P_Cn_Recnclnjournalentryitem

Journal Entry Items for BkRecnclnStmnt | view: PCNRECJOUENTRITM | Extraction: Not supported | Component: E-Payment Integration China
Tables used: ACDOCABKPFBSEG_ADDBSEGT001T001T014FINSC_LEDGER_REP
Column Name Description
CompanyCode FK Company Code
AccountingDocument Journal Entry
FiscalYear Fiscal Year
AccountingDocumentItem Six-figure number of line item
Ledger FK Ledger in General Ledger Accounting
Column Name Description
💲 Transaction Currency (TransactionCurrency):
AmountInTransactionCurrency Amount in Transaction Currency
TaxAmount Tax Amount in Transaction Currency
💲 Company Code Currency (CompanyCodeCurrency):
AmountInCompanyCodeCurrency Amount in Company Code Currency
TaxAmountInCoCodeCrcy Signed Tax Amount in Company Code Currency
ValuationDiffAmtInCoCodeCrcy Valuation Difference Amount In Company Code Currency
💲 Additional Currency 1 (AdditionalCurrency1):
ValuationDiffAmtInAddlCrcy1 Valuation Difference Amount in Additional Currency 1
AmountInAdditionalCurrency1 Amount in Additional Currency 1
💲 Additional Currency 2 (AdditionalCurrency2):
AmountInAdditionalCurrency2 Amount in Additional Currency 2
ValuationDiffAmtInAddlCrcy2 Valuation Difference Amount in Additional Currency 2
💲 Balance Transaction Currency (BalanceTransactionCurrency):
AmountInBalanceTransacCrcy Amount in Balance Transaction Currency
Column Name Description
Column Name Description
PostingDate Posting Date
ValueDate Value date
ClearingDate Clearing Date
DueCalculationBaseDate Due Calculation Base Date
SettlementReferenceDate Reference Date for Settlement
Column Name Description
DebitCreditCode Debit/Credit Code Show values
IsOpenItemManaged Managed on an Open Item Basis Show values
BillOfExchangeUsage Bill of Exchange Usage Type Show values
ClearingIsReversed Clearing Is Reversed Show values
Column Name Description Domain name
DocumentItemText Item Text TEXT50
AssignmentReference Assignment Reference ZUONR
ClearingAccountingDocument Clearing Journal Entry BELNR
BusinessArea Business Area GSBER
WBSElementInternalID WBS Element PS_POSNR
CostCenter Cost Center KOSTL
Project Project definition PS_PSPID
PaymentCardItem Payment Card Item NUM03
PaymentCardPaymentSettlement Payment Card Payment Settlement CCBTC
Reference3IDByBusinessPartner ID of Reference 3 by Business Partner CHAR20
RealEstateObject Internal Key for Real Estate Object IMKEY
GrantID Grant GM_GRANT_NBR
CommitmentItem Commitment Item FIPOS
FundsCenter Funds Management Center FISTL
Fund Fund BP_GEBER
PaymentMethodSupplement Payment Method Supplement UZAWE
PartnerFund Partner Fund BP_GEBER
PartnerSegment Partner Segment for Segmental Reporting FB_SEGMENT
Segment Segment for Segmental Reporting FB_SEGMENT
PartnerGrant Partner Grant GM_GRANT_NBR
BudgetPeriod Budget Period FM_BUDGET_PERIOD
PartnerBudgetPeriod FM: Partner Budget Period FM_BUDGET_PERIOD
Master Data Relations Join Conditions
Business Place
  • Business Place
  • Company Code
  • ?
  • Client
  • P_CN_RECNCLNJOURNALENTRYITEM.BUSINESSPLACE == J_1BBRANCH.BRANCH
  • P_CN_RECNCLNJOURNALENTRYITEM.COMPANYCODE == J_1BBRANCH.BUKRS
  • P_CN_RECNCLNJOURNALENTRYITEM.[column in domain "GLO_BUPLA_TYPE_CODE"] == J_1BBRANCH.BUPLA_TYPE
  • P_CN_RECNCLNJOURNALENTRYITEM.MANDT == J_1BBRANCH.MANDT
Company Code
  • Company Code
  • Client
  • P_CN_RECNCLNJOURNALENTRYITEM.COMPANYCODE == T001.BUKRS
  • P_CN_RECNCLNJOURNALENTRYITEM.MANDT == T001.MANDT
Financial Transaction Type
  • Financial Transaction Type
  • Client
  • P_CN_RECNCLNJOURNALENTRYITEM.FINANCIALTRANSACTIONTYPE == T856.TRTYP
  • P_CN_RECNCLNJOURNALENTRYITEM.MANDT == T856.MANDT
G/L Account
  • G/L Account
  • Company Code
  • Client
  • P_CN_RECNCLNJOURNALENTRYITEM.GLACCOUNT == SKA1.SAKNR
  • P_CN_RECNCLNJOURNALENTRYITEM.COMPANYCODE == SKA1.KTOPL
  • P_CN_RECNCLNJOURNALENTRYITEM.MANDT == SKA1.MANDT
House Bank Key
  • Company Code
  • House Bank Key
  • Client
  • P_CN_RECNCLNJOURNALENTRYITEM.COMPANYCODE == T012.BUKRS
  • P_CN_RECNCLNJOURNALENTRYITEM.HOUSEBANK == T012.HBKID
  • P_CN_RECNCLNJOURNALENTRYITEM.MANDT == T012.MANDT
House Bank Account
  • House Bank Account
  • Company Code
  • House Bank Key
  • Client
  • P_CN_RECNCLNJOURNALENTRYITEM.HOUSEBANKACCOUNT == T012K.HKTID
  • P_CN_RECNCLNJOURNALENTRYITEM.COMPANYCODE == T012K.BUKRS
  • P_CN_RECNCLNJOURNALENTRYITEM.HOUSEBANK == T012K.HBKID
  • P_CN_RECNCLNJOURNALENTRYITEM.MANDT == T012K.MANDT
Ledger in General Ledger Accounting
  • Client
  • Ledger in General Ledger Accounting
Order ID
  • Order ID
  • Client
  • P_CN_RECNCLNJOURNALENTRYITEM.ORDERID == AUFK.AUFNR
  • P_CN_RECNCLNJOURNALENTRYITEM.MANDT == AUFK.MANDT
Company ID of Trading Partner
  • Company ID of Trading Partner
  • Client
  • P_CN_RECNCLNJOURNALENTRYITEM.PARTNERCOMPANY == T880.RCOMP
  • P_CN_RECNCLNJOURNALENTRYITEM.MANDT == T880.MANDT
Partner Profit Center
  • ?
  • ?
  • Partner Profit Center
  • Client
  • P_CN_RECNCLNJOURNALENTRYITEM.[column in domain "KOKRS"] == CEPC.KOKRS
  • P_CN_RECNCLNJOURNALENTRYITEM.[column in domain "DATBI"] == CEPC.DATBI
  • P_CN_RECNCLNJOURNALENTRYITEM.PARTNERPROFITCENTER == CEPC.PRCTR
  • P_CN_RECNCLNJOURNALENTRYITEM.MANDT == CEPC.MANDT
Plant
  • Client
  • Plant
  • P_CN_RECNCLNJOURNALENTRYITEM.MANDT == T001W.MANDT
  • P_CN_RECNCLNJOURNALENTRYITEM.PLANT == T001W.WERKS
Posting Key
  • Posting Key
  • Client
  • P_CN_RECNCLNJOURNALENTRYITEM.POSTINGKEY == TBSL.BSCHL
  • P_CN_RECNCLNJOURNALENTRYITEM.MANDT == TBSL.MANDT
Profit Center
  • ?
  • Profit Center
  • ?
  • Client
  • P_CN_RECNCLNJOURNALENTRYITEM.[column in domain "KOKRS"] == CEPC.KOKRS
  • P_CN_RECNCLNJOURNALENTRYITEM.PROFITCENTER == CEPC.PRCTR
  • P_CN_RECNCLNJOURNALENTRYITEM.[column in domain "DATBI"] == CEPC.DATBI
  • P_CN_RECNCLNJOURNALENTRYITEM.MANDT == CEPC.MANDT
Tax on Sales/Purchases Code
  • ?
  • Tax on Sales/Purchases Code
  • Client
  • P_CN_RECNCLNJOURNALENTRYITEM.[column in domain "KALSM_D"] == T007A.KALSM
  • P_CN_RECNCLNJOURNALENTRYITEM.TAXCODE == T007A.MWSKZ
  • P_CN_RECNCLNJOURNALENTRYITEM.MANDT == T007A.MANDT
Transaction Currency
  • Transaction Currency
  • Client
  • P_CN_RECNCLNJOURNALENTRYITEM.TRANSACTIONCURRENCY == TCURC.WAERS
  • P_CN_RECNCLNJOURNALENTRYITEM.MANDT == TCURC.MANDT