C_CAPostedValueAdjustmentHist

Display Posted Value Adjustments | view: CCAPSTDVALADJHIS | TRAN | Extraction: Not supported | Component: Contract Accounts Receivable and Payable
Column Name Description
CADocument Number of a FI-CA Document
CARepetitionItemNumber Repetition Item in FI-CA Document
CABPItemNumber Item Number in FI-CA Document
CAPostingDate Posting Date in the Document
CAValuationArea Valuation Area for FI-CA Year-End Closing
CAValueAdjmtSequenceNumber Sequence Number (Internal Use Only)
Column Name Description
💲 Currency Key (DocumentCurrency):
ValueAdjmtPostedAmountInTC Posted amount of value adjustment in transaction currency
ActualValueAdjmtPostedAmtInTC null
DoubtfulRblPostedAmountInTC Posted Amount for Doubtful Entry in Transaction Currency
DoubtfulRblTotalAmountInTC Total Amount of Doubtful Entry
NewIndividualValueAdjmtAmount Total Amount of Value Adjustment
ActualNewIndivValAdjmtAmtInTC null
ValueAdjustmentNetAmountInTC Net Amount of Value Adjustment for Reporting
CATaxAdjustmentAmountInTC Posted Tax Amount in Transaction Currency
CATaxAmountInTransCurrency Tax Amount in Transaction Currency with +/- Sign
ValAdjmtRsetDueToWrtOffAmt Amount Posted for Reset of Value Adjustment Due to Write-Off
ValAdjmtRsetDueToWrtOffTotAmt Total Amount for Reset of Valued Adjustment Due to Write-Off
ValAdjmtRsetDueToPaytAmt Amount Posted for Reset of Value Adjustment Due to Payment
ValAdjmtRsetDueToPaytTotAmt Total Amount for Reset of Value Adjustment Due to Payment
ValAdjmtRsetDueToChgAmt Amount Posted for Reset of Value Adjustment Due to VA Change
ValAdjmtRsetDueToChgTotAmt Total Amount for Reset of Value Adjustment Due to VA Change
ValAdjmtRsetDueToSaleAmt Amount Posted for Reset of Value Adjustment Due to Sale
ValAdjmtRsetDueToSaleTotAmt Total Amount for Reset of Value Adjustment Due to Sale
ValAdjmtRsetDueToRvslAmt Amount Posted for Reset of Value Adjustment Due to Reversal
ValAdjmtRsetDueToRvslTotAmt Total Amount for Reset of Value Adjustment Due to Reversal
SpecifiedValueAdjmtAmountInTC Specified Value Adjustment Amount
Column Name Description
Column Name Description
CAPostingDate Posting Date in the Document
CAMassRunDate Date ID
ValueAdjustmentTransferDate Transfer date for value adjustment
DoubtfulReceivableTransferDate Transfer date of doubtful entry
DoubtfulRblOrValueAdjmtDate Date of Doubtful Entry / Individual Value Adjustment
DoubtfulRblValAdjmtResetDate Reset Date for Doubtful Entry/ Value Adjustment
CAChangeDate Date the object was last changed
CAChangeTime Time the object was last changed
Column Name Description
ValueAdjustmentPurpose Purpose for Value Adjustment Show values
CAValueAdjustmentType Value Adjustment Type Show values
CAValueAdjmtReversalStatus Reversal indicator for adjusted receivables Show values
ValueAdjustmentShareInPercent Percentage share of value adjustment Show values
Column Name Description Domain name
CAValuationAreaText Name of Valuation Area TEXT50
CAReconciliationKey Reconciliation Key for General Ledger FIKEY_KK
CAValueAdjustmentTypeText Short Text for Fixed Values DDTEXT
CompanyCode Company Code BUKRS
CompanyCodeName Name of Company Code or Company TEXT25
BusinessPartner Business Partner Number BU_PARTNER
BusinessPartnerFullName null
FirstName First name of business partner (person) BU_NAME
LastName Last name of business partner (person) BU_NAME
GroupBusinessPartnerName1 Name 1 (group) BU_NAME
GroupBusinessPartnerName2 Name 2 (group) BU_NAME
OrganizationBPName1 Name 1 of organization BU_NAME
OrganizationBPName2 Name 2 of organization BU_NAME
ContractAccount Contract Account Number VKONT_KK
ContractAccountName Description of Contract Account TEXT35
CAMassRunID Run ID LAUFI_KK
ResetValAdjmtWriteOffGLAccount Account for Reset of Value Adjustment through Write-Off SAKNR
ResetValAdjmtPaymentGLAccount Account for Reset of Value Adjustment through Payment SAKNR
ResetValAdjmtChangeGLAccount Account for Reset of Value Adjustment Due to Val.Adj.Change SAKNR
ResetValAdjmtSaleGLAccount Account for Reset of Value Adjustment Due to Sale SAKNR
ResetValAdjmtReversalGLAccount Account for Reset of Value Adjustment Due to Reversal SAKNR
DoubtfulReceivableGLAccount G/L account number of doubtful entry account SAKNR
GLAccount Expense account for value adjustment SAKNR
ValueAdjustmentAccount Adjustment account for value adjustment SAKNR
DoubtfulRblAdjustmentAccount Adjustment Account for Doubtful Receivables SAKNR
ValueAdjustmentTaxAccount Tax Account for Value Adjustment SAKNR
GLAccountName G/L Account Name TEXT20
DoubtfulReceivableGLAcctName G/L Account Name TEXT20
ValueAdjustmentAccountName G/L Account Name TEXT20
DoubtfulRblAdjustmentAcctName G/L Account Name TEXT20
RsetValAdjmtWriteOffGLAcctName G/L Account Name TEXT20
ResetValAdjmtPaymentGLAcctName G/L Account Name TEXT20
ResetValAdjmtChangeGLAcctName G/L Account Name TEXT20
ResetValAdjmtSaleGLAcctName G/L Account Name TEXT20
RsetValAdjmtReversalGLAcctName G/L Account Name TEXT20
ValueAdjustmentTaxAccountName G/L Account Name TEXT20
CAReceivableAdjustmentReason Adjustment reason GRUND_KK
CAReceivableAdjustReasonName Language-Related Text Field TXT30
CAValueAdjmtReversalStatusText Short Text for Fixed Values DDTEXT
CreditRiskClass Risk Class UKM_RISK_CLASS
CreditRiskClassName Name of Risk Class TEXT40
GeneralLedgerAgingIncrement Aging Increment FINS_INCRMNT
GeneralLedgerAgingIncrmtName Aging Increment Description TEXT50
CADbtflRblValAdjmtResetReason Reset Reason for Doubtful Entry/ Value Adjustment RGRND_KK
CADbtflRblValAdjmtResetRsnText Text TEXT30
GeneralLedgerAgingScope Aging FINS_AGING
ExpectedCreditLossPercent Expected Credit Loss Percentage
LastChangedByUser Last Changed By USNAM
PersonFullName Full Name of Person TEXT80