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I_CAPostedValueAdjustmentHist
Value Adjustment Postings
| view: CAVALADJMTPTHIST | 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): | ||
SpecifiedValueAdjmtAmountInTC | Specified Value Adjustment Amount | |
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 | |
NewIndividualValueAdjmtAmount | Total Amount of Value Adjustment | |
ValueAdjmtPostedAmountInTC | Posted amount of value adjustment in transaction currency | |
DoubtfulRblPostedAmountInTC | Posted Amount for Doubtful Entry in Transaction Currency | |
DoubtfulRblTotalAmountInTC | Total Amount of Doubtful Entry | |
ValueAdjustmentNetAmountInTC | Net Amount of Value Adjustment for Reporting | |
CATaxAdjustmentAmountInTC | Posted Tax Amount in Transaction Currency | |
CATaxAmountInTransCurrency | Tax Amount in Transaction Currency with +/- Sign |
Column Name | Description |
---|
Column Name | Description | |
---|---|---|
CAPostingDate | Posting Date in the Document | |
CAMassRunDate | Date ID | |
CAChangeDate | Date the object was last changed | |
CAChangeTime | Time the object was last changed | |
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 |
Column Name | Description | |
---|---|---|
CAValueAdjmtReversalStatus | Reversal indicator for adjusted receivables | Show values |
ValueAdjustmentShareInPercent | Percentage share of value adjustment | Show values |
ValueAdjustmentPurpose | Purpose for Value Adjustment | Show values |
Column Name | Description | Domain name | |
---|---|---|---|
CompanyCode | Company Code | BUKRS | |
BusinessPartner | Business Partner Number | BU_PARTNER | |
ContractAccount | Contract Account Number | VKONT_KK | |
CAReconciliationKey | Reconciliation Key for General Ledger | FIKEY_KK | |
CAMassRunID | Run ID | LAUFI_KK | |
LastChangedByUser | Last Changed By | USNAM | |
CAReceivableAdjustmentReason | Adjustment reason | GRUND_KK | |
CreditRiskClass | Risk Class | UKM_RISK_CLASS | |
ExpectedCreditLossPercent | Expected Credit Loss Percentage | ||
CADbtflRblValAdjmtResetReason | Reset Reason for Doubtful Entry/ Value Adjustment | RGRND_KK | |
GeneralLedgerAgingScope | Aging | FINS_AGING | |
GeneralLedgerAgingIncrement | Aging Increment | FINS_INCRMNT | |
GLAccount | Expense account for value adjustment | SAKNR | |
DoubtfulReceivableGLAccount | G/L account number of doubtful entry account | SAKNR | |
ValueAdjustmentAccount | Adjustment account for value adjustment | SAKNR | |
DoubtfulRblAdjustmentAccount | Adjustment Account for Doubtful Receivables | SAKNR |
Master Data Relations | Join Conditions |
---|---|
Account for Reset of Value Adjustment Due to Val.Adj.Change
| |
Account for Reset of Value Adjustment through Payment
| |
Account for Reset of Value Adjustment Due to Reversal
| |
Account for Reset of Value Adjustment Due to Sale
| |
Account for Reset of Value Adjustment through Write-Off
| |
Tax Account for Value Adjustment
|