Here you will find a list of all SAP tables with the initial letter TZ.
Here you will find a list of all SAP tables.
table name | description | |||
---|---|---|---|---|
SAP tables starting with TZ | ||||
TZ01 | Table for maintenance of ratings | |||
TZ01T | Table for the maintenance of ratings (Text) | |||
TZ02 | Legal entity | |||
TZ02B | Relationship table for contracting party classification | |||
TZ02T | Legal Entity (Text) | |||
TZ10 | Customer application type | |||
TZ10T | Customer application type (text) | |||
TZ11 | Stock indicator | |||
TZ11T | Stock indicator (Text) | |||
TZ12 | Changes in net assets | |||
TZ12T | Changes in net assets (Text) | |||
TZ13 | Tax office stock indicator | |||
TZ13T | Tax office indicator (Text) | |||
TZ14 | BAV asset group stmt 101 | |||
TZ14T | BAV asset group stmt 101 (Text) | |||
TZ15 | BAV asset group stmt 102 | |||
TZ15T | BAV asset group stmt 102 (Text) | |||
TZ16 | BAV asset group stmt 201 | |||
TZ16T | BAV asset group stmt 201 (Text) | |||
TZ17 | Asset group C11/76 Asset 6 (Annual stock overview) | |||
TZ17T | Asset group R11/76, appendix 6 (Text) | |||
TZ18 | Appendix group R11/76, appendix 1-5 and R2/87, append. 1-2 | |||
TZ18T | Asset group R11/76, append.1-2 and R2/87 append.1-2 (text) | |||
TZ19 | Asset type in acc. with BAV PRF3 and PRF8, sub-section 7 | |||
TZ19T | Asset type in acc.with BAV PRF3 and PRF8, sub-sect. 7 (Text) | |||
TZ21 | Control of cost elements for BAV statements | |||
TZ22 | Asset classes relationship table -- BAV- Sub-section | |||
TZ24 | Relationship key contracting party classification | |||
TZ24T | Relationship key contracting party classification (Text) | |||
TZ25 | Regulatory reporting list control | |||
TZ25T | Indicator for list selection | |||
TZ27 | Allocation: Valuation area for internal stock indicator | |||
TZ28 | Asset Type According to Regulatory Accounting Requirements | |||
TZ28T | Asset Type in acc. with Reg.Acctng Requirements / Text | |||
TZ28T_UMS | NULL | |||
TZ28_ARCHIV | Asset Type According to Regulatory Accounting Requirements | |||
TZ28_ARCHIVT | Asset Type in acc. with Reg.Acctng Requirements / Text | |||
TZ28_UMS | NULL | |||
TZ29 | BAV asset group stmt 600 | |||
TZ29P | Check table for indicator SNW600 | |||
TZ29T | BAV asset group stmt 600 / Text | |||
TZ30 | Premium reserve fund list | |||
TZ30T | Premium reserve fund list number / Text | |||
TZ31 | Subsection | |||
TZ31T | Subsection / Text | |||
TZ32 | BAV asset group stmt 102 | |||
TZ32T | BAV asset group stmt 102 / Text | |||
TZ34 | Value Table Credit Type Regulatory Reporting | |||
TZ34T | Text Table Credit Type Regulatory Reporting | |||
TZ35 | Value table credit class regulatory reporting | |||
TZ35T | Text table for credit class regulatory reporting | |||
TZ36 | Check table for R5/97 appendix 3/4 | |||
TZ36T | Text table for indicator appendix 3/4 circular R5/97 | |||
TZ37 | Indicator for circular R5/97 appendix 5 | |||
TZ37T | Text table provision of security according to app. 5 R5/97 | |||
TZ38 | Indicator for circular R5/97 appendix 8 | |||
TZ38T | Text table for indicator reason for message appendix 8 R5/97 | |||
TZ39 | Indicator for circular R5/97 appendix 10 | |||
TZ39B | Relationship table indicator R5/97 append. 10 for prod. cat. | |||
TZ39T | Text table indicator appendix 10 R5/97 mix type | |||
TZ40 | Customizing regulatory reporting field control for contract | |||
TZ41 | Customizing reg. report. fld. ctrl. for prem. res. fund | |||
TZ43 | Relationship Table for Fund Categories - Pure Bond Funds | |||
TZ45 | Headings for BAV Lists | |||
TZA11 | Output control acc. to circular R96 appendix 11 | |||
TZA11R | Values for classifying appendices acc. to R96/11 | |||
TZA11R1 | Values for Classifying Appendix 10 According to R5/97 | |||
TZAF | Product categories | |||
TZAFT | Product categories text | |||
TZANGVOR | Offer/Acceptance Reservation Indicator | |||
TZANGVORT | Offer/Acceptance Reservation Indicator | |||
TZART | Value types for CAPP | |||
TZATT | Value types for CAPP (texts) | |||
TZB03 | Flow categories | |||
TZB04 | Flow Type Groups Definition for Cash Flow Display | |||
TZB05 | Trans. type - Trans. type groups allocation for cash flow | |||
TZB06 | Table of relationships between flow types (ref. flow types) | |||
TZB07 | Flow types relationship key | |||
TZB08 | Flow types per posting application | |||
TZB09 | Posting control table | |||
TZB0A | Definition of flow types | |||
TZB0C | Flow category texts | |||
TZB0D | Texts for transaction type groups | |||
TZB0G | Texts for relationship indicators | |||
TZB0H | Texts for posting control indicator | |||
TZB0I | Flow type groups text table | |||
TZB0J | Relationship: Flow type - External flow type | |||
TZB0K | External flow types for evaluations | |||
TZB0L | Texts: External flow types for evaluations | |||
TZB0N | Assign Contract Type - Relationship Cat. - Activity Cat. | |||
TZB0O | Separation, sort documents for posting interface | |||
TZB0P | Assign flow to a unit category | |||
TZB0R | Allocation: Flow type groups and print columns in reports | |||
TZB0S | Reversal logic of individual posting activities | |||
TZB0T | Flow types text table | |||
TZB0U | Assign Contract Type - Activity Category | |||
TZB0V | NULL | |||
TZB0W | Assign Activity Category - Reversal Transaction Grouping | |||
TZB10 | Flow type groups check table | |||
TZB10V | NULL | |||
TZB11 | Activity-dependent one-time conditions | |||
TZB11V | NULL | |||
TZB12 | Entry activities REHER | |||
TZB13 | Texts entry activities REHER | |||
TZB1V | NULL | |||
TZB21 | Processing group | |||
TZB21T | Name of Clerk (Processing Group) | |||
TZB22 | Processing Type | |||
TZB22T | Name of Processing Type | |||
TZB23 | Assign clerk | |||
TZB24 | Flow Type Group | |||
TZB24T | Name of Flow Type Group | |||
TZB25 | Assign Flow Type to Flow Type Group | |||
TZB26 | Account group | |||
TZB26T | Name of Account Group | |||
TZB27 | Assignment of G/L account to account group | |||
TZB28 | Selection Key | |||
TZB28T | Name of Selection Key | |||
TZB29 | Processing category | |||
TZB29T | Name of Processing Category | |||
TZB2V | NULL | |||
TZB30 | Processing Key | |||
TZB30T | Name of processing key | |||
TZB31 | Assignment of Processing Categories to Processing Key | |||
TZB32 | Name of User Function Keys | |||
TZB33 | Pmnt PP: Default Susp. Acct Cust. for Refund by Bank Transf. | |||
TZB34 | Payment PP: Default Payment Meth. for Refund by Bank Transf. | |||
TZB3V | NULL | |||
TZB40 | Account Clearing: Excluded Flow Types | |||
TZB41 | Account Clearing: Amount Limits | |||
TZB42 | Account Clearing: Checks at Contract Level | |||
TZB43 | Account Clearing: Checks at Customer Account Level | |||
TZB4V | NULL | |||
TZB50 | Internal Bank Numbers for Returned Direct Debit Charges | |||
TZB5V | NULL | |||
TZB60 | Payment Type | |||
TZB60T | Payment Cat.Description | |||
TZB6V | NULL | |||
TZB7V | NULL | |||
TZB8V | NULL | |||
TZB9V | NULL | |||
TZBA | Holding | |||
TZBABG | Customizing: Accrual/Deferral Flow Types | |||
TZBABGZB | Flow Types: Interest Basis for Accrual/Deferral | |||
TZBAG | Output control for BAV reports | |||
TZBAT | Holding share (Text) | |||
TZBBB | Allocation of program-internal flow types | |||
TZBCKVWBEPI | Backup: Flow data - Position/Actual | |||
TZBK | Financial Assets Management valuation areas | |||
TZBKL | Logic for creating and updating value date reference units | |||
TZBKM | Define Types of Corporate Actions | |||
TZBKMT | Text table for TZBKM | |||
TZBPV | Control table for CH regulatory reporting (BPV) | |||
TZBR | Relationship table for contracting party classification | |||
TZBRA | Name of grouping table acc.to R11/76 app.4 - Contract.party | |||
TZBSA | Name of grouping table acc.to R11/76 app.4 - Coll.sec.type | |||
TZBZ | Company code: Additional data | |||
TZBZ_FS_CAL | Calendar enhancement for Financial services | |||
TZC37 | Financial Assets Management status definition | |||
TZC3A | NULL | |||
TZC3N | NULL | |||
TZCURC_EU | EMU Basket Currencies | |||
TZCUSTDEST | TestZone: Customizing System Landscape Destinations | |||
TZD0A | Darwin: Customer default values per trans. type for KNA1 | |||
TZD0B | Darwin: Customer default values per co.cd/trn.type for KNB1 | |||
TZD1 | Value table for intra-entity loan groups | |||
TZD1T | Text table for table TZD1 | |||
TZD37 | Texts for TZC37 | |||
TZDEA | Trader register | |||
TZDG1 | Value Table 1: Additional User-Specific Partner Data (gen.) | |||
TZDG2 | Value Table 2: Additional User-Specific Partner Data (gen.) | |||
TZDG3 | Value Table 3: Additional User-Specific Partner Data (gen.) | |||
TZDG4 | Value Table 4: Addit. User-Specific Partn.Data (legal pers.) | |||
TZDG5 | Value Table 5: Addit. User-Specific Partn.Data (legal pers.) | |||
TZDG6 | Value Table 6: Addit. User-Specific Partn.Data (legal pers.) | |||
TZDG7 | Value Table 7: Addit. User-Specific Partn.Data (legal pers.) | |||
TZDG8 | Value Table 8: Addit. User-Specific Partn. Data (nat. pers.) | |||
TZDG9 | Value Table 9: Addit. User-Specific Partn. Data (nat. pers.) | |||
TZDGA | Additional User-Specific Partner Data 1: Text Table | |||
TZDGB | Additional User-Specific Partner Data 2: Text Table | |||
TZDGC | Additional User-Specific Partner Data 3: Text Table | |||
TZDGD | Additional User-Specific Partner Data 4: Text Table | |||
TZDGE | Additional User-Specific Partner Data 5: Text Table | |||
TZDGF | Additional User-Specific Partner Data 6: Text Table | |||
TZDGG | Additional User-Specific Partner Data 7: Text Table | |||
TZDGH | Additional User-Specific Partner Data 8: Text Table | |||
TZDGI | Additional User-Specific Partner Data 9: Text Table | |||
TZDV98 | Conversion matrix BAV premium reserve fund list 1998 | |||
TZDVA | BAV-DUEVA interface | |||
TZE01 | Incoming Payment: Order of Evaluation Criteria | |||
TZE02 | Incoming Payments: Evaluation Criteria | |||
TZE03 | Incoming payments: Allocation table | |||
TZE04 | Incoming payments: Name of user-specific structure | |||
TZE0B | Incoming payments: Organizational criteria texts | |||
TZEG1 | Value Table 10: Addit. User-Specific Partn.Data (nat. pers.) | |||
TZEG2 | Value Table 11: Addit. User-Specific Partn.Data (nat. pers.) | |||
TZEGA | Additional User-Specific Partner Data 10: Text Table | |||
TZEGB | Additional User-Specific Partner Data 11: Text Table | |||
TZFB | Calculation base value table | |||
TZFBT | Text table for TZFB Calculation base | |||
TZFO | Release object for release procedure | |||
TZFO1 | Definition of release objects | |||
TZFOH | Release procedure: Object hierarchy for release | |||
TZFOT | Release object text | |||
TZFS | Release status definition for the release procedure | |||
TZFSP | Release status parameters | |||
TZFST | Release status definition texts | |||
TZFUND | NULL | |||
TZGR | Grouping rules for automatic payments | |||
TZGRT | Name of grouping rules | |||
TZIC | Product Type Investor Contract | |||
TZICT | Product Type Text for Investor Contract | |||
TZIN1 | Document Header Data from Source Document (PS Int.Calc.) | |||
TZIN2 | Interest Document:Segment Int.Indicator & Valuation Category | |||
TZIN3 | Interest Document: Currency Type Segment | |||
TZIN4 | Interest Document: "Objects Affected" Segment | |||
TZK01 | Condition types | |||
TZK02 | Condition group, condition group - condition type allocation | |||
TZK03 | Alloc.of VZZKOPO fields to field string items(MODIFY SCREEN) | |||
TZK04 | Condition Groups | |||
TZK05 | Allocation: Calculation type - KOPO fields | |||
TZK06 | Documentation key for condition type-dependent documentation | |||
TZK07 | Condition type-dependent detailed description skopo | |||
TZK08 | Allocation: Calculation type - KOPO fields | |||
TZK09 | Relationship between condition types | |||
TZK0A | Condition type texts (Table TZK01) | |||
TZK0D | Condition groups: Texts (language-dependent) | |||
TZK0F | Text table for documentation key (TZK06) | |||
TZK0G | Texts for condition type-dependent detailed description | |||
TZKM1 | Event-controlled modification of condition items | |||
TZKMK | Event-controlled modification of condition items | |||
TZKMKT | Event-controlled modification of condition items | |||
TZKMT | Event-controlled modification of condition flows | |||
TZKMTT | Event-controlled modification of condition items | |||
TZKN1 | Fields as influencing factors for acct assignment reference | |||
TZKN2 | Allocation of values to value groups | |||
TZKN2T | Allocation of values to value groups | |||
TZKN6 | Allocation of charact. group to acct.ass.ref. via invoice no | |||
TZKN7 | Acct assignment reference via the invoice no. | |||
TZKN8 | TR: Acct assignmnt ref.determination Def. value groups | |||
TZKN8T | TR: Acct assignmnt ref.determination Def. value groups | |||
TZKN9 | Acct assignm.ref.:Check tab.for permitted table-/field names | |||
TZKV | Correspondence activities | |||
TZKVT | Correspondence activities (texts) | |||
TZM37 | Transition matrix of internal status | |||
TZN01 | Product type numbers | |||
TZN02 | Number components | |||
TZN03 | Number components (Text) | |||
TZN04 | Standard check digit procedure table | |||
TZONE | Customers: Regional zones | |||
TZONT | Customers: Regional Zone Texts | |||
TZPA | Financial Assets Management Product Types | |||
TZPAB | Financial Assets Management product types | |||
TZPAB_ADDON | Addon for Financial Assets Management product types | |||
TZPAT | Financial Assets Management product type texts | |||
TZPLP | Financial Assets Management Plausibility Checks | |||
TZPZE | Incoming payment distribution prioritization | |||
TZPZZ | Partner and address management installation parameters | |||
TZR1 | Convert Roles between Applications | |||
TZR3 | Application area / external role allocation | |||
TZR4 | Allocation of external roles to various application areas | |||
TZR96 | Circular R5/97 Control Table for Report Program RFVZBR00 | |||
TZR96A11 | Text table for circular R96 Appendix 11 | |||
TZRCL | Treasury: Valuation Classes | |||
TZRE | External role | |||
TZRET | External roles (Texts) | |||
TZRG | Grouping of external roles (in application) | |||
TZRGT | Grouping of external roles (Texts) | |||
TZRI | Internal role of partner | |||
TZRIT | Partner internal role (Texts) | |||
TZRPR | Treasury: Valuation Principles | |||
TZRPT | Valuation principle description | |||
TZRR0 | Treasury: Valuation Areas | |||
TZRR1 | Treasury: Valuation Areas at Company Code Level | |||
TZRR2 | Treasury: Valuation Areas at Company Code/Product Type Level | |||
TZRRT | Treasury: Name of Valuation Areas | |||
TZRR_ANNOT | TestZone: Result Repository Annotations for Events | |||
TZRR_DEP_TST | TestZone: Result Repository Test Tool | |||
TZRR_EVARG | TestZone: Result Repository Arguments of Events | |||
TZRR_EVATTR | TestZone: Result Repository Attributes of Events | |||
TZRR_EVCMD | TestZone: Result Repository Event Command | |||
TZRR_EVENT | TestZone: Result Repository Events During Execution | |||
TZRR_EVPAR | TestZone: Result Repository Parameters for Events | |||
TZRR_EVTC | TestZone: Result Repository Event Test Case | |||
TZRR_EXEC | TestZone: Result Repository Start Activity Data | |||
TZRR_HEAD | TestZone: Result Repository Execution Header Data | |||
TZRR_IFRAG | TestZone: Result Repository Interaction Fragment | |||
TZRR_PCI | TestZone Result Rep.: SUT Product Component Information | |||
TZRR_PROP | TestZone: Result Repository Tool-Specific Extensions | |||
TZRR_RPA | TestZone Result Rep.: SUT Registered Problem Attributes | |||
TZRR_RSATTR | TestZone: Result Repository Attributes of Execution Results | |||
TZRR_SDESC | TestZone Result Rep.: SUT Solution Information | |||
TZRR_SUT | TestZone Result Repository: System under Test Information | |||
TZRR_VERDICT | TestZone: Result Repository Execution Result | |||
TZRR_XML | TestZone: Result Repository Storage in XML | |||
TZS01 | Screen control: Possible control fields per module pool | |||
TZS02 | Screen control: Field val.-specific cntrl customer setting | |||
TZS03 | Screen control: Field val.-specific control default values | |||
TZS12 | Sort strings for object | |||
TZS13 | Real estate objects acct settlement profile proposal | |||
TZSBW | Valuation methods | |||
TZST | Reasons for reversal | |||
TZST1 | Reasons for reversal (Text table) | |||
TZSZ1 | Fields as factors for allocation of clerks | |||
TZSZ2 | Allocation of characteristics to characteristic groups | |||
TZSZ5 | Check table for permitted table-/field names (clerk alloc.) | |||
TZSZ6 | Alloc. of characteris.groups to clerk via invoice no. | |||
TZSZ7 | Clerk allocation via the invoice no. | |||
TZT01 | Derivation rules for tax flows | |||
TZT15 | Info. in acc.with §18 German banking act (Texts) | |||
TZTXTS01 | Word processing: Form letters | |||
TZUN | Rules for Allocation Field Layout | |||
TZUNI | Currency units | |||
TZUNIT | Currency Units - Texts | |||
TZUNT | Assignment Rule Names | |||
TZUSA | Price notations | |||
TZUSAT | Price notations - Text table | |||
TZV01 | Form-of-Address Key | |||
TZV02 | Salutation key | |||
TZV03 | Object categ.for objects which addresses can be assigned to | |||
TZV04 | Key for partner share types in objects | |||
TZV05 | Types of restraint on drawing | |||
TZV06 | Internal position/employee group | |||
TZV07 | Alloc.of application/role category/dunning parameters | |||
TZV09 | Relationship - Reference relationship link | |||
TZV0D | Texts for keys of partner share types | |||
TZV0E | Type of restraint on drawing: Text table | |||
TZV0F | Internal position/employee group text table | |||
TZV10 | Entity table for address category | |||
TZV11 | Relationship category of partner-partner relationship | |||
TZV13 | Search and replace strings for phonetic partner search | |||
TZV15 | Key for information in acc. with §18 German banking act | |||
TZV37 | Activities and their internal status area | |||
TZV50 | Form of address / Letter / ID | |||
TZV51 | Form of address / Letter / ID | |||
TZVOBTYP | Type for Objects to Which Addresses are Assigned | |||
TZVORG | Transaction allocation - Date / Transaction / Number | |||
TZW01 | Resubmission periods (Deadline reminder) | |||
TZW01T | Text table for TZW01 Application areas for resubmission | |||
TZW02 | User <-> Determine message | |||
TZWR0 | Valuation in cross-depot | |||
TZWR1 | Valuation in sec.acct position | |||
TZZKD | IS-IS: Business trans./Role alloc. --> Doc.category | |||
TZZTG | Transaction code - Correspondence activity allocation |