- 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)
I_CASampleDocBPItemLogical
Logical View of Sample Document Items
| view: ICASDOCBPITMLOGI | TRAN
| Extraction:
Not supported
| Component: Contract Accounts Receivable and Payable
Tables used:
DFKKMOP, DFKKMOPW, T001, TKA02, FINSC_LEDGER, FINSC_LD_CMP, FINSC_ACTVE_APPL, FAGL_TLDGRP_MAP
Column Name | Description | |
---|---|---|
CADocumentNumber | Number of a FI-CA Document | |
CARepetitionItemNumber | Repetition Item in FI-CA Document | |
CABPItemNumber | Item Number in FI-CA Document | |
CASubItemNumber | Subitem for a Partial Clearing in Document |
Column Name | Description | |
---|---|---|
💲 Company Code Currency (CompanyCodeCurrency): | ||
CAAmountInLocalCurrency | Amount In Local Currency With +/- Signs | |
CATaxAmountInLocalCurrency | Tax Amount in Local Currency With +/- Sign | |
CATaxPortionInLocalCurrency | Tax Portion in FI-CA Local Currency | |
💲 Transaction Currency (TransactionCurrency): | ||
CAAmountInTransactionCurrency | Amount in Transaction Currency with +/- Sign | |
CAEligibleAmountForCshDiscount | Amount Eligible for Cash Discount in Document Currency | |
CATaxAmountInTransCurrency | Tax Amount in Transaction Currency with +/- Sign | |
CABaseAmountForWithholdingTax | Tax Base Amount | |
CAWithholdingTaxAmount | Withholding Tax Amount (in Document Currency) | |
CATaxPortionInTransCurrency | Tax Amount as Statistical Information in Document Currency | |
PlannedAmtInTransactionCrcy | Planned Amount in Transaction Currency | |
💲 Additional Currency 1 (AdditionalCurrency1): | ||
CAAmountInSecondCurrency | Amount in Second Parallel Currency with +/- Sign | |
CATaxAmountInSecondCurrency | Tax Amount in Second Parallel Currency | |
💲 Additional Currency 2 (AdditionalCurrency2): | ||
CAAmountInThirdCurrency | Amount in Third Parallel Currency with +/- Sign | |
CATaxAmountInThirdCurrency | Tax Amount in Third Parallel Currency | |
💲 Clearing Currency (CAClearingCurrency): | ||
CACashDiscAmountInClearingCrcy | Cash Discount Granted/Surcharge Levied in Clearing Currency | |
CAClearingAmountInClearingCrcy | Clearing amount in clearing currency | |
CATaxAmountInClearingCrcy | Tax Amount in Clearing Currency | |
💲 Update Currency for General Ledger Transaction Figures (CAGLPostingCurrency): | ||
CAGLPostingAmount | Amount for Updating in General Ledger | |
CAGLPostingTaxAmount | Tax Amount for Update in General Ledger |
Column Name | Description |
---|
Column Name | Description | |
---|---|---|
CAStartDateOfBillingPeriod | Lower Limit of Billing Period | |
CAEndDateOfBillingPeriod | Upper Limit of the Billing Period | |
DocumentDate | Journal Entry Date | |
CAPostingDate | Posting Date in the Document | |
CANetDueDate | Due date for net payment | |
CADeferralDate | Deferral to | |
CACashDiscountDueDate | Due Date for Cash Discount | |
CATaxDate | Decisive Date for Calculating Taxes | |
CAClearingDate | Clearing Date | |
CAPostingDateOfClearingDoc | Clearing Document Posting Date | |
CAValueDateForClearing | Value date for clearing |
Column Name | Description | |
---|---|---|
CASubApplication | Subapplication in Contract Accounts Receivable and Payable | Show values |
CAApplicationArea | Application Area | Show values |
CADoubtfulOrValueAdjmtCode | Doubtful Item Entry/Individual Value Adjustment | Show values |
CAIsDownPaymentRequest | Item is a Down Payment/Down Payment Request | Show values |
CAItemIsOnlyForSettlement | Item Can Only Be Cleared | Show values |
CAStatisticalItemCode | Type of statistical item | Show values |
CAChangeIsForbidden | Printing - No Changes Possible | Show values |
CARoundingItemCode | Type of Rounding Item | Show values |
CAInternalPostingReasonCode | Reason for Automatic Creation of Posting | Show values |
CAWorkflowCheckProcess | Editing Process To Be Confirmed | Show values |
CANegativePostingControlCode | Control Field for Negative Posting | Show values |
CAPartnerSettlementStatus | Status of Partner Settlement Using Billable Items | Show values |
CAIsPartOfJointLiability | Item Is Part of a Collaborative Liability | Show values |
CASubstituteDocumentCategory | Category of Substitute Document in FI-CA | Show values |
CAStatisticalCodeOfOriginItem | Statistical Key of the Initiating Item | Show values |
CAWithholdingTaxCategory | Line Item Category From Withholding Tax View | Show values |
CATaxIsCalculatedExternally | Tax on Sales/Purchases Was Calculated by Document | Show values |
CAPaymentSpecificationCategory | Category of Payment Specification | Show values |
CAClearingStatus | Clearing Status | Show values |
CAClearingRestrictionCode | Clearing restriction | Show values |
CAClearingPostingIsReset | Clearing posting reversed | Show values |
CAItemIsWithdrawn | Item Canceled | Show values |
CAItemIsExcludedFromDunning | Exclude Item from Dunning Run | Show values |
CAIsIncludedInCollectionCase | Item Is Included in Collection Case | Show values |
CAIsSeparateLineItemInGL | Create Line Item in General Ledger | Show values |
CAIsCashFlowItem | Document Contains Assignments from Cash Flows | Show values |
CAPaymentPreNotificationCode | Item Included in a Payment Order | Show values |
Column Name | Description | Domain name | |
---|---|---|---|
CompanyCode | Company Code | BUKRS | |
BusinessArea | Business Area | GSBER | |
BusinessPlace | Business Place | J_1BBRANCH | |
Segment | Segment for Segmental Reporting | FB_SEGMENT | |
ProfitCenter | Profit Center | PRCTR | |
Division | Division | SPART | |
PersonnelNumber | Personnel Number | PERNR | |
PartnerCompany | Company ID of Trading Partner | RCOMP | |
BusinessPartner | Business Partner Number | BU_PARTNER | |
CAContract | Reference Specifications from Contract | VTREF_KK | |
CAProviderContractItemNumber | Contract: Item Number | VTPOS_KK | |
CAAdditionalContract | Additional Reference Information | VTREF_KK | |
ContractAccount | Contract Account Number | CORR_VKONT_KK | |
AltvContractAcctForCollvBills | Alternative Contract Account for Collective Bills | VKONT_KK | |
CAReconciliationAccount | General ledger account | SAKNR | |
CAMainTransaction | Main Transaction for Line Item | HVORG_KK | |
CASubTransaction | Subtransaction for Document Item | TVORG_KK | |
CAAccountDeterminationCode | Account Determination ID | KOFIZ_KK | |
CAAccountAssignmentCategory | Account Assignment Category | KONTT_KK | |
CAAccountAssignment | Acct assnmnt string for industry-specific account assngments | CHAR50 | |
CADocumentType | Document Type | BLART_KK | |
CABPItemText | Item text | TEXT50 | |
CANumberOfRepetitionItems | Number of repetition items | NUM03 | |
CAGroupingCodeForBPItems | Grouping Key for Displaying Open Items | CHAR3 | |
CAPeriodCode | Key for Period Assignment | PERSL_KK | |
CAInterestCode | Interest Key | IKEY_KK | |
CAReceivingCountry | Destination Country/Region (for Tax Reports) | LAND1 | |
CAWorkflowCheckReason | Check Reason for Workflows Acc. to Dual Control Principle | C4EYE_KK | |
CASubstituteDocumentNumber | Number of the Substitute FI-CA Document | ABWBL_KK | |
CADocumentNumberOfOriginItem | Number of Triggering Document | OPBEL_KK | |
CAReferenceDocument | Reference document number | XBLNR_KK | |
CAExchangeRate | Exchange rate | KURSF | |
CACashDiscountRate | Cash Discount Percentage Rate | PRZ23 | |
TaxCode | Tax on Sales/Purchases Code | MWSKZ | |
CASupplementaryTaxCode | Supplementary Tax | MWSKZ | |
CADownPaymentTaxAccount | Account for posting taxes for down payments | SAKNR | |
CADownPaymentOffsetTaxAccount | Account for offsetting tax posting in down payments | SAKNR | |
TaxJurisdiction | Tax Jurisdiction | TXJCD | |
WithholdingTaxCode | Withholding Tax Code | QSSKZ | |
CAWithholdingTaxSupplement | Withholding Tax Supplement | QSSEW_KK | |
CAWithholdingTaxPercentage | Withholding Tax Percentage | STPRZ_KK | |
WithholdingTaxCertificate | Withholding Tax Certificate | CHAR10 | |
CAOtherTaxCode | Tax Code for Other Taxes | STRKZ_KK | |
CAGroupingCodeForTaxItems | Grouping Key for Tax Items | CHAR6 | |
CAPaymentMethod | Payment Method | PYMET_KK | |
CAPaymentCompanyCode | Company Code for Automatic Payment Transactions | BUKRS | |
CAGroupingForPayment | Grouping field for automatic payments | CHAR10 | |
CAClearingDocumentNumber | Clearing Document or Printed Document | AUGBL_KK | |
CAClearingReason | Clearing Reason | AUGRD_KK | |
CADunningProcedure | Dunning Procedure | MAHNV_KK | |
CAGrpgCodeForTransfToCollAgcy | Collection Item | NUM03 | |
CashPlanningGroup | Planning Group | FDGRP | |
PlanningLevel | Planning Level | FDLEV | |
CAAdditionalDaysForCashMgmt | Additional Days for Cash Management | NUM2 | |
CAAltvBPForPayment | Business Partner Number | BU_PARTNER | |
CABankOfAltvBPForPayment | Bank Details ID of Payee | CHAR4 | |
CAAddressOfAltvBPForPayment | Address Number | AD_ADDRNUM | |
CACardOfAltvBPForPayment | Alternative Payment Card ID in Document | CHAR6 | |
CACashFlowAccount | Originating Account in Cash Flow Anlaysis | SAKNR | |
CACashFlowCompanyCode | Partner Company Code for Cash Flow Analysis | BUKRS |
Master Data Relations | Join Conditions |
---|---|
Company Code Currency
|