| Table | Table Description | Column# | Alias | Column Description | Data Type | Length | Decimals | Default Value | Constraints |
---|
1 | /BIC/B0000165000 | PSA for 0FI_AP_4 T90CLNT090 FI-AP: Items Delta | 54 | SAKNR | | nvarchar | 10 | 0 | | |
2 | /BIC/B0000166000 | PSA for 0FI_AR_4 T90CLNT090 FI-AR Items Delta | 54 | SAKNR | | nvarchar | 10 | 0 | | |
3 | /BIC/B0000168000 | PSA for 0FI_GL_40 T90CLNT090 G/L Accounts: Items | 113 | SAKNR | | nvarchar | 10 | 0 | | |
4 | /BIC/B0000169000 | PSA for 0FI_GL_41 T90CLNT090 Documents, Compact | 113 | SAKNR | | nvarchar | 10 | 0 | | |
5 | /BIC/B0000172000 | PSA for 0FI_GL_14 T90CLNT090 Gen. Ledger: Items | 158 | SAKNR | | nvarchar | 10 | 0 | | |
6 | /BIC/B0000223000 | PSA for 0CO_OM_OPA_6 T90CLNT090 Orders: ActCostDelta | 44 | SAKNR | | nvarchar | 10 | 0 | | |
7 | /CCEE/FISC_TAXAC | Tax segments to Accounts mapping | 4 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
8 | /SMD/MD_____00LA | SID-Tabelle fuer Reconciliation acct | 4 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
9 | AUAA | Settlement Document: Receiver Segment | 8 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
10 | BSAD_BAK | Accounting: Secondary index for customers (cleared items) | 35 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
11 | BSAK_BAK | Accounting: Secondary Index for Vendors (Cleared Items) | 37 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
12 | BSEG | Accounting Document Segment | 98 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
13 | BSID_BAK | Accounting: Secondary Index for Customers | 35 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
14 | BSIK_BAK | Accounting: Secondary index for vendors | 37 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
15 | BSSEG | Accounting Document Segment | 87 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
16 | CNV_10510_FCVMAP | Mappingtable for conversion of foreign currencies | 5 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
17 | CNV_20100_SKA1 | CNV backup copy for SKA1 | 4 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
18 | CNV_20100_SKAT | CNV backup copy for implementation of country-spec. CoA - ID | 5 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
19 | CNV_20100_SKB1 | CNV backup copy for SKB1 | 4 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
20 | CNV_20200_SKB1 | Differences in G/L account master data | 5 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
21 | CNV_40305_POST_A | Aggregated amount to be reposted | 5 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
22 | CNV_40305_POST_D | Values to be reposted for a given asset | 11 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
23 | CNV_40305_SIM_PA | Aggregated amount to be reposted | 6 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
24 | CNV_40305_SIM_PD | Values to be reposted for a given asset | 12 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
25 | FIAPOM_WTHCLRDT | Declare Withholding Tax clearing details (Oman) | 5 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
26 | FIAPQAC_GLPRVN | Maintain Provision type with g/l acoount | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
27 | FIAPQAC_GLPRVN2 | Maintain Provision type with g/l acoount | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
28 | FIAPSAC_GLCSTD | GL account mapping with custody | 4 | SAKNR | Custody G/L Account No | nvarchar | 10 | 0 | | |
29 | FIAPSAD_ORDR_LT | Line Item for Order Number KSA | 9 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
30 | FMFGGTASACBLDEF | GTAS Account Balance Definition | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
31 | FUDT_VDOCBSEG | Verification Document Item with Additional Info | 87 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
32 | FUDT_VDOCBSEGEV | Verification Document Item in the Entry View | 87 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
33 | FUDT_VDOCBSEGH | Verification Document Segment with Additional Info(History) | 87 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
34 | GLPOS_C_CT | FI Document: Entry View | 218 | SAKNR | Reconciliation Account from Master Data | nvarchar | 10 | 0 | | |
35 | GLPOS_C_DEB_CT | GLPOS_C_CT Customer Line Items | 218 | SAKNR | Reconciliation Account from Master Data | nvarchar | 10 | 0 | | |
36 | GLPOS_C_GL_CT | GLPOS_C_CT G/L Line Items | 218 | SAKNR | Reconciliation Account from Master Data | nvarchar | 10 | 0 | | |
37 | GLPOS_C_VEN_CT | GLPOS_C_CT Vendor Line Items | 218 | SAKNR | Reconciliation Account from Master Data | nvarchar | 10 | 0 | | |
38 | GLPOS_N_CT | New General Ledger: Line Item with Currency Type | 226 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
39 | GLPOS_N_GL_CT | New General Ledger: Line Item with Currency Type | 226 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
40 | J_1GWTR2 | Vendor Tax Accounts | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
41 | P2RX_FUND | Accounting Structure for Funds Management | 19 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
42 | REGUP | Processed items from payment program | 27 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
43 | T045D | Available amounts for bill of exchange presentation | 9 | SAKNR | G/L account for the presentation | nvarchar | 10 | 0 | | |
44 | T095_ACI | Technical Clearing Account for Integrated Asset Acquisition | 5 | SAKNR | Technical Clearing Account for Integrated Asset Acquisition | nvarchar | 10 | 0 | | |
45 | TFE19 | BDF: Accts Subj. to Report. | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
46 | TIV65 | Non-Deductible Input Tax Acct Assignment | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
47 | TSAKR | Create G/L account with reference | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
48 | ZJVPARMS | Journal Entries for Business case | 5 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
49 | ZSAFI | Zuordnung Sako-Fipo | 3 | SAKNR | Nummer des Sachkontos | nvarchar | 10 | 0 | | |
TOPAccounting Interface |
50 | GLE_FI_ITEM_MODF | ECS: Modified FI Line Items (Header/Item/Currency Data) | 89 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
51 | GLE_FI_ITEM_ORIG | ECS: Original FI Line Items (Header/Line Item/Crcy Actg I/F) | 89 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPActual CostingMaterial Ledger |
52 | FCML_PROC | Business Processes | 25 | SAKNR | Number of G/L Account (Process) | nvarchar | 10 | 0 | | |
TOPActual Payments and Forecast |
53 | FMFD | Presettings: Create Commitment Items | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPAlternative Valuation Run |
54 | CKMLAVRDOCIT | Lines for Cumulation Posting Document | 38 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPBack Office |
55 | TRRC_CA1 | TR Reporting: Definition of Currency Accounts | 3 | SAKNR | Currency Account | nvarchar | 10 | 0 | | |
56 | TRRC_CA3 | TR Reporting: Define Revenue Account for Currency Revenues | 3 | SAKNR | Currency Account | nvarchar | 10 | 0 | | |
TOPBank Components |
57 | JBSSKB1 | IS-B: Additional FI account info.(Regulatory Reporting) | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPBasic Functions |
58 | BSIW | Index table for customer bills of exchange used | 9 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
59 | BSIX | Index table for customer bills of exchange used | 9 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
60 | SKAS | G/L account master (chart of accounts: key word list) | 4 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
61 | SKB1 | G/L account master (company code) | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPContract Accounts Receivable and Payable |
62 | TFK020U | Regrouping Accounts | 3 | SAKNR | General ledger account | nvarchar | 10 | 0 | | |
TOPCross-Application Components |
63 | AAUUFK | Order master data | 46 | SAKNR | G/L account for basic settlement | nvarchar | 10 | 0 | | |
64 | BBSID | Accounting: Secondary index for customers | 35 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPCustomizing Tools Techniques |
65 | ZC015 | Convertion toolbox Correspondance of account number | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPData Retention Tool |
66 | TXW_S_BSEG | Retrieve BSEG from archive | 76 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPElectronic Bank Statement |
67 | FEB_ACCNT_SAVE | Saving of Posting Lines for Postprocessing (Account Assign.) | 8 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
68 | FEB_ACT | Acct Assignment Templates | 8 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPFinancial Accounting |
69 | /CEECV/ROFIMASK | Descript mask account | 4 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
70 | ACCTIT | Compressed Data from FI/CO Document | 31 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
71 | BSAD | Accounting: Secondary Index for Customers (Cleared Items) | 35 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
72 | BSAK | Accounting: Secondary Index for Vendors (Cleared Items) | 37 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
73 | BSID | Accounting: Secondary Index for Customers | 35 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
74 | BSIK | Accounting: Secondary Index for Vendors | 37 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
75 | DOCCHG_CLACCT | Customizing: Clearing Account. Required for Transfer Posting | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
76 | EBSEG | Doc.Segment of Fin.Accntng External Documents | 48 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
77 | FERC_C3 | Regulatory accounts for traced costs | 9 | SAKNR | Regulatory account | nvarchar | 10 | 0 | | |
78 | FERC_C9 | Regulatory accounts for direct postings | 8 | SAKNR | Regulatory account | nvarchar | 10 | 0 | | |
79 | SKA1 | G/L Account Master (Chart of Accounts) | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
80 | SKAT | G/L Account Master Record (Chart of Accounts: Description) | 4 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
81 | T856K | Default Transaction Type for FI Accounts | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
82 | TAX_RFD_C_MAP | Assign VAT Refund Code to G/L Account | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
83 | VBSEGS | Document Segment for Document Parking - G/L Account Database | 44 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPFlexible Real Estate Management |
84 | TIVHOHBKID1 | Mandatsverwaltung, Hausbanken: Vorlagekonten | 4 | SAKNR | Nummer des Sachkontos | nvarchar | 10 | 0 | | |
85 | TIVHOIR | Mandatsverw.: Instandhaltungsrücklage Konten/Vorschlagsw | 3 | SAKNR | Nummer des Sachkontos | nvarchar | 10 | 0 | | |
86 | VIAKHOIR | WEG-Verwaltung: Stammdaten Bank/ Instandhaltungsrücklage | 4 | SAKNR | Nummer des Sachkontos | nvarchar | 10 | 0 | | |
87 | VIAKHOPO | WEG-Verwaltung: Jahresübersicht Umlage Bank/Rücklagen | 4 | SAKNR | Nummer des Sachkontos | nvarchar | 10 | 0 | | |
TOPFunctions for U.S. Federal Government |
88 | FMFG_TROR_ACCTS | TROR G/L Account Group detail | 5 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
89 | FMFG_TROR_CONFIG | Configuration for TROR lines | 7 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPFund Accounting |
90 | FMADB_GLACCOUNT | ADB: G/L Accounts that Take Part in Weighting Determination | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPFunds Management |
91 | FIWF_ACGRP | Account Assignment Groups for Role Definition | 5 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
92 | FIWF_MDRUL | Main Rules for FI Role Definition | 7 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
93 | FMFGF2FADT | (FACTS II) Account Balance Definition Table | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
94 | FMLGD_H_VG_03_01 | Posting Type 03: G/L Account Debit Posting | 6 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
95 | FMLGD_H_VG_04_01 | Posting Type 04: G/L Account Credit Posting | 6 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
96 | KBLP | Document Item: Manual Document Entry | 75 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPFunds Management-Specific Postings |
97 | FMBGACORRS | History for Input Tax Adjustments PCOs | 8 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
98 | FMBGADCTAX | Data from Backdated Tax Calculation for PCOs | 8 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
99 | FMCJ | IS-PS: Documents in Cash Desk Subsidiary Ledger | 17 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
100 | FMFUNDTRANSYEAR | Additional Documents for Funds Transfer to Diff. Years | 45 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
101 | PAYAC01 | Account determination | 12 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
102 | PAYAC11 | Account to be Proposed for Payment Request | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
103 | PSO26 | Summarization Keys and Accounts | 4 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
104 | PSO51 | G/L Account Determination for Deferrals | 4 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
105 | PSOSEGS | Recurring Request Document Segment, G/L Accounts | 44 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPGeneral Ledger Accounting |
106 | FAGL_BSBW_HST_BL | Valuation History of Balances | 4 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPInformation System |
107 | DKOKP | Open Item Account Balance Audit Trail | 45 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
108 | GLOFAAJPTSICHK | Annex16: Chk tab for the convination of Type-Structure-Item | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
109 | GLOFAAJPTSIDEF | Annex16: Default Value for Structure & Item in CSMD | 4 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPInformation system |
110 | PSOBFI | FI Position (Day-end Closing) | 7 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
111 | PSOBFI_INI | FI-Anfangsbestände ( Tagesabschluss) | 7 | SAKNR | Nummer des Sachkontos | nvarchar | 10 | 0 | | |
112 | PSOBKFI | Bestände Kassenbuch-Tagesabschluss | 6 | SAKNR | Nummer des Sachkontos | nvarchar | 10 | 0 | | |
TOPInformation System |
113 | TABKT | Automatic Accounts for End-Year Closing/Opening Postings ITA | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPInventory Management |
114 | RESB | Reservation/dependent requirements | 39 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPInvoice Verification |
115 | RBCO | Document Item, Incoming Invoice, Account Assignment | 26 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPJoint Venture und Production Sharing Accounting |
116 | T8J_POST_ERROR_C | Documents with errors in JV posting (Open Items) | 15 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPLocal Currency Changeover |
117 | EWUFI_SCA | EMU conversion: Table of the clearings to be adjusted | 13 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
118 | EWUSAK | EMU: Currencies for participating G/L accounts | 4 | SAKNR | G/L account number | nvarchar | 10 | 0 | | |
TOPLocalization |
119 | IDCN_ACCITEM | China Golden Audit Interface: Account Lines | 4 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
120 | IDCN_GLACCATTR | G/L account time-depen.attributes (CN) | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
121 | IDCN_GLACCATTRT | G/L account time-depen.attributes-texts(CN) | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
122 | IDCN_GLACCOLD | Old G/L Account Numbers - time dependent (CN) | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
123 | IDCN_GLACCOLDT | Old G/L Account Numbers - time dependent - texts (CN) | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
124 | IDCN_MAP_EAS | Detail Expense Accounts (Golden Audit) | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
125 | IDCN_ZJFSKIPACC | Skip G/L Account from P&L Account Closing Posting (China) | 3 | SAKNR | G/L account (lower limit) | nvarchar | 10 | 0 | | |
126 | IDCN_ZJFSKIPACCT | Skip G/L Account from P&L Account Closing Posting (Text) | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
127 | J_1AIFSKVZ | Inflation Revaluation G/L Account - Transaction Figures | 4 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
128 | J_1AINFPCL | FI Inflation adjustment: Process control | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
129 | J_1IEWT_CUST | Customer certificates ,Challan customizing EWT- India | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
130 | J_3RCLASSSAKNR | General ledger accounts classification | 2 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
131 | J_3RKPAC | Account priorities for automatic interpretation | 4 | SAKNR | G/L Account | nvarchar | 10 | 0 | | |
TOPLogistics Invoice Verification |
132 | WRFT_PREPAY_ACCT | Account Determination: Prepayment Clearing Account | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPMaintenance History |
133 | HIMA | PM order history - materials | 24 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPMulti Currency Accounting |
134 | GLE_MCA_T030H | GLE MCA Accounts Table | 5 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPOverhead Cost Orders |
135 | AUFK | Order master data | 46 | SAKNR | G/L account for basic settlement | nvarchar | 10 | 0 | | |
TOPPayment Transactions |
136 | CRACC | Payment Cards: Account Assignments in Card Master Record | 16 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
137 | CRNUM | Payment cards: Card master record | 37 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
138 | FPRL_ITEM | Item Data | 35 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
139 | REGUH | Settlement data from payment program | 151 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPPeriodical Sales and Distribution |
140 | JFREVLIABACC | IS-M/SD: Accr.Table for Rev.Dist.w/Liab.Acct for Transfer | 5 | SAKNR | IS-M/SD: Clearing Account | nvarchar | 10 | 0 | | |
141 | JFREVLIABACC_REV | IS-M/SD: Reverse Revenue Dist. w/Liability Acct for Trans. | 8 | SAKNR | IS-M/SD: Clearing Account | nvarchar | 10 | 0 | | |
142 | JFREVPER | IS-M/SD: Accrual Table for Period-Related Revenue Dist. | 5 | SAKNR | IS-M/SD: Clearing Account - Expected Delivery Revenue | nvarchar | 10 | 0 | | |
143 | JFREVPER_REVERSE | IS-M/SD: Reverse Period-Related Revenue Distribution | 8 | SAKNR | IS-M/SD: Clearing Account - Expected Delivery Revenue | nvarchar | 10 | 0 | | |
144 | JFREVVA | IS-M/SD: Accr.Table for Issue-Rel.Revenue Dist.w/o Liab.Acct | 3 | SAKNR | IS-M/SD: Clearing Account - Expected Delivery Revenue | nvarchar | 10 | 0 | | |
145 | JFREVVAACC | IS-M/SD: Accr.Table for Issue-Related Rev.Dist.w/Liab.Acct | 5 | SAKNR | IS-M/SD: Clearing Account | nvarchar | 10 | 0 | | |
146 | JFREVVAACC_REVER | IS-M/SD: Reverse Issue-Related Revenue Dist. w/Liab. Account | 8 | SAKNR | IS-M/SD: Clearing Account | nvarchar | 10 | 0 | | |
147 | JFREVVA_REVERSE | IS-M/SD: Reverse Issue-Related Revenue Dist. w/o Liab. Acct | 6 | SAKNR | IS-M/SD: Clearing Account - Expected Delivery Revenue | nvarchar | 10 | 0 | | |
148 | JFVA | IS-M/SD: Accrual Table Revenue Distribution at Issue Level | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
149 | JFXBPOSDL | IS-M: Backup Transfer Internal Table XBPOS | 5 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
150 | JFXJFVADL | IS-M: Backup Transfer Internal Table XJFVA | 5 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
151 | JKACCTFPROT | IS-M/SD: Log of Liability Account Transfer | 9 | SAKNR | IS-M/SD: G/L account for extraordinary revenue | nvarchar | 10 | 0 | | |
152 | TJKTRANSTYPE | IS-M/SD: Transfer Cats for Controlling Liab.Acct Transfer | 7 | SAKNR | IS-M/SD: G/L account for extraordinary revenue | nvarchar | 10 | 0 | | |
TOPPOS Interface |
153 | TWPIF | Transaction type-dependent control of POS financial trans. | 6 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPPosition Budgeting and Control |
154 | HRFPM_BPREP_DATA | Preprocesses Data for BPREP Data Extraction | 12 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
155 | HRFPM_DIFFERENCE | HRFPM: Personnel Costs Savings/ Overrun | 28 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
156 | HRFPM_FM_POS | HRFPM: FM Documents - Items | 12 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
157 | HRFPM_FM_POS_BU | HRFPM: FM Documents - Items for Budget | 13 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
158 | HRFPM_FPM_POS | HRFPM: FPM Documents - Items | 26 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
159 | HRFPM_FPM_POS_BU | HRFPM: FPM Documents - Items for Budget | 27 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
160 | HRFPM_OBJECTS | HRFPM: Object table of the commitment engine | 22 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPReal Estate Management |
161 | IVBZ | ) | 9 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
162 | VIAK08 | DME Settlement Units Master Data | 33 | SAKNR | Cost account for incidental expense account settlement | nvarchar | 10 | 0 | | |
TOPReceivablesPayment Management |
163 | TZB27 | Assignment of G/L account to account group | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPRemaining Beverage - Obsolete Objects |
164 | /BEV3/CH1030BSG1 | Document Segment CH Event Ledger Part1 | 89 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPRental Accounting |
165 | VIEXCFCNDNS | Cash Flow Summarization | 36 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPRevenue recognition |
166 | VBREVAC | Revenue Recognition: Compression of FI Revenue Postings | 4 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPSAP Healthcare - Industry-Specific Components for Hospitals |
167 | NAH01 | IS-H AT: Umschlüsselung Sachkontonummer auf Kreditor | 3 | SAKNR | Nummer des Sachkontos | nvarchar | 10 | 0 | | |
TOPSAP Retail Store |
168 | TWIC0250 | General Business Transactions for SAP Retail Store GR | 8 | SAKNR | G/L account number | nvarchar | 10 | 0 | | |
TOPSimulation |
169 | VSAUFK_CN | Version: Order master data | 47 | SAKNR | G/L account for basic settlement | nvarchar | 10 | 0 | | |
170 | VSRESB_CN | Version: Reservation/Dependent requirements | 40 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPTechnical Application Support |
171 | CNV_20425_SCA | EMU conversion: Table of the clearings to be adjusted | 10 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPTraders and Schedulers Workbench |
172 | OIJ_RU_CO_SAKNR | Define Accounts for Controlling Postings | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPTransaction Manager |
173 | VTBACCOUNT | TR: G/L account - Master Data Extensions Treasury | 3 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPTreasury |
174 | FLQACC_ACT | Liquidity Calculation - Other Actual Accounts | 4 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
175 | FLQACC_INFO | Liquidity Calculation - Accounts with Assignment Information | 4 | SAKNR | G/L Account Number | nvarchar | 10 | 0 | | |
TOPWaste Management |
176 | EHSWAT001ACC | MD (BDT): Generator/Disposer/Transporter - Accnt Assignment | 25 | SAKNR | G/L Account for Disposal Operations | nvarchar | 10 | 0 | | |
177 | EHSWAT_ENACC | Disposal Processing: Account Assignments for Entry Document | 22 | SAKNR | G/L Account for Disposal Operations | nvarchar | 10 | 0 | | |
178 | EHSWAT_MNACC | Account Assignments for Disposal Document | 21 | SAKNR | G/L Account for Disposal Operations | nvarchar | 10 | 0 | | |