TIBRBRITEMCHGRS - Broker Collections: Change Reasons Broker Report Items

Broker Collections: Change Reasons Broker Report Items information is stored in SAP table TIBRBRITEMCHGRS.
It is part of development package ISCDBROK in software component FS-CD. This development package consists of objects that can be grouped under "FS-CD: Broker Collections".

Fields for table TIBRBRITEMCHGRS

Field Name
Description
Is Key
Data Element
Data Type
Length
Check Table
MANDTClientXMANDTCLNT6*
CHGRSChange Reason for Broker Report ItemXCHGRS_BRITEM_BROCHAR6
XVALID_CHANGEChange reason is valid for changesXCHGRS_CHG_BROCHAR2
XVALID_REJECTChange reason is valid for refusalsXCHGRS_REJ_BROCHAR2
XVALID_NEWChange reason is valid for new broker report itemsXCHGRS_NEW_BROCHAR2
XVALID_WO_MDChange reason is valid if master data is missingXVALID_WO_MD_BROCHAR2
XVALID_PREMChange reason is valid for premiumX_CHGRS_VALID_PREM_BROCHAR2
XVALID_COMMChange reason is valid for commissionsX_CHGRS_VALID_COMM_BROCHAR2
XVALID_CLAIChange reason is valid for lossesX_CHGRS_VALID_CLAI_BROCHAR2
XVALID_COSTChange reason is valid for costsX_CHGRS_VALID_COST_BROCHAR2
XOVRPYMNTChange reason is valid for overpaymentX_CHGRS_OVRPYMNT_BROCHAR2
XUNDRPYMNTChange reason is valid for underpaymentX_CHGRS_UNDRPYMNT_BROCHAR2
XEQPYMNTChange reason is valid for equal amountsX_CHGRS_EQPYMNT_BROCHAR2
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