JBIPXSFGDT SAP (RM: Processing Structure of EDT for XSDTFT) Structure details

Dictionary Type: Structure
Description: RM: Processing Structure of EDT for XSDTFT




ABAP Code to SELECT data from JBIPXSFGDT
Related tables to JBIPXSFGDT
Access table JBIPXSFGDT




Structure field list including key, data, relationships and ABAP select examples

JBIPXSFGDT is a standard SAP Structure so does not store data like a database table does. It can be used to define the fields of other actual tables or to process "RM: Processing Structure of EDT for XSDTFT" Information within sap ABAP programs.

This is done by declaring abap internal tables, work areas or database tables based on this Structure. These can then be used to store and process the required data appropriately.

i.e. DATA: wa_JBIPXSFGDT TYPE JBIPXSFGDT.

The JBIPXSFGDT table consists of various fields, each holding specific information or linking keys about RM: Processing Structure of EDT for XSDTFT data available in SAP. These include SINDEX (Row Index of Internal Tables), RIDXRT (Internal Number of the Generic Transaction), OBJNR (Object number for financial transactions), SERROR (Error flag).. See below for full list along with technical details, documentation, text table, check tables, foreign key relationships, conversion routines, relevant tcodes and example ABAP select code etc. .

Delivery Class:
Display/Maintenance via tcode SM30: Display/Maintenance Allowed but with Restrictions
SAP enhancement categories: Can be enhanced (character-type or numeric)


SAP JBIPXSFGDT structure fields - Full list of fields found in SAP data dictionary

Field Description Data Element Data Type length (Dec) Check table Conversion Routine Domain Name MemoryID SHLP
ORG_INDEXRow Index of Internal Tables SYTABIXINT410SYST_LONG
SINDEXRow Index of Internal Tables SYTABIXINT410SYST_LONG
RIDXRTInternal Number of the Generic Transaction JBRIDXRTCHAR20Assigned to domainALPHAJBRIDXRTRIDXRTS_JBRDBKO_RIDXRT
OBJNRObject number for financial transactions JBOBJNRCHAR22Assigned to domainJ_OBJNR
SERRORError flag JBSERRORCHAR1JBSERROR
DB_MODEMode for Data Transfer of Analysis Parameters JBSFRMDCHAR1JBSMODE
RIDEXTExternal Number of the Generic Transaction JBRIDEXTCHAR20JBRIDEXTRIDEXTS_JBRDBKO_RIDEXT
NGIDNRSequence Number for a Transaction ID in Primary Transaction JBNGIDNRNUMC6JBNGIDNR
NCFNRConsecutive Number for a Flow of an FGET JBNCFNRNUMC6JBNCFNR
NBRANCHDegree of Branching for Each Category of Primary Transaction JBNBRANCHNUMC4JBNBRANCH
SSTATCategory of Generic Transaction JBSSTATCHAR1JBSSTAT
XTEXTText Field for a More Precise Description JBRXTEXTCHAR30JBRXTEXT
BUKRSCompany Code BUKRSCHAR4T001BUKRSBUKC_T001
MODUSRM: Mode Field for EDT of Extended Risk Objects RTMODUSCHAR2RTMODUS
SVERSRM: Indicator for Retrieval of a Version JBSVERSCHAR1JBSVERS
DGUELTABVersion Date of Generic Transaction JBDGUELTABDATS8DATS
RLDEPOSecurities Account RLDEPOCHAR10Assigned to domainRLDEPODEPACC_CCD_CORE
P_BUKRSCompany Code BUKRSCHAR4Assigned to domainBUKRSBUKC_T001
P_RANLALT1Alternative Identification RANLALT1CHAR13CHAR13
P_RANLContract Number RANLCHAR13ALPHARANLRAN
P_NORDEXTExternal order number NORDEXTCHAR20CHAR20
P_NORDEROrder Number NORDERNUMC8NUM8ORD
P_RBKONTAccount Number JBRBKONTCHAR16Assigned to domainJBRBKONTJB4
P_REXTNRExternal Account Number JBREXTNRCHAR18JBREXTNR
P_RFHAFinancial Transaction TB_RFHACHAR13Assigned to domainALPHAT_RFHAFANVTBA
P_RUBESTPosition Name JBRUBESTCHAR10Assigned to domainJBRUBESTJB8
P_RANLWSecurity ID Number VVRANLWCHAR13Assigned to domainALPHAWP_RANLRANSECURITY_F4
P_RLDEPOSecurities Account RLDEPOCHAR10Assigned to domainRLDEPODEPACC_CCD_CORE
P_SSHLNGShort/Long Indicator JBSSHLNGCHAR1JBSSHLNG
P_WKNSecurity ID Number VVRANLWCHAR13Assigned to domainALPHAWP_RANLRANSECURITY_F4
RWKNRM: Security ID Number for Complex Class xSDTFT JBRWKNCHAR13ALPHAJBRWKNS_RM_VWPANLA_RANL
RPORTBPortfolio RPORTBCHAR10TWPOBRPORTBT50H_RPORTB_CORE
RDEALERTrader RDEALERCHAR12TZDEARDEALER
PARTNRBusiness Partner Number BU_PARTNERCHAR10Assigned to domainALPHABU_PARTNERBPABUPA
WAEHRUNGCurrency of Cash Flow JBWCFCUKY5TCURCWAERS
ARRDefault Risk Rule KL_DEFRIRECHAR10KLARRCKL_DEFRIRE
SLPGLimit Product Group KL_LPGCHAR3ATLPGT_SLPG
GRUPPCredit Limit Part: General Ledger Account KL_SKPSKCHAR10Assigned to domainALPHASKPSK
EBENECredit Limit: Level for Cash Management and Forecasting KL_FDLEVCHAR2Assigned to domainFDLEV
DISPWPlanned Currency for Cash Management and Forecast KL_DISPWCUKY5Assigned to domainWAERS
AGGREGRULEAggregation Rule in Hierarchy of Data Type of Fin. Trans. JBRAGGREGCHAR4JBRAGGREG
RMBEWREGValuation Rule JBRBEWREG_CHAR8JBRBEWREGJBRBEWREG
GFORMTransaction Form TV_GFORMNUMC3VTVFGKOGFT_GFORM
GDETAILTransaction Form - Detail Information TV_GDETAILNUMC3VTVFGKOGFT_GDETAIL
KATEKZIndicator for spot and forward transactions TV_KATEKZCHAR1T_KATEKZ
AGGRKZIndicator for aggregated transactions TV_AGGRKZCHAR1T_AGGRKZ
DBLFZStart of Term DBLFZDATS8DATUM
DELFZEnd of Term/End of Period of Notice JBRDELFZDATS8DATUM
SFGTYPBuy/Sell TV_SFGTYPNUMC3Assigned to domainTV_SFGTYP
SNOTTYPEQuotation type for option, future, security etc. TB_NOTTYPECHAR1T_NOTTYPE
SNOMWHRCurrency of Nominal Amount TV_NOMWAECUKY5TCURCWAERS
BNOMINALNominal amount TV_NOMINALCURR17(2) T_BETRAG
ASTUECKNumber of units for unit-quoted securities ASTUECKDEC15(5) ASTUECK
WGSCHFT1Currency of Outgoing Side TB_WGSCHF1CUKY5TCURCWAERS
WGSCHFT2Currency of Incoming Side TB_WGSCHF2CUKY5TCURCWAERS
BNOMI1Nominal amount of outgoing side TV_NOMI1CURR17(2) T_BETRAG
BNOMI2Nominal amount of incoming side TV_NOMI2CURR17(2) T_BETRAG
BSALDOResidual balance of a contract (account) TV_BSALDOCURR17(2) T_BETRAG
DEFSZDate of fixed period end VVDEFSZDATS8DATUM
RANLSecurity JBRRANLCHAR13Assigned to domainALPHAWP_RANLRANS_RM_VWPANLA_RANL
RHANDPLExchange VVRHANDPLCHAR10TWH01VVRHANDPLWHP
IDXSecurities Index IDXCHAR10INDEXDCHAR10
IDXVALIndex Value TV_IDXVALDEC15(6) VVPKTKUR
BPIDXValue of an index point TV_BPIDXCURR17(2) T_BETRAG
SPIDXCurrency of Value of an Index Point TV_SPIDXCUKY5TCURCWAERS
KKURSWPCurrent price of futures contract/option on futures contract TV_KURSFUTDEC15(6) VVPKTKUR
DDEKSERM: Date on which the average purchase price was determined DDEKSEDATS8DATUM
SSHLNGShort/Long Indicator JBSSHLNGCHAR1JBSSHLNG
SEZWHRCurrency of external commitment capital KL_EXTZKWHRCUKY5TCURCWAERS
BEZWHRAmount of external commit. capital in currency KL_EXTZKCURR17(2) KL_AMOUNT
RIDEXTRTEXTExternal Number of the External Generic Transaction JBRIDEXTRTEXTCHAR20JBRIDEXTRTEXT
BETICKTick Amount (Commodity) TI_BETICK_COMMODITYDEC13(7) DEC13_7
BWTICKTick Value (Commodity) TI_BWTICK_COMMODITYDEC13(7) DEC13_7
URANLSecurity ID Number VVRANLWCHAR13Assigned to domainALPHAWP_RANLRANSECURITY_F4
CTY_IDCommodity ID TRCO_COMM_IDCHAR18TPM_CTY_IDCOMMODITY_IDF4_CTY_ID_CORE
QUOTSRCQuotation Source TCR_CTY_QUOTSRCCHAR2Assigned to domainTCR_CTY_QUOTSRC
BETICK_SECTick as amount TI_BETICKCURR13(2) WERTV7
BWTICK_SECTick value TI_BWTICKCURR13(2) WERTV7
WWTICKTick Value Currency TI_WWTICKCUKY5TCURCWAERS
PPTICKTick in percentage points TI_PPTICKDEC10(7) DECV3_7
PITICKTick in index points TI_PITICKDEC11(6) T_PKTKUR
CTY_QUANTITYQuantity FTR_QUANQUAN13(3) FTR_QUAN
CTY_UOMUnit of Measure for the Commodity TPM_CTY_UOMUNIT3Assigned to domainCUNITMEINS
CSPREADCredit Spread FTR_CSPREADDEC10(7) DECV3_7
CTY_ID2Commodity ID TRCO_COMM_IDCHAR18TPM_CTY_IDCOMMODITY_IDF4_CTY_ID_CORE
CSPREAD_FWDCredit Spread FTR_CSPREADDEC10(7) DECV3_7
EXP_APPR_CATCommodity Exposure Approach Category FTR_EXP_APPR_CATNUMC1FTR_EXP_APPR_CAT
CONTRACT_VALUEContract Value JBR_CONTRACT_VALUECURR13(2) WERTV7
CONTRACT_VALUE_CURRContract Value Currency JBR_CONTRACT_VALUE_CURRCUKY5Assigned to domainWAERS
FORWARD_DATEForward Date FTR_FWDDATEDATS8DATS
BETICK_CTY_CUNITCurrency unit VVSRUNITCHAR5Assigned to domainVVSRUNIT
.INCLU--AP 0
LEAD_FGETSelected Transaction LEAD_FGETCHAR1LEAD_FGET
U_DDISPODelivery of Underlying RM_UDDISPODATS8DATUM
U_SNOTTYPQuotation of underlying RM_UNOTTYPCHAR1T_NOTTYPE
SABRMETSettlement method option/future RM_SABRMETCHAR1T_SABRMET
SETTLFLSettlement indicator RM_SETTLFLCHAR1T_SETTLFL
SOPTAUSExercise type (American or European) RM_SOPTAUSNUMC1SOPTAUS
OFWAERSStrike Currency of Option/Future RM_OFWAERSCUKY5TCURCWAERS
OSTRIKEStrike Amount of Option RM_OSTRIKECURR17(2) T_BETRAG
OSKURSStrike as Rate (Forex) RM_OSKURSDEC13(7) DEC6_7
OSBPRICEStrike price per unit RM_OSBPRICCURR17(2) T_BETRAG
OSINDEXStrike in points (for quotation in points) RM_OSINDEXDEC11(6) T_PKTKUR
OBNOTPTValue of quotation point RM_BNOTPTCURR17(2) T_BETRAG
OSPROZEStrike in percent (for percentage quotation) RM_OSPROZEDEC10(7) PWKURS
OBPROZEReference value of strike percentage quotation RM_BPROZECURR17(2) T_BETRAG
OPTTYPOriginal Option category (On Conclusion of Deal) RM_OPTTYPNUMC3ATO1T_OPTTYP
OPTTYP_AKTCurrent option category RM_AOPTTYPNUMC3ATO1T_OPTTYP
OBEZVHSubscription ratio of option RM_OBEZVHDEC15(5) ASTUECK
REWAERSOption Rebate Currency RM_REWAERSCUKY5TCURCWAERS
REBETROption rebate amount RM_REBETRCURR17(2) T_BETRAG
RESSIGNDirection of rebate amount RM_RESSIGNCHAR1T_SSIGN
REDATERebate Due Date RM_REDATEDATS8DATUM
B1OSTRIKEUpper Barrier Amount RM_B1OSTRICURR17(2) T_BETRAG
B1OSBPRICEUpper Barrier Price per Unit RM_B1OSBPRCURR17(2) T_BETRAG
B1OSINDEXUpper Barrier Points (For Quotation in Points) RM_B1OSINDDEC11(6) T_PKTKUR
B1OSPROZEUpper Barrier Percentage (For Percentage Quotations) RM_B1OSPRODEC10(7) PWKURS
B1OSKURSRate for Upper Barrier (Forex) RM_B1OSKURDEC13(9) TB_KKURS
BA1RBETRRebate Amount of Upper Barrier RM_BA1RBETCURR17(2) T_BETRAG
BA1RWAERCurrency of the Rebate Amount of Upper Barrier RM_BA1RWAECUKY5TCURCWAERS
BA1RDATMaturity Date of Rebate for Upper Barrier RM_BA1RDATDATS8DATUM
BA1RSSIGNDirection of Rebate for Uppter Barrier RM_BA1RSSICHAR1T_SSIGN
B2OSTRIKELower Barrier Amount RM_B2OSTRICURR17(2) T_BETRAG
B2OSBPRICELower Barrier Price per Unit RM_B2OSBPRCURR17(2) T_BETRAG
B2OSINDEXLower Barrier Points (For Quotation in Points) RM_B2OSINDDEC11(6) T_PKTKUR
B2OSPROZEPercentage for Lower Barrier (For Percentage Quotation) RM_B2OSPRODEC10(7) PWKURS
B2OSKURSLower Barrier Rate (Forex) RM_B2OSKURDEC13(9) TB_KKURS
BA2RBETRRebate Amount of Lower Barrier RM_BA2RBETCURR17(2) T_BETRAG
BA2RWAERCurrency of Rebate Amount of Lower Barrier RM_BA2RWAECUKY5TCURCWAERS
BA2RDATMaturity Date of Rebate of Lower Barrier RM_BA2RDATDATS8DATUM
BA2RSSIGNDirection of Rebate of Lower Barrier RM_BA2RSSICHAR1T_SSIGN
SPUTCALLPut/Call Indicator for Options RM_PUTCALLNUMC1TV_PUTCAL
.INCLU--AP 0
VORZEITLead Time of Option VORZEITINT25VORZEIT
.INCLU--AP 0
TOTALSAMPLECOUNTNumber of Sample Dates per Base Value TOTALSAMPLECOUNTINT25TOTALSAMPLECOUNT
FIXEDSAMPLECOUNTNumber of Fixed Points per Base Value FIXEDSAMPLECOUNTINT25FIXEDSAMPLECOUNT
FIXEDSPOTAVERAGEMean Value of Fixed Base Prices FIXEDSPOTAVERAGECURR13(2) WERTV7
NEXTSAMPLEDATENext Sample Date NEXTSAMPLEDATEDATS8NEXTSAMPLEDATE
.INCLU--AP 0
FIXEDVOLATILITYForward Volatility, Fixed for Each Contract FIXEDVOLATILITYDEC11(7) T_VOLA
CFARTCash Flow Type JBRCFART_DCHAR3JBRCFARTJBRCFARTS_JBRCFART
RKONDGRDirection of Transaction TB_RKONDGRNUMC1T_RKONDGR
SSIGNDirection of flow TB_SSIGNCHAR1T_SSIGN
SCWHRCurrency of cash flow TV_CFWHRCUKY5TCURCWAERS
BCWHRCash Flow Amount in Currency TV_CASHFCURR17(2) T_BETRAG
DFAELLDue date DFAELLDATS8DATUM
DDISPOPayment Date DDISPODATS8DATUM
DBERVON'Calculate From' Date (Inclusive of that date) JBRBERVONDATS8DATUM
DBERBIS'Calculate Through To' Date JBRBERBISDATS8DATUM
SZBMETHInterest Calculation Method SZBMETHCHAR1SZBMETH
ABASTAGENumber of base days in a calculation period ABASTAGENUMC6INT6
ATAGENumber of Days VTVATAGENUMC6NUMC06
CF_ASTCKNumber of units for unit-quoted securities ASTUECKDEC15(5) ASTUECK
SNWHRCurrency of nominal amount base TV_SNWHRCUKY5TCURCWAERS
BNWHRNominal amount base for cash flow determination TV_BNWHRCURR17(2) T_BETRAG
PKONDInterest rate as a percentage TB_PKONDDEC10(7) DECV3_7
SZSREFReference Interest Rate SZSREFCHAR10T056RZIREFKU
SZSREFVZ+/- sign / reference interest rate operator SZSREFVZCHAR1SZSREFVZ
SOFFSETFixer offset for variable interest rate reference TV_SOFFSETDEC10(7) DECV3_7
SFORMREFFormula Reference TB_XFORMBECHAR4AT30T_FORMBE
DZFESTInterest rate fixing date TB_DZFESTDATS8DATUM
JSOFVERRImmediate settlement JSOFVERRCHAR1TFMSOFVERR
OPPZINSOpportunity Interest JBIOPPZDEC10(7) JBIZINS
FIKTKZInclude Fictitious Cash Flows TV_FIKTKZCHAR1TV_FIKTKZ
SBWHRPosition Currency/Transaction Currency KL_SBWHRCUKY5TCURCWAERS
BBWHRAmount in transaction currency KL_BBWHRCURR17(2) KL_AMOUNT
XKURSKNZX - Fixed exchange rate agreed KL_XKURSCHAR1XFELD
KKURSExchange Rate KL_KKURSDEC13(7) DEC6_7
SZINSARTRM: Indicator for the Type of Interest Rate JBSZINSARTCHAR1JBSZINSART
SVARNAME_1Variable Name TB_VARNAMECHAR4T_XFELD04
PKOND_1Percentage rate for condition items PKONDDEC10(7) DECV3_7
SZSREF_1Reference Interest Rate SZSREFCHAR10T056RZIREFKU
SVARNAME_2Variable Name TB_VARNAMECHAR4T_XFELD04
PKOND_2Percentage rate for condition items PKONDDEC10(7) DECV3_7
SZSREF_2Reference Interest Rate SZSREFCHAR10T056RZIREFKU
SVARNAME_3Variable Name TB_VARNAMECHAR4T_XFELD04
PKOND_3Percentage rate for condition items PKONDDEC10(7) DECV3_7
SZSREF_3Reference Interest Rate SZSREFCHAR10T056RZIREFKU
SVARNAME_4Variable Name TB_VARNAMECHAR4T_XFELD04
PKOND_4Percentage rate for condition items PKONDDEC10(7) DECV3_7
SZSREF_4Reference Interest Rate SZSREFCHAR10T056RZIREFKU
SVARNAME_5Variable Name TB_VARNAMECHAR4T_XFELD04
PKOND_5Percentage rate for condition items PKONDDEC10(7) DECV3_7
SZSREF_5Reference Interest Rate SZSREFCHAR10T056RZIREFKU
SVARNAME_6Variable Name TB_VARNAMECHAR4T_XFELD04
PKOND_6Percentage rate for condition items PKONDDEC10(7) DECV3_7
SZSREF_6Reference Interest Rate SZSREFCHAR10T056RZIREFKU
POBJNRPointer to Original Transaction JBPOBJNRCHAR22Assigned to domainJ_OBJNRS_JBRDBKOET_OBJNR
PWKNRM: Pointer to TR ID Number JBRRANLWCHAR13Assigned to domainALPHAWP_RANLRANS_RM_VWPANLA_RANL
CRUSEREntered by TB_CRUSERCHAR12SYCHAR12
DCRDATEntered On TB_CRDATDATS8DATUM
TCRTIMEntry Time TB_TCRTIMTIMS6UZEIT
UPUSERLast Changed by TB_UPUSERCHAR12SYCHAR12
DUPDATChanged on TB_DUPDATDATS8DATUM
TUPTIMTime changed TB_TUPTIMTIMS6UZEIT

Key field Non-key field



How do I retrieve data from SAP structure JBIPXSFGDT using ABAP code?

As JBIPXSFGDT is a database structure and not a table it does not store any data in the SAP data dictionary. The ABAP SELECT statement is therefore not appropriate and can not be performed on JBIPXSFGDT as there is no data to select.

How to access SAP table JBIPXSFGDT

Within an ECC or HANA version of SAP you can also view further information about JBIPXSFGDT and the data within it using relevant transactions such as

SE11 (ABAP Dictionary Maintenance)
SM30 (Maintain Table Data)
SE80 (Object Navigator)
SE16 (Data Browser).


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