wlf_cds_db_wbrk_wbrl

CDS-View on DB-View DB_WBRK_WBRL | view: WLFCDSDBWBRKWBRL | TRAN | Extraction: Not supported | Component: Settlement Management
Column Name Description
WBELN Document Number
LFART Settlement Document Type
LFTYP Settlement Document Category Show values
WRART Settlement Process Type
WBTYP Settlement Process Category Show values
WRTYP Entry Category for Logistics Data Show values
ABART Settlement Category Show values
KALSM Procedure (Pricing, Output Control, Acct. Det., Costing,...)
KALSMD Procedure (Pricing, Output Control, Acct. Det., Costing,...)
WFDAT Posting Date
RFBSK Posting Status for Transfer to Financial Accounting Show values
LIFRE Different Invoicing Party
LNRZB Payee
KUNRE Bill-to Party
KUNRG Payer
EKORG Purchasing organization
VKORG Sales Organization
VTWEG Distribution Channel
SPART Division
BUKRS Company Code
ERZET Time at Which Record Was Added
ERDAT Date on which the record was created
ERNAM Name of Person Responsible for Creating the Object
AEDAT Last Changed On
BLDAT Document Date in Settlement Management Document
XBLNR Reference Document Number
ZUONR Assignment number
WAERL Currency of Settlement Document
WSTWAE Statistics Currency
WKURS Exchange Rate
STCUR Exchange rate for statistics
KUFIX Indicator for Fixed Exchange Rate Show values
WKURS_DAT Exchange Rate Date in Settlement Management
BRTWR Gross Settlement Amount in Document Currency
ZTERM Terms of payment key
ZBD1T Cash (Prompt Payment) Discount Days
ZBD1P Cash discount percentage 1
ZBD2T Cash discount days 2
ZBD2P Cash Discount Percentage 2
ZBD3T Net Payment Terms Period
ZLSCH Payment Method
NETWR Net Settlement Amount in Document Currency
NETWRD Net Settlement Amount in Document Currency (Customer-Side)
BRTWRD Gross Settlement Amount in Document Currency (Customer-Side)
ZTERMD Terms of Payment Key for Customer
ZBD1TD Cash Discount Period for Customer
ZBD1PD Cash Discount Percentage 1 Customer
ZBD2TD Cash Discount Period 2 Customer
ZBD2PD Cash Discount Percentage 2 Customer
ZBD3TD Deadline for Customer Net Condition
ZLSCHD Customer Payment Method
GSKTOD Amount eligible for cash discount in document currency
GSKTO Amount eligible for cash discount in document currency
FKSTO Settlement Management Document is Reversed Show values
KAPPL Application
KNUMV Number of the Document Condition
KNUMVD Number of the Document Condition
STAFO Update Group for statistics update
LFAKS Reversed Document
KNUMA Agreement (various conditions grouped together)
LFART_RL Settlement Document Type for Settlement Document List
WFDAT_RL Posting Date for the Settlement Document List
WBELN_RL Document Number of Settlement Document List
EKGRP Purchasing Group
VALTG Additional Value Days (Supplier)
VALDT Fixed Value Date (Supplier)
MWSBK Tax Amount in Document Currency
MWSBKD Tax Amount in Document Currency (Customer-Side)
NAVNK Non-deductible input tax
LOGSYS Logical system
DIEKZ Service Indicator (Foreign Payment)
LANDL Supplying Country/Region
LZBKZ State Central Bank Indicator
KKBER Credit control area
LFGRU Activity Reason for Document Creation
VALTGD Additional Value Days (Customer)
VALDTD Fixed Value Date (Customer)
KIDNO Payment Reference
WDTYP Settlement Management Document Category Show values
WKURS_P1 Exchange Rate of Supplier Payment Currency
WKURS_P2 Exchange Rate of Customer Payment Currency
WPYCUR_P1 Supplier Payment Currency for Automatic Payment
WPYCUR_P2 Customer Payment Currency for Automatic Payment
ESTATUS Application Status for a Settlement Management Document
KURST Exchange Rate Type
VKBUR Sales office
VKGRP Sales group
SETTLE_DOC Settlement Document of planned Trading Expenses
FKSTO_PART Partial Reversal Show values
POST_PARTY Posting Partner Show values
CPDK_ADDR Address of One-Time Customer
FKSTO_PARTY Reversed Partner Show values
CONTRACT Related Contract in the Settlement Management Doc.
CONTRACT_TYPE Contract Category of Related Contract Show values
COLLECTION_TYPE Document Summarization Category Show values
CMWAE Currency key of credit control area
CTLPC Credit Management: Risk Category
CM_AMOUNT Released credit value of the document
SETTLE_CATEGORY Settlement Classification Category Show values
IDOBJ_TYPE_V Identification Object Type Supplier
IDOBJ_VENDOR Identification Object Supplier
IDOBJ_TYPE_C Identification Object Type Customer
IDOBJ_CUSTOMER Identification Object Customer
POSTING_RULE_K Supplier Posting Rule
POSTING_RULE_D Customer Posting Rule
POSTING_RULE_A Special Posting Rule for Accruals with Settlements Show values
VKONT Contract Account Number
WT_ACTIVE Extended Withholding Tax Active Show values
BUKRS_DEB Customer Company Code
SETTL_PARTY Settlement Partner Category Show values
SETTL_STATUS_V Settlement Status - Supplier Show values
SETTL_STATUS_C Settlement Status - Customer Show values
SETTL_DOCTYPE_V Settlement Document Type - Supplier Show values
SETTL_DOCTYPE_C Settlement Document Type - Customer Show values
SETTL_METHOD Settlement Procedure Show values
SETTL_BLOCK_V Reason for Supplier Settlement Block
SETTL_BLOCK_C Reason for Customer Settlement Block
CPDL_ADDR Address of One-Time Supplier
MONAT Fiscal period
OUTPUT_CONTROL_IS_ACTIVE Output Control Framework Indicator Show values
_DATAAGING Data Filter Value for Data Aging
PERNR Personnel Number
STATUS_GROUP Status Group for Settlement Management Documents
JRNL_ENTR_CRTN_DTE_UTC Journal Entry Creation Date in UTC
JRNL_ENTR_CRTN_TME_UTC Journal Entry Creation Time in UTC
SETTLMT_COMPN_RSN Compensation Reason for a Settlement Management Document
ENTITY_TAG Entity Tag of a Settlement Management Document
PERS_KOSTL Personnel Cost Center
TXKRS Exchange Rate for Taxes
TXKRS_IC Exchange Rate for Taxes for Intercompany Posting
CTXKRS Exchange Rate for Taxes for Reporting Country/Region
CTXKRS_IC Exchange Rate for Taxes for Intercompany Reporting Ctry/Reg.
LDGRP Ledger Group
COMPN_VARIANT Compensation Variant
VISIBILITY_GROUP Element Behavior Group for SAP Fiori Applications
HXF_BTT_CODE Historic Exchange Factor Business Transaction Type Code Show values
DUMMY_WBRK_INCL_EEW_PS Dummy Data Element for Settlmt Mgmt Doc Header Extensibility
SERVCONF_ID FSL: Service Confirmation ID
COUNTER FSL: Counter Reading
COUNTER_UNIT FSL: Unit of Measurement
EXP_CLASS GT Expenses: Expense Class
EXP_CALC_TYPE GT Expenses: Calculation Type Show values
DOC_SETTLED Trading Expense Document Settled Indicator Show values
REF_VALUE_REF Ref. Field for Trading Expenses Ref. Value (Crcy, %, Unit)
REF_VALUE Reference Value for Trading Expenses
POST_TYPE Posting Category of Expenses in GTM
TEW_TYPE Trading Execution Workbench Type
STEP Business Process Step
PARTNER_EXP Business Partner
STEP_FROM Business Process Step
STEP_TEW Business Process Step
MODE Mode of the Step of a Business Process
PARTNER_EXP_TYPE Classification of Partner for Expense Documents Show values
IV_CHECK_TYPE_H Type of Check (Header) Show values
IV_ACCR Accrual Show values
RRLCG Settlement Document List Type
RRLPA Settlement Document List Partner Show values
CONTR_TYPE Condition Contract Type
SETTL_DATE_TYPE Rebates: Settlement Date Type Show values
ACT_SETTL_DATE Actual Settlement Date
SETTL_DATE_SEQ_ID Settlement Date - Sequential ID
SETTL_START_DATE Start Date of Settlement Period
TOTAL_MENGE Total Quantity of the Business Volume in a Settlement Run
TOTAL_WFKME Unit of Measure for Total Quantity
TOTAL_NTGEW Total Net Weight of the Business Volume in a Settlement Run
TOTAL_BRGEW Total Gross Weight of the Bus Volume in a Settlement Run
TOTAL_GEWEI Unit of Weight for Total Weight
TOTAL_VOLUM Total Volume of the Business Volume in a Settlement Run
TOTAL_VOLEH Volume Unit for Total Volume
TOTAL_ANZPU Total Points of the Business Volume in a Settlement Run
TOTAL_PUNEI Points Unit for Total Points
PROCESS_VARIANT Condition Contract Process Variant
PROCESS_CATEGORY Process Category of a Condition Contract Show values
DEVIATING_SETTL_ITEM Deviating Settlement Data on Item Level Show values
SETTL_VARIANT Settlement Variant in Condition Contract Management
CORR_DOCUMENT Indicator for Adjustment Document Show values
INCOMP_REASON Incompleteness Reason of Settlement Management Document
LIFNR_FI Alternative Supplier
DISTRIB_INCOMP Distribution Incomplete Show values
RFBSK_COMB_SETT Posting Status for Combined Settlement Show values
NO_TEXT_H No Texts Exist Show values
INTRASTAT_REL Document is Relevant for Intrastat Declarations Show values
LANDTX Tax Departure Country/Region
LAND1TX Tax Destination Country/Region
XEGDR Indicator: Triangular Deal Within the EU Show values
STCEG Supplier VAT Registration Number
STCEGD Customer VAT Registration Number
INTRASTAT_FLOW_D Type of Goods Flow for Intrastat Declarations Show values
SERVICE_INDICATOR Service Indicator Show values
INCO1 Incoterms (Part 1)
INCO2 Incoterms (Part 2)
INCOV Incoterms Version
INCO2_L Incoterms Location 1
INCO3_L Incoterms Location 2
WKURS_DEB Alternative Exchange Rate in Customer Company Code
SETTLEMENT_DATE Rebates: Settlement Date
PROCESS_TYPE Settlement Management Process Category
BANK_DATA Bank Data Was Entered for Document Show values
COLL_STATUS Collective Settlement Status of Settlement Documents Show values
IS_COLLECTION Indicator that Document Is a Collective Document Show values
COLL_BLOCK Reason for Collective Settlement Block
REF_SETTL_DATE Reference Settlement Date
LANDTX_BUKRS Tax Country/Region Company Code
LANDTX_BUKRS_DEB Tax Country/Region Company Code Customer
USE_CASE Use Case Type Show values
USE_CASE_GUID GUID for Use Case
INVOICE_ID BusinessTransactionDocumentID
SCHEME_ID Identifier for the ID Scheme
SCHEME_A_ID ID of the Organization that Maintains the ID Scheme
AGENCY_ID_CODE Agency of Standard ID for Invoice Document
ITCUP CUP Code
ITCIG CIG Code
MNDID Unique Reference to Mandate for each Payee
POSNR Item in List
Column Name Description
💲 Currency of Settlement Document (WAERL):
BRTWR Gross Settlement Amount in Document Currency
NETWR Net Settlement Amount in Document Currency
NETWRD Net Settlement Amount in Document Currency (Customer-Side)
BRTWRD Gross Settlement Amount in Document Currency (Customer-Side)
GSKTOD Amount eligible for cash discount in document currency
GSKTO Amount eligible for cash discount in document currency
MWSBK Tax Amount in Document Currency
MWSBKD Tax Amount in Document Currency (Customer-Side)
NAVNK Non-deductible input tax
💲 Currency key of credit control area (CMWAE):
CM_AMOUNT Released credit value of the document
💲 Ref. Field for Trading Expenses Ref. Value (Crcy, %, Unit) (REF_VALUE_REF):
REF_VALUE Reference Value for Trading Expenses
MWSBP Tax Amount in Document Currency (Supplier-Side)
NAVNW Non-deductible input tax
KWERT_RL Value of the Settlement Document List Conditions
MWSBP_RL Tax of Settlement Document List Conditions
NETWR_LP New Value of the Item in a List
Column Name Description
📏 FSL: Unit of Measurement (COUNTER_UNIT):
COUNTER FSL: Counter Reading
📏 Unit of Measure for Total Quantity (TOTAL_WFKME):
TOTAL_MENGE Total Quantity of the Business Volume in a Settlement Run
📏 Unit of Weight for Total Weight (TOTAL_GEWEI):
TOTAL_NTGEW Total Net Weight of the Business Volume in a Settlement Run
TOTAL_BRGEW Total Gross Weight of the Bus Volume in a Settlement Run
📏 Volume Unit for Total Volume (TOTAL_VOLEH):
TOTAL_VOLUM Total Volume of the Business Volume in a Settlement Run
📏 Points Unit for Total Points (TOTAL_PUNEI):
TOTAL_ANZPU Total Points of the Business Volume in a Settlement Run
Column Name Description
WFDAT Posting Date
ERZET Time at Which Record Was Added
ERDAT Date on which the record was created
AEDAT Last Changed On
BLDAT Document Date in Settlement Management Document
WKURS_DAT Exchange Rate Date in Settlement Management
WFDAT_RL Posting Date for the Settlement Document List
VALDT Fixed Value Date (Supplier)
VALDTD Fixed Value Date (Customer)
_DATAAGING Data Filter Value for Data Aging
JRNL_ENTR_CRTN_DTE_UTC Journal Entry Creation Date in UTC
JRNL_ENTR_CRTN_TME_UTC Journal Entry Creation Time in UTC
ACT_SETTL_DATE Actual Settlement Date
SETTL_START_DATE Start Date of Settlement Period
SETTLEMENT_DATE Rebates: Settlement Date
REF_SETTL_DATE Reference Settlement Date
FBUDA_LI Date on which services are rendered
DATAAGING_LP Data Filter Value for Data Aging
Column Name Description
LFTYP Settlement Document Category Show values
WBTYP Settlement Process Category Show values
WRTYP Entry Category for Logistics Data Show values
ABART Settlement Category Show values
RFBSK Posting Status for Transfer to Financial Accounting Show values
KUFIX Indicator for Fixed Exchange Rate Show values
FKSTO Settlement Management Document is Reversed Show values
WDTYP Settlement Management Document Category Show values
FKSTO_PART Partial Reversal Show values
POST_PARTY Posting Partner Show values
FKSTO_PARTY Reversed Partner Show values
CONTRACT_TYPE Contract Category of Related Contract Show values
COLLECTION_TYPE Document Summarization Category Show values
SETTLE_CATEGORY Settlement Classification Category Show values
POSTING_RULE_A Special Posting Rule for Accruals with Settlements Show values
WT_ACTIVE Extended Withholding Tax Active Show values
SETTL_PARTY Settlement Partner Category Show values
SETTL_STATUS_V Settlement Status - Supplier Show values
SETTL_STATUS_C Settlement Status - Customer Show values
SETTL_DOCTYPE_V Settlement Document Type - Supplier Show values
SETTL_DOCTYPE_C Settlement Document Type - Customer Show values
SETTL_METHOD Settlement Procedure Show values
OUTPUT_CONTROL_IS_ACTIVE Output Control Framework Indicator Show values
HXF_BTT_CODE Historic Exchange Factor Business Transaction Type Code Show values
EXP_CALC_TYPE GT Expenses: Calculation Type Show values
DOC_SETTLED Trading Expense Document Settled Indicator Show values
PARTNER_EXP_TYPE Classification of Partner for Expense Documents Show values
IV_CHECK_TYPE_H Type of Check (Header) Show values
IV_ACCR Accrual Show values
RRLPA Settlement Document List Partner Show values
SETTL_DATE_TYPE Rebates: Settlement Date Type Show values
PROCESS_CATEGORY Process Category of a Condition Contract Show values
DEVIATING_SETTL_ITEM Deviating Settlement Data on Item Level Show values
CORR_DOCUMENT Indicator for Adjustment Document Show values
DISTRIB_INCOMP Distribution Incomplete Show values
RFBSK_COMB_SETT Posting Status for Combined Settlement Show values
NO_TEXT_H No Texts Exist Show values
INTRASTAT_REL Document is Relevant for Intrastat Declarations Show values
XEGDR Indicator: Triangular Deal Within the EU Show values
INTRASTAT_FLOW_D Type of Goods Flow for Intrastat Declarations Show values
SERVICE_INDICATOR Service Indicator Show values
BANK_DATA Bank Data Was Entered for Document Show values
COLL_STATUS Collective Settlement Status of Settlement Documents Show values
IS_COLLECTION Indicator that Document Is a Collective Document Show values
USE_CASE Use Case Type Show values
WDTYP_L Category of List Document Show values
WDTYP_LI Category of List Document Item Show values
FKSTO_LI List Item is Reversed Show values
WUVPRS Indicator that Pricing Determination for Item is Incomplete Show values
LFTYP_LP Settlement Document Category Show values
Column Name Description Domain name
WBELN_LF Document Number WBELN
TXJCD Tax Jurisdiction TXJCD
PAOBJNR Profitability Segment Number (CO-PA) RKEOBJNR
GJAHR Fiscal Year GJAHR
EXT_DOC_NR External Document for Settlement Management WLF_FOREIGN_DOC_NUMBER
EXT_DOC_YEAR Year of External Document for Settlement Management GJAHR
EXT_DOC_BUKRS Company Code of External Document for Settlement Management BUKRS
EXT_DOC_ITEM Item in External Document for Settlement Management WLF_FOREIGN_DOC_ITEM_NUMBER
BUPLA Business Place J_1BBRANCH
TAX_COUNTRY Tax Reporting Country/Region LAND1
DUMMY_WBRL_INCL_EEW_PS Dummy Data Elmnt for Settlmt Mgmt Doc List Itm Extensibility WBRL_INCL_EEW
LIFRE_LP Different Invoicing Party LIFNR
LNRZB_LP Payee LIFNR
KUNRE_LP Bill-to Party KUNNR
KUNRG_LP Payer KUNNR
LOGSYS_LP Logical system LOGSYS