- Application Platform (AP)
- Basis Components (BC)
- Business Mobile (MOB)
- Business Network Solutions (BNS)
- Controlling (CO)
- Cross-Application Components (CA)
- Cross-Application Components (CA)
- Customer Relationship Management (CRM)
- Enterprise Contract Management (CM)
- Enterprise Controlling (EC)
- Enterprise information management solutions (EIM)
- Environment, Health, and Safety / Product Compliance (EHS)
- Financial Accounting (FI)
- Accounts Payable (FI-AP)
- Accounts Receivable (FI-AR)
- Additional Functions (FI-AF)
- Asset Accounting (FI-AA)
- Bank Accounting (FI-BL)
- Central Finance (FI-CF)
- Consolidation (FI-LC)
- Contract Accounts Receivable and Payable (FI-CA)
- Convergent Contract Accounting (FI-CAC)
- Financial Supply Chain Management (FIN-FSCM)
- Fiori UI for Financial Accounting (FI-FIO)
- Fiori UI for Financials (FIN-FIO)
- Funds Management (FI-FM)
- General Ledger Accounting (FI-GL)
- Localization (FI-LOC)
- Predictive Accounting (FI-PRA)
- Real-Time Consolidation (FIN-RTC)
- Revenue Accounting (FI-RA)
- S4HANA Financial Consolidation[Cloud] (FIN-CS)
- SAP Simple Finance data migration (FIN-MIG)
- Special Purpose Ledger (FI-SL)
- Tax Subledger (FI-TXL)
- Financial Services (FS)
- Global Trade Services (SLL)
- Investment Management (IM)
- LOD Components (LOD)
- Legal Content Management (LCM)
- Logistics - General (LO)
- Logistics Execution (LE)
- Materials Management (MM)
- Occasional Platform User (OPU)
- Payroll (PY)
- Personnel Management (PA)
- Plant Maintenance (PM)
- Portfolio and Project Management (PPM)
- Product Lifecycle Management (PLM)
- Production Planning and Control (PP)
- Project System (PS)
- Public Sector Management (PSM)
- Purchasing SAP Cloud (PUR)
- Quality Management (QM)
- Real Estate Management (RE)
- SAP Business Warehouse (BW)
- SAP Supplier Lifecycle Management (SLC)
- Sales and Distribution (SD)
- Service (SV)
- Supply Chain Management (SCM)
- Sustainability management (SUS)
- Transportation Management (TM)
C_CAPostedValueAdjustmentHist
Display Posted Value Adjustments
| view: CCAPSTDVALADJHIS | TRAN
| Extraction:
Not supported
| Component: Contract Accounts Receivable and Payable
- 🔑 Keys (6)
- 💰 Amounts (20)
- ∑ Quantities
- 📅 Dates (8)
- ☰ Categorical (4)
- Other (49)
- 🔗 Relations
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 |