TRST_SECACC_BANK - Payment Details for Securities Account

Payment Details for Securities Account information is stored in SAP table TRST_SECACC_BANK.
It is part of development package FTR_SECURITY_ACCOUNT_MGT in software component FIN-FSCM-TRM-TM-BO. This development package consists of objects that can be grouped under "Treasury: Securities Account Management".

Fields for table TRST_SECACC_BANK

Field Name
Description
Is Key
Data Element
Data Type
Length
Check Table
MANDTClientXMANDTCLNT6
COMPANY_CODECompany CodeXBUKRSCHAR8
SECURITY_ACCOUNTSecurities AccountXVRLDEPOCHAR20TWD01
CURRENCYPayment CurrencyXTPM_PAYMENT_CURRCUKY10TCURC
VALID_FROMPayment Details Effective FromXTPM_VALID_PAYMENT_INFODATS16
DIS_FLOWTYPEUpdate TypeXTPM_DIS_FLOWTYPECHAR16TRGV_DFTSOURCAS3
HOUSEBANKShort Key for Own House BankTB_RHABKICHAR10T012
ACCOUNTShort Key for House Bank AccountTB_RHKTIDCHAR10T012K
RPZAHLPayer/PayeeTB_RPZAHL_NEWCHAR20
RPBANKPartner Bank DetailsTB_RPBANKCHAR8
SZARTPayment TransactionTB_SZARTCHAR2
UZAWEPayment method supplementUZAWECHAR4T042F
SPAYRQPayment request allowedTB_SPAYRQCHAR2
SPRSNGIndividual payment requiredTB_SPRSNGCHAR2
SPRGRDDetermine Grouping DefinitionTB_SPRGRDCHAR2
SCSPAYSame Direction Necessary for Joint Payment?TB_SCSPAYCHAR2
RPCODERepetitive CodeRPCODECHAR40
RP_TEXTReference Text for Repetitive CodeRPCODE_TEXTCHAR100
Privacy Policy