/PF1/P_FCLM_BAM_AMD

P View for FCLM_BAM_AMD | view: /PF1/P_BAMAMD | TRAN | Extraction: Not supported | Component: Payment Factory
Column Name Description
acc_id Bank Account Technical ID
Column Name Description
amt_diff FTE_BSM: Difference Amount Permitted in Account Currency
💲 Currency Key (waers):
cash_pool_target_amt_max Target Balance for Subaccount
cash_pool_target_amt_min Minimum Target Amount for Subaccount
cash_pool_transfer_amt_min Minimum Transfer Amount for Subaccount
Column Name Description
Column Name Description
valid_from Bank Account Opening Date
valid_to Bank Account Closing Date
bs_upload_time Bank Statement Check Time
cutoff_time_d Cut-Off Time Domestic
cutoff_time_c Cut-Off Time Cross Border
planned_closing_date Planned Closing Date
created_at_dat Bank Account Created On
created_at_tim Created At
opened_at_dat Bank Account: Openned On
opened_at_tim Bank Account Opened At
changed_at_dat Changed On
changed_at_tim Changed At
closed_at_dat Closed On
closed_at_tim Closed At
iban_valid_from IBAN Valid From
Column Name Description
status Bank Account Status Show values
deleted_flag Data element for domain BOOLE: TRUE (='X') and FALSE (=' ') Show values
importing_channel Bank Statement Importing Channel Show values
upload_bs_flag Upload of Intraday Statements Show values
procstat_act Activate Processing Status for Bank Statement Show values
balstat_act Activate Difference Status for Bank Statement Show values
serstat_act Activate Serial Number Status for Bank Statement Show values
reconstat_act Activate Reconciliation Status for Bank Statement Show values
exp_rhyth FTE-BSM: Frequency Unit Show values
reconcile_intraday Reconcile Intraday Memo Records Show values
Column Name Description Domain name
revision Revision Number FCLM_REVISION
acc_num Bank Account Number FCLM_BAM_ACC_NUM
iban IBAN (International Bank Account Number) IBAN
cash_pool Obsolete: Bank Account Master Data: Cash Pool FCLM_BAM_CASH_POOL
cash_pool_id Cash Pool ID FCLM_BAM_CASH_POOL_ID
prctr Profit Center PRCTR
beneficial Bank Account Holder TEXT60
bank_contact General Contact Person at Bank BU_PARTNER
rel_manager Bank Relationship Manager BU_PARTNER
created_at [Obseleted] Timestamp TZNTSTMPS
created_by Created By XUBNAME
opened_at [Obseleted] Timestamp TZNTSTMPS
opened_by Bank Account: Opened By XUBNAME
changed_at [Obseleted] Timestamp TZNTSTMPS
changed_by Changed By XUBNAME
reviewed_at [Obseleted] Timestamp TZNTSTMPS
reviewed_by Bank Account Master Record Reviewed By XUBNAME
closed_at [Obseleted] Timestamp TZNTSTMPS
closed_by Closed By XUBNAME
control_key Bank Control Key BKONT
objnr Object number J_OBJNR
exp_number Interval for Expected Bank Statements NUMC2
calendar Factory Calendar WFCID
sort_idx FTE-BSM: Display Item in Bank Statement Monitor NUMC3
cash_pool_id_participant Cash Pool for Subaccount FCLM_BAM_CASH_POOL_ID
payment_service_provider Payment Service Provider for Digital Payments DP_PAYMENT_SERVICE_PROVIDER
tolerance_group Tolerance Group Key
ext_rule_id Monitoring Rule for Intraday Statements FCLM_BRM_RULE_EXT_ID
dummy_fclm_bam_amd_incl_eew_ps Custom Fields: Dummy for Use in Extension Includes
description Account Description TEXT60
Master Data Relations Join Conditions
Bank Account Supervisor
  • Bank Account Supervisor
  • Client
  • /PF1/P_FCLM_BAM_AMD.ACCOUNT_SUPERVISOR == USR02.BNAME
  • /PF1/P_FCLM_BAM_AMD.MANDT == USR02.MANDT
Bank Account Type ID
  • Bank Account Type ID
  • Client
Bank Key
  • Client
  • Bank Key
  • Bank Country/Region Key
  • /PF1/P_FCLM_BAM_AMD.MANDT == BNKA.MANDT
  • /PF1/P_FCLM_BAM_AMD.BANKL == BNKA.BANKL
  • /PF1/P_FCLM_BAM_AMD.BANKS == BNKA.BANKS
Bank Country/Region Key
  • Client
  • Bank Country/Region Key
  • /PF1/P_FCLM_BAM_AMD.MANDT == T005.MANDT
  • /PF1/P_FCLM_BAM_AMD.BANKS == T005.LAND1
Company Code
  • Client
  • Company Code
  • /PF1/P_FCLM_BAM_AMD.MANDT == T001.MANDT
  • /PF1/P_FCLM_BAM_AMD.BUKRS == T001.BUKRS
Company Contact Person
  • Client
  • Company Contact Person
  • /PF1/P_FCLM_BAM_AMD.MANDT == USR02.MANDT
  • /PF1/P_FCLM_BAM_AMD.COMPANY_CONTACT == USR02.BNAME
Import Method for End-of-Day Bank Statements
  • Client
  • Import Method for End-of-Day Bank Statements
Business Area
  • Client
  • Business Area
  • /PF1/P_FCLM_BAM_AMD.MANDT == TGSB.MANDT
  • /PF1/P_FCLM_BAM_AMD.GSBER == TGSB.GSBER
Import Method for Intraday Bank Statements
  • Import Method for Intraday Bank Statements
  • Client
Payment Method for Header Account
  • Client
  • Bank Country/Region Key
  • Payment Method for Header Account
  • /PF1/P_FCLM_BAM_AMD.MANDT == T042Z.MANDT
  • /PF1/P_FCLM_BAM_AMD.BANKS == T042Z.LAND1
  • /PF1/P_FCLM_BAM_AMD.PAYMENT_METHOD_L == T042Z.ZLSCH
Payment Method for Subaccount
  • Client
  • Payment Method for Subaccount
  • Bank Country/Region Key
  • /PF1/P_FCLM_BAM_AMD.MANDT == T042Z.MANDT
  • /PF1/P_FCLM_BAM_AMD.PAYMENT_METHOD_P == T042Z.ZLSCH
  • /PF1/P_FCLM_BAM_AMD.BANKS == T042Z.LAND1
Segment for Segmental Reporting
  • Client
  • Segment for Segmental Reporting
  • /PF1/P_FCLM_BAM_AMD.MANDT == FAGL_SEGM.MANDT
  • /PF1/P_FCLM_BAM_AMD.SEGMENT == FAGL_SEGM.SEGMENT
Payment Transaction Type Group
  • Client
  • Payment Transaction Type Group
  • /PF1/P_FCLM_BAM_AMD.MANDT == T028V.MANDT
  • /PF1/P_FCLM_BAM_AMD.VGTYP == T028V.VGTYP
Currency Key
  • Client
  • Currency Key
  • /PF1/P_FCLM_BAM_AMD.MANDT == TCURC.MANDT
  • /PF1/P_FCLM_BAM_AMD.WAERS == TCURC.WAERS