule Names
TFILA_GF_008Assignment of Company Code to Grouping Key
TFILA_GF_008GGrouping Key
TFILA_GF_008GTName of Grouping Key
TFILA_GF_009Assignment of Value IDs to Structure Field
TFILA_GF_009FAssignment of Field Transfer of Two Structures
TFILA_GF_009VMapping Table for Structure Fields in Value IDs
TFILA_GF_011Option IDs
TFILA_GF_011TOption IDs
TFILA_GF_100Assignment of Derivations for Validations/Substitutions
TFILA_GF_110Check Sequences in Financing Classification
TFILA_GF_110TTexts of Check Sequences in Financing Classification
TFILA_GF_111Check Steps in Financing Classification
TFILA_LC_006Option IDs
TFILA_LC_006TOption Indicators: Names
Privacy Policy