• [SAP FI-AP]自動支払(tr-cd:F110)に関係するテーブル


    SAP ERP FI-AP(債務管理)の機能で自動支払プログラムを処理する際に、関係するテーブルがあるもののどのテーブルが使われているかをプログラムを解析して調べるのが毎回大変なのでメモ

    FEDIWF1 FI EDI: Person with signing authority
    OPN_J1 Japanese DME Foreign Payment Accounting Data (Open FI)
    PNBK Prenotification: New bank data from master records
    PNHD Prenotification: Files created in ACH format
    PYONUMKR Auxiliary structure for lock object EPYONUMKR
    PYORDH Payment order header data
    PYORDP Payment order item data
    REGUA Change of payment proposals: user and time
    REGUH Settlement data from payment program
    REGUHH REGUH version before the ‘n’th change
    REGUHM Payment Data for Cross-Payment Run Payment Medium
    REGUHO REGUH version before the ‘n’th change
    REGUP Processed items from payment program
    REGUP_CORE Processed Items from Payment Program
    REGUPO Line item status before the ‘n’th change
    REGUPW W/tax information per w/tax type/FI line item in pmnt run
    REGUS Acounts blocked by payment proposal
    REGUS_SEPA SEPA Mandate Lock: Applications To Be Retrieved
    REGUT TemSe – Administration Data
    REGUTA Paying Company Codes for DME Files
    REGUV Control records for the payment program
    REGUVM Payment Data for Cross-Payment Run Payment Medium
    SMFIAP Spec. FI-SL Data in Monitor (See Schedman_specific_fisl)
    T004F Field status definition groups
    T012E EDI-compatible house banks and payment methods
    T042 Parameters for payment transactions
    T042A Bank selection for payment program
    T042C Technical Settings For The Payment Program
    T042D Available amounts for payment program
    T042FSL Last additional selections used
    T042G Groups of company codes ( payment program )
    T042I Account determination for payment program
    T042J Bank charges determination
    T042JB Customizing table for Japan Bank Mergers
    T042JB1 Customizing table for Japan Bank/Branch Mergers
    T042K Accounts for bank charges
    T042L Bank transaction code names
    T042M User Numbers At The Bank
    T042N Bank transaction codes
    T042OFI Events for MT100 and other DME Formats
    T042OFIT Events for MT100 and other DME Formats
    T042P Bank selection by postal code
    T042R Name of account holder (ref.specifications on bk.details
    T042S Charges/expenses for automatic pmnt transactions
    T042U Block Entries for Debit Customers/Credit Vendors
    T042V Value date for automatic payments
    T045T User ID for bank transactions
    T077D Customer account groups
    T077K Vendor account groups
    T078D Trans.-dependent screen selection for cust.master
    T078K Transaction-dependent screen selection for vendor master
    T079D Company code-dependent screen sel.for cust.master
    T079K Company code-dependent screen sel.for vend.master
    T079M Vendor master data screen selection (purch.org.)
    TBACN Bank EDI file version numbers
    TBSL Posting Key
    TFAGS Definition of FI clearing rules
    TFAGT Texts on FI clearing rules
    TZGR Grouping rules for automatic payments
    TZGRT Name of grouping rules
    TBTCO Job Status Overview Table
    TFBUF Table for FI Data Puffers
    TRDIR Generated Table for View TRDIR
    VARID Variant directory
    VARIT Variant Texts
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  • 原文地址:https://www.cnblogs.com/yjyongil/p/11039875.html
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