RFWDTAI3 is a standard ABAP INCLUDE available within your SAP system (depending on your version and release level). Below is the basic information available for this SAP report including which OBJECTS it interacts with such as TABLES, FUNCTION MODULES, INCLUDES ETC. Also check out the submitted Comments related to this SAP report or see any standard documentation available.
If you would like to execute this report or see the full code listing simply enter RFWDTAI3 into the relevant SAP transactions such as SE38 or SE80
This report can be called from another progam/report simply by using the ABAP SUBMIT statement, see below for example ABAP code snipts of how to do this.
Selection Text: BELEGART = Doc.type
Selection Text: BETRAG = Amount in LC
Selection Text: BI-BLART = Batch input document type
Selection Text: BI-BLDAT = Batch input document date
Selection Text: BI-BUDAT = Batch input posting date
Selection Text: BI-EBANK = Batch input presenting bank
Selection Text: BI-SAMBU = X - batch input coll.posting
Selection Text: BI-VALUT = Batch input value date
Selection Text: BI-WVERW = Batch input bill/exch.usage
Selection Text: BUCH-DAT = Posting date
Selection Text: DKONTO = Customer account number
Selection Text: EIN-INST = Financial institution number
Selection Text: FAELLIG = Due date
Selection Text: LISTSEP = X - list separation requested
Selection Text: MIN-BETR = B/exch.docs....from amnt in LC
Selection Text: SL160 = Record length: 160
Selection Text: TITLE = Additional heading
Selection Text: UMSATZKZ = Special G/L indicator
Selection Text: VAL-BER = Value date calculation
Selection Text: VAL-TAGE = Value days
Selection Text: VERW-VOR = Bill of exch. usage proposal
Selection Text: WEZLSCH = Bill/exchange pmnt method help
Selection Text: ZAHLWEG = Selected b/exch.payment method
Selection Text: BELEG-NR = Document number
Selection Text: BANK-OPT = Payment method optimization
Selection Text: B-INPUT = Batch input
Selection Text: AUST-DAT = Date of issue
Title: Presenting Bill of Exchange at a Bank/LCR Extract - Customers - France
Text Symbol: 001 = T O T A L A M O U N T :
Text Symbol: 002 = Presented on:
Text Symbol: 003 = At bank:
Text Symbol: 004 = Bank account:
Text Symbol: 006 = No bill of exchange presented at bank:
Text Symbol: 007 = No open items selected
Text Symbol: 010 = B/exch.for discount
Text Symbol: 011 = BoE for collection
Text Symbol: 012 = Number of bills of exchange:
Text Symbol: 100 = B/exch. B/exch Posting. P S Account Customer name City B/exch.
No INCLUDES are used within this REPORT code!
No SAP DATABASE tables are accessed within this REPORT code!
READ_KNA1 ** CALL FUNCTION 'READ_KNA1' ** EXPORTING ** XKUNNR = KUNNR ** IMPORTING ** XKNA1 = KNA1 ** EXCEPTIONS ** NOT_FOUND = 4.
Although this basic information may have limited use it does provide an easy to find location to store any knowledge about this program/report.
RFWDTAI3 - Presenting Bill of Exchange at a Bank/LCR Extract - Customers - France RFWDTAI2 - Presenting Bill of Exchange at a Bank/LCR Extract - Customers - France RFWDTAI1 - Presenting Bill of Exchange at a Bank/LCR Extract - Customers - France RFW1099M - USA: Withholding Tax Report for 1099-MISC RFW1099M - USA: Withholding Tax Report for 1099-MISC RFV_PREP_NEW_AUTODEBIT_TOP - Include RFV_PREP_NEW_AUTODEBIT_TOP