Here you will find a list of all SAP tables with the initial letter TR.
Here you will find a list of all SAP tables.
table name | description | |||
---|---|---|---|---|
SAP tables starting with TR | ||||
TR01 | Archiving basis table | |||
TR01T | Base Table Reorganization: Texts | |||
TRACC_AA_REF | Treasury: Account Assignment Reference | |||
TRACC_AA_REF_T | Treasury: Text Table Account Assignment Reference | |||
TRACC_ACCASSREF1 | OLD: TR: Account Assignment Ref. Allocation Old->New | |||
TRACC_ACCSYMBREP | Acct Determination: Replacement of Acct Symbols by G/L Accts | |||
TRACC_ADDACCDATA | Additional Acct Assignments Dependent on Acct Assignm. Ref. | |||
TRACC_DFT_REL | Posting Relevant Update Types | |||
TRACC_GROUP | Definition of Grouping Characteristic Values | |||
TRACC_GROUP_T | Description of Grouping Characteristic Values | |||
TRACC_MIG_AAREF | Migration of Definitions of Account Assignment References | |||
TRACC_MIG_ACCDET | Table for Migration of Account Determination | |||
TRACC_OPTIONS | Treasury: Options for the Accounting Adaptor | |||
TRACC_POST_REL | Exclude Product Types from Posting | |||
TRACOLH | Request list of transport collector (header) | |||
TRACOLR | Restart control, work list generator | |||
TRACOLSYST | Parameters for transport collector | |||
TRACOLT | Texts for work list builder | |||
TRACTSLA | Actual Line Item Table | |||
TRACTSLC | Object Table 2 | |||
TRACTSLO | Object Table 1 | |||
TRACTSLP | Plan Line Items Table | |||
TRACTSLT | Totals Table | |||
TRACT_ACCITEM | Accounting Items | |||
TRACT_DOCUMENT | Treasury: Accounting Adaptor Document | |||
TRACT_POSCONTEXT | Treasury: Position Context Table | |||
TRACT_QUEUE | Resubmission for Reversal | |||
TRACV_ACCITEM | Generierte Tabelle zu einem View | |||
TRACV_DFT_REL | Generierte Tabelle zu einem View | |||
TRACV_DOC_ITEM | Generierte Tabelle zu einem View | |||
TRACV_ITEM_DATA | Generierte Tabelle zu einem View | |||
TRACV_POSCONTEXT | Generated Table for View | |||
TRACV_POSCON_DIF | Generierte Tabelle zu einem View | |||
TRACV_POSTRULE | Generierte Tabelle zu einem View | |||
TRAC_ACCASSREF | OLD: Valuation Area-Dependent Account Assignment Refs | |||
TRAC_ACCASSREF_T | OLD: Text Table for Account Assignment References | |||
TRAC_ACCSYMB | Account Determination: Account Symbols | |||
TRAC_ACCSYMBREP1 | OLD: Prelim. Solution for Acct Det.: Acct Symbol Replacement | |||
TRAC_ACCSYMBREP2 | OLD: Prelim. Solut.: Replace Acct Symbols per Acct Ass.Ref. | |||
TRAC_ACCSYMB_INI | Alternative Acct Symbols for OTC Transaction Initialization | |||
TRAC_ACCSYMB_T | Treasury Account Determination: Text Table for Acct Symbols | |||
TRAC_DFTRULE1 | Treasury: Assignment of Update Type to Posting Specs | |||
TRAC_DFTRULE2 | Treasury: Assgmt of Update Type to Post. Specs per Valn Area | |||
TRAC_POSTRULE | Treasury Account Determination: Posting Specifications | |||
TRAC_POSTRULE_T | Treasury Account Determination: Text Table Posting Specs | |||
TRADT_LOCK | TR: Accrual/Deferral: TRL Position Lock | |||
TRAIN_AFUNCT | Additional Function | |||
TRAIN_AFUNCT_T | Additional Function Description | |||
TRAIN_DISTR | Assign Training Items | |||
TRAIN_FUNCT | Functions in Training Program | |||
TRAIN_FUNCT_T | Functions in Training Program - Description | |||
TRAIN_IDS_DEF | Training | |||
TRAIN_IDS_DEF_T | Training Description | |||
TRAIN_PLAN_VAL | Planned Data for a Training Course | |||
TRAIN_PROG | Training Programs | |||
TRAIN_PROG_T | Training Program Description | |||
TRAIN_QUALI | Mapping: Qualification to Training | |||
TRAIN_STAT | Training Status | |||
TRAIN_STAT_T | Training Status Description | |||
TRAIN_TRNGS | Training | |||
TRAIN_TRNGS_T | Training Description | |||
TRANSFDESC | Table for Mappings (for ABAP Keyword TRANSFORM) | |||
TRANSFTEXT | Text Table for Mappings (for ABAP Keyword TRANSFORM) | |||
TRANSGROUP0 | Definition Table for Transaction Group | |||
TRANSGROUP0T | Description of Transaction Groups | |||
TRANSGROUP1 | Assignment of Transactions to Transaction Groups | |||
TRAS | Interval for Days in Arrears | |||
TRAST | Interval Names for Days in Arrears | |||
TRATC_DFTASS | Update Types for Account Assignment Reference Transfer | |||
TRATT_FLOW | Transfer Flows | |||
TRATT_TRANS | Account Assignment Reference Transfer Business Transactions | |||
TRATV_DFTASS | Generierte Tabelle zu einem View | |||
TRATV_POSCONTEXT | Generated Table for View | |||
TRATV_TRANS | Generierte Tabelle zu einem View | |||
TRATV_TRANSFLOW | Generierte Tabelle zu einem View | |||
TRBAT | Communication Table for Transport Control | |||
TRBAT2 | tp/R3trans Communication Table for Transport Control | |||
TRBAT3 | tp/R3trans Communication Table for Transport Control | |||
TRBATC | Client-Specific Communication Table for Transport Control | |||
TRBATS | Communication Table for Deployment Control | |||
TRBATSOPM | Communication Table for Deployment Control | |||
TRBRG | Authorization Group for Treasury Transactions | |||
TRBRGT | Authorization Group for Treasury Transactions | |||
TRCC_SWITCH | Switch for Cash Management update from TRM-TM | |||
TRCC_UPDATE_TYP | Update Type Details | |||
TRCHECK | Transport Organizer: Checks when Request Released | |||
TRCL | ABAP/4 program classes | |||
TRCLT | ABAP Program Class Text | |||
TRCOCC_QUOTNAM | Commodities: Quotation Names | |||
TRCOCC_QUOTNAM_T | Texts for Quotation Names | |||
TRCT_BUSTRANS | Table of business transactions | |||
TRCT_FLOW | Table of business transactions flows | |||
TRCV_FINDING | Recipient Determination: Control | |||
TRCV_RELCHIP | Recipient Determination: Possible Relat. Categories | |||
TRCV_SHLP_ADDR | Table for Search Help for Address Number Selection | |||
TRDC_ADM | Loan Document Data Summarization: Administration Table | |||
TRDC_DFLOWTYPE | Definition of Update Types | |||
TRDC_DFLOWTYPE_T | Treasury: Update Type Texts | |||
TRDC_DFT_ASSIGN | Assignment of Flow Types to Update Types | |||
TRDC_REC | Summarization of Loan Document Items: Carryforward Records | |||
TRDIR | Generierte Tabelle zu einem View | |||
TRDIRE | Program attributes (from PROGRAM statement) | |||
TRDIRT | Title texts for programs in TRDIR | |||
TRDIRTI | Title Texts for Programs in PROGDIR (Inactive) | |||
TRDTC_DFT_ASSGN | Update Types for Legacy Data Transfer | |||
TRDTS_BT_CAT | Treasury: Business Transaction Categories | |||
TRDTS_BT_CAT_T | Treasury: Texts for distributor bus. transaction categories | |||
TRDTS_DIST_CAT | Distributor Classes | |||
TRDTS_PARTNER | Partner Structure | |||
TRDTT_DATA_ADMIN | Legacy Data Transfer Admin. Entries Business Transactions | |||
TRDTT_DATA_SEC | Valuation-Area-Independent Data for Securities | |||
TRDTT_DATSUB_ADM | Legacy Data Trnsfr: Admin., Designation of Subposition | |||
TRDTT_DES_ADMIN | LDT: Admin. of Bus.Trans.Designation in Hedging Relationship | |||
TRDTT_IGTDATA_SE | Intragroup Transaction (IGT) Data for Securities | |||
TRDTT_POS_ADMIN | Legacy Data Transfer Admin. Entries Subledger Positions | |||
TRDTT_POS_SEC | Position Information for Securities | |||
TRDTT_VADATA_FUT | Valuation-Area-Dependent Data for Futures | |||
TRDTT_VADATA_OTC | Valuation-Area-Dependent Data for MM, FX, OTC Derivatives. | |||
TRDTT_VADATA_SEC | Valuation-Area-Dependent Data for Securities | |||
TRDTT_VAD_FUTSUB | Valuation Area-Dependent Data for Futures with Subpositions | |||
TRDTT_VAD_OTCSUB | Val.Area-Dependent Data for MM, FX, OTC Deriv. w. Subpos. | |||
TRDTT_VAD_SECSUB | Valuation Area-Dependent Data for Securities w. Subpositions | |||
TRDTV_VADATA_OTC | Generierte Tabelle zu einem View | |||
TRDT_FLOW | Persistent distributor flows | |||
TRDT_INIT_BT | TRL Initialization: Transfer Business Transactions | |||
TRDT_INIT_FIX | TRL Initialization: Fix/Post Business Transactions | |||
TRDT_MULTASSGN | Multiple Account Assignment of Flows | |||
TRDT_SEC_FLOW | Persistent distributor flows: Part for BEPP adaptor | |||
TRDT_SUBPOS_FLOW | Subposition Data | |||
TRDT_TRDBUSTRANS | Treasury: Persistent distributor business transaction | |||
TRDT_TRDDOCUMENT | (Obsolete as of CFM 1.0) Distributor Documents | |||
TRDV_TRANS_FLOW | Generierte Tabelle zu einem View | |||
TRD_COBJPREFIX | Prefix-Namespace Assignment for Context Objects | |||
TRD_COBJXPATH | XPaths in Context Objects | |||
TRD_EXTRACTOR | XI: Extractors | |||
TRD_LINK | XI: Receiver Determination Link | |||
TRD_NAMESPACE | Namespaces for XPath Rules | |||
TRD_RELATION | XI: Receiver Determination Relation Key | |||
TRD_RULE | XI: Rcvr Det. Rule (Receiver Extractors & Condition) | |||
TRE01 | Copy Template when Creating Funds Reservations | |||
TRE02 | Template for Copying from Funds Reservation Reference Docs | |||
TREASONS | Reasons for Decisions in Funds Reservations | |||
TREASONST | Tests for Reasons for Rejection in Funds Reservations | |||
TREAV_ASSIGNMENT | Generated Table for View | |||
TREAV_CLEAR_ASG | Generated Table for View | |||
TREAV_CLEAR_OPT | Generated Table for View | |||
TREAV_NOVATION | Generated Table for View | |||
TREAV_PROD_TYPE | Generated Table for View | |||
TREAV_SR_BNDR | NULL | |||
TREAV_SR_UPD_TYP | NULL | |||
TREB_CUST_MAP_IM | Billing Doc. Determination f. Rebate: Cust.-Specific Mapping | |||
TREB_DEF_MAP_IM | Billing Document Determination Rebate: Mapping | |||
TREC_FORC_COMPL | Temporary data for the receiving forecast | |||
TREC_TRANS_TYPE | Transaction Types for Endowment Investments | |||
TREELOG | Change log for table TREE (tree administration) | |||
TREEROAD | Roadmap definition table | |||
TREE_RFW | General Tree | |||
TREF | Fields for Field Selection String in Funds Reservations | |||
TREFST | Field Selection String for Funds Reservations | |||
TREFSTT | Texts for Field Selection String for Funds Reservations | |||
TREG | Field Status Groups for Funds Reservations | |||
TREGT | Texts for Funds Reservation Field Status Groups | |||
TRELTABS | Log: Tables Relevant for Translation | |||
TREQPRF | Requirements Profile | |||
TREQPRFT | Requirements Profile: Texts | |||
TRERI | Additional days for remaining risk posting | |||
TRESC | Reserved Names for Customizing Tables/Objects | |||
TRESE | Reserved Names | |||
TRESEPR | Project Management Resources | |||
TRESN | Table of Naming Conventions in ABAP Workbench | |||
TRESNT | Text Table for Table TRESN (Naming Conventions) | |||
TRESSCL | Project Class Resource Assignment | |||
TRESSP | Project Resources | |||
TRESTP | Project Resources Text | |||
TRESTPR | Project Management: Resources Text | |||
TRET_END2POOL | Pools Permitted for Each Endowment | |||
TRET_ENDOWMENT | Additional Fund/Grant Data for Endowments | |||
TRET_POOL | Additional Pool Data for Fund | |||
TRET_PROTOCOL | Transactions Generated for Endowments | |||
TRET_SEC_POOL | Additional Pool Data for Security | |||
TRET_TRANSACTION | Transactions to Be Created for Endowments | |||
TREV | Field Status Variant for Funds Reservation | |||
TREVG | Assignment: Field Status String -> Variant/Group | |||
TREVT | Texts for Funds Reservation Field Status Variants | |||
TREV_ENDOWMENT | Generierte Tabelle zu einem View | |||
TREV_SEC_POOL | Generated Table for View | |||
TREWF | Group Keys for Selection of Workflow-Relevant Fields | |||
TREWFFIELD | Fiels in Group Keys for Workflow (Obsolete Since 4.70) | |||
TREWFT | Group Keys for Selection of Workflow-Relevant Fields (Text) | |||
TREXICM | User information for TREX BasisClient. | |||
TREXICM_GLOBAL | TREX: Global parameters for BasisClient | |||
TREXICM_USER | TREX: User dependent parameters for BasisClient | |||
TREX_ACT | TREX Activities that can be protected | |||
TREX_ACTT | TREX Activities that can be protected | |||
TREX_BC_MEASURE | Performance measurement information of TREX BasisClient. | |||
TREX_HOST_SWITCH | Internal use only: List of host names to be subsituted. | |||
TRFBT | Language-dep. values for reference document type | |||
TRFB_CLASS_POS | CFM: Backup Table for TRF Class Position | |||
TRFB_FLOW | CFM: Backup Table with TRF Flows | |||
TRFB_SUBTOTAL | CFM: Backup Table with TRF Transaction Figures | |||
TRFB_SUBTRANS | CFM: Backup Table for TRF Business Subtransaction | |||
TRFCQDATA | qRFC Call Data (Inbound Queue) | |||
TRFCQIN | tRFC Queue Description (Inbound Queue) | |||
TRFCQINS | Description of Saved tRFC-Queues (Inbound Queue) | |||
TRFCQOUT | tRFC Queue Description (Outbound Queue) | |||
TRFCQSTATE | Description of qRFC Call Conditions (Inbound Queue) | |||
TRFC_DFTYPE_MP | TRF: Update Types for Manual Posting | |||
TRFC_I_DEST | Client and Destination name for Inbound tRFC | |||
TRFC_I_ERR_STATE | Inbound tRFC: Unit Error Status | |||
TRFC_I_EXE_STATE | Inbound tRFC: Unit State | |||
TRFC_I_SDATA | Inbound tRFC: Unit Payload | |||
TRFC_I_UNIT | Inbound tRFC: Unit Header | |||
TRFC_I_UNIT_LOCK | Inbound tRFC: Unit Locks | |||
TRFC_MRG_FT | Assign Update Types for Margin Management | |||
TRFC_O_DEST | Client and Destination Name for Outbound tRFC | |||
TRFC_O_ERR_STATE | Outbound tRFC: Unit Error State | |||
TRFC_O_EXE_STATE | Outbound tRFC: Unit State | |||
TRFC_O_SDATA | tRFC: Unit Payload | |||
TRFC_O_UNIT | Outbound tRFC: Unit Header | |||
TRFC_O_UNIT_LOCK | Outbound tRFC: Unit Locks | |||
TRFC_PM_FT | Treasury: Assignment of Update Type to Flow Category | |||
TRFC_RATE_TYPE | Rate Type to Convert Margins | |||
TRFKREDEB_SYNC | Synchronization of Customer Master Data | |||
TRFT_BUSTRANS | Treasury: TRF Business Transaction | |||
TRFT_CALC_POS | Treasury: TRF Calculation Position | |||
TRFT_CLASS_POS | Treasury: TRF Class Position | |||
TRFT_FLOW | Treasury: Table with TRF Flows | |||
TRFT_MAN_POST | Manual Posting | |||
TRFT_MAN_PT_FLOW | TRF: Flows for Manual Posting | |||
TRFT_MATCH_FLOW | Treasury: Table with Matching Process Flows | |||
TRFT_MATCH_TRANS | Treasury: Matching Process Business Transaction | |||
TRFT_POS_ACCOUNT | Treasury: Futures Account Master Data | |||
TRFT_SUBTOTAL | Treasury: Table with TRF Transaction Figure | |||
TRFT_SUBTRANS | Treasury: TRF Business Subtransaction | |||
TRFUNCSEL | Multiple Selection of Request Types | |||
TRFUNCSELT | Multiple Selection of Request Types | |||
TRFV_CLASS_POS | Generierte Tabelle zu einem View | |||
TRFV_F4_CLASS | Generated Table for View | |||
TRFV_F4_GSART | Generated Table for View | |||
TRFV_MATCH_TRANS | Generierte Tabelle zu einem View | |||
TRFV_POS_DIFF | Generierte Tabelle zu einem View | |||
TRGC_AMORTPROC_T | OLD!! Treasury: Amortization Procedure Texts | |||
TRGC_AMORT_PROC | OLD!! Treasury: Amortization Procedure | |||
TRGC_ASYN_FIX_RG | Asynchronous Fixing for Each Product Type | |||
TRGC_COM_VALCL | General valuation class | |||
TRGC_COM_VALCL_T | Treasury: General Valuation Class (Text) | |||
TRGC_CVC1 | Assignment of Product Cat. and Trans. Cat. to GVC Group | |||
TRGC_CVC_GR | Definition: Grouping of General Valuation Class | |||
TRGC_CVC_GR_ASS | Assignment of General Valuation Class to Group | |||
TRGC_CVC_GR_STAT | Assignment of General Valuation Class to Group | |||
TRGC_DERIV_ASSGN | Treasury: Assignment of Derivation Categories | |||
TRGC_DER_ONLINE | Control Derived Business Transactions | |||
TRGC_DFTSOURCASS | Assign Update Types to Usages | |||
TRGC_DF_QUANTCAT | Prel. Solution: Assignm.: Update Type - Pos.Mgmnt Cat. Units | |||
TRGC_IMP_PROC | Impairment Procedure | |||
TRGC_IMP_PROC_T | Impairment Procedure Text | |||
TRGC_MIGR1 | Customizing for Converting to Enterprise 2.0 | |||
TRGC_MIGR2 | Migration: Key Date of Data Transfer per Company Code | |||
TRGC_MIGR_PMP | Conversion Position Management Procedure | |||
TRGC_MIG_PMP_OTC | Conversion: Assignment of OTC Position Management Procedures | |||
TRGC_OLDVALCLASS | Treasury: Rel. Betw. Previous and General Valuation Classes | |||
TRGC_PAR | Parallel Processing Control | |||
TRGC_PARAM | Assignment of Parameters and Parameter Values | |||
TRGC_PAY_REL | Payment Relevance of Update Type | |||
TRGC_PAY_REL_LO | Payment Relevance of Flow Type for Loans, Operative | |||
TRGC_PC_EXCL | Product Cats of the Parallel Valn Areas to be Excluded | |||
TRGC_PG_EXCL | Product Groups to be Excluded in the Parallel Val. Areas | |||
TRGC_PL_ASGNFTYP | Assignment of Profit/Loss Types to Flow Type | |||
TRGC_PL_ASSIGN | Assign Profit/Loss Types to Update Type and Valuation Area | |||
TRGC_PL_CATE | Define/Maintain Profit/Loss Types | |||
TRGC_PL_CATE_T | Text Table for Profit/Loss Types | |||
TRGC_PM_PROC | Treasury: Position Management Procedure | |||
TRGC_PM_PROC_ASS | Assignment of Position Management Procedure | |||
TRGC_PM_PROC_T | Treasury: Position Management Procedure Texts | |||
TRGC_PT_EXCL | Product Types to be Excluded in the Parallel Val. Areas | |||
TRGC_STEP_PROC | Procedure for Steps | |||
TRGC_STEP_PROC_T | Step Procedure Texts | |||
TRGC_TAC_VA | Assignment of Accounting Code to Valuation Area | |||
TRGC_TAX | CFM: Derivation Rules for Tax Flows | |||
TRGC_TR_ACC_CODE | Accounting Code | |||
TRGC_TR_SWITCH | Switch Table | |||
TRGC_VALCLS_MAP | Treasury: Asst of Gen. ValnCl. to ValnCl. for each Valn Area | |||
TRGC_VAL_AREA | Valuation Areas | |||
TRGC_VAL_CLASS | Treasury: Valuation Class | |||
TRGC_VAL_CLASS_T | Treasury: Valuation Class (Text) | |||
TRGTS_BT_CONTROL | Control of Relevant/Irrelevant Bus.Transactions for Partners | |||
TRGTS_CMP_PMCAT | Assignment of Position Change Categories to Components | |||
TRGTS_COMP | TR Position Management: Position Components (Definition) | |||
TRGTS_COMPGRP | TR Position Management: Position Component Grps (Definition) | |||
TRGTS_COMPGRPASN | TR: Position Components (Assignment) | |||
TRGTS_COMPGRP_T | TR Position Management: Position Component Groups (Text) | |||
TRGTS_COMP_T | Treasury: Position Components (Text) | |||
TRGTS_DCOMRULE | TR Position Management: Derived Components (Assignment) | |||
TRGTS_DFT_SOURCE | Uses of Update Types | |||
TRGTS_DFT_SOURCT | Texts: Uses for Update Types | |||
TRGTS_INIT_FUNCT | Function Modules for Maintaining Pos. Values for Parallel VA | |||
TRGTS_INIT_RULE | Rules for Processing Initialization Steps | |||
TRGTS_INIT_STEP | Steps for Initializing Parallel Valuation Areas | |||
TRGTS_INIT_ST_T | Steps for Initializing Parallel Valuation Areas | |||
TRGTS_MIGR | Steps in Migration | |||
TRGTS_MIGR_RULE | Rules for Processing of Migration Steps | |||
TRGTS_MIGR_T | Steps in Migration to CFM 1.0 | |||
TRGTS_PAR_DEF | Parameters | |||
TRGTS_PAR_DEF_T | Descriptions for Parameters | |||
TRGTS_PERS | Treasury Position Mgmt: Persistence Service Function Module | |||
TRGTS_PG_CONTROL | Control of Relevant and Irrelevant Product Groups | |||
TRGTS_SOURCE | Sources of Information | |||
TRGTS_SOURCE_T | Text Table Origin | |||
TRGTS_STEPDEF | Treasury: Step Categories in Position Management | |||
TRGTS_STEPDEF_T | Treasury: Description of Step Categories | |||
TRGTS_STEPS | Treasury: Permitted Steps per Position Management Category | |||
TRGT_BACKUPACCGR | Backup Table Prelim. Sol. - Position Mgmt - Sec. Acct Group | |||
TRGT_BW_ACTIVE | BW Link for Parallel Position Management Active | |||
TRGT_INIT | Initialization of Parallel Valuation Areas | |||
TRGT_KEY_ASSGN | Table for Persistent Class CL_KEY_ASSIGNMENT_TRG | |||
TRGT_MIGPS_OTC | Assignment of PS Account Assignments to Transactions | |||
TRGT_MIGPS_SEC | Assignment of PS Account Assignments to Securities Positions | |||
TRGT_MIGR | Management Table for CFM Migration | |||
TRGT_MIGR1 | Management Table for CFM Conversion (Custom. Steps) | |||
TRGT_MIGR_AMP | Migration: Assign Opertive Posit. Proc. to Par. Amort Proc. | |||
TRGT_MIGR_PMP | Conversion: Assign to Parallel Position Mangmnt Procedures | |||
TRGT_MIGR_VAP | Migration: Assign Par. Valn Procedure to Valuation Principle | |||
TRGT_MIG_BTACT | Data Table for Flows | |||
TRGT_MIG_CC_PT | Converted Company Codes and Product Types | |||
TRGT_SECACCASGN | Obsolete: Do Not Use Anymore! | |||
TRGT_SECACCGRP | Securities Account Groups (Definition) | |||
TRGT_TRANS_REVAL | Table with Revaluation Structures for Transfer to TR Ledger | |||
TRGT_USER_DATA | TR Position Management - User Data | |||
TRGV_AMORT_PROC | Generierte Tabelle zu einem View | |||
TRGV_AM_PROC | Generierte Tabelle zu einem View | |||
TRGV_CVC1 | Generated Table for View | |||
TRGV_DER_ONLINE | Generierte Tabelle zu einem View | |||
TRGV_FE_PROC | Generierte Tabelle zu einem View | |||
TRGV_FICLASS | NULL | |||
TRGV_FICLASS_CAT | NULL | |||
TRGV_FICLASS_PT | Generated Table for View | |||
TRGV_FICLASS_TYP | NULL | |||
TRGV_FICLS_SUBT | NULL | |||
TRGV_FXRATE_PROC | Generierte Tabelle zu einem View | |||
TRGV_INDEX_PROC | NULL | |||
TRGV_OP_VAL_AREA | NULL | |||
TRGV_PAR | Generierte Tabelle zu einem View | |||
TRGV_PM_PROC | Generierte Tabelle zu einem View | |||
TRGV_PRICE_PROC | Generierte Tabelle zu einem View | |||
TRGV_STEP_PROC | Generierte Tabelle zu einem View | |||
TRGV_TAC_VA | Generierte Tabelle zu einem View | |||
TRGV_TAC_VA_HLP | Generierte Tabelle zu einem View | |||
TRGV_TAX | Generierte Tabelle zu einem View | |||
TRGV_TITLE_PROC | Generierte Tabelle zu einem View | |||
TRGV_VA_CC | Generierte Tabelle zu einem View | |||
TRIAT | Treasury: Int.Rate Adjust. - Registration and Int.Rate Adj. | |||
TRIGTAB | Table Containing All Tables | |||
TRIGV_F4_GSART | Generated Table for View | |||
TRILC_DFT_ASSGN | Assignment of Update Types for Hedge Accounting | |||
TRILT_DFLOW | Derived Flows in the Income Ledger | |||
TRILT_DTRANS | Derived Business Transactions in the Income Ledger | |||
TRIL_BWGART | OLD!!! Flow types for Hedge Accounting | |||
TRISKCLASS | Value Characteristics of Risk Classes | |||
TRISKCLASS_T | Description of Risk Classes TRISKCLASS | |||
TRIX_DATA | Treasury: Cluster Table Info System | |||
TRJOB | Job ID for Coordinating Batch-ABAP/UNIX for Transports | |||
TRJOBS | Job ID for Coordinating Batch-ABAP/UNIX for Transports | |||
TRK00 | Reorg objects: Characteristics | |||
TRK10 | Table for reorg structure | |||
TRK1E | Table of exits for archiving | |||
TRK1S | Fields for reorg statistics per object | |||
TRK1T | Reorg. object names | |||
TRKB1U | Table with "Customizing settings" for drilldown reporting | |||
TRLAC_DFT_PMC | Assignment of Update Type to Position Change Category Value | |||
TRLAV_DFT_PMC | Generierte Tabelle zu einem View | |||
TRLC_CT_INIT | Treasury: Contract Types in Parallel Valuation Areas | |||
TRLC_DFT_ASSGN_A | Assignment: Update Types to Position Change Category A | |||
TRLC_DFT_ASSGN_B | Assignment: Update Types to Position Change Category B | |||
TRLC_DFT_ASSGN_C | Assignment: Update Types to Position Change Category C | |||
TRLC_DFT_ASSGN_D | Assignment: Update Types to Position Change Category D | |||
TRLC_DFT_ASSGN_E | Assignment: Update Types to Position Change Category E | |||
TRLC_DFT_ASSGN_F | Assignment: Update Types to Position Change Category F | |||
TRLC_DFT_ASSGN_G | Assignment: Update Types to Position Change Category G | |||
TRLC_DFT_ASSGN_H | Assignment: Update Types to Position Man. Procedure Cat. H | |||
TRLC_DFT_ASSGN_J | Assign Update Types to Position Management Category J | |||
TRLC_DFT_ASSGN_K | Assignment: Update Types for Position Change Category K | |||
TRLC_DFT_ASSGN_L | Assignment: Update Types for Position Change Category L | |||
TRLC_DFT_ASSGN_M | Assignment: Update Types for Position Change Category M | |||
TRLC_DFT_ASSGN_V | Assignment: Update Types to Position Management Category V | |||
TRLC_IFT_ASSGN | Assign Update Types for Initializing Positions | |||
TRLC_PC_INIT | Treasury: Product Cats in the Parallel Valuation Classes | |||
TRLC_PMC_TRADING | Assignment of Pos. Mgmt Procedures for Trading Positions | |||
TRLC_UFT_ASSGN | Update Types for Valuation Class Transfer | |||
TRLET_BUSTRANS | OBSOLETE: Previous Solution: BOs Transferred from Loans Area | |||
TRLET_LOAN_FLOW | OBSOLETE: Previous Solution: Loans Flows Transferred | |||
TRLIC_AD | TR: Customizing: Accrual/Deferral | |||
TRLIC_AD_EX1 | TR: Accrual/Deferral: Further Update Types | |||
TRLIC_AD_HEAD | Customizing Accrual/Deferral: Differentiation | |||
TRLIT_AD_MIGRATE | Accrual/Deferral: Log Data of Migration to EP 2: | |||
TRLIT_AD_TRANS | Accrual/Deferral Business Transactions (Documentation avail) | |||
TRLIV_AD | Generated Table for View | |||
TRLIV_AD_OVERDUE | NULL | |||
TRLIV_AD_TRANS | Generated Table for View | |||
TRLTS_DCAT_PCAT | Treasury: Asst of Derivation Method to Pos. Management Cat. | |||
TRLTS_DERIVDEF | Position Management Category (Definition) | |||
TRLTS_DERIVDEF_T | Position Management Category (Text) | |||
TRLTS_DERIV_CAT | Treasury: Asst of Derivation Method to Pos. Management Cat. | |||
TRLTS_DERIV_REL | Treasury: Relevant BT Categories per Derivation Method | |||
TRLTS_INIT_COMP | Mapping of Position Components to Treasury Ledger | |||
TRLTS_PMCAT | Position Change Category | |||
TRLTS_PMCAT_T | Position Change Category (Text) | |||
TRLTS_STATE_T | Texts for TRL Posting Status | |||
TRLT_BACKUPVORAB | Backup Flow Table from Preliminary Solution - Pos. Mgmt Sol. | |||
TRLT_DERIVFLOWS | Treasury: Flows for Derived Business Transactions | |||
TRLT_DERIVTRANS | Derived Business Transactions | |||
TRLT_DOCUMENT | Treasury Ledger Documents | |||
TRLT_FBP_CMP_VAL | Flow Backpack Values for Each Component and Subposition | |||
TRLT_FIXINGSUM | TR Ledger Transaction Figures | |||
TRLT_FLOW | Treasury Ledger Flows | |||
TRLT_FLOWBCKPACK | Flow Backpack | |||
TRLT_FS_COMP | TR Ledger: Transaction Figures per Component | |||
TRLT_FS_SUB_COMP | Transaction Figures for Each Component and Subposition | |||
TRLT_INITIALIZE | Management Data for Initialization of Treasury Ledger | |||
TRLT_INITSTEP3 | Function Modules of Treasury Ledger Initialization Step 3 | |||
TRLT_INIT_DES | Init.Hedging Relationship: Bus.Trans.Mgmt, Designation | |||
TRLT_INIT_IGT_SE | Initialization Values for Intragroup Transactions | |||
TRLT_INIT_POS | Admin. Table: (Obsolete as from Support Package 01) | |||
TRLT_INIT_SUB_OT | Init.Hedging Rel.: Data for MM, FX, OTC Deriv.with Subpos. | |||
TRLT_INIT_SUB_SE | Init.Hedging Relationship for Securities with Subpositions | |||
TRLT_INIT_SUB_TR | Init.Hedging Rel.: Bus.Trans.Mgmnt, Designation Subpositions | |||
TRLT_INIT_TRANS | List of Initializing Business Transactions | |||
TRLT_INIT_VAL_FU | Initialization Values for TRL Futures Positions | |||
TRLT_INIT_VAL_HR | Init.Hedging Rel.:Mapping to Hedging Rel.in New Company Code | |||
TRLT_INIT_VAL_LO | Initialization Values for TRL Positions: Loans | |||
TRLT_INIT_VAL_SE | Initialization Values for TRL Positions: Securities | |||
TRLT_LOCK | Treasury Ledger Position Lock | |||
TRLT_NEW_POS | Treasury: New Initialization or Transfer Positions | |||
TRLT_POSITION | Treasury Ledger Position | |||
TRLT_SUBPOSITION | Treasury Ledger: Subposition | |||
TRLT_TRANSACTION | Treasury Ledger Business Transactions | |||
TRLT_TRANS_DEL | Deleted TRL Transactions (BW Only) | |||
TRLT_VCL_FLOW | Flows Valuation Class Transfer | |||
TRLT_VCL_TRANS | Valuation Class Transfers | |||
TRLV_DFT_ASSGN_P | NULL | |||
TRLV_DFT_ASSIGN | Generierte Tabelle zu einem View | |||
TRLV_DFT_ASSIGN0 | Generierte Tabelle zu einem View | |||
TRLV_DFT_ASSIGND | Generierte Tabelle zu einem View | |||
TRLV_DFT_CLUSTER | Generierte Tabelle zu einem View | |||
TRLV_FS_QUERY | Generierte Tabelle zu einem View | |||
TRLV_FS_QUERY2 | Generierte Tabelle zu einem View | |||
TRLV_POSITION | Generated Table for View | |||
TRLV_TRANS_POS | Generated Table for View | |||
TRL_C_FT_REPLACE | Replacement of Update Types | |||
TRM001I | Account Balance: List Types for Bills | |||
TRM001J | Text Table for TRM001I (List Types for Bills) | |||
TRM001S | Account Balance: Superior List Types | |||
TRM001T | Text Table for TRM001S (Superior List Types) | |||
TRM020 | Storage for Proposal Pool Texts <= 20 Characters | |||
TRM021 | Account Balance: Line-Layout Variant for Display Level 1 | |||
TRM021T | Text Table for TRM021 (Acc Ovw Line Variants Level 1) | |||
TRM021V | Line Layout Variants for Acc. Ovw: Texts | |||
TRM022 | Account Balance: Line Layout Variant for Display Level 2 | |||
TRM022T | Text Table for TRM022 (Acc. Ovw Line Variants Level 2) | |||
TRM040 | Storage for Proposal Pool Texts <= 40 Characters | |||
TRM060 | Storage for Proposal Pool Texts <= 60 Characters) | |||
TRM080 | Storage for Proposal Pool Texts <= 80 characters | |||
TRM255 | Storage for Proposal Pool Texts <= 255 characters | |||
TRMABB | Abbreviations Table of Proposal Pool | |||
TRMAC | Macros in ABAP/4 programs | |||
TRMAUT | Table for Storing the Parameters for Automatic Distribution | |||
TRMCOM | Remark Table for the Proposal Pool | |||
TRMFDIR | TRM Table for Storing the Directory for Reorganization, etc. | |||
TRMFRFC | Repository for fuzzy search-dependent systems | |||
TRMIDX | Log Entries for TRM Processing Runs | |||
TRMINT | Link Table of Proposal Pool | |||
TRMMAPP | User values storage table | |||
TRMOIX | TRM: Object identifier - object assignments | |||
TRMSG | Syntax Check Error Messages | |||
TRMSGT | Syntax Check Error Messages | |||
TRMSTA | TRM: TRM statistics table | |||
TRMSTMA | Values of Settings for Screens in Transaction STMA | |||
TRMTRA | Link Table of Proposal Pool | |||
TRMWRK | Administration of Worklists for the Proposal Pool | |||
TRMWUL | TRM: TRM entry where-used list | |||
TRN2DSDVSART | i.s.h.med: Dispatch - Dispatch Types | |||
TRNL_AUTH | Translation Authorizations | |||
TRNL_AUTHT | Texts for Translation Authorizations | |||
TRNL_AV | Translation Evaluations | |||
TRNL_BTC_H | Analysis batch job parameters | |||
TRNL_DC_2 | Package Lists | |||
TRNL_DC_2H | Header Data for Groups of Development Classes | |||
TRNL_DIS_O | Group Selection for Automatic Distribution | |||
TRNL_E071 | local extras for translation transport analysis | |||
TRNL_FB | Function Modules for Determining Transports | |||
TRNL_FB_DC | Function modules to ge DCs | |||
TRNL_LANG | Translation Environment: Target Languages and Attributes 1 | |||
TRNL_LA_CL | Translation Environment: Target Languages and Attributes 2 | |||
TRNL_LA_DR | Derived Status Selection for Translation | |||
TRNL_OL | Translation Object Lists | |||
TRNL_OTR | Settings for OTR | |||
TRNL_OTR_S | Settings for OTR | |||
TRNL_PROF | Translation Authorization Profiles | |||
TRNL_PROFV | Values for Translation Authorization Profiles | |||
TRNL_SSYS | Source Systems for Worklist Runs | |||
TRNL_TR | Transport groups | |||
TRNL_USER | Translators | |||
TRNL_WL | Worklists of Translation (Header Data) | |||
TRNL_WLI | Worklists: Control Entries | |||
TRNL_WLII | Worklists: Control Entries 2 | |||
TRNL_WLIII | Worklists: Control Entries 3 | |||
TRNL_WLIV | Worklist Control Entries 4 | |||
TRNSM | Data Transfer | |||
TRNSPACE | SL: Namespaces (Runtime Table) | |||
TRNSPACEL | SL: Namespaces (Non-Transportable Section) | |||
TRNSPACET | SL: Namespaces (Transportable) | |||
TRNSPACETT | SL: Text Section (Language-Specific) for Namespace Table | |||
TRN_REG_APPL | Registered Applications for Transport Register | |||
TRN_REG_APPLT | Text Table for TRN_REG_APPLs | |||
TRN_REG_REQUESTS | Transport Requests/Tasks per Application/Service Group | |||
TRN_REG_SRVC | Service of Application | |||
TRN_REG_SRVCGR | Service Groups of Application | |||
TRN_REG_SRVCGRT | Text Table for TRN_REG_SERVCGR | |||
TRN_REG_SRVCT | Services of Application | |||
TRN_REG_TASKS | Transport Requests/Tasks per Application and Service Group | |||
TROADMAP | Entity table for Roadmap nodes | |||
TROADMAPIR | Assignment of Info Repository objects to the R/3 Roadmap | |||
TROADMAPT | Text table for Roadmap nodes | |||
TROADMAPVD | Generated Table for View TROADMAPVD | |||
TROADMAPVM | Assignment of R/3 Roadmap nodes to R/3 ProcModel packages | |||
TROAL | Routes: Allowed Actual Routes for Delivery | |||
TROAZ | Routes: Determination in Sales Documents | |||
TROIZ | Route Determination: By Country and Zone | |||
TROLZ | Routes: Determination in Deliveries | |||
TRPRAGMA | External ABAP Pragmas | |||
TRPRAGMAT | External ABAP Pragmas | |||
TRPRT_PAYMENTS | Persistent Data for Payment Requests | |||
TRPRV_PAYMENT | Generierte Tabelle zu einem View | |||
TRPUT | Table for admin. operations | |||
TRQB_FLOW | CFM: Backup Table for Flow Data in Quantity Ledger | |||
TRQB_LOTFLOW | CFM: Backup Table with Lot Flows | |||
TRQB_POSITION | CFM: Backup Table for Quantity Ledger Position | |||
TRQB_SUBTOTAL | CFM: Backup Table with Quantity Ledger Pos. Transact. Figs | |||
TRQC_LOT_ACC_1 | Treasury: Quantity Ledger Position Description | |||
TRQC_LOT_ACC_2 | Treasury: Quantity Ledger Position Description | |||
TRQC_POS_IND_1 | Treasury: Quantity Ledger Position Description | |||
TRQC_POS_IND_2 | Treasury: Quantity Ledger Position Description | |||
TRQC_POS_IND_3 | Treasury: Quantity Ledger Position Description | |||
TRQTS_BT_CAT | Treasury: TRQ-Relevant Business Transaction Categories | |||
TRQT_ASSIGNMENT | Treasury: Assignment Rule | |||
TRQT_ASSIGN_HIST | CFM: Lot Assignment History | |||
TRQT_ASSIGN_ITEM | Treasury: Assignment Position | |||
TRQT_BUSTRANS | Treasury: Business Transactions | |||
TRQT_FLOW | Treasury: Flow Data Quantity Ledger | |||
TRQT_FLOWGROUP | Treasury: Transaction Flow Groups | |||
TRQT_INIT_LOT | (obsolete) | |||
TRQT_LOT | Treasury: Lot | |||
TRQT_LOTFLOW | Treasury: Table with Lot Flows | |||
TRQT_POSFLOW | Treasury: Position Flows | |||
TRQT_POSITION | Treasury: Quantity Ledger Position | |||
TRQT_SUBTOTAL | Treasury: Table with Quantity Ledger Position Trans. Figures | |||
TRQT_TRAFLOW | Treasury: Transaction Flows | |||
TRQT_VWVORTR_LOT | (obsolete) | |||
TRQV_ASSIGN | Generierte Tabelle zu einem View | |||
TRQV_LOT | Generierte Tabelle zu einem View | |||
TRQV_LOTFLOW | Generierte Tabelle zu einem View | |||
TRQV_LOT_ATTR | Generated Table for View | |||
TRQV_POSITION | Generierte Tabelle zu einem View | |||
TRQV_SUBTOTAL | Generierte Tabelle zu einem View | |||
TRQV_SUBTOT_POS | Generierte Tabelle zu einem View | |||
TRRBF | Determ. of Staging Area via Route Schedule/Storage Condition | |||
TRRC_CA1 | TR Reporting: Definition of Currency Accounts | |||
TRRC_CA2 | TR Reporting: Assign Levels for Currency Accts for Balance | |||
TRRC_CA3 | TR Reporting: Define Revenue Account for Currency Revenues | |||
TRRLCG | AB-RRLE: Condition Type Groups | |||
TRRLCGF | AB: Assign Condition Type to Condition Type Group | |||
TRRLCGT | Agency Business: Text Table for TRRLCG | |||
TRRLRG | Agency Business: Remuneration List Groups | |||
TRRLRGF | Assign Condition Type Groups to Remuneration List Groups | |||
TRRLRGT | Agency Business: Text Table for TRRLRG | |||
TRS35 | Control Table RSSTAT35 Collector Run | |||
TRSB_CLASFLO | CFM: Backup Table for Class Flows in Securities Account | |||
TRSB_CLASFLO_REV | CFM: Backup Table for Class Flows in Securities Account | |||
TRSB_NOM_CORR | CFM: Backup Table for Nominal Adjustment | |||
TRSB_POSCHG_FLOW | CFM: Backup Table for Flow Rel. to Change in Sec. Acct Pos. | |||
TRSB_RECON_POS | CFM: Backup Table for Position Reconciliation | |||
TRSB_SECACCTRANS | CFM: Backup Table for Securities Account Transfer | |||
TRSB_SUBTOTAL | CFM: Backup Table with Transaction Figures | |||
TRSC_ACCINT | Treasury: Assignment of Update Types for Accrued Interest | |||
TRSC_CONDITION | Treasury: Update Types for Condition Type | |||
TRSC_CONDITION_P | Update Types for Condition Type (Passive Positions) | |||
TRSC_DFLOWTYPE | Treasury: Attributes of Update Type for TRS | |||
TRSC_DFTYPE_IP | CFM: Update Types for Incoming Payments | |||
TRSC_DFTYPE_MP | CFM: Update Types for Manual Posting | |||
TRSC_DFTYPE_NC | CFM: Update Types for Nominal Adjustment | |||
TRSC_DFTYPE_SD | CFM: Update Type for Capitalize Dividends | |||
TRSC_LEND_TRANS | Update Types for Securities Account Transfer for Sec.Lending | |||
TRSC_RECON_PRT | Treasury: Type of External Data Record of the Position | |||
TRSC_RECON_RD | Treasury: Name of External Data Records | |||
TRSC_RECON_STA | Treasury: Status of External Securities Account Statement | |||
TRSC_REF_DISFLO | Treasury: Referenced Update Types (Incoming payment) | |||
TRSC_ROUND_RULE | Treasury: Rounding Rule | |||
TRSC_ROUND_RUL_T | Treasury: Rounding Rule Text | |||
TRSC_SA_TYPE_T | Text for Fund Type | |||
TRSC_SECACCTRANS | Treasury: Update Type for Securities Account Transfer | |||
TRSC_SECACC_TYPE | Securities Account Type | |||
TRSE1 | Reset objects to be made productive | |||
TRSE2 | Reset objects to be made productive: Texts | |||
TRSET | Reset Data Before Production Start-up | |||
TRSET_BUSTRANS | OLD! Preliminary Solution: Transferred Sec. Bus.Transactions | |||
TRSET_FLOW | OLD: Prelim. Solution: Transferred Security Flows | |||
TRSET_RUN_HEAD | OLD: Prelim. Solution: Transfer Runs | |||
TRSET_RUN_POS | OLD: Preliminary Solution: Transfer Run Items | |||
TRSE_CLASSES | RSE Class Dictionary - System Table of Classes | |||
TRSLT | Indexing Results Display | |||
TRSTHC | BRST directory of hierarchy classes | |||
TRSTHCT | BRST texts for hierarchy classes | |||
TRSTHV | BRST directory of hierarchies | |||
TRSTHVT | BRST Texts for hierarchies | |||
TRSTHV_VP | BRST Repository of Hierarchies - Virtual InfoProvider | |||
TRSTI | BRST assignment sender -> receiver (Communication Handler) | |||
TRSTI0 | R/R Interface: Assignment Cross-Client Senders to Receivers | |||
TRSTI0T | Assignment Cross-Client Senders to Receivers: Receiver Texts | |||
TRSTIT | BRST assignment sender -> receiver: Receiver texts | |||
TRSTS_FLOWCAT | Treasury: Flow Categories for Securities Account Management | |||
TRSTS_FLOWCAT_T | Treasury: Flow Category Text for Securities Acct Management | |||
TRSTT | BRST Registration of the Reporting Tools | |||
TRSTTT | Text Table for the Reporting Tools | |||
TRST_CLASFLO | CFM: Class Flows in Securities Account | |||
TRST_CLASFLO_REV | CFM: Reversed Class Flows in Securities Account | |||
TRST_CLASPOS | Treasury: Class position in Securities Account | |||
TRST_NOM_CORR | Treasury: Nominal Adjustment | |||
TRST_POSCHG_FLOW | CFM: Flow for Securities Account Position Change | |||
TRST_POS_CHG | CFM: Securities Account Position Change | |||
TRST_RECON_POS | Reconciliation Positions | |||
TRST_RECON_RCE | Treasury: External Securities Account Statement | |||
TRST_RECON_TXT | Text for the Editor | |||
TRST_SECACCTRANS | Treasury: Securities Account Transfer | |||
TRST_SECACC_BANK | Payment Details for Securities Account | |||
TRST_SECACC_PAY | Downport Payment Information for Securities Management | |||
TRST_SEC_ACC_FLD | Field Status for Securities Account Master Data | |||
TRST_SUBTOTAL | Treasury: Table with Trans.Figs - Class Pos. in Sec. Acct | |||
TRSV_CLASPOS | Generierte Tabelle zu einem View | |||
TRSV_CLASPOS_TXT | Generated Table for View | |||
TRSV_DFLOWTYPE | Generierte Tabelle zu einem View | |||
TRSV_DFTYPE_NC | Generated Table for View | |||
TRSV_DFTYPE_SD | Generated Table for View | |||
TRSV_F4_GSART | Generated Table for View | |||
TRSV_POSFLOW | Generierte Tabelle zu einem View | |||
TRSV_RECON_V1 | Generierte Tabelle zu einem View | |||
TRSV_REF_DISFLO | Generierte Tabelle zu einem View | |||
TRSV_SAT_PTYPE | Generated Table for View | |||
TRSV_SECACCTRANS | Generated Table for View | |||
TRSYSCOMP | Directory of Repository Objects | |||
TRT1 | Test table | |||
TRTBF | Determine gate and picked item zone via route schedule | |||
TRTES | Test table for testing SE13 | |||
TRTFC_DFTASS | Update Types for Transfer Posting | |||
TRTFV_DFTASS | Generated Table for View | |||
TRTP_US_AGE_LIM | Age limits for contributions made to a retirement plan | |||
TRTP_US_AMNTID | Amount identifier | |||
TRTP_US_AMNTIDT | Amount identifier | |||
TRTP_US_AM_CAT | Posting categories and Amount IDs assignment | |||
TRTP_US_BP_ED | Special business partner roles for an ESA | |||
TRTP_US_CONT | Contribution codes for a retirement plan | |||
TRTP_US_CONTT | Contribution codes for a retirement plan | |||
TRTP_US_CONT_DAT | Contribution dates for a retirement plan | |||
TRTP_US_CONT_LIM | Contribution limits for a retirement plan | |||
TRTP_US_CONT_TYP | Contribution limits for a retirement plan type | |||
TRTP_US_DFLT | Default values for screen input fields | |||
TRTP_US_DISTT | IRS Distribution codes | |||
TRTP_US_DIST_PER | Distribution period (For Use by Owners) | |||
TRTP_US_DIST_S | IRS Distribution codes | |||
TRTP_US_D_REL | IRS Distribution codes | |||
TRTP_US_FSTAT | Field status for screen fields | |||
TRTP_US_GEN | General data for a retirement plan | |||
TRTP_US_JLIFE | Joint life expectancy | |||
TRTP_US_LIM_ID | Contribution limits for a retirement plan | |||
TRTP_US_LIM_IDT | Description for contribution limit code of a retirement plan | |||
TRTP_US_PLANTYPE | Type of retirement plan | |||
TRTP_US_PLANTYPT | Type of retirement plan | |||
TRTP_US_PLAN_INF | Plan information for a type of retirement plan | |||
TRTP_US_SLIFE | Single life expectancy | |||
TRTP_US_TRANS | Witholding transaction type information | |||
TRTYPEH | List of valid link types | |||
TRTYPET | Name of valid link types | |||
TRUG | Reason for variances in completion confirmations | |||
TRUGS | User status caused by deviation | |||
TRUGT | Text describing the reason for a variance in a confirmation | |||
TRUS | Control table for collective confirmation | |||
TRVOR | Control Statements | |||
TRV_PKWRG | Generated Table for View TRV_PKWRG | |||
TRWCA | FI/CO Interface: Active Components | |||
TRWCD | AC Interface: Component Characteristics | |||
TRWCI | FI/CO Interface: Components installed | |||
TRWLVH | List of variants for FI-SL line item reports (header) | |||
TRWLVHT | List of variants for FI-SL line item reports (texts) | |||
TRWLVL | List of variants for FI-SL line item reports (fields) | |||
TRWPR | RWIN: Processes | |||
TRWPRC | RWIN: Included or Excluded Processes per Subset | |||
TRXEC | Tracking: Main Transaction Types | |||
TRXECT | Tracking: Texts for main process types | |||
TRXEVT | Tracking: Transactions and Events | |||
TRXEVTT | Tracking: Transactions and Events | |||
TRXIC | Tracking: Code Types for Tracking IDs | |||
TRXICT | Tracking: Texts for tracking ID code types | |||
TRXLC | Tracking: Code types for locations | |||
TRXLCT | Tracking: Texts for location code types | |||
TRXPC | Tracking: Code types for partners | |||
TRXPCT | Tracking: Texts for partner code types | |||
TRXRT | Tracking: Code types for route types | |||
TRXRTT | Tracking: Texts for route type code types | |||
TRXSEC | Tracking: Types of sub-operation | |||
TRXSECT | Tracking: Texts for sub-operation types | |||
TRXT_FLOW | TRM Tax Transaction Flows | |||
TRXT_TRANSACTION | TRM Tax Transactions | |||
TRXT_WT_ASSIGN | TRM Withholding Tax Information Assignment |