SAP ABAP Table JBIUPDA1
{TR: EDT Loans}
Foreign Key tables (76)
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AT30
{Formula Table for Financial Mathematics}
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BUT000
{BP: General data I}
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KNA1
{General Data in Customer Master}
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T000
{Clients}
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T001
{Company Codes}
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T005
{Countries}
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T007A
{Tax Keys}
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T008
{Blocking Reasons for Automatic Payment Transcations}
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T012
{House Banks}
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T012K
{House Bank Accounts}
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T037S
{Account Assignment References acc. to Transaction Type}
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T040S
{Blocking reasons for dunning notices}
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T042Z
{Payment Methods for Automatic Payment}
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T047M
{Dunning areas}
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T056R
{Interest reference definition}
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TB003
{BP Roles}
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TCN00
{Key Word ID for PS User Fields}
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TD01
{Table for collateral keys}
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TD02
{Table of Loan Classes}
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TD03
{Assign Loan Type -> Product Type}
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TD04
{Reason for Notice}
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TD07
{Purpose of loan}
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TD09
{Loan Maturity}
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TD10
{Indicator for special treatment of loan}
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TD11
{Home statement}
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TD13
{Type of offer or contract acceptance}
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TD14
{Value table for tax preferential treatment ID}
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TD15
{Residential development financing types}
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TD16
{Borrower's note security value table}
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TD17
{Branch office}
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TD18
{Business regions}
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TD21
{Reasons for generating incoming payments immediately}
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TD27
{Loan notice types}
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TD28
{Notice arrangements (lender)}
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TD29
{Notice Arrangement for Borrower}
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TDA5
{Non-Accept.Reason}
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TDDG1
{Value table 1 User-specific loans key}
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TDDG2
{Value table 2 User-specific loans key}
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TDDG3
{Value table 3 User-specific loans key}
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TDDG4
{Value table 4 User-specific loans key}
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TDPZ6
{CML Correspondence Role Type}
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TDS1
{Possible assignees}
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TDSOZ
{Special interest indicator for loans}
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TDZW
{IS-IS: Payment terms with adjustment days}
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TFACD
{Factory calendar definition}
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TVZ01
{Control of incoming payments}
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TW05
{Insurance branch}
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TW06
{BAV group 4/77 appendix 8}
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TW07
{SCB group}
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TW08
{Fin.acctng group}
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TW11
{Balance sheet indicator}
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TW12B
{Relationship table TW12 - RANTYP}
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TWPOB
{Portfolio position}
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TZ11
{Stock indicator}
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TZ13
{Tax office stock indicator}
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TZ17
{Asset group C11/76 Asset 6 (Annual stock overview)}
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TZ18
{Appendix group R11/76, appendix 1-5 and R2/87, append. 1-2}
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TZ19
{Asset type in acc. with BAV PRF3 and PRF8, sub-section 7}
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TZ28
{Asset Type According to Regulatory Accounting Requirements}
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TZ29P
{Check table for indicator SNW600}
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TZ30
{Premium reserve fund list}
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TZ31
{Subsection}
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TZ32
{BAV asset group stmt 102}
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TZ34
{Value Table Credit Type Regulatory Reporting}
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TZ35
{Value table credit class regulatory reporting}
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TZ36
{Check table for R5/97 appendix 3/4}
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TZ37
{Indicator for circular R5/97 appendix 5}
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TZ38
{Indicator for circular R5/97 appendix 8}
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TZ39B
{Relationship table indicator R5/97 append. 10 for prod. cat.}
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TZB09
{Posting control table}
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TZC37
{Financial Assets Management status definition}
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TZFB
{Calculation base value table}
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TZK01
{Condition types}
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TZK07
{Condition type-dependent detailed description skopo}
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TZPAB
{Financial Assets Management product types}
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TZV05
{Types of restraint on drawing}