SAP Reports / Programs | Financials | Financial Supply Chain Management | Transaction Manager(FIN-FSCM-TRM-TM) SAP FIN

RTPM_TRDT_DATA_SUBPOS_REV SAP ABAP Report - Cancel Data Transfer for Hedge Accounting for Positions







RTPM_TRDT_DATA_SUBPOS_REV is a standard Executable ABAP Report 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 RTPM_TRDT_DATA_SUBPOS_REV into the relevant SAP transactions such as SE38 or SE80


Transaction Code(s):

Below is a list of transaction codes which are relevant to this SAP report

TPM66 - P-HA: Cancel Data Transfer


ABAP code to call this SAP report using the submit statement

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.






SUBMIT RTPM_TRDT_DATA_SUBPOS_REV. "Basic submit
SUBMIT RTPM_TRDT_DATA_SUBPOS_REV AND RETURN. "Return to original report after report execution complete
SUBMIT RTPM_TRDT_DATA_SUBPOS_REV VIA SELECTION-SCREEN. "Display selection screen of submitted report to user
    See more syntax options for the ABAP SUBMIT statement


Text pool values


Selection Text: X_SIMULA = Test Run
Selection Text: X_PO_OLD = D .
Selection Text: X_PO = D .
Selection Text: SO_VAREA = D .
Selection Text: SO_HREL = D .
Selection Text: SO_BUKRS = D .
Selection Text: P_YEAR = Fiscal Year
Selection Text: P_VAR = D .
Selection Text: P_REVR = Reason for Reversal
Selection Text: P_KEYD = Key Date
Selection Text: P_FIPER = Reversal Period
Selection Text: P_FIDAT = Reversal Date
Selection Text: P_DOC = D .
Title: Cancel Data Transfer for Hedge Accounting for Positions
Text Symbol: SPL = Specific Selections
Text Symbol: SEC = Securities
Text Symbol: PRD = Product Groups
Text Symbol: POS = Listed Derivatives
Text Symbol: OUT = Output Control
Text Symbol: LOA = Loans
Text Symbol: GDD = MM, Forex, Derivatives
Text Symbol: DEA = OTC Transacts
Text Symbol: CTL = Posting Control
Text Symbol: CMN = Hedging Relationship


INCLUDES used within this REPORT RTPM_TRDT_DATA_SUBPOS_REV

No INCLUDES are used within this REPORT code!


TABLES used within REPORT and the associated SELECT statement:





No SAP DATABASE tables are accessed within this REPORT code!


Function Modules used within report and the associated call statement:

TPM_TLV_VARIANT_VALUES CALL FUNCTION 'TPM_TLV_VARIANT_VALUES' EXPORTING im_alv_variant = g_str_variant im_save = 'A' CHANGING ch_variant_value = p_var.

TPM_TLV_VARIANT_CHECK CALL FUNCTION 'TPM_TLV_VARIANT_CHECK' EXPORTING im_variant_value = p_var im_save = 'A' im_alv_repid = 'RTPM_TRDT_DATA_SUBPOS_EXEC' CHANGING ch_variant = g_str_variant.

TPM_TRL_SAVE_OPTIONS * CALL FUNCTION 'TPM_TRL_SAVE_OPTIONS' * EXPORTING * i_str_tropt = .

TPM_TRDT_DATA_SUBPOS CALL FUNCTION 'TPM_TRDT_DATA_SUBPOS' EXPORTING im_str_selection = l_str_selection.



Contribute (Add Comments)

Although this basic information may have limited use it does provide an easy to find location to store any knowledge about this program/report.







The contribute/comments section below therefore offer's an opportunity for anyone to add additional information. This can be anything from useful hints, tips and screen shots to relevant SAP notes or anything else you feel is relevant to this report.

This will then be available for everyone to easily find by simply searching on the report name RTPM_TRDT_DATA_SUBPOS_REV or its description.