P_Paymentstatistics_Days

Payment Processing Days | view: PPSDAYS | Extraction: Not supported | Component: SAP Cash Management
Column Name Description
Column Name Description
AmountInPaymentCurrency null
Column Name Description
Column Name Description
CreationDate Create Date
LastChangeDate Change Date
Column Name Description
IsUrgentPayment Urgent Payment Show values
Column Name Description Domain name
CompanyCode Paying company code BUKRS
PayeeBankInternalID Bank key of the payee's bank BANKK
BankKey Bank Key of Our Bank BANKK
PaymentBatch Batch Identification Number BNK_COM_BATCH_NO
NumberOfPayments null
GeneralStatus Object Status CRM_J_STATUS
PaymentProcessingStatus null
NumberOfDaysInPeriod null
Master Data Relations Join Conditions
Country/Region Key of Bank
  • Country/Region Key of Bank
  • Client
  • P_PAYMENTSTATISTICS_DAYS.BANKCOUNTRYKEY == T005.LAND1
  • P_PAYMENTSTATISTICS_DAYS.MANDT == T005.MANDT
Rule Id
  • Client
  • Rule Id
  • ?
  • P_PAYMENTSTATISTICS_DAYS.MANDT == TBNK_RULE.MANDT
  • P_PAYMENTSTATISTICS_DAYS.PAYMENTBATCHRULE == TBNK_RULE.RULE_ID
  • P_PAYMENTSTATISTICS_DAYS.[column in domain "BNK_COM_RULE_PRIORITY"] == TBNK_RULE.PRIORITY
Currency Key
  • Client
  • Currency Key
  • P_PAYMENTSTATISTICS_DAYS.MANDT == TCURC.MANDT
  • P_PAYMENTSTATISTICS_DAYS.PAYMENTCURRENCY == TCURC.WAERS
Payment Method for This Payment
  • ?
  • Client
  • Payment Method for This Payment
  • P_PAYMENTSTATISTICS_DAYS.[column in domain "LAND1"] == T042Z.LAND1
  • P_PAYMENTSTATISTICS_DAYS.MANDT == T042Z.MANDT
  • P_PAYMENTSTATISTICS_DAYS.PAYMENTMETHOD == T042Z.ZLSCH