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P_HIST_ARBANKTRANSACTIONITEM
Historical Bank Transaction item for rule proposal
| view: PHISTARBNKSTITEM | TRAN
| Extraction:
Not supported
| Component: Fiori UI for Accounts Receivable
Tables used:
FEBEP
- 🔑 Keys (2)
- 💰 Amounts (5)
- ∑ Quantities
- 📅 Dates (4)
- ☰ Categorical (8)
- Other (67)
- 🔗 Relations (4)
Column Name | Description | |
---|---|---|
StatementShortID | Short Key for Bank Statement (Surrogate Key) | |
StatementItem | Memo Record Number (Line Item Number in Bank Statement) |
Column Name | Description | |
---|---|---|
💲 Account Currency Key (TransactionCurrency): | ||
AmountInAccountCurrency | Amount in Account Currency | |
FeeAmountInTransactionCrcy | Fees in Account Currency | |
OverdueChargeAmtInTransacCrcy | Overdue Charges from/to Partners in Account Currency | |
💲 Foreign Currency Key (Not Account Currency) (OriginalCurrency): | ||
ForeignCurrencyAmount | Foreign Currency Amount (Different from Account Currency) | |
FeeAmountInOriginalCrcy | Fees in Foreign Currency (Not Same as Account Currency) |
Column Name | Description |
---|
Column Name | Description | |
---|---|---|
ValueDate | Value Date of the Item to Be Cleared | |
BankPostingDate | Posting Date at the Bank | |
PostingDate | Posting Date in the Document | |
BillOfExchangeFailureDate | Date of Failed Bills of Exchange in Japan |
Column Name | Description | |
---|---|---|
InterpretationAlgorithm | Interpretation Algorithm | Show values |
PaymentAdviceAccountType | Payment Advice Account Type | Show values |
MemoLineIsChanged | Note to Payee Has Been Changed Manually | Show values |
TreasuryContractType | Contract Type | Show values |
ItemProcessingType | Processing Type | Show values |
BankLedgerPostingIsSuppressed | X - Standard (FI) Posting Should Be Suppressed | Show values |
SubledgerPostingIsSuppressed | X - Standard (FI) Posting Should Be Suppressed | Show values |
CheckType | Type of document which is mentioned in CHECT | Show values |
Column Name | Description | Domain name | |
---|---|---|---|
BankLedgerIsPosted | Update 1 OK | CHAR1 | |
SubledgerIsPostedSuccessfully | 2nd Update OK | CHAR1 | |
DebitCreditCode | Debit/Credit Key for Line Items (for Bank Purposes) | CHAR1 | |
ItemGroup | Bundle Number for Grouping Line Items | CHAR2 | |
PaymentTransaction | Business Transaction Code | CHAR3 | |
PaymentAdviceAccount | Account Number | KTONR | |
IsInProcess | Payment Advice Number | AVSID | |
ExchangeRate | Exchange Rate: Foreign Currency to Account Currency | KURSF | |
BusinessPartnerName | Business Partner | CHAR55 | |
PaymentManualTransacType | Transaction | VGMAN_EB | |
PaymentAdvice | Payment Advice Number | AVSID | |
ValueDateTime | Value Date Time | TIME6 | |
PaymentExternalTransacType | External Business Transaction | VGEXT_EB | |
PaymentTransactionDescription | Bank Posting Text | CHAR50 | |
AccountingClerk | Accounting Clerk | CHAR2 | |
CostCenter | Cost Center | CHAR10 | |
BusinessArea | Business Area | CHAR4 | |
ProfitCenter | Profit Center | PRCTR | |
TreasuryContract | Contract Number | RANL | |
DaybookEntry | Daybook Number | CHAR10 | |
Cheque | Check number | CHCKN | |
ItemIsInterpreted | Line Items Were Interpreted | CHAR1 | |
PostingErrorStatus | Error Status | CHAR4 | |
BankLedgerDocument | Document Number of an Accounting Document | BELNR | |
FiscalYear | Fiscal Year | GJAHR | |
BankPostingKey | Text Key | CHAR4 | |
AcctDetnFreeDefinedAttribute | Account modification | KFMOD_EB | |
DocumentReferenceID | Reference Document Number | XBLNR1 | |
AssignmentReference | Assignment number | ZUONR | |
PartnerBank | Bank Number of Partner Bank | BANKK | |
PartnerBankSWIFTCode | SWIFT Code of Partner Bank | SWIFT | |
PartnerBankAccount | Account Number at the Partner Bank | BANKN | |
FinancialAssetsMgmtStatus | Financial Assets Management Status | CHAR2 | |
FinancialAssetsMgmtInfoField | Financial Assets Management Information Field | CHAR40 | |
ItemDescription1 | Additional Information 1 | CHAR30 | |
ItemDescription2 | Additional Information 2 | CHAR30 | |
SubledgerDocument | Subledger document number | BELNR | |
BankLedgerOnAccountDocument | Payment on account document number | BELNR | |
SubledgerOnAccountDocument | Payment on account document number | BELNR | |
PayerParty | Account Number of an Alternative Payer | KUNNR | |
BatchNumber | Batch Number (Bundle Number) | CHAR3 | |
AccountingExchangeRate | Exchange Rate (Different from Local Currency) | KURSF | |
DocumentItemText | Item Text | TEXT50 | |
PostingAlgorithm | Posting Algorithm (Lockbox only) | CHAR3 | |
NumberOfSecondSubledgerDoc | Number of Second Subledger Document | BELNR | |
BankReference | Bank Reference Number | CHAR35 | |
ReferenceDocument | Reference Key | AWKEY | |
ReferenceDocumentType | Reference procedure | AWTYP | |
PaymentReference | Payment Reference | CHAR30 | |
ReturnReason | Customer-to-Customer Reference | CHAR35 | |
DunningBlockingReason | Dunning Block | MANSP | |
IdNumberForCashMgmtAndForecast | ID number for cash management and forecast | IDENR | |
BankLedgerExternalApplication | Application Indicator | APPLK_BF | |
BankLedgerExtPostgErrorStatus | Error Status | CHAR4 | |
BankLedgerExtPostingDocument | Doc. no. (IDoc number, application document no., etc.) | CHAR70 | |
BankLedgerExtPostingRefDocType | Reference procedure | AWTYP | |
SubledgerExtPostingApplication | Application Indicator | APPLK_BF | |
SubledgerExtPostingErrorStatus | Error Status | CHAR4 | |
SubledgerExtPostingDocument | Doc. no. (IDoc number, application document no., etc.) | CHAR70 | |
SubledgerExtPostingRefDocType | Reference procedure | AWTYP | |
PartnerBankIBAN | Partner Bank Account: IBAN | IBAN | |
ItemIsReprocessed | null | ||
PaymentTransactionCategory | Transaction | FEB_BSPROC_TATYP | |
AttachmentKey | null | ||
IsCompleted | Line Item Completed | CHAR1 | |
CheckNumber | Check number | CHCKN | |
AccountingDocument | Subledger document number | BELNR |
Master Data Relations | Join Conditions |
---|---|
Reprocessing Reason Code
|
|
Foreign currency (not account currency)
| |
Partner Bank
| |
Input Help for Posting Rule (Internal Activity)
|