/IBS/TRB_IASGHD - RBD IAS-GATE Header Data
RBD IAS-GATE Header Data information is stored in SAP table /IBS/TRB_IASGHD.
It is part of development package /IBS/RB in software component FS-RBD. This development package consists of objects that can be grouped under "iBS: Reserve for Bad Debt".
It is part of development package /IBS/RB in software component FS-RBD. This development package consists of objects that can be grouped under "iBS: Reserve for Bad Debt".
Fields for table /IBS/TRB_IASGHD
Field Name | Description | Is Key | Data Element | Data Type | Length | Check Table |
---|---|---|---|---|---|---|
MANDANT | Client | X | MANDT | CLNT | 6 | |
MODID | RBD: Component ID Source System | X | /IBS/E_RMODID | CHAR | 20 | |
VERTV | RBD: Contract Number Source System | X | /IBS/E_VERTV | CHAR | 200 | |
LIBUE | RBD: Source Accounting Unit | X | /IBS/E_LIBUE | CHAR | 8 | |
SANLF | RBD: Product Category | /IBS/E_SANLFC | NUMC | 6 | ||
PDAVS | RBD: Product Type Source System | /IBS/E_PDAVS | CHAR | 20 | ||
VEAVS | RBD: Contract Type Previous System | /IBS/E_VEAVS | NUMC | 6 | ||
REFEV | RBD: Reference from Source System | /IBS/E_REFEV | CHAR | 200 | ||
VKREF | RBD: Account Assignment Reference Source System | /IBS/E_VKREF | CHAR | 16 | ||
FINRV | RBD: Finance Project Number Source System | /IBS/E_FINRV | CHAR | 70 | ||
PARTV | RBD: Partner Reference Source System | /IBS/E_PARTV | CHAR | 20 | ||
WAEVS | RBD: Contract Currency of in Source System Contract | /IBS/E_IWAERV | CUKY | 10 | ||
DELFZ | RBD: End of Term for Source System Contract | /IBS/E_DELFZ | DATS | 16 | ||
DEFSZ | RBD: End of Fixed Interest Period in Source System Contract | /IBS/E_DEFSZ | DATS | 16 | ||
DVERW | RBD: Date, Recovery Time | /IBS/E_DVERW | DATS | 16 | ||
INTCM | RBD: Interest Calculation Method (Financial Mathematics) | /IBS/E_INTCM | CHAR | 2 | ||
BOOK_VAL | RBD: Book Value for Srce System Contract in Contract Currncy | /IBS/E_OBETRV | CURR | 12 | ||
BENDV | RBD: Remaining Capital at End of Cash Flow | /IBS/E_BENDV | CURR | 12 | ||
PZINS | RBD: Initial Eff. Interest Rate in Source System Contract | /IBS/E_PZINS | DEC | 8 | ||
PERCCF | RBD: Percentage Expectation Used for Cash Flow | /IBS/E_PERCCF | DEC | 3 | ||
STIDA | RBD: Key Date for Extraction of Flow Types | /IBS/E_STIDA | DATS | 16 | ||
STIZE | RBD: Time of Cash Flow Generation | /IBS/E_STIZE | TIMS | 12 | ||
WBKNZ | RBD: Value Adjustment Indicator | /IBS/E_RWBKNZ | CHAR | 60 | ||
SUM_ARREAR | RBD: Amount in Arrears in Contract Currency (IAS) | /IBS/E_RBETRV | CURR | 12 | ||
DELINQ_SINCE | RBD: Date Since Which Contract Is in Arrears | /IBS/E_DSINCE | DATS | 16 | ||
SUM_LOSSES | RBD: Total Loss Amount for Contract in Source System | /IBS/E_ABETRV | CURR | 12 | ||
SUM_LOSSES_PY | RBD: Reserves Field for IAS Gate | /IBS/E_ABTRVV | CURR | 12 | ||
XCF_DIFF | RBD: Control CF Position Remaining Capital | /IBS/E_RKZCFR | CHAR | 2 | ||
XCF_DELFZ | RBD: Reserve Indicator for IAS Gate | /IBS/E_KZKFE | CHAR | 2 | ||
PROCTYPE | RBD: Processing Type | /IBS/E_PROCTYPE | CHAR | 4 | ||
RS_BASIS | RBD: Open Contingent Liability in Contract Currency | /IBS/E_RS_BASIS | CURR | 12 | ||
RS_PROP | RBD: Probability of Risk Provision Usage | /IBS/E_RS_PROP | DEC | 3 | ||
WB_INIT | RBD: Amount for Initializ. of Value Adjustment (Curr. Per.) | /IBS/E_RINIT_WB | CURR | 12 | ||
WB_INIT_PY | RBD: Amount for Initializ. of Value Adjustment (Prev. Per.) | /IBS/E_RINIT_WB_PY | CURR | 12 | ||
RS_INIT | RBD: Amount for Initialization of Provision (Current Period) | /IBS/E_RINIT_RS | CURR | 12 | ||
RS_INIT_PY | RBD: Amt for Initialization of Provision (Previous Periods) | /IBS/E_RINIT_RS_PY | CURR | 12 | ||
.INCLUDE | ACCASSIGN | /IBS/SRB_ACCASSIGN | 0 | |||
PRCTR | Profit Center | PRCTR | CHAR | 20 | ||
KOSTL | Cost Center | KOSTL | CHAR | 20 | * |