F-53

Post Outgoing Payments | Component: Payment Progam / Payment transfer (DE, JP, US)

Transaction Tables

/SAPPSPRO/EADD Purchasing Document Header: Additional Data
ACDOCA Universal Journal Entry Line Items
AFVC Operation within an order
ANEK Document Header Asset Posting
ANEP Asset Line Items
ANLH Main asset number
AVIK Payment Advice Header
AVIP Payment Advice Line Item
BKDF Document Header Supplement for Recurring Entry
BKORM Accounting Correspondence Requests
BKPF Accounting Document Header
BSEC One-Time Account Data Document Segment
BSED Bill of Exchange Fields Document Segment
BSEG Accounting Document Segment
BSEG_ADD Entry View of Accounting Document for Additional Ledgers
BSET Tax Data Document Segment
CFIN_EKBE_HEAD History per Purchasing Document
COBK CO Object: Document Header
COEP CO Object: Line Items (by Period)
EKBE History per Purchasing Document
FAAT_DOC_IT Statistical Line Item in Asset Accounting
FAAT_PLAN_VALUES Planned Depreciations and Revaluations
FAGL_SPLINFO Splittling Information of Open Items
FINS_ACDOC_REF Multiple References for ACDOCA line items
FINS_MASSPACKAGE Work Package Administration for sFIN Mass Data
KMKPF FI: Account Assignment Model Header Information
KMZEI FI: Account Assignment Model Item Information
PYORDH Payment order header data
PYORDP Payment order item data
RFDT Accounting Data (INDX Structure)
TCJ_WTAX_ITEMS Withholding Tax Items for Cash Journal Document Items
VBAK Sales Document: Header Data
VBAP Sales Document: Item Data
VBEP Sales Document: Schedule Line Data
VBKPF Document Header for Document Parking
VBRK Billing Document: Header Data
VBRP Billing Document: Item Data
VBSEC Document Parking One-Time Data Document Segment
VBSEGD Document Segment for Customer Document Parking
VBSEGK Document Segment for Vendor Document Parking
VBUK Sales Document: Header Status and Administrative Data
VBUP Sales Document: Item Status
WBRK Settlement Management Document Header
WBRP Settlement Management Document Item
WITH_ITEM Witholding tax info per W/tax type and FI line item

Dimensions

A4AV Country/Tax Code
ANLA Asset Master Record Segment
ANLB Depreciation terms
ANLBZA Time-Dependent Depreciation Terms
ANLE Asset Origin by Line Item
ANLI Link table for investment measure -> AuC
ANLU Asset Master Record: User Fields
ANLZ Time-Dependent Asset Allocations
AUFK Order master data
BSIP Index for Vendor Validation of Double Documents
CSKB Cost Elements (Data Dependent on Controlling Area)
FAAT_CMP Fixed Asset Company Code
FAAT_YDDA Year-Dependent Attributes for Depreciation
FAGL_TLDGRP Ledger Group
FINCS_MAP_RLDNR Mapping of Source Ledger to Consolidation Chart of Accounts
FINSC_CT_DELTA Delta Currency and Valuation Types
FINSC_CURTYPE Currency type
FINSC_LEDGER Universal Journal Entry Ledger
FINS_CO_DOCT_VAR Variant for Mapping CO Bus. Transact. to Document Types
FINS_GLACC_SUBTY GL Account Subtype
FINS_MPROJECT Mass Data Project: Projects
FINS_MPROJ_STAT Mass Data Project: Status Table
FOT_GL_TAXDATA GL Account Tax Attributes
FQMC_FLOW_TYPE Flow Type
FQMI_FLOW_CAT Flow Category
J_1BBRANCH Business Place
KNA1 General Data in Customer Master
KNAS Customer master (VAT registration numbers general section)
KNB1 Customer Master (Company Code)
KNBK Customer Master (Bank Details)
KNKK Customer master credit management: Control area data
KONP Conditions (Item)
LFA1 Supplier Master (General Section)
LFAS Vendor master (VAT registration numbers general section)
LFB1 Vendor Master (Company Code)
LFBK Vendor Master (Bank Details)
PSHDSVCI Personalized Screen Variants for FI Enjoy Transactions
SECCODE Section Code
SKA1 G/L Account Master (Chart of Accounts)
SKB1 G/L account master (company code)
T001 Company Codes
T001W Plants/Branches
T003 Document Types
T004 Directory of Charts of Accounts
T007A Tax Keys
T008 Blocking Reasons for Automatic Payment Transcations
T012K House Bank Accounts
T014 Credit control areas
T015L SCB Ratios
T015W1 Instructions
T030 Standard Accounts Table
T035 Planning groups
T040S Blocking reasons for dunning notices
T041A Clearing Transactions
T042 Parameters for payment transactions
T042F Payment method supplements
T042I Account determination for payment program
T042Z Payment Methods for Automatic Payment
T043 Assign Accounting Clerks --> Tolerance Group
T043G Tolerances for Groups of Customers/Vendors
T045P Bill of Exchange Portfolios
T046 Bill of Exchange Tax
T048 Correspondence Types
T048A Company Code Data
T052 Terms of Payment
T053 Line Item Texts
T053R Classification of Payment Differences
T059P Withholding tax types
T059Q Withholding Tax
T059Z Withholding tax code (enhanced functions)
T074 Special G/L Accounts
T074U Special G/L Indicator Properties
T093B Company code-related depreciation area specifications
T093C Company codes in Asset Accounting
T134M Control of Qty/Value Update
T459K Control table for customer requirements
T811C Allocations: Cycles
T881 Ledger Master
T8G02 Item categories
T8G03 Business transaction
T8G031 Business Transaction Variant
T8G30A Acct determination key for doc splitting
T8G41A Constants
TBSL Posting Key
TKA01 Controlling Areas
TKA02 Controlling area assignment
TKA09 Basic Settings for Versions
TVOID Check void reason codes
TZB0A Definition of flow types
VIMIMV Lease-Out