EPIC_CBC_EBR - Cash Budgeting Control of Bank Receipt

Cash Budgeting Control of Bank Receipt information is stored in SAP table EPIC_CBC_EBR.
It is part of development package ID-FI-EPIC-PMCTL in software component FI-LOC-EPI-CN. This development package consists of objects that can be grouped under "Globalization: E-Payment Integration Payment Control".

Fields for table EPIC_CBC_EBR

Field Name
Description
Is Key
Data Element
Data Type
Length
Check Table
MANDTClientXMANDTCLNT6
EBR_IDBank Receipt IdentifierXEPIC_EBR_IDRAW16
ITEM_NUMEPIC: Cash budgeting consumption item numberXEPIC_CBC_ITEM_NUMNUMC10
ORGUNIT_IDOrganizational Unit in the Cash Budget PlanEPIC_CB_ORGUNIT_IDNUMC16
AREAEPIC: Cash budget areaEPIC_CB_AREACHAR8
CYCLE_IDIdentifier for the Cash Budget CycleEPIC_CB_CYCLE_IDCHAR20
LQITEM_IDIdentifer for the Liquidity Item from the Cash BudgetEPIC_CB_LQITEM_IDCHAR32
.INCLUDESI_EPIC_CB_LQITEM_DIM0
VENDORAccount Number of SupplierLIFNRCHAR20
CUSTOMERCustomer NumberKUNNRCHAR20
DIRECTIONCredit or Debit Indicator for Cash Budget AmountEPIC_CB_DIRECTIONCHAR2
ASSG_AMTCash Budget Amount Assigned to Liquidity ItemEPIC_CBC_ASSG_AMNTCURR12
CURRENCYCurrency KeyWAERSCUKY10
GUID_CB16-byte UID in 32 chars (hexadecimal)SYSUUID_C32CHAR64
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