C_CollMgmtRblsItmForKeyDte

AR for Key Date - Collections Management | view: CCMRBLSKDATDUE | Extraction: Not supported | Component: Fiori FXU Accounts Receivable FI-FIO-AR
Column Name Description
CompanyCode Company Code
Customer Customer
AccountingClerk FK Accounting Clerk
SpecialGLCode Special G/L Indicator
ReconciliationAccount FK Reconciliation Account in General Ledger
GLAccount G/L Account
ReportingYear Reported Year
TransactionCurrency Transaction Currency
ReportingPeriod Reporting Period
CollectionProfile Collection Profile
CollectionSegment Collection Segment
CollectionGroup Collection Group
Column Name Description
💲 Display Currency (DisplayCurrency):
NetDueIntvl1AmtInDspCrcy Amount in 1st Due Period (Display Currency)
NetDueIntvl2AmtInDspCrcy Amount in 2nd Due Period (Display Currency)
NetDueIntvl3AmtInDspCrcy Amount in 3rd Due Period (Display Currency)
PartialPaymentAmtInDspCrcy Value field 12(23) characters with 2 decimal places
Column Name Description
Column Name Description
ReportingPeriodStartDate Reporting Period Start Date
ReportingPeriodEndDate Reporting Period End Date
Column Name Description
Column Name Description Domain name
CollectionSpecialist Collection Specialist XUBNAME
CustomerName Name of Customer TEXT80
GLAccountLongName G/L Account Long Text TEXT50
SpecialGLCodeName Long Text for Special G/L Indicators TEXT30
ReconciliationAccountLongName G/L Account Long Text TEXT50
TotalAmountInDisplayCrcy null
OverdueReceivablesRatio null
BalanceRatioInPercent null
NotOvrdAmountInDspCrcy null
Master Data Relations Join Conditions
Accounting Clerk
  • Accounting Clerk
  • ?
  • Client
  • C_COLLMGMTRBLSITMFORKEYDTE.ACCOUNTINGCLERK == T001S.BUSAB
  • C_COLLMGMTRBLSITMFORKEYDTE.[column in domain "BUKRS"] == T001S.BUKRS
  • C_COLLMGMTRBLSITMFORKEYDTE.MANDT == T001S.MANDT
Collection Strategy
  • Collection Strategy
  • Client
  • C_COLLMGMTRBLSITMFORKEYDTE.COLLECTIONSTRATEGY == UDM_STRATEGY.COLL_STRATEGY
  • C_COLLMGMTRBLSITMFORKEYDTE.MANDT == UDM_STRATEGY.MANDT
Country/Region Key
  • Country/Region Key
  • Client
  • C_COLLMGMTRBLSITMFORKEYDTE.CUSTOMERCOUNTRY == T005.LAND1
  • C_COLLMGMTRBLSITMFORKEYDTE.MANDT == T005.MANDT
Reconciliation Account in General Ledger
  • Reconciliation Account in General Ledger
  • ?
  • Client
  • C_COLLMGMTRBLSITMFORKEYDTE.RECONCILIATIONACCOUNT == SKB1.SAKNR
  • C_COLLMGMTRBLSITMFORKEYDTE.[column in domain "BUKRS"] == SKB1.BUKRS
  • C_COLLMGMTRBLSITMFORKEYDTE.MANDT == SKB1.MANDT