SAP FI General Ledger Accounting Tables (FI-GL)
SAP General Ledger Accounting Tables FI-GL
ACCHD_SUB - Accounting Document Header: Fields That Can Be Substituted
ACCIT_REFERENCE - FI/CO Document: Additional Reference Information
ACCIT_SUB - Modifiable Fields and Key in FI/CO Doc.: Item Information
ACC_DOCUMENT - Accounting document
ACC_DOCUMENT_SUBST - FI/CO Document: Fields Permitted for Substitution
ACC_PCR_DATA - Accounting: Document Data for Posting Correction Request
ACC_PCR_KEY - Accounting: Key for Posting Correction Requests
ASLDEP - Structure for Data Transfer to DMEE (EC Sales List)
ASLDPARAM - Parameters for DMEE (EC Sales List)
ASL_DE_PARAM - Additional Parameters for EC Sales List - Germany
ASL_HU_PARAM - Parameters for DMEE (EC Sales List for Hungary)
ASL_ITEM - Structure for Data Transfer to DMEE (EC Sales List)
ASL_ITEM_S - DMEE: Transfer Sructure for EC Sales List
ASL_PARAM - Parameters for DMEE (EC Sales List)
ASL_PARAM_S - DMEE: Parameter Structure for EC Sales List
BAPIBUS1600_PLAN_HEAD - BAPI: Header Data for New General Ledger Planning
BAPIBUS1600_S_FIELDLIST - BAPI Field List for Additional Fields
BAPIBUS1600_S_PARAM - Indicator for BAPI - BUS1600 (New GL Accounting, Planning)
BAPIBUS1600_S_POS_PERIOD - BAPI: Plan Data for New G/L, Item Data
BAPIBUS1600_S_POS_YEAR - BAPI: Planning in New General Ledger, Item Data
BAPIFAGLSKF01 - Header Structure for BAPI for Posting Stat. Key Figures
BAPIFAGLSKF02 - Item Data for BAPI for Creating Statistical Key Figures
BAPIFAGLSKF03 - Container for Customer Exit Parameters + Additional Fields
BKPF_ADD - Accounting Document Header
BKPF_FS - Document Header
BSEG_ADD - Entry View of Accounting Document for Additional Ledgers
BSEG_ADD_KEY - Key: Financial Accounting document segment
BSEG_FS - Line Item
BSID_FS - Customer Line Items
BSIK_FS - Vendor Line Items
BSIS_FS - G/L Account Line Items
BSPL_S_DATA_GET - Fields for Financial Statement Data
BSPL_S_DATA_GET_FIELDS - Fields for Financial Statement Data
BSPL_S_DATA_GET_KEYFIG - Key Figures for Financial Statement Data
BSPL_S_DATA_XBRL - Financial Statement Data According to XBRL Taxonomy
BSPL_S_DATA_XBRL_RFC - Financial Statement Data According to XBRL Taxonomy
BSPL_S_DETAILS_XBRL - Account Details: F/S Data According to XBRL Taxonomy
BSPL_S_DETAILS_XBRL_RFC - Account Details: F/S Data According to XBRL Taxonomy
CRIF_GL_BLNCE - G/L Balance Display as MiniApp
CRIF_GL_BLNCE_SETTINGS - Settings for G/L Balances MiniApp
E1BPBUS1600_PLAN_HEAD - BAPI: Header Data for New General Ledger Planning
E1BPBUS1600_S_FIELDLIST - BAPI Field List for Additional Fields
E1BPBUS1600_S_POS_PERIOD - BAPI: Plan Data for New G/L, Item Data
E1FAGLKPF - FI Document Header (BKPF)
E1FAGLNBU - FI Subsidiary Ledger (FI-AP-AR) (BSEG)
E1FAGLSE2 - FI Document Item, Second Part of E1FISEG (BSEG)
E1FAGLSEC - CPD Customer/Vendor (BSEC)
E1FAGLSEG - FI Document Item (BSEG)
E1FAGLSET - FI Tax Data (BSET)
E1FAGLSPL - Splittling Information of Open Items
E1FAGLSPV - Splitting Information of Open Item Values
E1FAGLXWT - Extended Withholding Tax (WITH_ITEM)
E1NEWGLPLANNING_POST - Header Segment
EWUFI_SPLIT - EMU Implementation: Table of FAGL_SPLINFO* to Be Corrected
FAGLBSAS - Accounting: Secondary Index for G/L Accounts (Cleared Items)
FAGLBSAS_BAK - Accounting: Secondary Index for G/L Accounts (Cleared Items)
FAGLBSEGL_S - Additional Sender Flds from General Ledger for Doc. Overview
FAGLBSIS - Accounting: Secondary Index for G/L Accounts
FAGLBSIS_BAK - Accounting: Secondary Index for G/L Accounts
FAGLCOFICCODEC - Assignment of Variants for Real-Time Integration for CoCodes
FAGLCOFITRACE - Log of Real-Time Integration CO->FI
FAGLCOFITRFLDS - Field Transfers for Real-Time Integration CO->FI
FAGLCOFIVARC - Variants for Real-Time Integration CO->FI
FAGLCOFIVART - Texts for Variants for Real-Time Integration CO->FI
FAGLCOFIWRKLST - Worklist for Real-Time Integration CO->FI
FAGLFLEX00 - General ledger: Transaction attributes
FAGLFLEX00_CUR_UNIT_INC - RTCUR + RUNIT
FAGLFLEX00_DATA_INC - Data Part of Object Table 00
FAGLFLEX00_INC - General ledger: Transaction attributes
FAGLFLEX01 - General ledger: Technical fields
FAGLFLEX01_DATA - General Ledger: Technical Fields in Data Part of Line Items
FAGLFLEX01_DATA_INC - Data Part of Object Table 01
FAGLFLEX01_INC - General ledger: Technical fields
FAGLFLEX01_KEY - General Ledger: Technical Fields in Key of Line Items
FAGLFLEX02 - General ledger: Main account assignment
FAGLFLEX02_DATA_INC - Data Part of Object Table 02
FAGLFLEX02_INC - General ledger: Main account assignment
FAGLFLEX03 - General ledger: SAP additional account assignment
FAGLFLEX03_DATA - General Ledger: Additional Acct Assignmt in Data Part of LIs
FAGLFLEX03_DATA_INC - Data Part of Object Table 03
FAGLFLEX03_INC - General ledger: SAP additional account assignment
FAGLFLEX03_KEY - General Ledger: Additional Acct Assignmt (SAP) in Key of LIs
FAGLFLEX04 - General ledger: Customer additional account assignment
FAGLFLEX04_DATA_INC - Data Part of Object Table 04
FAGLFLEX05 - General Ledger: Additional Acct Assignment: Customer 2
FAGLFLEX05_DATA_INC - Data Part of Object Table 05
FAGLFLEX05_INC - General ledger: Sender main account assignment
FAGLFLEX06 - General ledger: Sender SAP additional account assignment
FAGLFLEX06_DATA_INC - Data Part of Object Table 06
FAGLFLEX06_INC - General ledger: Sender SAP additional account assignment
FAGLFLEX07 - General Ledger: Reserve Table 1
FAGLFLEX07_DATA_INC - Data Part of Object Table 07
FAGLFLEX08 - General Ledger: Reserve Table 2
FAGLFLEX08_DATA_INC - Data Part of Object Table 08
FAGLFLEXA - General Ledger: Actual Line Items
FAGLFLEXA_FS - General Ledger Line Items
FAGLFLEXB - Generated Extraction Struction for Table FAGLFLEXT
FAGLFLEXKEY - Structure with the keys of the flexible general ledger
FAGLFLEXP - General Ledger: Plan Line Items
FAGLFLEXR - Virtual Reporting Table (Report Writer) for STAGR
FAGLFLEXS - Reporting for Table FAGLFLEXT
FAGLFLEXT - General Ledger: Totals
FAGLFLEXT_BAK - General Ledger: Totals
FAGLFLEXT_DIF - Delta Table: G/L Totals
FAGLFLEXT_FS - General Ledger Balances
FAGLFLEX_BAPI_EXT - Structure for BAPI Enhancement
FAGLFLEX_HSL - Field Group HSL
FAGLFLEX_KSL - Field Group KSL
FAGLFLEX_MSL - Field Group MSL
FAGLFLEX_OSL - Field Group OSL
FAGLFLEX_PERIOD_DATA_INC - Data Fields of a GL Totals Table
FAGLFLEX_PSI_FIX_INC - Mandatory Fields of a GL Plan Line Item Table
FAGLFLEX_SI_FIX_INC - Mandatory Fields of a GL Actual Line Item Table
FAGLFLEX_SI_VALUE_DATA - Value Fields of GL Line Items Table
FAGLFLEX_TSL - Field Group TSL
FAGLFLEX_TT_FIX_INC - Additional Data Fields of a G/L Totals Table
FAGLFREESEL - General Ledger: Custom Selections (Enhanced)
FAGLLIBW - BW Fields for LI Extractor: New General Ledger Accounting
FAGLPOSA - Basic Data for Line Items: New General Ledger Accounting
FAGLPOSBW - Fields for LI Extractor: New General Ledger Accounting
FAGLPOSE - Feilds for Reading Data: Line Items: New General Ledger
FAGLPOSE_CORE - Core Fields for Reading Data of Line Items in New GL
FAGLPOSG - Additional Data for Line Items: New GL (GL Fields)
FAGLPOSR - Additional Data for Line Items: New GL (Reporting Tools)
FAGLPOSX - Line Item Data: New General Ledger Accounting
FAGLPOSX_QUERY - FI-GL Line Item (Query-Structure)
FAGLPOSY - Technical Fields and Additional Data for Line Items: New GL
FAGLPOSYEXT - ## AUTOMATICALLY GENERATED. DO NOT CHANGE OR RE-USE ! ##
FAGLPOS_APRE - Payables According to General Ledger Account Assignments
FAGLPOS_ARRE - Receivables According to General Ledger Account Assignments
FAGLSKF - General Ledger: Statistical Key Figures (Current Values)
FAGLSKFR01_INC - General Ledger: Statistical Key Figures
FAGLSKF_APPL - Assignment of Application to ID for Statistical Key Figures
FAGLSKF_BW - Extract Structure for Statistical Key Figures in Gen. Ledger
FAGLSKF_CUSTFLD - List of Fields in Customer Includes
FAGLSKF_DD - General Ledger: Statistical Key Figures (for Drilldown)
FAGLSKF_DELTA - General Ledger: Stat. Key Figures (From-To: Delta Values)
FAGLSKF_ENQUEUE - Structure for Lock Object for Statistical Key Figures
FAGLSKF_GLU1 - General Ledger: Statistical Key Figures
FAGLSKF_GLU2 - Quantity Fields for Statistical Key Figures
FAGLSKF_HEAD - Header Data for Entering Statistical Key Figures in FI
FAGLSKF_I_AUTH - Additional Fields for User Exit: Authorizations for Key Figs
FAGLSKF_LAY_INFO - Fields Used in Layouts
FAGLSKF_OPT_FIELDS - Optional Fields
FAGLSKF_PERIOD - General Ledger: Statistical Key Figures (per Period)
FAGLSKF_PN - General Ledger; Statistical Key Figures (Source Document)
FAGLSKF_REPORT - Dynamic Report Names per Ledger
FAGLSKF_SUM - General Ledger: Statistical Key Figures (Period Block)
FAGLSKF_TAB - Table Names and Structures
FAGLSKF_TRANS - Assignment of Field Names in Different Tables
FAGLSREPACCTP - Access Type for Financial Statements
FAGLSREPACCTPT - Access Type for Financial Statements
FAGL_011CC_XBRL - F/S Version: Calculation Rule for F/S Items
FAGL_011FC - Fin. Statement Structure: Assignment FS Item - Funct. Areas
FAGL_011FC_XBRL - Fin. Statement Version: Assignment of FS Items to FunctAreas
FAGL_011NC_XBRL - F/S Version: Technical Names for F/S Items
FAGL_011PC - Fin. Statement Structure: Items in Fin. Statement Structure
FAGL_011PC_XBRL - Fin. Statement Version: Items in Financial Statement Version
FAGL_011QT - Fin. Statement Structure: Text for Fin. Statement Items
FAGL_011QT_XBRL - Fin. Statement Structure: Text for Fin. Statement Items
FAGL_011SC - Fin. Statement Struct.: Assignment Fin. Stmnt Item: Setname
FAGL_011TC - Fin. Statement Structure: Timestamp for Fin. Stmt Items
FAGL_011VC - Fin. Statement Structure: Contra Items
FAGL_011VC_XBRL - Finanical Statement Version: Contra Items
FAGL_011ZC - Fin. Statement Structure: Assignment FS Items - G/L Account
FAGL_011ZC_XBRL - Fin. Statement Version: Assignment of FS Items to G/L Accts
FAGL_AB_C - Interactive Characteristics for Flexible Balance Display
FAGL_ACC_FROM_CLEARING_INC - Include Structure for Type ACC_FROM_CLEARING in FGroup GLT0
FAGL_ACC_LINETYPE_CLASS - UI Structure: Classification of G/L Accounts
FAGL_ACTIVEC - Activation of New General Ledger
FAGL_ADDAA - GLT0_ADDAA
FAGL_ADDAA_IS_INCL - Additional Information for an Industry Outside Split Qty
FAGL_ALE_ACTIV - Totals Document and Single Document Transfer: Activation
FAGL_ALE_CNTRPRO - Single Doc. and Summary Doc. Transfer: Central Processes
FAGL_ALE_CUST_FIELD - Customer Fields
FAGL_ALE_LEDGER_SCEN - Ledger with Scenario Assignment
FAGL_ALE_SND_PAR - Totals Transfer: Technical Parameters
FAGL_ALE_SUM_CHECK - Structure for ALE Sum Check
FAGL_ALV_VAL_LOG - Output Structure for Validation of Document Splitting
FAGL_APPL - Owner application
FAGL_APPLT - Owner application
FAGL_BALANCECMP - Documents/Balances Comparison
FAGL_BALANCE_DATA_LINE - Transfer Table Type: Imported Data -> Balance Display
FAGL_BALANCE_DIFF - Display Differences in RGUSLSEP Format
FAGL_BALANCE_LINE - Balance Display: Structure Balances Display Table
FAGL_BALANCE_LINE_NEW - Balance Display: Structure of Global Internal Table
FAGL_BCF_FIELDS - Summarization: Balance Carryforward for P&L Accounts
FAGL_BELNR_LD - Document Types for Entry View in a Ledger
FAGL_BSBW_HISTLG - Valuation History of Ledger-Group-Specific Items
FAGL_BSBW_HISTRY - Valuation History for Documents
FAGL_BSBW_HST_BL - Valuation History of Balances
FAGL_BSEG_ALV_LDR - Document Overview: Ledger-Specific Line Item Display
FAGL_BSEG_EXT - Enhancement BSEG for Document Display
FAGL_BSEG_EXT_LDR - Ledger-Specific General Ledger Documents
FAGL_BW_LOG_HEAD - FI-GL: Log for BW Extraction: Control Data
FAGL_BW_LOG_ITEM - FI-GL: Log for BW Extraction: Line Items
FAGL_BW_LOG_TOTL - FI-GL: Log for BW Extraction: Totals Records
FAGL_CARRY_FORW - Last Balance Carryforward per Company Code/Ledger
FAGL_CASHACC_TAX - Cash Account from Tax on Sales/Purchases Indicator
FAGL_CHECK_SETUP - Check Setup of New General Ledger
FAGL_CMPMESSAGE - Error Messages
FAGL_COFI_ACCDET_FIELDS - Permitted Flds for Acct Determ. for Online Transfer CO->FI
FAGL_COFI_ACCDET_FIELDS_RCL - Permitted Flds for Acct Determ. for Reconciliation Ledger
FAGL_COFI_FIELDS_NOT_IN_COEP - Fields for trace that are not found in CO line item
FAGL_COFI_FOLLOWUP_RESULT - Results List: Subsequent Posting of CO Documents into AC
FAGL_CO_SUM_SETTINGS - Settings for Totals Record Update in CO
FAGL_CUST_DET - Customizing Versions: Detailed Information
FAGL_CUST_FIELDS - Customer fields for flexible general ledger
FAGL_CUS_GENLEVL - New General Ledger Accounting: Generation Status (Customer)
FAGL_DATAC_CLUST - Content of Data Container
FAGL_DATAC_STRUC - Coding of Structure Data
FAGL_DATAC_S_CONTAINER_INFO - Info on Existing Data
FAGL_DATAC_TEST_S1 - FPP: Data Container Test
FAGL_DATAC_TEST_S1_B - FPP: Data Container Test
FAGL_DATAC_TEST_S2 - FPP: Data Container Test
FAGL_DATAC_TEST_S3 - FPP: Data Container Test
FAGL_DATAC_TEST_S3_B - FPP: Data Container Test
FAGL_DERIVE_VALIDITY - Validation of Account Assignment Combinations: Target Fields
FAGL_DERIVE_VALIDITY_GROUPS - Sets for the Validation
FAGL_DERIVE_VALIDITY_SOURCE - Validation of Account Assignment Combinations: Source Fields
FAGL_DOCNR_LD - Document Types for General Ledger View in a Ledger
FAGL_DOC_HDR_ALV - FI-GL Transfer Postings (ALV): Line layout
FAGL_DOC_LINE_ALV - FI-GL Transfer Postings (ALV): Line layout
FAGL_DOC_LINE_ALV_AAO - FI-GL transfer postings (ALV):Additional acct assign.objects
FAGL_DOC_LINE_ALV_KEY - FI-GL Repostings (ALV): Keys with Ledger Group
FAGL_DRPROV_ACC - Provisions for Doubtful Receivables: Account Determination
FAGL_DRPROV_METH - Provision Method for Provisons for Doubtful Receivables
FAGL_DRPROV_PERC - Provisions for Doubtful Receivables: Percentages
FAGL_DSOURCE_RLD - New General Ledger Accounting: Assign Ledger to DataSource
FAGL_EMP_PROCESS - Document Splitting: Process Adjustment for HR Postings
FAGL_EMU_COLL_S_BSEG - Aggregated BSEG
FAGL_EMU_S_ACCOUNT_ASS_OBJECTS - Structure for Selecting Account Assignment Objects
FAGL_EMU_S_AMNT_FLD_NAMES - Field Name of Amount Fields
FAGL_EMU_S_BELNR_STAT - Transfer Structure: Document Number ...
FAGL_EMU_S_BELNR_STAT2 - Like FAGL_EMU_S_BELNR_STAT Without MONAT but with GJAHR
FAGL_EMU_S_BELNR_STAT3 - Clearing Document Key
FAGL_EMU_S_BKPF_BSEG - Narrow BSEG
FAGL_EMU_S_BSEG_AMOUNTS - Structure with BSEG Amount Fields
FAGL_EMU_S_BSEG_AMOUNTS2 - Structure with Totals Record Amount Fields
FAGL_EMU_S_BUKRS_CONFIG - Place Global Company Code/Ledger of Dependend Data in Cache
FAGL_EMU_S_BUKRS_INFO - Company Code Information
FAGL_EMU_S_BUKRS_LEDGER - Structure for Managing CL_FAGL_EMU_BUKRS_LEDGER Obj
FAGL_EMU_S_BUKRS_STATUS - Status Management for Company Codes
FAGL_EMU_S_CONFIG - Place Global Data in Cache
FAGL_EMU_S_CURTP_FIELDNAME - Mapping Stucture: CURTP -> Field Name
FAGL_EMU_S_FIELDNAME_MAP - Structure with Two Names
FAGL_EMU_S_KEY1 - Key for an FI Line Item without Company Code
FAGL_EMU_S_KEY2 - Key for an FI Line Item with CoCode with AUGDT
FAGL_EMU_S_KEY3 - Like FAGL_EMU_S_KEY2 with Additional Reference to Data
FAGL_EMU_S_KEY4 - Key for an FI Line Item with Company Code and AUGDT
FAGL_EMU_S_KEY5 - Key for an FI Line Item without Company Code
FAGL_EMU_S_KEY6 - Index Key with SI Table
FAGL_EMU_S_KEY7 - Key for an FI Line Item
FAGL_EMU_S_KEY8 - Key for a Chain of Clearing Postings
FAGL_EMU_S_LEDGER_CONFIG - Place Global Data in Cache
FAGL_EMU_S_LEDGER_OBJECT - Management of Ledger Objects
FAGL_EMU_S_MAP_AMOUNTS - Value Mapping: GLT0
FAGL_EMU_S_MASTER - Accounts
FAGL_EMU_S_MSG - Structure for Messages
FAGL_EMU_S_NB_BAL - Totals Records: Subsidiary Ledgers
FAGL_EMU_S_NB_BAL_PER - Like FAGL_EMU_S_NB_BAL but with Period
FAGL_EMU_S_OBJ_MAP1 - Mapping Structure SL: Include - Table - Object Number
FAGL_EMU_S_OBJ_VT - Object Numbers + Balance Carryforwards
FAGL_EMU_S_OBJ_VT2 - Object Numbers + Balance Carryforwards
FAGL_EMU_S_OBJ_WHERE - Place Structure for Where Statement for OBJxx in Cache
FAGL_EMU_S_OBJ_WHERE2 - Structure for EWU-SOP Cache
FAGL_EMU_S_OBJ_WHERE3 - Structure for EWU-SOP Cache
FAGL_EMU_S_RACCT_PAKAGE - Structure for Accounts: Packages
FAGL_EMU_S_STAT - Management of Parallel Processing
FAGL_EMU_S_SUMMARY - Statistics
FAGL_EMU_S_TABNAME_DATA - Table Name and Data
FAGL_EMU_S_TABNAME_MAP - Table Mapping
FAGL_EXTR - Documents for Summary Document Transfer
FAGL_EXTR_HIST - Transfer History for Summary Documents
FAGL_EXTSTRUCT_LEAD - Extraction Structure for the Leading Ledger
FAGL_F4_GLFLEX_LEDGER - Internal Structure for F4 Services
FAGL_FCBAL_FIELD - Additional Fields for Balance Valaution
FAGL_FCV_ADMIN - Foreign Currency Valuation: ID Numbers of Valuation Runs
FAGL_FCV_E_DELTA - Lock Table: Delta Logic: Foreign Currency Valuation
FAGL_FC_DOCS - Items Processed in Foreign Currency Valuation
FAGL_FC_DOCUMENTS - Items Processed in Foreign Currency Valuation
FAGL_FC_LIST - Task Lists for Foreign Currency Valuation
FAGL_FC_LIST_ITEM - Task Lists for Foreign Currency Valuation
FAGL_FC_LIST_ITEM_RXD - FC Val.: Item List for Realized E/R Diff. Adjustmt Postings
FAGL_FC_POST - Posting Structure of Foreign Currency Valuation
FAGL_FC_POSTINGS - Posting Structure of Foreign Currency Valuation
FAGL_FC_POSTINGS_CURR - Posting Structure for Foreign Currency Valuation
FAGL_FC_REFERENCE - Reference Number for Grouping
FAGL_FC_S_BAL_UPD - Balance Update
FAGL_FC_S_CURR - Posting Structure for Foreign Currency Valuation
FAGL_FC_S_CURR_CLEAR - Posting Structure for Foreign Crcy Valuation (Cleared Items)
FAGL_FC_S_DUEGRID_CCODE - Remaining Term Interval for Valuation Method
FAGL_FC_S_GLBAL_RUNID - Balance Valuation: RUNID for Use per Company Code
FAGL_FC_S_LIST_RXD - Task Lists for Foreign Currency Valuation
FAGL_FC_S_LIST_VAL - Task Lists for Foreign Currency Valuation
FAGL_FC_S_METHOD - Local Currency Attributes for Valuation
FAGL_FC_S_OI_UPD - Open Item Update
FAGL_FC_S_PARTPAYM - Foreign Currency Valuation: Partial Payment Items
FAGL_FC_VAL_BSIS_OI_FS - Open Items: G/L Account Line Items
FAGL_FC_VAL_FAGLFLEXT_FS - General Ledger Balances (Enhanced)
FAGL_FC_VAL_PARAMS - Foreign Currency Valuation: Selection Screen
FAGL_FC_VAL_SCRN - Foreign Currency Valuation: Selection Screen
FAGL_FC_VAL_SEL - FAGL_FC_VAL: Selection Fields
FAGL_FC_VAL_SKA1_BAL_FS - Balances: G/L Account
FAGL_FC_VAL_SKA1_OI_FS - Open Items: G/L Account
FAGL_FC_VAL_SKB1_BAL_FS - Balances: G/L Account Company Code
FAGL_FC_VAL_SKB1_OI_FS - Open Items: G/L Account Company Code
FAGL_FIELD_MOVE - Conversion Table for Fixed Fields of General Ledger
FAGL_FIELD_MOVEC - Conversion Table for Customer Fields of General Ledger
FAGL_FIX_REP_FIELDS - Fixed Fields for Balance Display
FAGL_FIX_REP_FIELDS_PERIOD - Fixed Fields for Balance Display
FAGL_GCDCD_VER - GCD Revision Data: Copied Tree Node ref Table
FAGL_GCDCP_XBRL - GCD-Structure: Copyable node Define Table
FAGL_GCDDC_VER - GCD Revision: Data Type of Item
FAGL_GCDDC_XBRL - GCD-Structure: Data Type of Item
FAGL_GCDNC_VER - GCD Revision: Technical name for GCD positions
FAGL_GCDNC_XBRL - GCD-Structure: Technical name for GCD positions
FAGL_GCDPC_VER - GCD Revision: Element Relationships
FAGL_GCDPC_XBRL - GCD-Structure: Element Relationships
FAGL_GCDQT_VER - GCD Revision: Text of GCD table
FAGL_GCDQT_XBRL - GCD-Structure: Text of GCD table
FAGL_GCDTC_VER - GCD Revision: Tuple Abstract Define of Item
FAGL_GCDTC_XBRL - GCD-Structure: Tuple Abstract Define of Item
FAGL_GCDVC_VER - GCD Revision: Value of Items
FAGL_GCDVC_XBRL - GCD-Structure: Value of Items
FAGL_GLFLEX_PLAN_POS_OPT - BAPI: Planning in New General Ledger, Item Data
FAGL_GLFLEX_PLAN_POS_YEAR - BAPI: Planning in New General Ledger, Item Data
FAGL_GLT0_ACCIT_EXT - Line Information for Document Splitting
FAGL_GLU1_FIX_FIELDS - Fixed Fields in GLU1
FAGL_HDB_APAR - GLPOS_C_CT: AP/AR due date fields
FAGL_HDB_COMMONS - GLPOS_x_CT: frequently used attributes
FAGL_HDB_KEYFIG - FAGL: Value Fields
FAGL_HEADER - Header Structure for Balance Display Screens
FAGL_HEADER_ADD - Additional Information for Document Header
FAGL_HST_T095 - Old Acct Determin. for Asset Value Adjustment and Portfolio
FAGL_HST_T095_ALV - ALV Display Structure for Old Account Determination in FI-AA
FAGL_INSTALLATION - Installation of General Ledger: Auxiliary Fields
FAGL_INST_CUST_FIELDS_S - Fields for Customer Enhancements (DDIC)
FAGL_INST_STATE - Installation Check: General Ledger
FAGL_INST_TAB_AND_FIELDS_S - Table and Customer Fields
FAGL_INVSPL_ACT - Activation of Invoice Split per Company Code
FAGL_LDGR_ACC_PRINCIPLE - Zuordnung eines Ledgers zur Rechnungslegungsvorschrift
FAGL_LEDGER_INFO - New General Ledger: Configuration Information (Ledger)
FAGL_LEDGER_SCEN - Active Scenarios of a Ledger
FAGL_MIGDS_STATE - Subsequent Implementation of Doc.Splitting: Migration Status
FAGL_MIG_001 - Assignment of a Migration Date to a Migration Plan
FAGL_MIG_001_S - Migration Plan Status
FAGL_MIG_002 - Assignment of a Migration Plan to Company Code and Ledger
FAGL_MIG_ADJUST - Log Table for Using Divergent Customizing Settings (Migratn)
FAGL_MIG_ALV_SPLINFO - ALV Display of FAGL_SPLINFO
FAGL_MIG_BELNR_ALV - ALV Structure for Non-Reversible Documents
FAGL_MIG_BELNR_DOCNR - Assignment Between Entry View and Ledger View of FI Document
FAGL_MIG_BSE_CLR - Migration-Specific Override of BSE_CLR
FAGL_MIG_BUKRS - Activation of New General Ledger Accounting for Company Code
FAGL_MIG_CTRL - Migration to New General Ledger: Control Table for Cockpit
FAGL_MIG_FICHA1 - Worklist for FI Reassignment Tool
FAGL_MIG_FICHA1_OUT - FI Reassignment: ALV Output
FAGL_MIG_HEADER_INFO_002 - Header Info View 002
FAGL_MIG_LH_OBJECT_ATTRIBUTES - G/L ALV Grid Lists: Attributes for Object Info Display
FAGL_MIG_LINETYP - Document-Specific Item Category Assignment
FAGL_MIG_LISTHEADER_ACTION - G/L ALV GRID Action Information for General List Headers
FAGL_MIG_LISTHEADER_DATA - Object and Action Information in ALV-GRID List Headers
FAGL_MIG_MP_T - Text Table for Migration Plans
FAGL_MIG_OPITEMS - Open Items from Period 0 (Creation of Split Information)
FAGL_MIG_PROCESS - Document-Specific Business Transaction Assignment
FAGL_MIG_REV_DOC - Documents from Inverse Postings During the Migration
FAGL_MIG_RPITEMS - Migration in New G/L: Objects To Be Posted Subsequently
FAGL_MIG_SAK_ALV - Structure: Old and New Accounts in New GL Migration (ALV)
FAGL_MIG_SLSOURC - FI-SL Source Ledger for Migration
FAGL_MIG_SPLIT - Migration-Specific Splitting Setting
FAGL_MIG_S_ACCOUNTS - Structure of Accounts for Open Item Migration
FAGL_MIG_S_ADJUST_AUSZ - Results Structure: Adjustment of Clearing Information
FAGL_MIG_S_ALV_ADJUST - ALV Structure for Table FAGL_MIG_ADJUST
FAGL_MIG_S_ALV_OPITEMS - ALV Structure: Open Items for Migration
FAGL_MIG_S_ALV_RPITEMS - ALV Structure: Migration Documents
FAGL_MIG_S_BUKRS_LEDGER - Combination of Company Code and Assigned Ledgers
FAGL_MIG_S_CHANGED_FIELDS - Fields That Were Changed in BAdI FAGL_MIG_ADJ_ACCIT
FAGL_MIG_S_ERROR_STATISTIC - Error Statistics
FAGL_MIG_S_MSG_EXT - Extended Message Fields
FAGL_MIG_S_OPSTATUS - Status Fields of FAGL_MIG_OPITEMS
FAGL_MIG_S_PROCESS - Structure for FAGL_MIG_PROCESS
FAGL_MIG_S_REFERENCE - Structure for Reference Fields
FAGL_MIG_S_RPSTATUS - Status and Log Fields
FAGL_MIG_S_RP_PACKAGE - Structure for Error Handling for Parallel Proc. with RPITE
FAGL_MIG_S_STATUS_STATISTIC - ALV Structure for Migration Status Statistics
FAGL_MIG_S_TOTALS - Structure FAGL_MIG_TOTALS
FAGL_MIG_TOTALS - Log Table for Building Balances in New G/L
FAGL_MIG_TOTALS_ALV - Output Structure FAGL_MIG_SUM_STATUS
FAGL_MM_AW - AW fields
FAGL_MM_CURTP - Relevant Currencies
FAGL_MM_DOCUMENTS - ACC Tables per Ledger
FAGL_MM_DOCUMENTS_ALV - ALV Structure of Summarized Documents (for Selection)
FAGL_MM_KEY - Key for Parallel Processing
FAGL_MM_MATERIAL_DATA - Separate Totals for Material Stocks
FAGL_MM_ORG - MM Organization Data
FAGL_MM_OUTPUT - Results List for Each Ledger
FAGL_MM_PARA_PACKAGE - Structure of Parallel Packages for Error Handling
FAGL_MM_RANGE_BKLAS - Range Structure for BKLAS
FAGL_MM_RANGE_MATNR - Range Structure for Material
FAGL_MM_RANGE_MTART - Range Structure for MTART
FAGL_MM_RANGE_REPID - Range Structure for REPID
FAGL_MM_RANGE_SAKNR - Range Structure for G/L Account
FAGL_MM_REPORT_BASIC - Basic Data of Reporting Structure
FAGL_MM_REPORT_DIMENSIONS - Possible Reporting Dimensions for GL-MM Reconciliation
FAGL_MM_REPORT_TOTALS - Amount Fields of Evaluation Structure
FAGL_MM_RLDNR_DATA - Ledger-Dependent Tables and Fields
FAGL_MM_SAKNR - G/L Account Information on ACCIT Structure
FAGL_MM_SALDO - A/c Balances: A/c Assignment Combination for All Crcy Types
FAGL_MM_T001 - T001 Information on ACCIT Structure
FAGL_NR_OBJECTS - Objects For Which the XPRA Creates a Range in All Clients
FAGL_OPT_FIELDS - Fields of the FI/CO Document That Can Be Transferred to G/L
FAGL_ORG_INFC_CT - Class. General Ledger: Configuration Information (Crcy Type)
FAGL_ORG_INFO - General Ledger: Configuration Information
FAGL_ORG_INFO_CT - New General Ledger: Configuration Information (Crcy Type)
FAGL_OV_BUTTON_TEXTS - Name of Overview Menu Entries in Screen 0030
FAGL_PERIODS - Selections for Posting Periods
FAGL_PRCTR_CONST - Profit Center Constant in Document Split
FAGL_PRCTR_SET - General Ledger Accounting (New): Profit Center Settings
FAGL_PROT - Logs
FAGL_PROT_DATA - Logged Data
FAGL_QUEUE_LOG - Log of Delta Queue for Error Analysis
FAGL_RAND_RANGE - Totals Record Randomization: Account Assignment Ranges
FAGL_RAND_RLDNR - Activate Totals Record Randomization
FAGL_RAND_WPMAP - Randomization: Assignment of Work Process to Internal Number
FAGL_RANGE_ACTIV - Range Structure for Business Transaction
FAGL_RANGE_BELNR - Range Structure for Document Number of an Accounting Doc.
FAGL_RANGE_BUDAT - Range Structure for Posting Date
FAGL_RANGE_BUKRS - Range Structure for Company Code
FAGL_RANGE_DRCRK - Range Structure for Debit/Credit Indicator
FAGL_RANGE_FAREA - Range Structure for Functional Areas
FAGL_RANGE_GSBER - Range Structure for Business Area
FAGL_RANGE_KOKRS - Range Structure for Controlling Area
FAGL_RANGE_KUNNR - RANGES Structure for Vendor Number
FAGL_RANGE_MGPLN - RANGES Structure for Migration Plan
FAGL_RANGE_MONAT - Range Structure for Fiscal Period
FAGL_RANGE_POPER - Range Structure for Company Code
FAGL_RANGE_PPRCTR - Range Structure for Partner Profit Center
FAGL_RANGE_PRCTR - Range Table for Profit Centers
FAGL_RANGE_PSEGMENT - Range Structure for Partner Segment
FAGL_RANGE_RACCT - Range Structure for Accounts
FAGL_RANGE_RASSC - Range Structure for Partner Company ID
FAGL_RANGE_RCNTR - Range Structure for Cost Center
FAGL_RANGE_RLDNR - Range Structure for Ledger
FAGL_RANGE_RMVCT - Range Structure for Transaction Type
FAGL_RANGE_RPMAX - Range Structure for Maximum Period
FAGL_RANGE_RRCTY - Range Structure for Record Type
FAGL_RANGE_RTCUR - Range Structure for Currency Key
FAGL_RANGE_RVERS - Range Structure for Version
FAGL_RANGE_RYEAR - Range Structure for Fiscal Year
FAGL_RANGE_SBUSA - Range Structure for Business Area of Business Partner
FAGL_RANGE_SCNTR - Range Structure for Sender Cost Center
FAGL_RANGE_SEGMENT - Range Structure for Segment
FAGL_RANGE_SFAREA - Range Structure for Functional Area of the Partner
FAGL_RANGE_SHKZG - Range Structure for Debit/Credit Indicator
FAGL_RANGE_STATUS - Range for Migration Status
FAGL_RANGE_S_LIFNR - RANGES Structure for Vendor Number
FAGL_RBLART - Reorganization: Document Type for Transfer Posting
FAGL_RCNTR_LINE - Balance Display: Structure for Storing Cost Centers
FAGL_REL_AI - Internal Table for Activating General Ledger (New)
FAGL_REPFIELDS - Exclusion List of Totals Record Chars for Reporting
FAGL_REP_PARAM - FAGL Support: Parameters for Scheduler
FAGL_RFAREA_LINE - Balance Display: Structure for Storing Functional Areas
FAGL_RMAP_CUST - Reorganization: Object Number of the Signature Values
FAGL_RMAP_SAP - Reorganization: Object Number of the Signature Values
FAGL_RMAP_SIG - Reorganization: Object Number of the Signature Values
FAGL_RMIGR_LOG1 - Report Migration: Log Status
FAGL_RMIGR_LOG2 - Report Migration: Log Header
FAGL_RMIGR_LOG3 - Report Migration: Log Detail
FAGL_RMIGR_LOG4 - Report Migration: Log Messages
FAGL_RMIGR_MAP - Report Migration: Mapping of Report Objects
FAGL_RPACK - Reorganization: Package
FAGL_RPACKT - Reorganization: Package Text
FAGL_RPACK_LIST - Reorganization: Object List of the Package
FAGL_RPACK_RES - Reorganization: Package Restrictions
FAGL_RPATYP_RES - Reorganization: Restrictions of the Package Type
FAGL_RPLAN - -Obsolete- Reorganization: Plan
FAGL_RPLANT - Reorganization: Text of the Plan
FAGL_RPLAN_RES - Reorganization: Restrictions of the Plan
FAGL_RPLTYP_RES - Reorganization: Restrictions of the Plan Type
FAGL_RRI_CUST - Customiz. for Report Interface (NewGL: FI-CO Reconciliation)
FAGL_RRI_CUST_D - Default Contents for Table FAGL_RRI_CUST
FAGL_RRI_CUST_DISP - Structure Disp./Maint.: FI-CO BRST Customiz. w. Layout Table
FAGL_RSCREEN - Reorganization: Screen Fields for Editing Plans and Packages
FAGL_RSIG - Reorganization: Signature
FAGL_RSIGT - Reorganization: Signature Text
FAGL_RSNAPSHOT - Reorganization: Snapshot
FAGL_RTRACK1 - Summary: Company Code Currently Affected by Reorg. and KTOSL
FAGL_SAP_GENLEVL - New General Ledger Accounting: Generation Status (SAP)
FAGL_SCENARIO - Scenario for General Ledger Accounting
FAGL_SCENARIOT - Scenario for General Ledger Accounting
FAGL_SCEN_APPL - Scenario for G/L Accounting - Assignment to Application
FAGL_SCEN_FIELDS - Fields of a Scenario for General Ledger Accounting
FAGL_SCREEN_STRUC - Structure with Fields for Screens
FAGL_SEGM - Master Data for Segments
FAGL_SEGMT - Master Data for Segments
FAGL_SEGM_CUST - Settings for Segment Maintenance and Derivation
FAGL_SEG_METHOD - Derivation Method for Segment
FAGL_SET_LOCKS - Lock of Intervals and Sets
FAGL_SHLP_ALE - Structure for Screen, Report for Balance Comparison
FAGL_SMALLBKPF - Small BKPF
FAGL_SPLINFO - Splittling Information of Open Items
FAGL_SPLINFO_LOG - New General Ledger Accounting: Log for Nonsplitted Documents
FAGL_SPLINFO_VAL - Splitting Information of Open Item Values
FAGL_SPLIT_ACTC - Deactivation of Document Splitting per Company Code
FAGL_SPLIT_DEVSY - Change Deactivation -> Activation of Split per Company Code
FAGL_SPLIT_FIELD - Characteristics for Split
FAGL_SPLIT_FLD_S - Characteristics Permitted for Split
FAGL_SPLIT_VAL - Activation of Validation by Document Splitting
FAGL_SPL_ANA_HEADER - Simulation Data for Document Splitting: Header Information
FAGL_SPL_ASSET - Account Assignment: Assets
FAGL_SPL_INTFLDS - Fields Required Internally
FAGL_SPL_SIM_CONFIG - Simulation of Document Splitting: Rule-Based Configuration
FAGL_SPL_SIM_HEADER - Simulation of Document Splitting: Header Data
FAGL_SPL_SIM_ITEMS - Simulation of Document Splitting: Line Items
FAGL_SUBAPPL - Subapplication
FAGL_SUBAPPLT - Subapplication
FAGL_SX_PROT_DATA - Table for Log Data
FAGL_SX_RMIGR_LOG_INST - Report Migration: Instance of Migration Log
FAGL_SX_RPACK_INST - Reorganization Package Value and Instance
FAGL_SX_RPACK_WEAK - Reorganization Package and Its Weak Reference
FAGL_SX_RPLAN_WEAK - Reorganization Plan and Its Weak Reference
FAGL_S_011CC_XBRL - F/S Version: Calculation Rule for F/S Items
FAGL_S_011FC_XBRL - Fin. Statement Version: Assignment of FS Items to FunctAreas
FAGL_S_011NC_XBRL - F/S Version: Technical Names for F/S Items
FAGL_S_011PC_XBRL - Fin. Statement Version: Items in Financial Statement Version
FAGL_S_011QT_XBRL - Fin. Statement Structure: Text for Fin. Statement Items
FAGL_S_011VC_XBRL - Finanical Statement Version: Contra Items
FAGL_S_011ZC_XBRL - Fin. Statement Version: Assignment of FS Items to G/L Accts
FAGL_S_ABERRANT_FIELDS - Differing Field Names in Extract Structures
FAGL_S_ACCIT_SPL - Split ACCIT
FAGL_S_ACC_REV - AW Key
FAGL_S_ACTIVE_LEDGER_PARAMETER - Parameters of a Ledger
FAGL_S_ALE_SPLINFO - ALE Transfer Structure
FAGL_S_APPLICATION - Application and Subapplication
FAGL_S_ASGMT - Account Assignments of Document Splitting
FAGL_S_BELNR_KEY - Structure for Entry Document Number
FAGL_S_BELNR_LIST - Document Key
FAGL_S_BSBW_ITEM_HISTRY - Transfer Structure of Valuation History
FAGL_S_BUKRS - Structure with Company Code
FAGL_S_BUKRS_EXT - Structure: Company Codes --> Ledgers
FAGL_S_BUKRS_HWAER - Assignment: Company Code - Local Crcy - Fiscal Year Variant
FAGL_S_CCODE_PROP - Company Code Properties
FAGL_S_CHOICE_GENERIC - Selection of Characteristics from Flexible Totals Table
FAGL_S_COMPDESCR - Description of a Data Component
FAGL_S_COND_ACC_ASSIGN - Condense Account Assignment
FAGL_S_CRESPLIT_OUTPUT - Output Structure FAGL_MIG_OPITEMS_CRESPLIT
FAGL_S_CRESPLIT_PACKAGE - Structure for Handling Errors During Parallel Processing
FAGL_S_CRESUM_PACKAGE - Packages for Parallel Proc. for Balance Carryforward Program
FAGL_S_CRESUM_PACKAGE_SPLIT - Packages for Parallel Proc. for Balance Carryforward Program
FAGL_S_CURRENCY_TYPE - Balance Display: Transfer Currency Types
FAGL_S_CURRENCY_VALUE - FAGL: Currencies and Values
FAGL_S_CURTYPES - Currency Types of a Ledger
FAGL_S_DELETE_OP_OUTPUT - Output Structure for Resetting Open Items
FAGL_S_DELETE_RP_OUTPUT - Output: Reset Migration: Documents: Period 1
FAGL_S_DOCKEY_AWKEY - Key: FI Line Item + Accounting Reference
FAGL_S_DOCNR_KEY - Structure for Ledger Document Number
FAGL_S_DOC_CHAIN_DEPTH - Chain Depth
FAGL_S_DOC_DETAILS - Details for a Document in a Ledger in General Ledger
FAGL_S_DOC_TYPE_USAGE - ALV Structure for Document Type Check
FAGL_S_DRPROV_ACC - Provisions for Doubtful Receivables: Account Determination
FAGL_S_DRPROV_METH - Provisions for Doubtful Receivables: Method
FAGL_S_DRPROV_PERC - Provisions for Doubtful Receivables: Percentages
FAGL_S_FCBAL_FIELD - Additional Fields for Foreign Currency Valuation
FAGL_S_FIELD_CONV - Field Name Conversion: Source Field to Target Field
FAGL_S_FIELD_MAPPING - Mapping for Field Names
FAGL_S_FIELD_VAL - Field-Value Relationship Structure
FAGL_S_GCDCD_VER - gcd data: copied tree node ref table
FAGL_S_GCDCP_XBRL - GCD-Structure: Copy Node Define Table
FAGL_S_GCDDC_VER - GCD Revision: Data Type of Item
FAGL_S_GCDDC_XBRL - GCD-Structure: Data Type of Item
FAGL_S_GCDNC_VER - GCD Revision: Technical name for GCD positions
FAGL_S_GCDNC_XBRL - GCD-Structure: Technical name for GCD positions
FAGL_S_GCDPC_VER - GCD Revision: Element Relationships
FAGL_S_GCDPC_XBRL - GCD-Structure: Element Relationships
FAGL_S_GCDQT_VER - GCD Revision: Text of GCD table
FAGL_S_GCDQT_XBRL - GCD-Structure: Text of GCD table
FAGL_S_GCDTC_VER - GCD Revision: Tuple Abstract Define of Item
FAGL_S_GCDTC_XBRL - GCD-Structure: Tuple Abstract Define of Item
FAGL_S_GCDVC_VER - GCD Revision: Value of Items
FAGL_S_GCDVC_XBRL - GCD-Structure: Value of Items
FAGL_S_GCD_DETAILS - eBilanz GCD Data According to XBRL Taxonomy
FAGL_S_GCD_SHAREHOLDER - eBilanz GCD Shareholder Information
FAGL_S_GROUPINFO - Tables in the Ledger or Ledger Group
FAGL_S_HOART - Origin Object Type (Profit Center Accounting)
FAGL_S_ITEM_LIST - Line Item Key
FAGL_S_KEY_BSEG - Key Fields of a Line Item
FAGL_S_KOSTL_INFO - Structure: Cost Center with Additional Information
FAGL_S_KOSTL_RANGE - Range Structure for Cost Center
FAGL_S_LINETYPE_DEF - ALV Structure for Item Category Definition
FAGL_S_LOG - Reorganization: Snapshot Log Header
FAGL_S_LOG_REPOST - Reorganization: Header Line of Transfer Posting Log
FAGL_S_MESSAGE - Report
FAGL_S_MGPLN_SHIFT - Shifted Migration Plans
FAGL_S_MIG_001 - Structure for Table FAGL_MIG_001 & FAGL_MIG_001_S
FAGL_S_MIG_001_S - Structure for Migration Plan Status
FAGL_S_MIG_002 - Structure for Table FAGL_MIG_002
FAGL_S_MIG_ASGMT - Migration Account Assignment Objects Can Be Changed
FAGL_S_MIG_BADI_ASGMT - Structure of Modifiable Fields for the Migration
FAGL_S_MIG_FIELD_INTO - Structure for Building Dynamic Type for Migration
FAGL_S_MIG_MGPLN_EXT - Structure: Extended Migration Plan Information
FAGL_S_MM_REFKZ - Reference Structure for MIRO
FAGL_S_MSG_SHOW - Data That Can Be Used in the Message List
FAGL_S_OPEN_ITEMS - Fields from Open Item Tables BSIS, BSIK, and BSID
FAGL_S_ORDER_INFO - Structure: Orders with Additional Information
FAGL_S_PARAMETER_MODIF_ID - Assignment of Field Name to Modif ID in Balance Display
FAGL_S_PC_SEG_SETTINGS - Doc. Splitting for Profit Ctr and Segment per Company Code
FAGL_S_PERIOD_BLOCK - Period Block
FAGL_S_PERIOD_BLOCK_RPMAX - Period Block mit RPMAX
FAGL_S_PERIVINFO - Tables in the Ledger or Ledger Group
FAGL_S_POPER - Range for Posting Period
FAGL_S_PRCTR_INFO - Structure: Profit Center Key Fields
FAGL_S_RANGE_AUFNR - Range Structure AUFNR
FAGL_S_RANGE_FKBER - Range Structure for Functional Area
FAGL_S_REASSIGN - Reorganization: Reassignment of Log Header
FAGL_S_REFKZ - Structure: Reference Indicator for Document Splitting
FAGL_S_REORG_RES - Restriction of the Reorganization Plan/Package
FAGL_S_REORG_SEL - Reorganization: Restriction
FAGL_S_REP_SEL - Structure: Selection of the Receiver Report
FAGL_S_RG_AUFTYP - Range Structure Order Type
FAGL_S_RMIGR_DETAIL - Report Migration: Details
FAGL_S_RMIGR_FLATFILE - Report Migration: Flat File
FAGL_S_RMIGR_LOG - Report Migration: Log
FAGL_S_RMIGR_LOG_ALV - Report Migration: Log
FAGL_S_RMIGR_LOG_DETAIL - Migration Log: Detail
FAGL_S_RMIGR_LOG_GUI - Report Migration: Log Structure for GUI
FAGL_S_RMIGR_LOG_HEAD - Migration Log: Header
FAGL_S_RMIGR_LOG_MSG - Migration Log: Message
FAGL_S_RMIGR_LOG_STATUS - Migration Log: Status
FAGL_S_RMIGR_MSG_IMPORT - Report Migration: Message from Import Routine
FAGL_S_RMIGR_OBJ_MAP - Report Migration: Mapping New Object Names
FAGL_S_RMIGR_SEL_DATE - Report Migration: Selection of Data
FAGL_S_RMIGR_SEL_LIB - Report Migration: Selection of Libraries
FAGL_S_RMIGR_SEL_LOGID - Report Migration: Selection of Log IDs
FAGL_S_RMIGR_SEL_RNAME - Report Migration: Selection of Report Names
FAGL_S_RMIGR_SEL_STATUS - Report Migration: Selection of Status
FAGL_S_RMIGR_SEL_TIME - Report Migration: Selection of Times
FAGL_S_RMIGR_SEL_UNAME - Report Migration: Selection of User Names
FAGL_S_RMIGR_STATUS - Report Migration: Migration Status
FAGL_S_RMIGR_STATUS_GUI - Report Migration: Migration Status for the Interface
FAGL_S_RPACK - Reorganization Package Attributes
FAGL_S_RPACK_ATTR - Reorganization Package: Display Attribute
FAGL_S_RPACK_OBJECT - Reorganization: Line of a Package Object List
FAGL_S_RPACK_OBJ_ALV_MAT - Reorganization Package: Object List in ALV
FAGL_S_RPACK_OBJ_FIELDNAMES - Reorganization Package to Object List: Field Name Mapping
FAGL_S_RPACK_OBJ_KEY - Reorganization: Key of a Package Object List
FAGL_S_RPACK_SET - Reorganization Package Attributes: Transfer to Back End
FAGL_S_RPATYP_RES - Reorganization: Restriction of the Package Type
FAGL_S_RPLAN - Reorganization Plan Attributes
FAGL_S_RPLTYP_RES - Reorganization: Restriction of the Plan Type
FAGL_S_RPOSTED_DOCS - Transfer Posting: Posted or Simulated Documents
FAGL_S_RPOSTED_DOCS_SHOW - Transfer Posting: List of Posted/Simulated Documents
FAGL_S_RREPOST_LEDGERS - Transfer: Relevant Ledgers with Period Start
FAGL_S_RRI_CUST - Flat Structure for Display/Maint. of FI-CO BRST Customizing
FAGL_S_RRI_PVER - Information on Plan Versions for Reporting Interface FI-CO
FAGL_S_RRI_RE - Structure for Search Help Connection for Drilldown Reports
FAGL_S_RSIG - Reorganization: Signature
FAGL_S_RSNAPSHOT - Structure for Reporting Snapshot
FAGL_S_RSNAPSHOT_ALLOC - Snapshot Structure for Transfer Posting (Allocated)
FAGL_S_RSNAPSHOT_SHOW - Data Structure for Snapshot Display
FAGL_S_SCREEN_XBRL - screen
FAGL_S_SEL - Restrictions (with Text)
FAGL_S_SELECTION - Transfer Structure: Selection Options
FAGL_S_SIMPLE_CONTENT - gcd data: simple content table
FAGL_S_SIM_ASGMTSRC - Simulation of Document Splitting: Origin of Assignments
FAGL_S_SIM_PROCDATA - Split Simulation: Data for Business Transaction Variant
FAGL_S_SIM_PROCDET - Split Simulation: Derivation of Business Transaction Variant
FAGL_S_SIM_PROCVAR - Split Simulation: Business Transaction Variant
FAGL_S_SIM_TYPEDET - Split Simulation: Derivation of the Item Type
FAGL_S_SO_INFO - Structure: Sales Order Items with Profit Center
FAGL_S_SPL - Split Information: General
FAGL_S_SPLINFO_KEY - Splitting Information: Open Items: Key
FAGL_S_SPLINFO_KEY_INX - Splitting Information: Open Items Key: Inx
FAGL_S_SPLINFO_KEY_VAL - Splitting Information: Open Items Key: Values
FAGL_S_SPLINFO_PL - Splitting Information on Open Items: CO Objects
FAGL_S_SPLINFO_PS - Splitting Information on Open Items: Public Services
FAGL_S_SPLINFO_RSG - Splitting Information on Open Items: Receiver Segmnt Objects
FAGL_S_SPLINFO_SG - Splitting Information on Open Items: Segment Objects
FAGL_S_SPLINFO_SSG - Splitting Information on Open Items: Sender Segment Objects
FAGL_S_SPLIT_FIELD_SHLP - Structure for Search Help Setup
FAGL_S_SPL_ANA_ACCASGMT - Simulation of Document Splitting: Origin of Assignments
FAGL_S_SPL_ANA_ITEM - Simulation Data for Document Splitting: Item
FAGL_S_SPL_ASSET - Account Assignment: Assets
FAGL_S_SPL_INTFLDS - Fields Required Internally
FAGL_S_SPL_ITEM - Migration: Base Reference for Document Splitting
FAGL_S_SPL_RELATION - Migration: Specify Distribution of Document Splitting
FAGL_S_SREP_ACC_COCD_ATTR - Company Code-Dependent Attributes of the Account
FAGL_S_SREP_BALANCES - Balances
FAGL_S_SREP_BALANCES_CUM - Cumulated Balances
FAGL_S_SREP_BSPL - Extraction Structure for Financial Statements
FAGL_S_SREP_BSPL_ADD - Additional Fields for Balance Sheet Extractor
FAGL_S_SREP_DOCUMENTS - Documents, Compact (Entry View)
FAGL_S_SREP_EXTSTRUCT_LEAD - Extraction Structure for the Leading Ledger
FAGL_S_SREP_FSITEM_TEXT - Texts of Financial Statement Items
FAGL_S_SREP_GET_ACC_ALL_ATTR - All Attributes of the Account
FAGL_S_SREP_LINE_ITEMS - Gen. Ledger: Line Items
FAGL_S_SREP_PLAN_LINE_ITEMS - General Ledger: Plan Line Items
FAGL_S_SREP_SELECTTAB - Structure with Selection Criteria
FAGL_S_SUM_OUT - Structure for Output Table of Bal.Carryforward Prog. for OIs
FAGL_S_T8G40_BS - Split Fields with Characteristic "Balance Sheet"
FAGL_S_TABLEGROUP - Table group
FAGL_S_WBS_INFO - Structure: WBS Elements (Key + Additional Information)
FAGL_T030TR - Customizing for Balance Translation
FAGL_T889A - Document Types with Number Ranges in Planning in Gen. Ledger
FAGL_T889T - Document type texts
FAGL_T8A30 - General Ledger: Default Profit Center
FAGL_TABNAMES - Names of Database Tables
FAGL_TABNAME_RANGE_S - Line of a Range Table of Table Names
FAGL_TCCONTROL - Dynamic Table Control: Control Data
FAGL_TCFL - Return Structure for Function FAGL_TC_DYNAMIC_PBO (FSKB)
FAGL_TCMAP - Customer Fields in Entry Variants for G/L Account Items
FAGL_TCMATCH - Dyn. Table Control: Assign Field <-> Generic Field
FAGL_TLDGRP - Ledger Group
FAGL_TLDGRPT - Ledger Group Texts
FAGL_TLDGRP_MAP - Assignment of Ledgers to Ledger Groups
FAGL_TOT_SEG - Transfer Structure: Balances in FI for Segment,Profit Center
FAGL_TRVOR - General Ledger: Control Statement
FAGL_TS_ADD_SEL_SPLINFO - Additional Selection Characteristics for FAGL_SPL_ACCIT_GET
FAGL_VAL2_LOCKS - Lock of Intervals and Sets
FAGL_VALIDATE_GROUPS - Sets for the Rules Tables
FAGL_VAL_COCODE - Allocation to company code
FAGL_VAL_GRP - Sets for the Validation of Account Assignment Combinations
FAGL_VAL_HDR - Validation Strategy
FAGL_VAL_HDRT - Validation Strategy (Texts)
FAGL_VAL_LEDGR - Assignment to Ledger Group
FAGL_VAL_LOCKS - Reference to the Data Container Containing the Intervals
FAGL_VAL_LOG - Validation of Document Splitting: Log
FAGL_VAL_MAPPING - Mapping Between Rules Table and Data Structure
FAGL_VAL_PROCESS - Document Splitting: Validation Mode Dependent on Processes
FAGL_VAL_TRIGGER - Update of Tables for Validation
FAGL_WZ_NEW_RULE_UI01 - UI Structure: Create Business Transaction Variant
FAGL_WZ_NEW_RULE_UI02 - UI Structure: Assignment of Item Categories
FAGL_WZ_NEW_RULE_UI03 - UI Structure: Copy Rule
FAGL_WZ_NEW_RULE_UI04 - UI Structure: Distribution Rule (Tree Information + Data)
FAGL_WZ_NEW_RULE_UI041 - UI Structure: Distribution Rule (Data)
FAGL_WZ_NEW_RULE_UI05 - UI Structure: Assign Document Type
FAGL_WZ_NEW_RULE_UI06 - UI Structure: Simulate Document Splitting
FAGL_WZ_SPLIT_CONF_UI02 - UI Structure: Classification of G/L Accounts
FAGL_WZ_SPLIT_CONF_UI03 - UI Structure: Classify Document Types
FAGL_WZ_SPLIT_CONF_UI04 - UI Structure: Document Splitting Characteristics
FAGL_WZ_SPLIT_CONF_UI05 - UI Structure: Define Zero Balance Clearing Account
FAGL_WZ_SPLIT_CONF_UI06 - UI Structure: Edit Constants for Nonassigned Processes
FAGL_WZ_SPLIT_CONF_UI07 - UI Structure: Activate Document Splitting
FAGL_YS_LOG_INFO - Log - Header Context Information
FAGL_YS_LOG_TREE - Tree Log Components
FBS_FIELD_SELECT_OPTIONS - Selection Options for a Field
FBS_FIELD_VALUE - Field and Value
FBS_GENERIC_RANGE - Generic Structure for Selection Conditions
FBS_RA_DATE - Range for Date
FBS_RA_GUID16 - Range for GUIDs (16)
FBS_RA_USER - Range for User
FBS_TABLE_FIELD_RANGES - Selection Options Relating to a Table Field
FBS_TABLE_SELECT_OPTIONS - Structure of RSDS_RANGE
FBS_TABLE_WHERE - Table >> WHERE Clauses
FBS_VRGNG_RANGE - Selection Options for Operation
FMPEB_ACCOUNT_ASSIGNMENT - Account Assignment Info
FMPEB_ACCTAX - Tax per Account
FMPEB_ACC_ADJUST - Adjust ACC Structure - Posting
FMPEB_ACC_DOC - Tax per Account
FMPEB_ACC_SAVE - Structure of Posted Accounts with Same Doc. Number
FMPEB_ALV_ADJUST - ALV Structure Adjust List
FMPEB_ALV_ITEM - ALV Structure Tax Item List
FMPEB_ALV_LIST - ALV Structure Tax List
FMPEB_ASSIGN - Assign Org. Units to Partially Exempt Organizations
FMPEB_ASSIGN_ENT - Assign Entries in Accordance with Customizing
FMPEB_ASSIGN_H - Assignment of Org. Units to Partially Exempt Organizations
FMPEB_BSEG_DATA - BSEG Data
FMPEB_BSET_DATA - BSET Data
FMPEB_CUST_DATA - PEO Customizing Information
FMPEB_DEF - Define Partly Exempt Organization
FMPEB_DEFT - PEO Name
FMPEB_ENTITY_ACCOUNTS - Possible Characteristics of Partially Exempt Institutions
FMPEB_GLOBALS - Partially Exempt Organizations: Basic Settings
FMPEB_GL_ACCOUNT - Account with FI-CA Account Assignment
FMPEB_KSLEGEND - Legend (Account Key, PEO Reports)
FMPEB_RATE_DEF - Assign Input Tax Deduction Rates
FMPEB_STLEGEND - Legend (Tax Code, PEO Reports)
FMPEB_TAXDATA - PEB Tax Information
FMPEB_TAXIND - Assign Tax Codes to Exempt Organizations
FMPEB_TAXSUM - Totals Incl. VAT Indicator and G/L Acct No. Assignment
FMPEB_TAX_INFO - Basic Tax Information
GCD_S_POS - gcd position inner table for find siblings
GISOURCE - FI-SL: Additional fields for InfoSource structure
GLACCOUNT_WEB_ADDITIONAL_DATA - G/L Account Master Change Request: Additional Fields
GLACCOUNT_WEB_ATTRIBUTES - G/L Account Master Data Change Request: Attribute Fields
GLACCOUNT_WEB_ATTRIBUTES_DB - Change Request for G/L Master Data: Attribute Fields-DB Name
GLACCOUNT_WEB_KEY - G/L Account Master Data Change Request: Key Fields
GLFLEX00 - General ledger: Organizational units
GLFLEX00_INC - General ledger: Organizational units
GLFLEX01 - General ledger: Technical fields
GLFLEX01_INC - General ledger: Technical fields
GLFLEX02 - General ledger: Main account assignment
GLFLEX02_INC - General ledger: Main account assignment
GLFLEX03 - General ledger: SAP additional account assignment
GLFLEX03_INC - General ledger: SAP additional account assignment
GLFLEX04 - General ledger: Customer additional account assignment
GLFLEX05 - General ledger: Sender main account assignment
GLFLEX05_INC - General ledger: Sender main account assignment
GLFLEX06 - General ledger: Sender SAP additional account assignment
GLFLEX06_INC - General ledger: Sender SAP additional account assignment
GLFLEX07 - General ledger: Transaction attributes
GLFLEX07_INC - General ledger: Transaction attributes
GLFLEX08 - General ledger: Branches
GLFLEX08_INC - General ledger: Branches
GLFLEXA - Flexible general ledger: Actual line items
GLFLEXDYNP - FI-SL Table Installation: Structure for Screen Creation
GLFLEXKEY - Structure with the keys of the flexible general ledger
GLFLEXP - Flexible G/L: Plan line items
GLFLEXS - Flexible General Ledger Reporting
GLFLEXT - Flexible G/L: Totals
GLFLEX_FMOD - Screen structure
GLFLEX_GLSIP - Flexible general ledger line item writing
GLFLEX_SCENARIOS - Standard scenarios for the flexible general ledger
GLPCACT_STD - Standard fields for V_GLPCA_CT
GLPCA_CT - Profit Center Documents
GLPCA_CT_VALUES - GLPCA_CT: Key Figures
GLPOSCCT_STD - Standard fields for V_GLPOS_C_CT
GLPOSNCT_STD - Standard fields for V_GLPOS_N_CT
GLPOS_C_CT - FI Document: Entry View
GLPOS_C_CT_VALUES - GLPOS_C_CT: Key Figures
GLPOS_N_CT - New General Ledger: Line Item with Currency Type
GLT0_INCLUDE_REF - Reference include for general ledger extension
GLX_INST_HEADINGS - Header information fir the general ledger table extension
GLX_TABLES_AND_INCLUDES - Tables, includes, and their dependency
GLX_TODO - Messages from the installation check
IFAGL_RMAP_SAP - -Obsolete- Reorganization: Include for Table FAGL_RMAP_SAP
IGL_LH_OBJECT_ATTRIBUTES - ALV Grid Lists: Attributes for Displaying Object Information
IGL_LISTHEADER_ACTION - ALV Grit Action Information for General List Headers
IGL_LISTHEADER_DATA - Object and Action Information in ALV-GRID List Headers
IGL_TOP_MESSAGE - Messages for List Header Output in ALV Grid Lists
ISR_LANGUAGES - Internet Scenarios: Languages
KNA1_FS - Customer Master
KNB1_FS - Customer Company Code
LFA1_FS - Vendor Master
LFB1_FS - Vendor Company Code
NGLM_ANA_HD - Analysis Run Header
NGLM_ANA_IT - Analysis Run Items
OFFSACCT_BUKRS - Company code for offsetting account determination
PCA_HDB_COMMONS - GLPCA_CT: frequently used attributes
PCA_HDB_KEYFIG - PCA: Value Fields
PCA_S_CURRENCY_VALUE - PCA: Currencies and Values
QISRPCRTYPE_SCEN - Document Types with Scenario for Posting Correction Request
QISRPCR_TRANSACT - Transactions for Adjustment Postings: Adj. Posting Request
RFUMS_ALV_INPUT_VAT - Tax Reporting with ALV: Input Tax Totals List
RFUMS_ALV_OUTPUT_VAT - Tax Reporting with ALV: Output Tax Totals List
RFUMS_ALV_TOTAL_VAT - Tax Reporting with SAP List Viewer: Totals List
RFUMS_ALV_VAT - Tax Reporting with ALV: Line Items List
RFUMS_BSEG - Additional Fields from BSEG for RFUMSV00
RFUMS_DITEM_S - Line Items for DME Tool (Adv.Return for Tax on Sales/Purch.)
RFUMS_DPARAM - Parameters for DME Engine (Adv.Return for Tax on Sales/Pur.)
RFUMS_DPARAM_S - Parameters for DME Tool (Adv.Return for Tax on Sales/Purch.)
RFUMS_OPEN_ITEM - Line Items: Invoice Amount from Open Vendor Invoices
RFUMS_OPEN_ITEM_2 - Line Items: Open Vendor Invoices (Error List)
RFUMS_OPEN_ITEM_TAX - Line Items: Input Tax from Open Vendor Invoices
RFUMS_TAB_EP - Tax on Sales/Purchases Line Item Information (BSET Extract)
RFUMS_TAX_ITEM - Tax on Sales/Purchases Line Item Information
RGFLEXDY - FI-SL Table Installation: Structure for Screen Creation
RTAX1U17 - MWSKZ Structure
SAPF100_INOUT - Mapping of SL to GL Names
SAPF100_OUTIN - Name in GL - Required for Postings
SI_GLPCA_CT - GLPOS_C_CT: Standard fields
SI_GLPOS_C_CT - GLPOS_C_CT: Standard fields
SI_GLPOS_N_CT - GLPOS_N_CT: Standard Fields
SKA1_FS - G/L Account Master Record
SKB1_FS - G/L Account Company Code
SPL_INCL - SL Online Splitter: Enhancement
T000GL - Flexible general ledger: Customizing check and activation
T011T_XBRL - Financial statement version names
T011_XBRL - Financial Statement Versions
T800F - Conversion Table for New General Ledger Fields
T882G - Company code - ledger assignment
T886G - Flexible general ledger: Interface information
T888G - Customer fields for flexible general ledger
T888S - Update flexible general ledger: Standard scenarios
T889G - Document types for the flexible general ledger
T889GO - Number range for document types
T889GT - Document type texts
T8G01 - Splitting method
T8G01T - Splitting method
T8G02 - Item categories
T8G02T - Item categories
T8G03 - Business transaction
T8G031 - Accounting transaction variant
T8G031T - Accounting transaction variant
T8G03T - Business transaction
T8G10 - Assignment: Transaction code- accounting transaction variant
T8G11 - Assignment: MM movement type- accounting transaction variant
T8G12 - Classify FI Document Type for Document Splitting
T8G16 - Allocation: internal key - item category (SAP)
T8G17 - Allocation: acct number - item type
T8G20 - Splitting Rule: Header Data
T8G21 - Splitting rule: Item categories to be processed
T8G21A - Splitting rule: Base item categories
T8G22 - Splitting rule: Additional items
T8G28 - Item categories permitted per accounting transaction variant
T8G29 - Item categories permitted for each business transaction
T8G30A - Acct determination key for doc splitting
T8G30AT - Account determination key description for doc splitting
T8G30B - Acct determination for document splitting - accounts
T8G40 - Account assignment objects for document splitting
T8G41A - Constants
T8G41AT - Constants
T8G41B - Values of constants
T8G50 - Permitted Fields To Be Summarized (Before Doc. Splitting)
TAX_ALV_INFO - Information on the ALV of a Table
TAX_ALV_TABLE - Table Structure: Information on the tables output with ALV
TAX_REP_BATCH_INPUT_DOCUMENT - Table Structure - Interface Description - Document
TAX_REP_BATCH_INPUT_DOC_SPLIT - Output Structure, RFUMSV00
TAX_REP_COMPANY_CODE - Names of Company Codes
TAX_REP_PAYMENT_CHARGE - Table Structure - Interface Description - Tax Payable
TAX_REP_PAYMENT_CHARGE_SPLIT - Structure for RFUMSV00: Tax Payable Posting with Doc. Split
TAX_REP_STRUC_001 - Output List Structure in Program for Input Tax Rebate
TAX_REP_STRUC_001_BKPF - Fields from Table BKPF for Structure TAX_REP_STRUC_001
TAX_REP_STRUC_001_BSEG - Fields from Table BSEG for Structure TAX_REP_STRUC_001
TAX_REP_STRUC_001_LFA1 - Fields from Table LFA1 for Structure TAX_REP_STRUC_001
TFC_BALANCECMP - Documents/Balances Comparison
TFC_BALANCECMP_DIFF - Balance Comparison: Differences Found
TFC_BALANCECMP_DIM - Comparison at Ledger Level with Additional Dimension
TFC_CMPMESSAGE - Error Messages
TFC_CMPOUTPUTLIST - Output of Results
TFC_SMALLBKPF - Small BKPF
TFC_SMALLBSEG - Small BSEG
TGCDT_REPORTER - GCD Reporter Name
TGCDT_VER - GCD Revision Data Names
TGCDT_XBRL - GCD Version Names
TGCD_REPORTER - GCD Reporter
TGCD_VER - GCD Revision Data
TGCD_XBRL - GCD Versions
TPCRTYPE - Document Types for Posting Correction Request
TVAT001 - Customizing of Tax on Sales/Purchases - Control of Screen
UNCHANGEABLE_TAX_INPUT - Non-Modifiable Fields for User Exit
UNCHANGEABLE_TAX_OUTPUT - Unchanged Fields
VAT_COND_MAN - Transfer Structure for Manual Control at Condition Level
VAT_DISTRIBUT - Distribution of Tax
VAT_ITEM - Line Item for Tax Calculation
VAT_ITEM_COND - Condition Record for Tax Calculation
VAT_ITEM_IN - Input Structure for Tax Calculation
VAT_ITEM_MAT - Material-Dependent Data for Tax Calculation
VAT_ITEM_ORG - Organizational Terms for the Tax Calculation
VAT_ITEM_OUT - Output of Tax Calculation
VAT_ITEM_SUMMARY - Summary Data per Tax Line Item
VFAGL_GCDPC_VER - Change Document Structure; Generated by RSSCD000
VFAGL_GCDVC_VER - Change Document Structure; Generated by RSSCD000
SAP Multi Currency Accounting Tables FI-GL-CU-MCA
SAP Flexible Structures Tables FI-GL-FL
SAP Basic Functions Tables FI-GL-GL
ACC_TTET_COM_TAX_TAXM - TTE: US Tax Document Item for external System + Node ID
ACC_TTE_BILL_ITEM_TAXM - TTE: Tax Doc Item + CRM Key (Copy of ACC_TTE_BILL_ITEM AX7)
ACC_TTE_CHANGE_FIELDS_TAXM - Communication structure for function EXTERNAL_TAX_DOC_CREATE
BAPI1028EXT_1 - Structure object 1028: Parameter extension1 GL GetDocItems
BAPI1028_0 - Object 1028 transfer structure: Import structure
BAPI1028_11 - Transfer structure object 1028: Importstructure_1 GLX
BAPI1028_12 - Transfer structure object 1028: GL GetDocItems
BAPI1028_3 - Object 1028 transfer structure: G/L get current balance
BAPI1028_4 - Object 1028 transfer structure: G/L get balance detail
BAPI1028_5 - Object 3006 transfer structure: Import structure
BAPI3006_3 - Object 3006 Transfer Structure:G/L Account GetCurrentBalance
BAPI3006_4 - Object 3006 Transfer Structure: G/L Account GetBalanceDetail
BSACC_HIST_CUST - General Settings for Account History
BSACC_HIST_GRP - Account Groups for Account History
BSACC_HIST_GRPT - Account Groups for Account History
BSACC_HIST_GRP_MAINTAIN - Pflege der Kontengruppen für den Kontenverlauf
BSACC_HIST_TA - Account History: Transaction Types Used
BSK00 - G/L account master transaction data for batch input
BSKA1 - G/L account master (chart of accounts) (batch input)
BSKAT - G/L account master (chart of accounts: name) (batch input)
BSKB1 - G/L account master (company code) (batch input)
BSKX - G/L account master record: Flat structure
BSPL_ACCOUNT_GROUP_TEXT - Account Groups for Account History
BSPL_ACC_GROUP_TEXT_UI_INFO - Definition: Account Groups + UI Information
BSPL_ACC_HIST_SETTINGS - Runtime Settings for Account History
BSPL_ADJUSTMENT_POSTING - Adjustment Postings: Transaction Types
BSPL_AMOUNTS - Number of Amounts Appearing as Columns in Balance Sheet
BSPL_BUKRS - Company Code in Web Dynpro from UIBB
BSPL_COMMON_FIELDS - General Fields for Balance Sheet
BSPL_COMPONENT_TEXT - Texts for Transaction Types
BSPL_GRID_FIELDCAT - Field Catalog for Financial Statement Reporting with ALV
BSPL_SAKNR_RANGE - Range for Account Number
BSPL_SAKNR_SELOPT - Range for Account Number
BSPL_SEARCH_SELOPTS - Selection Options for Search Dialog
BSPL_SELECTIONS - Selections for Balance Sheet Dialog
BSPL_SELECTIONS_GENERAL - Selections for Balance Sheet Dialog
BSPL_SELECTIONS_PARAMS - Selections for Balance Sheet Dialog
BSPL_SELECTIONS_SELOPTS - Selections for Balance Sheet Dialog
BSPL_SELECTIONS_SPECIAL - Selections for Balance Sheet Dialog
BSPL_SHOW_ZERO_BALANCE - Display Accounts with Zero Balance
BSPL_TRANSACTION_TYPES - Transaction Types for Account History
BSPL_TREE_FIELDCAT - Field Catalog for Financial Statement Reporting with ALV
BSPL_TREE_FIELDCAT_WD - Field Catalog for Financial Statement Reporting with ALV
BSPL_TREE_FIELDCAT_WD_GENERIC - Field Catalog for Financial Statement Reporting with ALV
BSPL_TREE_HEADER_TEXT - Title + Accessibility Description
BSPL_TREE_KEY - Node Definition for Hierarchy Display
COL_INT - Colour/intensity pairing
COM_ERR_DOC - US tax interface: Communication structure for error messages
COM_TAX - US tax interface : Communication structure for tax calc.
COM_TAX00 - US tax interface : Com. structure for RFC_CALCULATE_TAXES
DOC_LINE_ALV_AAO - FI-GL transfer postings (ALV):Additional acct assign.objects
DOC_LINE_ALV_ACCOUNTS - FI-GL transfer postings (ALV): Accounts
DOC_LINE_ALV_KEY - FI-GL transfer postings (ALV): Key
ETDTAX_ITEM_INFO_OUT - Tax Interface: document item output.
ETDTAX_MAT_INF - External Tax document substructure: material info
ETDTAX_POST_INF - External Tax Document substructure: Posting Info
ETDTAX_TRANS_INF - Tax substructure: Transaction Info
ETXDCH - External tax document: header info
ETXDCI - External tax document: line item info
ETXDCJ - Ext. tax document: tax rates and amounts by Jurisdict. level
ETXDCLOG - Temporay table for storing last error message of an update
EXTAX_AUDIT_DATA - Document data to be updated into external syst. (Int. struct
EXTAX_CALC_DATA_INPUT - Tax document input data struct. used for tax calculation
EXTAX_CALC_DATA_OUTPUT - Tax document output data struct. used for tax calculation
EXTAX_CAL_ITEM_IN - item input data internal structure for tax calculation
EXTAX_CAL_ITEM_OUT - Item output data internal structure for tax calculation
EXTAX_DOC - external tax document header input data
EXTAX_DOC_GL_INF - Tax substructure: G/L info on document level
EXTAX_DOC_IN - external tax document header input data
EXTAX_HEAD_AUDIT_DATA - document header input data for update (internal struct).
EXTAX_ITEM_AUDIT_DATA - xtax item data to update the external system
EXTAX_ITEM_CALC_DATA - item data containing tax calculation by the external system
EXTAX_ITEM_CALC_INPUT - item input data for tax calculation by the external system
EXTAX_ITEM_CALC_OUTPUT - item data output from tax calculation by the external system
EXTAX_ITEM_IN - external document item input data
EXTAX_ITEM_INPUT_AUDIT_DATA - Tax force update internal structure
EXTAX_ITEM_OUT - external document item output data
EXTAX_JURLEVEL_AUDIT_DATA - xtax tax amounts and rates by jurisd. to be updated
EXTAX_JUR_LEVEL - external document jurisdiction level tax data
EXTAX_LEVEL_AUDIT_DATA - tax data per level used for update
EXTAX_LEVEL_CALC_DATA - tax data per level used for calculation (int. struc.)
EXTAX_PERSISTENT - Persistent data for external tax document
EXTAX_POST_INFO - External tax document item posting info
EXTAX_RESULTS_OUT - external document tax output data
EXT_CONTROL_DATA - Tax substructure: tax system control data
F181_FIELDS - P&L Adjustment: Possible Account Assignment Fields
F181_FIELDS_ALV - P&L Adjustment: Possible Account Assignment Fields
F181_FIELDS_PL - P&L Adjustment: Possible Account Assignment Fields (P&L)
F181_FIELDS_SP - P&L Adjustment:Possible Acct.Assignment Fields(Ind.Postings)
FAGL_ACC_RFBISAI1_LIST - ALV Structure for RFBISAI1
FAGL_BSPL_LANG_TRANSPORT_MAIN - Financial Statement Version: Transport of Texts
FAGL_SLL_CLOCO - Closing Cockpit Templates for Switching Leading Ledger
FAGL_SLL_CLOCO_I - Closing Cockpit Instances for Switching Leading Ledger
FAGL_S_ACCOUNT_RESULT - G/L Account Display
FAGL_S_ACCOUNT_RESULT_UI - G/L Account Display
FAGL_S_ACCOUNT_SEARCH - G/L Account Search
FAGL_S_ACCOUNT_SEARCH_UI - G/L Account Search
FAGL_S_AP_ITEM_UI - Customer Lines
FAGL_S_AR_ITEM_UI - Customer Lines
FAGL_S_DOC_HEADER - FI Document Header
FAGL_S_DOC_HEADER_BALANCE_UI - FI Document Header
FAGL_S_DOC_HEADER_BSP - FI Document Header
FAGL_S_DOC_HEADER_UI - FI Document Header
FAGL_S_DOC_MAPPING - Mapping of Structure Fields
FAGL_S_DOC_RESULT_UI - FI Document Header
FAGL_S_DOC_SEARCH_UI - Structure for Search Results for Examples
FAGL_S_GL_ITEM_UI - G/L Account Item
FAGL_S_ITEM_MAPPING - Mapping of Structure Fields
FAGL_S_LINE_ITEM - General Line Item (Transport Structure, Not Permanent)
FAGL_S_LINE_ITEM_DETAIL_UI - General Line Items (Screen Display)
FAGL_S_LINE_ITEM_UI - General Line Items (Screen Display)
FAGL_S_RFAUSZ00_LIST_ALV - FAGL_S_RFAUSZ00_LIST_ALV
FAGL_S_RFAWVZ40_LIST - FAGL_S_RFAWVZ40_LIST
FAGL_S_RFBISAI1_LIST - ALV Structure for RFBISAI1
FAGL_S_RFKKBU00_LIST - ALV Structure for Report RFKKBUB00
FAGL_S_RFSKPL00_LIST - ALV Structure for Report RFSKPL00
FAGL_S_RFSKTH00_LIST1 - ALV Structure for Report RFSKTH00
FAGL_S_RFSKTH00_LIST2 - ALV Structure for Report RFSKTH00
FAGL_S_RFSUMB00_LIST1 - ALV Structure for Report RFSUMB00
FAGL_S_RFSUMB00_LIST2 - ALV Structure for Report RFSUMB00
FAGL_S_RFSUMB00_LIST3 - ALV Structure for Report RFSUMB00
FAGL_S_RFSUMB00_LIST4 - FAGL_S_RFSUMB00_LIST4
FAGL_S_RFSUMB00_LIST5 - FAGL_S_RFSUMB00_LIST5
FAGL_S_RFSUSA00_ACC_BALANCE - FAGL_S_RFSUSA00_ACC_BALANCE
FAGL_S_RFSUSA00_CC_BALANCE - FAGL_S_RFSUSA00_CC_BALANCE
FAGL_S_RFYTXDISPLAY_LIST - STRUCTURE FOR RFYTXDISPLAY_ALV
FAGL_S_RFYTXT10_LIST - Structure for RFYTXT10
FAGL_S_RFYTXUPDATE_LIST - Output Structure for Program RFYTXUPDATE
FAGL_S_TAX_ITEM_UI - Tax Item
FBS_CHT_ACCTS_RPLCTNRC - Confirmation for replication request CoA
FBS_CHT_ACCTS_RPLCTNRQ - Replication chart of accounts
FBS_CHT_ACCTS_RPLCTNRQ_V1 - Replication chart of accounts - Version 1
FBS_CHT_ACCTS_RPLCTN_REQ_MSG - Replication of chart of accounts
FBS_CHT_ACCTS_RPLCTN_REQ_MSGV1 - Replication of chart of accounts
FBS_CMPRPLCTNCO_BULK_MESSAGE - Bulk confirmation about replication of company
FBS_CMPRPLCTNRQ_BULK_MESSAGE - Bulk replication request for company
FBS_FINRPTGSTRC_RPLCTNRC - Statusmeldung zur Replikation von Bilanz und GuV-Struktur
FBS_FINRPTGSTRC_RPLCTNRQ - Replikation von Bilanz- und GuV-Struktur
FBS_GLACCT_MSTR_RPLCTNRC_BULK - Confirmation about replication of general ledger account mas
FBS_GLACCT_MSTR_RPLCTNRQ_BULK - Replication request for general ledger account master
FBS_SE_GLACCOUNT_CCODEX - G/L Account Master Record: Company Code
FBS_SE_GLACCOUNT_CCODE_DATAX - G/L Account Master Record: Company Code - Data
FBS_SE_GLACCOUNT_CCODE_INFOX - G/L Account Master Record: Company Code - Information
FBS_SE_GLACCOUNT_COAX - G/L Account Master Record: Chart of Accounts
FBS_SE_GLACCOUNT_COA_DATAX - G/L Account Master Record: Chart of Accounts - Data
FBS_SE_GLACCOUNT_COA_INFOX - G/L Account Master Record: Chart of Accounts - Information
FBS_SE_GLACCOUNT_NAMEX - G/L Account Master Record: Descriptions
FBS_SE_GLACCOUNT_NAME_DATAX - G/L Account Master Record: Descriptions - Data
FBS_SE_T004T_UPD - Structure for Database Update
FBS_SX_ACCOUNT - All Data of a G/L Account
FBS_SX_ACC_RPLCTN_WORK_STRUC - Internal Structure for Replication of GL Master Data
FBS_SX_CHNG_SKB1 - G/L Account Master Record: Company Code
FBS_SX_COA - Chart of Accounts
FBS_SX_COAT - Texts for Chart of Accounts
FBS_SX_COA_CHNG_JOINT - Chart of Accounts Data (Flat)
FBS_SX_COA_JOINT - Chart of Accounts Data (Flat)
FBS_SX_COA_WRK_STRC - Chart of Accounts Master Data for Replication
FBS_SX_COMPANY - Data for company
FBS_SX_COMP_ADDRESS - Internal Structure for Company Data
FBS_SX_COMP_CURRENCY - Internal Structure for Company Data
FBS_SX_COMP_RPLCTN_WORK_STRUC - FBS_SX_COMP_RPLCTN_WORK_STRUC
FBS_SX_COMP_TEXT - Internal Structure for Company Data
FBS_SX_COMP_WRK_STRC - Internal Structure for Replication of Company Data
FBS_SX_CONFIRMATION - General Confirmation Message
FBS_SX_FEH_CONTEXT - Context for FEH Processing
FBS_SX_FRS_MAPPING_TARGET - ZUSMD_REP_MAPPING_TARGET
FBS_SX_FRS_MAPPING_TARGET_CHNG - Target Structure for SMT Change Structure
FBS_SX_FRS_MAPPING_TGT_ITM - Target Structure for SMT: Items
FBS_SX_FRS_MAPPING_TGT_ITMX - Target Structure for SMT Change Structure
FBS_SX_FRS_MAPPING_TGT_VERSN - Target Structure for SMT: Version
FBS_SX_FRS_MAPPING_TGT_VERSNX - Change Structure for SMT
FBS_SX_FRS_RPLCTN_WORK_STRUC - Internal Struct. for Replicatn of GL Fin. Reporting Struct.
FBS_SX_FRS_WORK_STRUC_JOINT - All Data as Flat Version
FBS_SX_SKA1 - G/L Account (Chart of Accounts Part)
FBS_SX_SKAT - Texts of an Account
FBS_SX_SKA_CHNG_JOINT - G/L Account Master (Chart of Accounts Part)
FBS_SX_SKA_JOINT - G/L Account Master (Chart of Accounts Part)
FBS_SX_SKB1 - G/L Account Master Record: Company Code
FBS_SX_SMT_COMP_MAPPING_TARGET - Target Structure for SMT Mapping
FBS_SX_SMT_GLACCT_MAPPING_CHNG - Change Structure for Transfer to SMT
FBS_SX_SMT_GLACCT_MAPPING_TGT - Target Structure for SMT for G/L Account Master
FBS_SX_UPD_CONTROL - General Control Data for Update
FBS_SX_VERSION - Master Data of a Financial Statement Version
FBS_SX_VERSION_JOINT - Master Data of Financial Statement Version (Flat)
FBS_SX_VERSN_ITEM - Element of a Financial Statement Version
FBS_SX_VERSN_ITEM_JOINT - Item as Flat Version
FBS_SX_VERSN_ITEM_SCVCPC - Element of a Financial Statement Version
FBS_SX_VERSN_NAME - Texts for a Financial Statement Version
FBS_SX_VERSN_WRK_STRUC - Master Data of a Financial Statement Version
FBS_S_011PC - Element of a Financial Statement Version in the Hierarchy
FBS_S_011PCX - Change Structure
FBS_S_CCD_KEY - Key Fields: G/L Account Master: Company Code
FBS_S_COA - G/L Account Master: Chart of Accounts
FBS_S_COAT - G/L Account Master: Chart of Accounts
FBS_S_COAT_KEY - Key for Chart of Accounts Texts
FBS_S_COA_ACC_KEY - Key Fields of a G/L Account (Chart of Accounts Part)
FBS_S_COA_ACC_NAME_KEY - Key Fields of the Texts of an Account
FBS_S_COA_KEY - Key Fields: Chart of Accounts
FBS_S_COMPT_KEY - Key for Company Texts
FBS_S_COMP_ADDRESS - Address Data for Company
FBS_S_COMP_ADDRESSX - Address Data for Company
FBS_S_COMP_ADDRESS_INFO - Address Data
FBS_S_COMP_ADDRESS_KEY - Key for Address
FBS_S_COMP_CURR - Replication of Company: Currency Information
FBS_S_COMP_CURRX - Replication of Company: Currency Information
FBS_S_COMP_CURR_KEY - Replication of Company: Currency
FBS_S_COMP_DATA - Company Data
FBS_S_COMP_KEY - Key for
FBS_S_COMP_TEXT - Texts for a Company
FBS_S_COMP_TEXTX - Texts for a Company
FBS_S_EXT_HIER_STRUC - ZUSMD_EXT_HIER_STRUC
FBS_S_FAGL_011FC - Assignment of Elements to Functional Area
FBS_S_FAGL_011FCX - Change Structure
FBS_S_FAGL_011QT - Texts of an Element of the Financial Statement Version
FBS_S_FAGL_011QTX - Change Structure
FBS_S_FAGL_011SCVCPC - Element of a Financial Statement Version
FBS_S_FAGL_011SCX - Change Structure
FBS_S_FAGL_011VCX - Change Structure
FBS_S_FAGL_011ZC - Assignment of Financial Statement Element to G/L Account
FBS_S_FAGL_011ZCX - Change Structure
FBS_S_FIELD_STATUS_GROUP_CTX - Value Mapping Context for Field Status Group
FBS_S_FLD_CNTRL - ZUSMD_FIELD_CONTROL
FBS_S_FRS_ITEM_TEXT - ZUSMD_REP_WORK_ITEM_TEXT_S
FBS_S_HIER_RELATION - ZUSMD_EXT_HIER_STRUC
FBS_S_HIER_RELATIONX - Change Structure
FBS_S_MESSAGE_VAR - Message Variables for Exceptions
FBS_S_SKA1 - G/L Account Master: Chart of Accounts
FBS_S_SKAT - G/L Account Master Record Texts
FBS_S_SKAX_JOINT - G/L Account Master (Chart of Accounts Part)
FBS_S_SKB1 - G/L Account Master: Company Code Data
FBS_S_SKB1X - G/L Account Master Record: Company Code
FBS_S_SMT_COAT_CHNG - Change Structure for SMT and Chart of Accounts Text
FBS_S_SMT_COA_CHNG - Change Structure for SMT and Chart of Accounts Data
FBS_S_SMT_COMPANY_CHNG - Change Flags
FBS_S_SMT_COMP_ACTION_FLAGS - Action Indicator for Transfer of Action Flags
FBS_S_SMT_COMP_ADDRESS_SRC_SEQ - Sequential Number for Address Data
FBS_S_SMT_COMP_CNTRL - Control for Mapping for G/L Account Master
FBS_S_SMT_COMP_MAPPING_CNTRL - Control for Mapping for G/L Account Master
FBS_S_SMT_COMP_MAPPING_TARGET - Target Structure for SMT Mapping
FBS_S_SMT_FRS_ACTION_FLAGS - Action Indicator for Transfer from SMT
FBS_S_SMT_FRS_MAPPING_CNTRL - Control for Mapping for G/L Account Master
FBS_S_SMT_GLACCT_ACTION_FLAGS - Action Indicator for Transfer from SMT
FBS_S_SMT_GLACCT_CNTRL - Control for Mapping for G/L Account Master
FBS_S_SMT_SKA1_CHNG - Change Structure for SMT and G/L Account Master, A-Segment
FBS_S_SMT_SKAT_CHNG - Change Structure for SMT and G/L Account Master, Texts
FBS_S_SMT_SKB1_CHNG - ZUSMD_API_SKB1_CHNG
FBS_S_T011TX - Fields for Change Structure
FBS_S_T011X - Change Structure
FBS_S_T880X - Change Flags
FBS_S_VERSN - Master Data: Financial Statement Version
FBS_S_VERSNT - Texts of a Financial Statement Version
FBS_S_VERSNT_KEY - Key Fields for Texts of a Financial Statement Version
FBS_S_VERSN_ITEM_011ZC - Assignment of Financial Statement Element to G/L Account
FBS_S_VERSN_ITEM_011ZC_KEY - Key Fields
FBS_S_VERSN_ITEM_FUNC - Assignment of Elements to Functional Area
FBS_S_VERSN_ITEM_FUNC_KEY - Key Fields: Assignment of Element to Functional Area
FBS_S_VERSN_ITEM_KEY - Key Fields of an Element of the Financial Statement Version
FBS_S_VERSN_ITEM_TEXT - Texts of an Element of the Financial Statement Version
FBS_S_VERSN_ITM_TEXT_KEY - Key Fields for Texts of an Element of the F/S Version
FBS_S_VERSN_TEXT_KEY - Key Fields for Element Texts
FBS_S_VRSN_KEY - Key Fields for Financial Statement Version
FIBSTROB - Balance sheet structure <-> translation interface
FIBSTRTX - Balance sheet structure <-> translation interface
FIGL20_SKC1 - Additional Fields for G/L Functional Area - Balances
FIGLDOC - G/L accounting: Subsequent derivations
FIGLREP - Settings for G/L Posting Reports
FIGL_USER_DATA - User-Specific Data for Individual Transactions
FIGL_USER_OWNER - Applications for User-Specific Data
FIGL_USER_OWNERT - Applications for User-Specific Data
FIN_UI_DOC_HEADER - FI Document Header
FIRCL_CLEARING_ACC_INFO - Data for Clearing Item
FSKAS - Posting structure
FSKAT - Change document structure; generated using RSSCD000
GLACCOUNT_CCODE - G/L Account Master Record: Company Code
GLACCOUNT_CCODE_DATA - G/L Account Master Record: Company Code - Data
GLACCOUNT_CCODE_INFO - G/L Account Master Record: Company Code - Information
GLACCOUNT_CCODE_KEY - G/L Account Master Record: Company Code - Key
GLACCOUNT_COA - G/L Account Master Record: Chart of Accounts
GLACCOUNT_COA_DATA - G/L Account Master Record: Chart of Accounts - Data
GLACCOUNT_COA_INFO - G/L Account Master Record: Chart of Accounts - Information
GLACCOUNT_COA_KEY - G/L Account Master Record: Chart of Accounts - Key
GLACCOUNT_KEYWORD - G/L Account Master Record: Key Word
GLACCOUNT_MASS_DESCR_TEXT_CCOD - G/L Acct Record: Mass Maintenance: Descr. Transfer Structure
GLACCOUNT_MASS_DESCR_TEXT_COA - G/L Acct Record: Mass Maintenance: Descr. Transfer Structure
GLACCOUNT_NAME - G/L Account Master Record: Descriptions
GLACCOUNT_NAME_DATA - G/L Account Master Record: Descriptions - Data
GLACCOUNT_NAME_KEY - G/L Account Master Record: Descriptions - Key
GLACCOUNT_SCREEN_CCODE - G/L Account Master Record: Company Code (Screen Fields)
GLACCOUNT_SCREEN_COA - G/L Account Master Record: Chart of Accounts (Screen Fields)
GLACCOUNT_SCREEN_KEY - G/L Account Master Record: Key (Screen Fields)
GLACCOUNT_SCREEN_OTHERS - G/L Account Master Record: Other Screen Fields
GLACCREFH - G/L Account Master Record: Create with Reference
GLACCREFHK - G/L Account Master Record: Create w/ Reference - Key Fields
GLACCREFI - G/L Account Master Record: Create with Reference
GLACCREFIA - G/L Account Record: Create w/ Reference - Attribute Fields
GLACCREFV - G/L Account Master Record: Create with Reference
GLACCREFW - G/L Account Master Record: Create with Reference
GLTAX_DATA - Structure for uncompressed tax data in BSET
GLTAX_DATA_HEAD - Header structure for G/L tax data
GLTAX_ITEM_RESULTS - GL tax results at item level
GLTAX_RESULTS - General Ledger Tax results in local currency
GLTAX_TXJLV - Struct. for relevant tax data from G/L per jurisdicion level
LF041_ZUO - Allocation of new line items to old line items (SAPLF041)
MLDADR - External Reporting: Address Data Transfer Structure
MLDPARAM - Reporting: Parameters for Alternative Country Code
R078S - Help Fields for Table T078S
RF011F - Financial statement item - functional area
RF011P - Items in the Financial Statement
RF011Q - Financial Statement Item Texts
RF011S - Financial Statement Item Allocation - Set Name
RF011V - Item Change after Balance Change
RF02E - Work fields for SAPMF02E
RF02H - Work fields for SAPMF02H
RF041_E - Interface table for SAPLF041 (U04_BATCH_INPUT)
RF041_F - Interface table for SAPLF041 (U04_CONTROL)
RFACCINF - Annual report structure maintenance: account information
RFAWVZ40_S_HEADER_PDF - Z4 Report: Header Data for PDF Output
RFAWVZ40_S_ITEM_PDF - Z4 Report: Report Item for PDF Output
RFBILA_ALV_DATA - Data for Financial Statement Reporting with ALV
RFBILA_ALV_SETTINGS - Settings for Financial Statement Reporting with ALV
RFCU2 - Work fields for customizing (transport)
RFFAREAINF - Company report structure maint.: Info. on a functional area
RFGBST - Structure for global program fields RFGSBSTR
RFKM8_E - Swap table for G/L account numbers (FI-xx interface)
RFKM8_L - Log structure (FI-xx interface)
RFPERIODS - Periods: year, half-year, quarter, period
RFPOSINF - Financial Statement Version Maintenance: Item Information
RFRRS01 - Financial Statement Analysis
RFRRS02 - Financial Statement Key Figures
RFRRS10 - Balance display
RFRRS51 - Financial statements analysis from cost of sales ledger
RFRRS52 - Key figures for cost of sales ledger
RFSREC_FIX - FI-GL: Fixed characteristics >>> Drilldown reporting
RFSRER_FIX - FI-GL: Time charac. and fixed key figures >>> Drilldown rep.
SAP_CONTROL_DATA - Tax substructure: SAP control data
SKAS - G/L account master (chart of accounts: key word list)
SKB1 - G/L account master (company code)
SKM1 - Sample G/L accounts
T004R - Rules index for sample accounts
T004S - Texts for sample account rules
T011 - Financial Statement Versions
T011A - Calendar - task description
T011B - FI financial calendar - job text table
T011E - Calendar of person responsible for unit
T011F - FI fin.calendar - person responsible for unit text table
T011P - Table no longer in use
T011Q - Table no longer in use
T011T - Financial statement version names
T011V - FI financial calendar task-schedule link
T011Z - Table no longer in use
T051A - Account Balances for Statutory Reporting
T060K - FI constants
T060L - FI constant name
T060M - FI constant values
TAXMSD - Tax Interface Manager Status Diagram "Tax Per document"
TAX_ALLOWED_FIELDS - Fields that may be altered in the user exit.
TAX_AMOUNT_AND_RATE - Tax jurisdiction level and tax data
TAX_AWORG_SEL - Record in select options table for AWORG
TAX_AWREF_SEL - Record in select options table for AWREF
TAX_AWSYS_SEL - Record in select options table for AWSYS
TAX_AWTYP_SEL - Record in select options table for AWTYP
TAX_CAL_HEAD_IN - Tax interface: document header input.
TAX_CAL_HEAD_IN00 - Tax interface: document header input. (version TAXDOC00)
TAX_CAL_ITEM_IN - Tax Interface: document item input.
TAX_CAL_ITEM_IN00 - Tax Interface: document item input (version TAXDOC00)
TAX_CAL_ITEM_OUT - Tax Interface: document item input.
TAX_CAL_ITEM_OUT00 - Tax Interface: document item input (version TAXDOC00)
TAX_CAL_JUR_LEVEL_OUT - Results of tax calculation for one jurisdiction level
TAX_CAL_JUR_LEVEL_OUT00 - Results of tax calculation for one jurisdiction level
TAX_CAL_LEVEL_OUT - Results of tax calculation for one jurisdiction level
TAX_CAL_LEVEL_OUT00 - Results of tax calculation for one jurisdiction level
TAX_COM_LINE_KEY - Tax substructure: communication key for tax line item
TAX_CONV_FIELDS - Dummy fields w/ type P used for conversion NUM to CHAR
TAX_DEFAULT_DATA - tax default data resulted from configuration rule
TAX_DISPLAY_ITEM - Display item information taxes
TAX_DISPLAY_ITEM_TAXES - Display item information taxes plus tax amount on jur. level
TAX_DISPLAY_JUR_LEVEL - Tax info for one jurisdiction level
TAX_DOCNR_SEL - Record in select options table for DOCNR
TAX_DOCSTATUSCHANGED_SEL - Record in select options table for DOCSTATUSCHANGED
TAX_DOCSTATUS_INFO - Structure containing info on the status of the ext. tax doc
TAX_DOCSTATUS_SEL - Record in select options table for DOCSTATUS
TAX_DOC_GL_INF - Tax substructure: document info
TAX_DOC_INF - Tax substructure: document info
TAX_DOC_KEY - Tax substructure: document header key.
TAX_ETXDC_SELECT - List of select options per field for ext. tax documents
TAX_FRC_HEAD_IN - Tax force update audit file: document header input.
TAX_FRC_HEAD_IN00 - Tax forced update: document header input. (versTAXDOC00)
TAX_FRC_ITEM_IN - Tax force update audit file: document item input.
TAX_FRC_ITEM_IN00 - Tax force update: document item input. (version TAXDOC00)
TAX_FRC_JUR_LEVEL_IN - Tax results per level as input for forced update
TAX_FRC_JUR_LEVEL_IN00 - Tax res. per level as input for forced update (TAXDOC00)
TAX_GRID_DISPLAY_ITEM_TAXES - Display fields for ALV
TAX_HEADER_DETAIL - Detail header information external tax document
TAX_HELP_ITEM_IN - help-structure for item input data during conversion (CHAR)
TAX_INDEX_XTAX_DOCUMENT - Index of external tax document in list
TAX_INDEX_XTAX_DOC_ITEM - Index record for item in list of extnerla tax document items
TAX_INPUT_DATA - tax input data from pricing for external tax document
TAX_INPUT_HEADER - Tax input header from pricing
TAX_INPUT_ITEM - tax input item for pricing
TAX_INPUT_KOMK_KOMP - Input data from KOMK, KOMP, XKOMV
TAX_INPUT_PRICING - Input data from KOMK, KOMP, XKOMV
TAX_INPUT_USER - Tax input user fields from pricing (use in user-exit)
TAX_ITEM_DETAIL - Detail tax informationfor a line item
TAX_ITEM_INFO_OUT - Tax Interface: document item output
TAX_ITEM_INPUT - Tax input data for document item
TAX_ITEM_OUTPUT - Tax output data
TAX_JUR_LEVEL_RESULTS - Tax amount and rate for one jurisdiction level
TAX_LEVEL_KEY - Tax amount and rate for one jurisdiction level
TAX_LEVEL_RESULTS - Tax amount and rate for one jurisdiction level
TAX_LINE_KEY - tax line secondary key
TAX_MAT_INF - Tax substructure: material info.
TAX_MESSAGE - Structure for copying a system message
TAX_POST_INF - Tax substructure: Posting Info
TAX_REF_DOC_KEY - Reference document key
TAX_REPT_DATA - Tax substructure: Reporting Info
TAX_REP_DATE_SEL - Record in select options table for Reporting Date
TAX_SYSTEM_VERSION_LIST - Versions of the tax interface API currently supported
TAX_TAXCODE_INF - Tax substructure: tax code info.
TAX_TAXCODE_INFO - Tax substructure: tax code info
TAX_TID_SEL - Record in select options table for TID (Transaction ID)
TAX_TRANS_INF - Tax substructure: Transaction Info
TAX_TXJCD_STRUC - Tax substructure: Tax Jurisdiction Code structure
TAX_UDATE_SEL - Record in select options table for UDATE (date of update)
TAX_UFLAG_SEL - Record in select options table for UFLAG (Update flag)
TAX_UPDATE_INFO - update info on external tax document
TAX_UPD_HEAD_IN - Tax update audit file: document header input.
TAX_UPD_HEAD_IN00 - Tax update: document header input. (version TAXDOC00)
TAX_UPD_ITEM_IN - Tax update audit file: document item input.
TAX_UPD_ITEM_IN00 - Tax update: document item input (version TAXDOC00)
TAX_USER_INF - Tax substructure: Info about how material is used
TAX_USER_PRICING - User fields for pricing
TAX_USNAM_SEL - Record in select options table for USNAM (user for update)
TGSBG - Cross-system business areas
TGSBH - Texts for table TGSBG
TGSB_CUS - Additional Settings for Business Area Financial Statements
TGSB_CUST - Additional Settings for Business Area Financial Statements
TSAKR - Create G/L account with reference
TTXBUF - Tax interface buffer for RFC
TTXI - External tax interface: index file
TTXP - Product codes (external tax interface)
TTXPT - Product code description (external interface)
TTXU - External tax interface: Audit file update information
TTXY - External tax interface: tax information
TTX_TAXES - Tax calculation (external tax interface)
TTX_TXJCD - Tax Jurisdiction Code Determination (external tax interface)
SAP Manual Accruals Tables FI-GL-GL-AAC
SAP Accrual Engine Tables FI-GL-GL-ACE
SAP Average Daily Balance Tables FI-GL-GL-ADB
SAP G/L Account Posting Tables FI-GL-GL-AP
SAP CRM Accruals Tables FI-GL-GL-CAE
SAP Closing Operations Tables FI-GL-GL-CL
SAP Erweiterte Währungskonvertierung Tables FI-GL-GL-CUR
SAP Standard G/L Account Maintenance Tables FI-GL-GL-MD-SG
SAP Planning Tables FI-GL-GL-PL
FAGL_PP_GLU1_FILL_LIST - Structure for Report PP_GLU1_FILL
GKEYCONV - FI-SL: Interface for Key Figure Conversion
GKEYFIGS - FI-SL Structure for Key Figure Transfer
GLFLEXT_STRUCT - FI-Planning: Structure for GLFLEXT Table
GLPL_PLANJOB - Plan task
GLT1_STRUCT - FI Planning : Structure for GLT1
GPLAN_CHARACTERISTICS_CAT - Field Catalog Structure for Plan Data Enrichment
GPPACCOUNT - Account Information
GPPDIMENSIONS - Dimensions in the Planning Tool
GPPVALUES - Key Figures for the Planning Tool
GPP_GROUP_STRUCT - FI-SL Planning: Structure for Group Field Name in PP
NODE_TO_OBJECT - Combination Tree Key <-> Layout
T8PL00 - FI Planning: Installed Plan Tables
T8PL01 - FI-Planning: Summary Table Dimensions to be Planned
T8PL01DD - FI Planning: Dimensions Table Index - Dictionary Information
T8PL01DP - FI Planning : Field Dependency for Validation
T8PL01S - FI-Planning: Dimensions that Allow Sets
T8PL01SF - FI Planning: Special Handling of Dimensions
T8PL01SV - FI-Planning: Comb. fixed values/attr. for key fig. and dim.
T8PL02 - FI-Planning: User attributes
T8PL02CC - FI Planning: Currency Translation
T8PL03 - FI Planning: Configuration of Plan Tasks
T8PLUATTR - FI-Planning: Key Figures for Planning
SAP Provisions for Awards Tables FI-GL-GL-SOA
SAP Information System Tables FI-GL-IS
AUSTE_SUM - Output Tax Data for Advance Return for Tax on Sales/Purchs
AUSTRIA_XML_EC - EC Sales List in Austria
B0SG - Navigation Selection for Logical Databases
BE01_RFKBLIW0 - RFKB_DATA4
BKPF_ADDON - Additional Fields for Document Header Key
BKPF_ADDON_TAB - Transfer of Additional Values for Document Header
BOSG - Uppermost Hierarchy Segment for BRF
BSBM03 - Screen for Flat-Rate Value Maintenance EWB
BSBV - Display of Valuation Fields for Line Items
BSIKEXT - Extended Structure for BSIK (plus BSEGA)
BSISEXT - Secondary Index BSIS Plus Enhancement Section (BSEGA)
BUKRS_BAL - Tax Data by Company Code for the Adv. Return for Tax on S/P
BWKS - Accounts Blocked by Valuation Selection
BWPOS - Valuations for Open Items
CON_DTAJP1 - Japanese Foreign Exchange Trading Format (Header)
CON_DTAJP2 - Japanese Foreign Currency Trading Format (General Data)
CON_DTAJP3 - Japanese Foreign Exchange Trading Format (Order Data)
CON_DTAJP4 - Japanese Foreign Exchange Trading Format (Payment Data)
CON_DTAJP5 - Japanese Foreign Exchange Trading Format (Expenses Data)
CON_DTAJP7 - Japanese Foreign Exchange Trading Format (Trailer Record)
CON_DTAJP8 - Japanese Foreign Exchange Trading Format (End Record)
DKKOP - Balance Audit Trail
DKKOS - Balance Audit Trail
DKOKP - Open Item Account Balance Audit Trail
DKOKS - Open Item Account Balance Audit Trail Master Record
DOC_HDR_ALV - FI-GL Transfer Postings (ALV): Line Layout
DOC_LINE_ALV - FI-GL Transfer Postings (ALV): Line Layout
DSKOP - Balance Audit Trail
DSKOS - Balance Audit Trail
DTFIAP_50 - Check Register Headers
DTFIAP_51 - Check Register Items
ERROR_LIST - Log Table for Failed Authorization Checks
F100FILE - Extract from the SAPF100 Evaluation
FAADR - Address of Tax Office
FAEDE - Transfer Structure for Determining Due Date
FAGL_ACC_S_HEADER - Structure for RFAUDI* Reports
FAGL_ACC_S_RFBABL00_ALV - Structure for Displaying Change Documents - RFBABL00_ALV
FAGL_ACC_S_RFBUSU00_LIST1 - ALV Structure for RFBUSU00_ALV
FAGL_ACC_S_RFBUSU00_LIST2 - ALV Structure for RFBUSU00_ALV
FAGL_ACC_S_RFUMSV25_LIST - Structure for ALV Conversion of RFUMSV25
FAGL_ACC_S_RFUMSV25_LIST2 - Structure for RFUMSV25
FAGL_ACC_S_RFUMSV25_LIST_HEAD - Structure for RFUMSV25_ALV
FAGL_ACC_S_RFUSVB10_HEADER - Structure for Displaying Hierarchical Header
FAGL_ACC_S_RFUSVB10_ITEM - Structure for Displaying Hierarchical Items
FAGL_ACC_S_RFUSVB10_LIST1 - FAGL_ACC_S_RFUSVB10_LIST1
FAGL_ACC_S_RFUSVB10_LIST2 - Structure for Displaying LIST2
FAGL_ACC_S_RFUSVB10_LIST3 - Structure for Displaying LIST3
FAGL_ACC_S_RFUSVB10_LISTLAST - FAGL_ACC_S_RFUSVB10_LISTLAST
FAGL_ACC_S_RFUSVJ10_HEADER - Structure for Displaying Header
FAGL_ACC_S_RFUSVJ10_ITEM - Structure for Displaying Items
FAGL_ACC_S_RFUSVJ10_LIST - Structure for Displaying Summary List
FAGL_S_RFAUDI01_LIST1 - ALV Structure for Report RFAUDI01
FAGL_S_RFAUDI01_LIST2 - ALV Structure for Report RFAUDI01 Transaction Figures
FAGL_S_RFAUDI01_LIST3 - ALV Structure for Report RFAUDI01 Table Inconsistency
FAGL_S_RFAUDI01_LIST4 - ALV Structure for Report RFAUDI01 Table Inconsistency
FAGL_S_RFAUDI02_LIST1 - ALV Structure for Report RFAUDI02
FAGL_S_RFAUDI02_LIST2 - ALV Structure for Report RFAUDI02 Transaction Figures
FAGL_S_RFAUDI02_LIST3 - ALV Structure for Report RFAUDI02 Table Inconsistency
FAGL_S_RFAUDI02_LIST4 - ALV Structure for Report RFAUDI02
FAGL_S_RFAUDI03_LIST1 - ALV Structure for Report RFAUDI03
FAGL_S_RFAUDI03_LIST2 - ALV Structure for Report RFAUDI03 Company Code - Chart/Accts
FAGL_S_RFAUDI04_LIST - ALV Structure for Report RFAUDI04
FAGL_S_RFAUDI05_LIST1 - ALV Structure for Report RFAUDI05
FAGL_S_RFAUDI05_LIST2 - ALV Structure for Report RFAUDI05 Valuation Area
FAGL_S_RFAUDI06_LIST - ALV Structure for Report RFAUDI06
FAGL_S_RFAUDI07_LIST - ALV Structure for Report RFAUDI07
FAGL_S_RFAUDI30 - Account Detective
FAGL_S_RFAUDI30_LIST - Account Detective
FAGL_S_RFAUDI30_LIST1 - FAGL_S_RFAUDI30_LIST1
FAGL_S_RFAUDI40_LIST - ALV Structure for Report RFAUDI40
FAGL_S_RFAWVZ5A_LIST - ALV Structure for RFAWVZ5A LIST
FAGL_S_RFAWVZ5A_LIST1 - ALV Structure for RFAWVZ5A list1
FAGL_S_RFAWVZ5A_Z5A2 - Output List: Z5a Reporting Totals: Page 2
FAGL_S_RFBELJ00_COMPANY_CODES - ALV Structure for RFBELJ00
FAGL_S_RFBELJ00_DOCUMENTS - Document Journal: Individual Documents (ALV Structure)
FAGL_S_RFBELJ00_DOCUMENTS_HEAD - Document Journal: Individual Documents (ALV Structure)
FAGL_S_RFBELJ00_DOCUMENTS_ITEM - Document Journal: Individual Documents (ALV Structure)
FAGL_S_RFBELJ10_COMPANY_CODES - ALV Structure for RFBELJ00
FAGL_S_RFBELJ10_DOCUMENTS_HEAD - Document Journal: Individual Documents (ALV Structure)
FAGL_S_RFBELJ10_DOCUMENTS_ITEM - Document Journal: Individual Documents (ALV Structure)
FAGL_S_RFBNUM00_LIST - FAGL_S_RFBNUM00_LIST
FAGL_S_RFBNUM00_LIST1 - FAGL_S_RFBNUM00_LIST1
FAGL_S_RFBNUM00_LIST2 - FAGL_S_RFBNUM00_LIST2
FAGL_S_RFDAUB00_LIST1 - ALV Structure for Report RFDAUB00 - Header
FAGL_S_RFDAUB00_LIST2 - ALV Structure for Report RFDAUB00 - Lines
FAGL_S_RFDEPL00_LIST1 - Output Structure for RDFEPL00
FAGL_S_RFDIFF00_DIF_LIST - Display Different List in RFDIFF00
FAGL_S_RFDSLD00_LIST1 - Output Structure for Report RFDSLD00
FAGL_S_RFDSLD00_LIST2 - Output Structure for Report RFDSLD00
FAGL_S_RFEBCK00_HR - Structure for RFEBCK00_ALV - HR Posting
FAGL_S_RFEBCK00_LIST1 - Structure for RFEBCK00 List1
FAGL_S_RFEBCK00_LIST2 - Structure for RFEBCK00 List2
FAGL_S_RFEBCK00_LIST2_DETAIL - FAGL_S_RFEBCK00_LIST2_DETAIL
FAGL_S_RFEBCK00_POST - FAGL_S_RFEBCK00_POST
FAGL_S_RFEBCK00_POSTDET - FAGL_S_RFEBCK00_POSTDET
FAGL_S_RFEBCK00_STATS - Structure for RFEBCK00 Statistics
FAGL_S_RFEPOJ00_LIST - Structure for ALV Output of RFEPOJ00
FAGL_S_RFKEPL00_LIST1 - Output Structure for RDFEPL00
FAGL_S_RFKLBU10_DK_LIST - Balance Audit Trail RFKLbu10: Customers, Vendors, Items
FAGL_S_RFKLBU10_GL_LIST - Balance Audit Trail RFKLbu10: G/L Accounts, Items
FAGL_S_RFKLET01_LIST2 - ALV Structure for Report RFKLET01
FAGL_S_RFPUMS00_ALV - ALV Structure for Report RFPUMS00
FAGL_S_RFPUMS00_PUMSEP_ALV - ALV Structure for Report RFPUMS00(PUMSEP)
FAGL_S_RFRDTXPT_LIST - Structure for ALV Conversion of RFRDTXPT_ALV
FAGL_S_RFSABG00_LIST - ALV Structure for Report RFSABG00
FAGL_S_RFSABL00_LIST - RFSABL00_ALV(G/L Account Changes )-Field Catalogue Structure
FAGL_S_RFSOPO00_LIST - Fields for Line Item Display in General Ledger
FAGL_S_RFSSLD00_LIST - Structure for ALV Report RFSSLD00
FAGL_S_RFUFOI91 - FAGL_S_RFUFOI91
FAGL_S_RFUMPT00_LIST - FAGL_S_RFUMPT00_LIST
FAGL_S_RFUMPT00_LIST1 - FAGL_S_RFUMPT00_LIST1
FAGL_S_RFUMPT00_LIST3 - FAGL_S_RFUMPT00_LIST3
FAGL_S_RFUMSANF_LIST1 - ALV Structure for RFUMSANF - List1
FAGL_S_RFUMSANF_LIST2 - FAGL_S_RFUMSANF_LIST2
FAGL_S_RFUMSSUM_LIST1 - ALV Structure for Report RFUMSSUM
FAGL_S_RFUMSSUM_LIST2 - ALV Structure for Report RFUMSSUM Data per Tax Code
FAGL_S_RFUSVS14_LIST1 - ALV Structure for RFUSVS14_ALV - list1
FAGL_S_RFUSVS14_LIST2 - ALV Structure for RFUSVS14_ALV - list2
FAGL_S_RFUVDE00_LIST - Print Program: Advance Return for Tax on Sales/Purchases
FAGL_S_RFVBER00_LIST1_ALV - Structure for List 1 in Program RFVBER00
FAGL_S_RFVBER00_LIST2_ALV - Structure for List 2 in Program RFVBER00
FAGL_S_RFVBER00_LIST3_ALV - Structure for List 3 in Program RFVBER00
FAGL_S_RFVBER00_PARK_LIST1_ALV - Structure for List 1 in Program RFVBER00_PARK
FAGL_S_RFYTXU00_LIST - Update Audit File/Sales Tax Register from Ext. Tax System
FAGL_S_RF_STEUERINFO_LIST1 - Structure for RF_STEUERINFO Detail List 1
FAGL_S_RF_STEUERINFO_LIST2 - Structure for RF_STEUERINFO Detail list 2
FAGL_S_RF_STEUERINFO_MAIN - Structure for RF_STEUERINFO Main List
FAGL_S_SAPF122_LIST - ALV Output Structure for SAPF122
FAGL_S_SAPF122_LIST_ALV - Structure for ALV Output of SAPF122
FC01 - BDF Header Record for Reporting
FC80 - Individual Statistical Summary
FC82 - Financial Transactions
FC84 - Receivables and Payables Relating to Non-Residents
FC99 - BDF: Closing Record for Reporting
FEBEPAWOBJ - Key FEBEP
FIBOE_DUNN_S_HEADER - PDF: Dunning Notice: Bill/Ex. Payment Request: Header Data
FIBOE_DUNN_S_ITEM - PDF: Dunning Notice: Bill/Ex. Payment Request: Document Data
FIBOE_DUNN_S_SUM - PDF: Dunning Notice: Bill/Ex. Payment Request: Totals Data
FIDISP_MSG - Message Structure FI _MESSAGE_ALV
FIN_GLPOS_C_VALUES - Key Figures for FIN_GLPOS_C
FIN_GLPOS_V_VALUES - Key Figures for FIN_GLPOS_V (Parked Documents)
FIN_RFWMAN00_HEADER_PDF - FIN :Structure for Header (RFWMAN00)
FIN_RFWMAN00_ITEMS_PDF - FIN : F_RFWMAN00_10 Line Type for Items
FIN_RFWMAN00_SUM_PDF - FIN :RFWMAN00 Structure for PDF
FIN_S_GLPOS - HANA View Structure: GL Item
FLB01 - Lockbox Record Type 1 - Header Record
FLB02 - Lockbox Record Type 2 - Service Record
FLB04 - Lockbox Record Type 4 - Overflow Record
FLB05 - Lockbox Record Type 5 - Detail Header Record (New Lockbox)
FLB06 - Lockbox Record Box 6 - Detail Record (New Check)
FLB07 - Lockbox Record Type 7 Batch Total Record (Bundle End in LB)
FLB08 - Lockbox Record Type 8 Service Tot. Rec.End of all LB Bundles
FLB09 - Lockbox Record Type 9 - Trailer Record (Last Record)
FOAP_ACC_S_RFDABL00_LIST - ALV Structure for Report RFDABL00
FOAP_ACC_S_RFDOFW00_LIST - Structure for ALV Output of RFDOFW00_ALV
FOAP_ACC_S_RFWOBL00_LIST - Structure for RFWOBL00
FOAP_ACC_S_RFWOBL10_LIST1 - Structure for ALV Output
FOAP_S_RFBNUM10_HEADER - ALV Structure for RFBNUM10 (Header)
FOAP_S_RFBNUM10_ITEM - ALV Structure for RFBNUM10 (Item)
FOAP_S_RFCATX00_LIST - ALV Structure for RFCATX00
FOAP_S_RFDANZ00 - Structure for RFDANZ00
FOAP_S_RFDKAG00_LIST - ALV Structure for Report RFDKAG00
FOAP_S_RFDKLIAB - Structure for Field Catalog for RFDKLIAB
FOAP_S_RFDOPR20_LIST1 - ALV Structure 1 for Report RFDOPR20
FOAP_S_RFDOPR20_LIST2 - ALV Structure 2 for Report RFDOPR20
FOAP_S_RFDUML00 - Structure for Report RFDUML00
FOAP_S_RFDUML00_LIST - Structure for Report RFDUML00_ALV - One-Time Account Data
FOAP_S_RFKABL00_LIST - ALV Structure for Report RFKABL00
FOAP_S_RFKANZ00 - Structure for RFKANZ00
FOAP_S_RFKKAG00_LIST - ALV Structure for Report RFKKAG00
FOAP_S_RFKOFW00_LIST - Structure for RFKOFW00
FOAP_S_RFKSLD00_LIST1 - ALV Structure for Report RFKSLD00
FOAP_S_RFKSLD00_LIST2 - FOAP_S_RFKSLD00_LIST2
FOAP_S_RFKUML00_LIST1 - Structure 1 for Report RFKUML00 - ALV Conversion
FOAP_S_RFKUML00_LIST2 - Structure 2 for Report RFKUML00 - ALV Conversion
FOAP_S_RFKUML00_LIST3 - Struktur 3 for Report RFKUML00 - ALV Conversion
FOAP_S_RFWEKO00_LIST - Field Catalog Structure for Report RFWEKO00
FOAP_S_RFWEKO01_LIST - RFWEKO01 Field Catalog Structure
FOAP_S_SAPF104_LIST1 - ALV Structure 1 for Report SAPF104
FOAP_S_SAPF104_LIST2 - ALV Structure 2 for Report SAPF104
FOAP_S_SAPF104_LIST3 - ALV Structure 3 for Report SAPF104
FOPC_S_AIS_REPORT_DETAILS - Details for AIS Report
FSABE - Accounting Clerk Address Data
GRECON_TEXT - ACC Texts for Monitor Connection
GSALV_S_RFHABU10_LIST1 - Structure 1 for ALV Conversion of RFHABU10
GSALV_S_RFHABU10_LIST2 - Structure of List Output for RFHABU10, List 2
GSALV_S_RFHABU10_LIST4 - Structure List Output RFHABU10, List 4
GSALV_S_RFHABU10_POPUP_LIST - Structure List Output RFHABU10
GSEG - Offsetting Items for B-Segment in Reporting
GSEGA - GSEGA - Extension to the Offsetting Item Segment
GSS_ALV_S_RFFR0E84_LIST1 - ALV Structure 1 for Report RFFR0E84
GSS_ALV_S_RFFR0E84_LIST2 - ALV Structure 1 for Report RFFR0E84
GSS_RFASLD12_LIST - Structure List Output RFASLD12
GSS_RFFR0C02_LIST - ALV Structure for List RFFR0C02
ITEMSET - Settings in Line Item Display RFITEM**
KKOP_DATA - Document Data
KKOP_KEY - Document Key
KKOS_DATA - Balance Audit Trail Data
KKOS_KEY - Balance Audit Trail Key
KLETPARAM - Report Parameter for Balance Audit Trail
KOKP_KEY - Open Item Account Balance Audit Trail Key
KOKS_KEY - Open Item Account Balance Audit Trail Key
QSTRE - FI/HR Withholding Tax Report for Spain
RF100 - Screen Fields for SAPF100 und SAPF101
RFABADAB - Screen Fields for RFABADAB
RFASLD11B - EC Sales List (Spain)
RFAWVZ5A_S_HEADER_PDF - Z5a Report (Sheet 2): Header Information for PDF Output
RFAWVZ5A_S_ITEM_PDF - Z5a Report (Sheet 2) Reporting Item for PDF Output
RFCASH - Auxiliary Fields for Cashbook
RFDOPR20 - Screen Fields for RFDOPR20
RFICRC00TAB - Internal Table for Screen Fields Reconcil. Receiv./Payables
RFICRC00_TREE_DISP - Tree Structure RFICRC00
RFIDES_LEASING - Leasing record for modelo 347 report
RFIDPTFO - Communication structure reporting Portugal
RFKBLIW0_BKINDCTR - BE01_RFKBLIW0_BKINDCTR
RFKHELP - Help Fields for Reports RFKQST20, RFWMAN00, RFKQST70
RFPDO - Include the Report-Specific Parameter Documentation
RFPDO1 - Include the Program-Specific Parameter Documentation
RFPOSEXT - ## AUTOMATICALLY GENERATED. DO NOT CHANGE OR RE-USE ! ##
RFPOSX - Line Item Data: RFPOS with Longer Amount Fields
RFPOSXEXT - ## AUTOMATICALLY GENERATED. DO NOT CHANGE OR RE-USE ! ##
RFSBEW_INCL - Additional Account Assignment Fields for RFSBEWFX
RFSCASH - Cash Book table
RFUMS_TAX_GT_ALV - Tax Data Output for Advance Return for Tax on Sales/Purchs
RFUVDE00_HDR_PDF - Structure for header details of BAS repot (GST Australia)
RFUVDE00_ITM_PDF - Structure for printing BAS repot (GST Australia)
RFWERE00_COLLECT_INF - Information from Table BKPF/BSEG/EKKo/EKPO/LFA1/LFB1
RFWERE00_GL_ACC - G/L Accounts Chosen in the Report
SDIFF_EP - Difference Amounts from Tax Control
SI_FIN_GLPOS - FIN_GLPOS_C: Standard Fields
SKC1A - G/L Account Sales Segment Derived from GLDB -Local Currency-
SKC1C - G/L Account C-Segment from GLT0 -Currency Amounts-
SKOP_DATA - Document Data
SKOS_DATA - G/L Balance Audit Trail
T001M - Data on Z5A Foreign Trade Regulations Report, Germany
T007G - Table no Longer Used -> T007K/L
T007H - Table no Longer Used -> T007K/L
T007J - Tax Advance Payment per Taxes on Sls/Pur.Grp and Cal.Yr
T007K - Table for Grouping Tax Basis Balances
T007L - Table for Grouping Tax Balances
T007R - External Group Number for Tax Amounts
T007X - Text for Grouping Tax Amounts
T007Z - Time-Dependent Version Assignment - For ELSTER
T030HB - Acct Determ.for Open Item Exch.Rate Differences
T042X - Company Codes Blocked by the Payment Program
T044D - Work Files for the Extract of the Accum.Balance Audit Trail
T044E - Foreign Currency Valuation: Items with Special Cover
T044G - Valuation Adjustment Key
T044I - FI Valuation: Determine Base Value
T044J - Preference Key for Reading Valuation Results
T044KT - Further Specifications for Sorted List
T044L - Sorted List of Open Items
T044LH - Sort Methods
T044LT - Sorted List of Open Items
T049A - Posting Data For Autocash With Lockbox
T049B - Control Parameters for Autocash
T049C - Evaluation of the Autocash Tapes
T049E - Control Data for Swiss ISR Procedure
T049F - Cashed Checks Control Table
TABKT - Automatic Accounts for End-Year Closing/Opening Postings ITA
TBKOW - Valuation Difference Temporary Storage
TBUVTX - Transfer Posting of Tax in a Cross-Company Code Transaction
TEURA - Reports Supporting Alternative Local Currencies
TEURB - Altern. Local Currency and Exch.Rate Type for a Company Code
TFE01 - BDF: Currency Key
TFE02 - BDF: Countries
TFE05 - BDF: State CB Indic.
TFE18 - BDF: Identif. of Offsett. Accounts
TFE19 - BDF: Accts Subj. to Report.
TITVAR - Line Items: Line Layout Variants, Assignment Old-New
TRVOR - Control Statements
UKADR - Sender Address for Advance Return for Tax on Sls/Purch.Form
UMSV - Tax Balances per Comp.Code, Tax Code and Process.Key
UMSVP - Advnce Return for Tax on sls/Pur.: Base Amt Bals, Tax Bals
UMSVV - Advnce Return for Tax on Sls/Pur.: Period and Add.Details
UMSVZ - Advance Return for Tax on Sls/Pur.Period
VOSTE_SUM - Input Tax Data for the Advance Return for Tax on Sales/Prchs
SAP General Ledger Reorganization Tables FI-GL-REO