SAP tables starting with TZ

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.

344 SAP tables were found!
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

search SAP table