FBZ8

Display Payment Run | Component: Payment Progam / Payment transfer (DE, JP, US)

Transaction Tables

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
PAYRQ Payment Requests
REGUH Settlement data from payment program
REGUHH REGUH version before the 'n'th change
REGUP Processed items from payment program
REGUS_SEPA SEPA Mandate Lock: Applications To Be Retrieved
REGUV Control records for the payment program
RFDT Accounting Data (INDX Structure)
VBSEC Document Parking One-Time Data Document Segment

Dimensions

BANK_CUP_IT Bank Account Number related to CUP/CIG/MGO(new)
KNA1 General Data in Customer Master
KNB1 Customer Master (Company Code)
KNBK Customer Master (Bank Details)
KNVK Customer Master Contact Partner
LFA1 Supplier Master (General Section)
LFB1 Vendor Master (Company Code)
LFBK Vendor Master (Bank Details)
SKA1 G/L Account Master (Chart of Accounts)
SKB1 G/L account master (company code)
T001 Company Codes
T001S Accounting Clerks
T008 Blocking Reasons for Automatic Payment Transcations
T012 House Banks
T012A Allocation pmnt methods -> Bank trans.
T012E EDI-compatible house banks and payment methods
T012K House Bank Accounts
T015W Instruction keys
T042 Parameters for payment transactions
T042A Bank selection for payment program
T042B Details on the company codes that must pay
T042E Company Code-Specific Specifications for Payment Methods
T042G Groups of company codes ( payment program )
T042I Account determination for payment program
T042S Charges/expenses for automatic pmnt transactions
T042V Value date for automatic payments
T042W Permitted currency keys for payment method
T042Z Payment Methods for Automatic Payment
T043 Assign Accounting Clerks --> Tolerance Group
T074 Special G/L Accounts
T074U Special G/L Indicator Properties
T110_ACT Activation for changes in F110 accord. to Israel legislation