P_MakeBkWithPaytBatch

make bank for payment batch | view: PBKPAYBATCH | Extraction: Not supported | Component: Fiori UI for Cash and Liquidity Management
Tables used: BNK_BATCH_ITEMREGUHMPAYRQREGUP
Column Name Description
PaymentRunDate Date on Which the Program Is to Be Run
PaymentRunID null
PaymentRequest Key Number for Payment Request
Column Name Description
Column Name Description
Column Name Description
PaymentRunDate Date on Which the Program Is to Be Run
PaymentBatchMergeDate Date of Payment Medium Run
Column Name Description
Column Name Description Domain name
BatchUUID GUID to identify the batch SYSUUID
PaymentRunKey null
ClearingDocumentNumber Document Number of the Payment Document BELNR
PaymentBatchMerge Identification of the Payment Medium Run LAUFI
Status Batch Payment Item Current Status CRM_J_STATUS
PaymentBatch Batch Identification Number FARP_BNK_COM_BATCH_NO
PaymentRunStatus1 Payment Batch Status Text TEXT30
Master Data Relations Join Conditions
Paying company code
  • Paying company code
  • Client
  • P_MAKEBKWITHPAYTBATCH.PAYINGCOMPANYCODE == T001.BUKRS
  • P_MAKEBKWITHPAYTBATCH.MANDT == T001.MANDT