BCKTRDT_MULTASSG

Multiple Account Assignment of Flows | #transactional | Component: Treasury and Risk Management
Column Name Description
MANDT Client
CORP_ACT_NUMBER Corporate Action Number
BUSTRANS_OS_GUID Object Identity in Database Format
FLOW_NUMBER Number of a Distributor Flow
ASSIGN_NUMBER Account Assignment Number
Column Name Description
💲 Nominal Currency (NOMINAL_CURR):
NOMINAL_AMT Nominal Amount
💲 Payment Currency (PAYMENT_CURR):
PAYMENT_AMT Payment Amount
Column Name Description
Column Name Description
Column Name Description
Column Name Description Domain name
FUND Fund BP_GEBER
GRANT_NBR Grant GM_GRANT_NBR
UNITS Units TPM_UNITS
PERCENTAGE Percentage Rate for Multiple Account Assignment DEC3_4
Master Data Relations Join Conditions
Cost Center
  • ?
  • Cost Center
  • ?
  • BCKTRDT_MULTASSG.MANDT == CSKS.MANDT
  • BCKTRDT_MULTASSG.[column in domain "DATBI"] == CSKS.DATBI
  • BCKTRDT_MULTASSG.COST_CENTER == CSKS.KOSTL
  • BCKTRDT_MULTASSG.[column in domain "KOKRS"] == CSKS.KOKRS
Functional Area
  • BCKTRDT_MULTASSG.MANDT == TFKB.MANDT
  • BCKTRDT_MULTASSG.FUNCTIONAL_AREA == TFKB.FKBER
Profit Center
  • ?
  • ?
  • Profit Center
  • BCKTRDT_MULTASSG.MANDT == CEPC.MANDT
  • BCKTRDT_MULTASSG.[column in domain "DATBI"] == CEPC.DATBI
  • BCKTRDT_MULTASSG.[column in domain "KOKRS"] == CEPC.KOKRS
  • BCKTRDT_MULTASSG.PROFIT_CENTER == CEPC.PRCTR