ICLPAY

Claim Payment | #transactional | Component: Claims Management
Column Name Description
CLIENT FK Client
ACTIVE Table entry is active (A) or in suspense (S) Show values
CLAIM FK Number of Claim
SUBCLAIM FK Subclaim of Payment
PAYMENT Number of Claim Payment
Column Name Description
💲 Claim Payment Currency (CURR):
AMTDONE Amount Paid or Received
AMTNEG Amount Negotiated
Column Name Description
Column Name Description
POSTDATE Posting Date
DOCDATE Document Date of Payment
DUEDATE Due Date for Net Payment
FUNDSRECDT Salvage: Funds Received
PMTTO End Date of a Scheduled Payment
PMTFR Start Date of a Scheduled Payment
SERV_FROM Service Start Date
SERV_TO Service End Date
_DATAAGING Data Filter Value for Data Aging
Column Name Description
ACTIVE Table entry is active (A) or in suspense (S) Show values
DELETED Database Line Status (Original, Changed, Deleted) Show values
PAYCAT Record Type of Payment Show values
PAYTYPE Payment Type (Final Payment, Payment After Closure of Claim) Show values
STATUS Internal Payment Status (Database Status) Show values
SUBROSTATUS Legal Status of Subrogation/Recovery Show values
TAX_RPT Flag for Reportable Payments Show values
XTAXRPTCT Code for Withholding Tax in Statutory Reporting Category Show values
OVRD_TAXRPTCT Manual Withholding Tax Code Show values
XSALVESTEND End Estimation of Salvage Value Show values
REQEVALCAT Determination Category of Receivable Amount Show values
PAYOUT_SCENARIO Repetitive Payment Scenario Show values
XREPPAY Payment Creation from Repetitive Payment Record Show values
GROSS_NET_PAYMENT Gross/Net payment indicator Show values
HCM_PAYMENT_STATE Payment Processing State Indicator on the HCM system Show values
Column Name Description Domain name
CHANGETIME Changed: Date + Time ICL_TIMESTAMP
CREATETIME Created: Date + Time ICL_TIMESTAMP
APPROVEDTIME Date Checked (Date+Time) ICL_TIMESTAMP
TRANSFERTIME Transfer Date to Collections/Disbursements (Date+Time) ICL_TIMESTAMP
DOCUMENTREF Reference for Payment Document Created in Subledger ICL_DOCUMENTREF
XALREADYPAID Payment Already Made CHAR1
SUBSAL Subrogation/Recovery/Salvage ICL_SUBRO
XPAYEE Additional Payee (ICLPAYEE) CHAR1
CRECADDR Address Number for Checks AD_ADDRNUM
EXCHRATE Exchange Rate of Payment Currency into Policy Currency KURSF
CHECKNUMBER Check Number for Manual Check Payments ICL_CHECK
NOTE Payment Note TEXT100
INVOICEREF External Invoice Number CHAR20
REFCLAIM Claim Number (Reassignment Reference) ICL_CLAIM_CNV
REFSUBCLAIM Subclaim (Reassignment Reference) ICL_SUBCL
REFPAYMENT Claim Payment (Reassignment Reference) ICL_PAYMENT
LIABRATE Negotiated Liability Rate in Percent ICL_PERCENT
TAXROLE Tax Role of Claim Payment Recipient ICL_TAXROLE
MTAXRPTCT Withholding Tax Code for Statutory Reporting QSSKZ
OWNERTYPE_GRP Responsible Organization Category OTYPE
OWNER_GRP Responsible Organizational Unit XUBNAME
REFEXTSDOC Referenced Statistical Payment Entry ICL_PAYMENT
MOS Method of Settlement ICL_MOS
NROFINVREQ Mininum Number of Inbound Invoices NUMC2
DAMAGEDOBJ Damaged Object ICL_DAMOBJ
MIGRATION Indicator for Migrated Payments CHAR1
ASSIGN_GUID UUID of Entry to be Linked SYSUUID_C
ALTPOSTTARGET Alternative Posting Target TEXT50
DUMMY_ICLVDM_PAY_INCL_EEW_PS Custom Fields: Dummy for Use in Extension Includes
Master Data Relations Join Conditions
Address Number for Checks
  • Address Number for Checks
  • ?
  • ?
  • ICLPAY.CLIENT == ADRC.CLIENT
  • ICLPAY.ADDRNUMBER == ADRC.ADDRNUMBER
  • ICLPAY.[column in domain "AD_DATE_FR"] == ADRC.DATE_FROM
  • ICLPAY.[column in domain "AD_NATION"] == ADRC.NATION
Checked By
  • ICLPAY.CLIENT == USR02.MANDT
  • ICLPAY.APPROVEDBY == USR02.BNAME
Bank Details ID
  • Bank Details ID
  • Client
  • ?
  • ICLPAY.BKID == BUT0BK.BKVID
  • ICLPAY.CLIENT == BUT0BK.MANDT
  • ICLPAY.[column in domain "BU_PARTNER"] == BUT0BK.PARTNER
Changed By
  • ICLPAY.CLIENT == USR02.MANDT
  • ICLPAY.CHANGEDBY == USR02.BNAME
Client ICLPAY.CLIENT == T000.MANDT
Payment Frequency of Scheduled Payment
Created By
  • ICLPAY.CLIENT == USR02.MANDT
  • ICLPAY.CREATEDBY == USR02.BNAME
Claim Payment Currency
  • ICLPAY.CLIENT == TCURC.MANDT
  • ICLPAY.CURR == TCURC.WAERS
Payment Method
  • Payment Method
  • ?
  • Client
  • ICLPAY.METHOD == TFK042Z.ZLSCH
  • ICLPAY.[column in domain "LAND1"] == TFK042Z.LAND1
  • ICLPAY.CLIENT == TFK042Z.MANDT
Rejection Reasons for Payments and Reserves
  • ?
  • Rejection Reasons for Payments and Reserves
  • ICLPAY.CLIENT == TICL112.CLIENT
  • ICLPAY.[column in domain "ICL_APPROV"] == TICL112.APPROV
  • ICLPAY.REASONREJ == TICL112.REASONREJ
Type of Scheduled Payment
  • ICLPAY.CLIENT == TICL180.CLIENT
  • ICLPAY.SCHEDTYPE == TICL180.SCHEDTYPE