FVVW - Treasury Management: Securities

The development package FVVW contains objects for "Treasury Management: Securities".
It is a subpackage in its parent development package FS_TRM. It belongs to software component FIN-FSCM-TRM-TM.
This development package contains no child development packages.

Tables for development package FVVW

Table
Description
ATDRDate Rule
ATDRTDate Rule
BCKTCAT_FLOWBACKUP: Flow Table of Capital Actions
BCKTERT_FLOWBACKUP: Flow Table for Executable Rights
BCKVTBFHAPOBackup: Transaction Flows
BCKVWBEPIBackup: Flow data - Position/Actual
BCKVWBEPPBACKUP: Flow data - Position/Planned
BCKVWBWKMBACKUP: Flow table for corporate actions
BCKVWORDEBACKUP: Order data
BCKVWPAKTIBACKUP: Stock, subscription rights, investment certificates
BCKVWPANLABACKUP: Asset master
BCKVWPANLEBACKUP: Interest-bearing securities
BCKVWPSHARECAPBackup: BCKVWPSHARECAP
BCKVWVORTRBACKUP: Carryover totals - securities
BCKVWZUORDBACKUP: SEC assignment table for restraints on disposal
BCKVZSKOKOBACKUP: Condition header for stock, sub.rgt, invest., share.
BCKVZZKOPOBACKUP: Condition Item Table
TCAC_FT_ASSGNAssign Update Types for the Corporate Actions
TCAC_SORTINGSort Rule for Corporate Actions
TCAT_FLOWFlow Table of the Corporate Actions
TCAT_TRANSACTIONBusiness Transaction: Corporate Action
TERC_FT_ASSGNAssign Update Types for the Rights Exercise
TERTINERKOHeader Information for Executing Security Rights
TERTVWBWERTRTM-PM: Flow Table for Executable Rights
TERTVWERKOExecutable Rights (Header)
TERTVWERPOExecutable Rights (Items)
TERT_FLOWFlow Table for Rights that can be Exercised
TERT_TRANSACTIONBusiness Transaction: Exercise of Rights
TPMA_DERIV_ASSGNAssignment of Derivation Categories
TPMB_DERIV_AMORTAssign Amortization Method to Derivation Category
TPMB_DERIV_CATDefine Derivation Methods
TPMB_LAC_INTERVFlexible LAC Calculation
TPMTAUSWDEFDefinition Table: Evaluation Area Customizing Check Report
TPMTAUSWTEXTText Table: Evaluation Area for Customizing Checks
TPMTCUSTCHECKTable for Function Modules of Customizing Check
TRGT_MIGR_AMPMigration: Assign Opertive Posit. Proc. to Par. Amort Proc.
TRGT_MIGR_PMPConversion: Assign to Parallel Position Mangmnt Procedures
TRGT_MIGR_VAPMigration: Assign Par. Valn Procedure to Valuation Principle
TTCOICODEComplementary Identification Code
TTCOICODETComplementary Identification Code (Text)
TTCOILANDAT: Complementary Identification Country (obsolte-> use T005
TTCOILANDTAT: Complementary Identification Code (obsolte-> use T005
TW19Securities: Correspondence Forms (Used Up To Release 4.5B)
TW22Securities classification
TW22TPremium reserve fund (Text)
TW51Securities Account Statistics Key
TW51TSec. acct statistics key: Texts
TWB08Flow types per securities application subfunction
TWB08APermitted other flows (default)
TWBBBSAssign Additional Flow Types for Valuation
TWD01Treasury: Securities Account Master Data
TWRFSecurity classes relation types
TWRFRSecurities relationship type references
TWRFTSecurities classes relationship types: Texts
TWSDField Selection Securities Account Master Data
TWSPVSecurity Prices for Special Valuation
TWWTKDefinition of currency exchange accounts
TZBAHolding
TZBATHolding share (Text)
TZBKMDefine Types of Corporate Actions
TZBKMTText table for TZBKM
TZSZ1Fields as factors for allocation of clerks
TZSZ2Allocation of characteristics to characteristic groups
TZSZ5Check table for permitted table-/field names (clerk alloc.)
TZSZ6Alloc. of characteris.groups to clerk via invoice no.
TZSZ7Clerk allocation via the invoice no.
TZUSATPrice notations - Text table
VTPPOLICross-Securities-Account Position
VVTIERLEVELTier Level for
VWACTCLASSIFCapitalization of Classification for Product Types
VWBEKITreasury Securities: Actual Flows - Header
VWBEPITreasury Securities: Actual Flows - Item
VWBEPPTreasury Securities: Planned Flows
VWBWKMTRTM-PM: Flow table for corporate actions
VWFL1Assign Flow Categories from TR Transaction to Security
VWFL2Assign Flow Types from TR Transaction to Security
VWFL3Assign Transaction Number to Position Number
VWFLZPKTEvent Control: Assign Function Module to Event
VWGFKTYPETable for 2D Graphic Categories
VWIRPPOOLCLASSIFClassification for Asset Pool
VWIRPPOOLCL_TText Table for Pool Classification
VWIRPTRANCLASSIFTranche Classification
VWIRPTRANCL_TDefinition of Classification Terms (Tranche)
VWKMKOCorporate actions (header)
VWKMPOCorporate actions (items)
VWORDEOrder Data
VWPANANAsset master/asset master relationship
VWPANINAssign Security Class to Security Index
VWPANLEInterest-bearing securities
VWPBDEPBank Securities Account Position
VWPBUKRCompany Code Position
VWPCSPREADCredit Spread per Security
VWPDEPOSecurities Account Position
VWPOSTDOCTR-TM-SE: Securities Posting Document
VWPPOOLDATAAsset Pool Data
VWPPOOLRATINGRating for an Asset Pool
VWPPOOLREMARKComments for Asset Pool
VWPRATINGRating
VWPSHARECAPSecurities - Information about Share Capital and Votes
VWPSHARECAPITALTR: Secuirity Share Capital and Votes
VWPTERMWarrants
VWPWPKUSecurity prices
VWP_AUTH_SECPTYPAuthority check for check setting
VWP_SPPI_CLASSIFSPPI Classification
VWRPLTAFOutput sequences for list tool applic. in sec. reportingc
VWRPLTAFLTList of output sequences for securities reporting
VWRPLTFVAFFields for generating field catalogs and output sequences
VWT_DEFDEP_PTCFM: Default Value Securities Account per Product Type
VWT_DEFDEP_SECCFM: Default Value Securities Account per ID Number
VWVORTRSecurities: Carry-Forward Totals
VWZUORDSecurities Assignment Table for Restraints on Disposal
VZSKOKOCondition header for stock, subscrip.rights, investments
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