I_FinTransCondition

Financial Transaction Condition | view: IFINTRANSCNDN | Extraction: Not supported | Component: Treasury and Risk Management
Tables used: VTBFHAZUVTBFINKOVTBFHAAT06
Column Name Description
CompanyCode FK Company Code
FinancialTransaction FK Financial Transaction
FinancialInstrumentActivity Transaction Activity
FinancialTransactionDirection Direction of Transaction Show values
FinConditionItem Condition
ConditionItemValidityStartDate Condition Item Effective From
FinConditionSubItem Level number of condition item for recurring payments
Column Name Description
💲 Currency of Condition Item (FinConditionFixedAmountCrcy):
FinConditionFixedAmount Condition Item Currency Amount
💲 Currency of Condition Item (FinConditionRpaytCurrency):
FinConditionRpaytBaseAmount Calculation Base Amount
FinConditionRpaytAmount Condition Item Currency Amount
Column Name Description
Column Name Description
ConditionItemValidityStartDate Condition Item Effective From
CalculationDate Calculation Date
DueDate Due date
Column Name Description
FinancialTransactionDirection Direction of Transaction Show values
TreasuryContractType Contract Type Show values
InterestCalculationMethod Interest Calculation Method Show values
FinCndnCalcDteUpdateRule Method for determining the next value date Show values
CalcDateIsAsEndDateMonthEnd Month-End Indicator for Calculation Date Show values
FinCndnDueDteUpdateRule Method for determining the next due date Show values
DueDateIsAsEndDateMonthEnd Month-End Indicator for Due Date Show values
Column Name Description Domain name
FinInstrConditionLogicGroup Condition Group T_KOND
InterestCalculationType null
FinCndnHasParallelInterest null
FinConditionInterestCategory null
ConditionPercentageRate Percentage rate for condition items DECV3_7
FinConditionFormulaReference Formula Reference T_FORMBE
InterestReference Reference Interest Rate ZIREFKU
FinConditionRpaytPercentRate Percentage rate for condition items
FinConditionHasSingleDateEntry null
FinCndnCalcDteFrequency Frequency in months
FinCndnCalcDteFrqcyUnit null
CalcDateIsAsEndDateInclusive null
FinCndnCalcDteWrkgDayShft Working Day Shift for Calculation Day
FinCndnCalcDteShftDrctn null
FinCndnCalcDteShftNrOfDays Number of Days for Relative Calculation of Value Date T_GSTAGE
FinCndnDueDteFrequency Frequency in months
FinCndnDueDteFrqcyUnit null
DueDateIsAsEndDateInclusive null
FinCndnDueDteWrkgDayShft Working Day Shift for Due Date
FinCndnDueDteShftDrctn null
FinCndnDueDteShftNrOfDays Number of days for rel. determination of due date T_GSTAGE
Master Data Relations Join Conditions
Company Code
  • Client
  • Company Code
  • I_FINTRANSCONDITION.MANDT == T001.MANDT
  • I_FINTRANSCONDITION.COMPANYCODE == T001.BUKRS
Financial Transaction
  • Client
  • Financial Transaction
  • Company Code
  • I_FINTRANSCONDITION.MANDT == VTBFHA.MANDT
  • I_FINTRANSCONDITION.FINANCIALTRANSACTION == VTBFHA.RFHA
  • I_FINTRANSCONDITION.COMPANYCODE == VTBFHA.BUKRS
Condition Type (Smallest Subdivision of Condition Records)
  • Client
  • Condition Type (Smallest Subdivision of Condition Records)
  • Contract Type
  • I_FINTRANSCONDITION.MANDT == TZK01.MANDT
  • I_FINTRANSCONDITION.FINCONDITIONCONDITIONTYPE == TZK01.SKOART
  • I_FINTRANSCONDITION.TREASURYCONTRACTTYPE == TZK01.RANTYP
Factory calendar I_FINTRANSCONDITION.FINCONDITIONFACTORYCALENDAR1 == TFACD.IDENT
Factory calendar I_FINTRANSCONDITION.FINCONDITIONFACTORYCALENDAR2 == TFACD.IDENT
Factory calendar I_FINTRANSCONDITION.FINCONDITIONFACTORYCALENDAR3 == TFACD.IDENT
Factory calendar I_FINTRANSCONDITION.FINCONDITIONFACTORYCALENDAR4 == TFACD.IDENT
Factory calendar I_FINTRANSCONDITION.FINCONDITIONFACTORYCALENDAR5 == TFACD.IDENT
Other Relations | to Master Data Relations ↑ Join Conditions
Category of Flows and Conditions
  • Category of Flows and Conditions
  • Contract Type
  • ?
  • I_FINTRANSCONDITION.FINCONDITIONCONDITIONCATEGORY == AT08.BKTYP
  • I_FINTRANSCONDITION.TREASURYCONTRACTTYPE == AT08.RANTYP
  • I_FINTRANSCONDITION.[column in domain "TB_SBKKLAS"] == AT08.BKKLAS