WOSCR_SITE_GRP

Cash Balancing: Settings for Each Group of Accounts | #masterdata | Component: Store Operations
Column Name Description
MANDT FK Client
PLANT Plant
CBL_GROUP FK Group of Accounts in the Cash Balancing Internet Application
Column Name Description
Column Name Description
Column Name Description
Column Name Description
Column Name Description Domain name
SORT Sequence Group of Accounts/Subgroup/G/L Account/Currency NUMC2
SHOW_POSTED "Display Column for Posted Amounts" Indicator CHAR1
SHOW_ADJUST "Display Column for Difference Amounts" Indicator CHAR1
Master Data Relations Join Conditions
Business Area
  • WOSCR_SITE_GRP.MANDT == TGSB.MANDT
  • WOSCR_SITE_GRP.BUS_AREA == TGSB.GSBER
Group of Accounts in the Cash Balancing Internet Application
Cost Center
  • ?
  • Cost Center
  • ?
  • WOSCR_SITE_GRP.MANDT == CSKS.MANDT
  • WOSCR_SITE_GRP.[column in domain "DATBI"] == CSKS.DATBI
  • WOSCR_SITE_GRP.COSTCENTER == CSKS.KOSTL
  • WOSCR_SITE_GRP.[column in domain "KOKRS"] == CSKS.KOKRS
Client WOSCR_SITE_GRP.MANDT == T000.MANDT
Order Number
  • Order Number
  • Client
  • WOSCR_SITE_GRP.ORDERID == AUFK.AUFNR
  • WOSCR_SITE_GRP.MANDT == AUFK.MANDT