вторник, 20 августа 2013 г.

SAP FI Tables ( Financial Accounting - FI )

BSEG Accounting Document Segment
BKPF Accounting Document Header
LFA1 Vendor Master (General Section)
T001 Company Codes
BSID Accounting: Secondary Index for Customers
BSIS Accounting: Secondary Index for G/L Accounts
BSIK Accounting: Secondary Index for Vendors
LFB1 Vendor Master (Company Code)
BSAK Accounting: Secondary Index for Vendors (Cleared Items)
BSAD Accounting: Secondary Index for Customers (Cleared Items)
LFBK Vendor Master (Bank Details)
KNB1 Customer Master (Company Code)
RF05A Work Fields for SAPMF05A
BSET Tax Data Document Segment
BBSEG Accounting Document Segment (Batch Input Structure)

Asset Accounting

ANLA Asset Master Record Segment
ANLC Asset Value Fields
ANLZ Time-Dependent Asset Allocations
ALSMEX_TABLINE Rows for Table with Excel Data
ANLB Depreciation terms
ANEK Document Header Asset Posting
ANLU Asset Master Record: User Fields
TABA Depreciation posting documents
ANEP Asset Line Items
ANLAV Asset Reporting: ANLA Fields Plus Cost Center...
ANLP Asset Periodic Values
RAIFP2 Asset Accounting: Input Fields for Posting
T093D Control dep. posting
W001 External currency field for ANLA change docs.
ANKA Asset classes: general data

Accounts Payable

RF02K Maintain vendor master record screen and work fields
REGUH Settlement data from payment program
REGUP Processed items from payment program
WITH_ITEM Witholding tax info per W/tax type and FI line item
REGUD Form print transfer data
LFBW Vendor master record (withholding tax types) X
FDTA Help fields structure for 'DME Administration' transaction
BWITH Document-withholding tax information (batch input structure)
T004F Field status definition groups
TBSL Posting Key
F110V Fields for SAPF110V (payment program parameters)
V_T001 Generierte Tabelle zu einem View
T059Z Withholding tax code (enhanced functions)
T077D Customer account groups
T042I Account determination for payment program


Accounts Receivable

KNVP Customer Master Partner Functions
KNKK Customer master credit management: Control area data
INT_TAB Delivery Table for Interest Rates
T179T Materials: Product hierarchies: Texts
KNKA Customer master credit management: Central data
MAHNS Accounts blocked by dunning selection
MHNK Dunning data (account entries)
T001CM Permitted Credit Control Areas per Company Code
RF02L Customer credit management screen and work fields
T014 Credit control areas
V_T001B Generierte Tabelle zu einem View
KNVD Customer master record sales request form
F150D Work fields for SAPF150D
BKNVV Customer master sales data (batch input structure)
T001T Company code-dependent texts


Bank Accounting

PAYR Payment Medium File
T012K House Bank Accounts
T012 House Banks
FPAYP Payment medium: Data on paid items
FPAYH Payment medium: Payment data
REGUT TemSe - Administration Data
T042E Company Code-Specific Specifications for Payment Methods
T042Z Payment Methods for Automatic Payment
FPAYHX Payment Medium: Prepared Data for Payment
BSEGC Document: Data on Payment Card Payments
T012T House Bank Account Names
TCCAA Payment cards: Clearing account/external functions
PAYRQ Payment Requests
CCENQ Payment cards: Primary table for lock object EFCCENQ
T042B Details on the company codes that must pay


Contract Accounts Receivable and Payable

E001 Company Code Currencies for Archiv.Classes ARCT001
DFKKOP Items in contract account document
FKKVKP Contract Account Partner-Specific
DFKKKO Header Data in Open Item Accounting Document
DFKKTHI Transfer Records for Invoice Issue by Third Party
CALLID Identification of calling program for time module
DFKKZP Payment lot: Data for payment
FKKVK Contract Account Header
DFKKOPBW OI Extraction
TFKIHVORT Internal Main Transactions - Text Table
DFKKOPK Items in contract account document
IBUKRS Range structure for company codes
FKKOP Business Partner Items in Contract Account Document
DPAYH Payment program - data for payment
FKKMAZE Dunning history of line items


Generic Contract Accounts Receivable and Payable

BCA_STR_DIM_CLR_EXTENSIONIN Customer Enhancements for each Clearing Account
DFSCIHISTIOB Balance Int. Calculation at Contract Account Level: History
BCA_STR_DIM_REF_REVERSAL_KEYS Reversal references with keys
BCA_STR_DIM_OI_KEYS Open Item Key Columns
BCA_STR_DIM_REF_REVERSAL Reversal of open items
FICAX_INTEREST_STR_INTER_DOC Interest Document (Header)
FSC_STR_INSTP_INST_DOC Installment Plan Document (Header)
FSC_STR_INSTP_INST_ITEM Individual Installment Due Date
FSC_STR_SEC_SECURITY Security Deposit


Funds Management

FMDERIVE FM Derivation Structure
REDY Screen Fields for Funds Reservations
BPJA Totals Record for Annual Total Controlling Obj.
FMIFIIT FI Line Item Table in Funds Management
BPGE Totals Record for Total Value Controlling obj.
FVAR Commitment Items: Fiscal Years and Plan Variants
FMIOI Commitment Documents Funds Management
BPIN Import Parameters for Accessing Functions in Budget/Planning
FPOS Commitment items
FMIT Totals Table for Funds Management
BPIJ Budget Object Index (Annual Budget)
BPVC Communication: Open Item Management/Actual Update
BPDY Budgeting/Planning Screen Fields
MAOR Return Structure for MiniApp Internal Orders
FMFCTR Funds Center Master Record


General Ledger Accounting

FAGLFLEXA General Ledger: Actual Line Items
FAGLFLEXT General Ledger: Totals
SKB1 G/L account master (company code)
GLACCOUNT_SCREEN_COA G/L Account Master Record: Chart of Accounts (Screen Fields)
GLACCOUNT_SCREEN_CCODE G/L Account Master Record: Company Code (Screen Fields)
FC01 BDF Header Record for Reporting
TCJ_DOCUMENTS Cash Journal Documents (Header Data)
ACC_DOCUMENT Accounting document
RFPDO1 Include the Program-Specific Parameter Documentation
FAEDE Transfer Structure for Determining Due Date
TCJ_POSITIONS Cash Journal Document Items
RFPDO Include the Report-Specific Parameter Documentation
RFPOSX Line Item Data: RFPOS with Longer Amount Fields
GLACCOUNT_SCREEN_KEY G/L Account Master Record: Key (Screen Fields)


Lease Accounting

V_OBJECTID Generated Table for View V_OBJECTID
LAE_CRM_ITEMS LAE: Contract Items
LAE_CRM_BILLPLAN Payment Schedule
LAE_CRM_HEADER LAE: CRM Contract Header
FILA_POINF Help Structure: Posting Info for FI-AA
LAE_BILLING_DATA Payment Schedule
LAE_CRM_CONDS Lease-Accounting-Relevant Conditions
FIOTPOI One-Time Postings: Items
FILA_GF_ITEMDATA Process Data
FILA_RE_LNK Link Between Leasing <-> Refinancing
FILA_RE_TR_I Tranche Item: Selection Result for Refinancing
LAE_BILLING_DAT Payment Schedule
LAE_CRM_LNK Link between LAE and CRM Contract Items
LAE_VICN01_AD Additional Contract Data for LAE
FIEH_STATUS Object Status for Restart Exception Handling

Consolidation

V_INDX Generated Table for View V_INDX
GLT3 Summary Data Preparations for Consolidation
GLT2 Consolidation totals table
FILC FI-LC: Database Structure for Reporting
T856 Transaction Types
RF10B Help fields for screens SAPMF10B
V_T880 Generated Table for View V_T880
FILCT FI-LC: Global totals table with 2 object tables
GLID Screen fields for function group GLID
V_T856 Generated Table for View V_T856
MCDX Compressed Consolidation transaction data
FILCA FI-LC: Actual journal entry table with 2 object tables
FILCP FI-LC: Plan line items for object table
T000K Group
GSBLCA Business area consolidation: deviating records

Localization

J_1IEXCDTL Excise invoice line item details
J_1IEXCHDR Excise invoice header detail
J_1IMOVEND Vendor Master Excise Additional Data
J_1IPART2 Excise Part II details
J_1IPART1 Excise part I detials
J_2IRG1BAL Opening/Closing balance table for RG1
J_1IRG1 Excise RG1 details
J_1IRG23D RG23D register for the depot
J_2IACCBAL Opening/Closing a/c balance table
J_1BNFDOC Nota Fiscal Header
J_1IMTCHID Combination of Material Number and Chapter ID
J_1IEWTCHLN Table for Internal and external Challan nos-EWT India.
J_1BNFE_ACTIVE Electronic Nota Fiscal: Actual Statu
J_1IEWT_CERT SAPscript Forms/section indicators for E WT Certificates
J_1IGRXREF Goods Receipt to Excise Invoice Coss Reference

Retail Ledger

PCRRETAILA Actual line item table
PCRRETAILP Plan line items table

Special Purpose Ledger

GLT0 G/L account master record transaction figures
VARD Report Writer: Variation Dimensions
GB01 Classes for Boolean Formulas
SETHEADER Set Header and Directory
SETLEAF Values in Sets
T881 Ledger Master
GLFUNCA Actual Line Items Table for Cost of Sales Accounting
GLU1 G/L user table 1
GREP Report Writer: File of Stored Reports
SETNODE Lower-level sets in sets
ACCIT_GLX FI: Interface to Accounting: Item Information
SETDATA Sets - Contents (before Release 4.0)
SETHIER Interface Structure: Set Hierarchy
SETVALUES Interface Structure: Values in Set Hierarchy
OBJTABLE General Structure for FI-SL Object Tables

Travel Management

PTK99 Field string/Table for USER Screen
PTRV_HEAD General Trip Data
PTRV_KMSUM Table for Use of Miles/Kms Accumulation
PTRV_PERIO Period Data of a Trip
P0017 HR master record: Infotype 0017 (Travel Privileges)
V_T706B1 Generated Table for View V_T706B1
T706F Trip Provision: Flat Rates for Travel Costs
V_T706F Generated Table for View V_T706F
PTRV_SREC Trip Statistics - Receipts
V_T702N_A Generated Table for View V_T702N_A
P0471 HR master record for infotype 0471
V_T706B2 Generated Table for View V_T706B2
PTRV_SHDR Trip Statistics - Trip Amounts
PTK05 Stopover
V_T706K Generated Table for View V_T706K

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