JBIUOBJ SAP (Receiver Structure for Transfer of Objects) Structure details
Description: Receiver Structure for Transfer of Objects
Structure field list including key, data, relationships and ABAP select examples
JBIUOBJ 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 "Receiver Structure for Transfer of Objects" 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_JBIUOBJ TYPE JBIUOBJ.
The JBIUOBJ table consists of various fields, each holding specific information or linking keys about Receiver Structure for Transfer of Objects data available in SAP. These include BUKRS (Company Code), GSART (Product Type), SHERKU (Source Indicator), SGSTAT (Transaction Status).. 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 JBIUOBJ 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 |
BUKRS | Company Code | BUKRS | CHAR | 4 | Assigned to domain | BUKRS | BUK | C_T001 | |
GSART | Product Type | VVSART | CHAR | 3 | Assigned to domain | VVSART | SAN | VVSART_APPL_BAS | |
SHERKU | Source Indicator | JBSHERKU | CHAR | 8 | JBSHERKU | ||||
SGSTAT | Transaction Status | JBSGSTAT | CHAR | 1 | JBSGSTAT | ||||
DEGKBE | Date of Transaction Start | JBDGBEGI | DATS | 8 | DATUM | ||||
DEGKEN | Date of Transaction End | JBDGENDE | DATS | 8 | DATUM | ||||
DRMBEG | Transaction Start for RM | JBDRMBEG | DATS | 8 | DATUM | ||||
DRMEND | Transaction End for RM | JBDRMEND | DATS | 8 | DATUM | ||||
DMWBEG | Transaction Start for RR | JBDMWBEG | DATS | 8 | DATUM | ||||
DMWEND | Transaction End for RR | JBDMWEND | DATS | 8 | DATUM | ||||
DKLBEG | Transaction Start for CL | JBDKLBEG | DATS | 8 | DATUM | ||||
DKLEND | Transaction End for CL | JBDKLEND | DATS | 8 | DATUM | ||||
SEGKAK | Profitability Analysis Active Indicator | JBSEGKAK | CHAR | 1 | JBSJANEIN | ||||
SRMAKT | Analysis Active Indicator | JBSRMAKT | CHAR | 1 | JBSJANEIN | ||||
SMWAKT | RR Active Indicator | JBSMWAKT | CHAR | 1 | JBSJANEIN | ||||
SKLAKT | Indicator CL Active | JBSKLAKT | CHAR | 1 | JBSJANEIN | ||||
NAMEAUS | Disbursement Procedure (Loan) | JBRNAMEAUS | CHAR | 10 | Assigned to domain | JBRNAMEAUS | |||
BREFKUR | Reference Price for Securities/Listed Transactions | JBREFKUR | DEC | 15(6) | VVPKTKUR | ||||
KREFKUR | Reference Rate for Foreign Exchange Transactions | JBKREFKUR | DEC | 9(5) | EXCRT | UKURS | |||
BGWERT | Equivalent Value in Local Currency for a Forex Transaction | JBBGWERT | CURR | 17(2) | WERTV9 | ||||
BREFBETR | Reference Price - Amount | JBBREFPR | CURR | 17(2) | WERTV9 | ||||
SSAMKZ | Indicator for Collective Order | JBDSAMKZ | CHAR | 1 | XFELD | ||||
DSAMV | Collective Order Date From | JBDSAMV | DATS | 8 | DATS | ||||
DSAMB | Collective Order Date To | JBDSAMB | DATS | 8 | DATS | ||||
DSAMM | ISB: Market Rate Date: Market Interest Rate for NPV Calc. | DMARKTZINS | DATS | 8 | DATS | ||||
RANLALT1 | Alternative Identification | RANLALT1 | CHAR | 13 | CHAR13 | ||||
RANL | Contract Number | RANL | CHAR | 13 | ALPHA | RANL | RAN | ||
NORDEXT | External order number | NORDEXT | CHAR | 20 | CHAR20 | ||||
NORDER | Internal Order Number | JBINTORD | NUMC | 8 | NUM8 | ORD | |||
RBKONT | Account Number | JBRBKONT | CHAR | 16 | Assigned to domain | JBRBKONT | JB4 | ||
REXTNR | External Account Number | JBREXTNR | CHAR | 18 | JBREXTNR | ||||
RFHA | Financial Transaction | TB_RFHA | CHAR | 13 | Assigned to domain | ALPHA | T_RFHA | FAN | VTBA |
RUBEST | Position Name | JBRUBEST | CHAR | 10 | Assigned to domain | JBRUBEST | JB8 | ||
RSERVI | Service Number | JBRSERVI | CHAR | 10 | Assigned to domain | JBRSERVI | JB9 | RSERVI | |
RPORTB | Portfolio | RPORTB | CHAR | 10 | Assigned to domain | RPORTB | T50 | H_RPORTB_CORE | |
RANLW | Security ID Number | VVRANLW | CHAR | 13 | Assigned to domain | ALPHA | WP_RANL | RAN | SECURITY_F4 |
RLDEPO | Securities Account | RLDEPO | CHAR | 10 | Assigned to domain | RLDEPO | DEP | ACC_CCD_CORE | |
RBESTO | Position Number | JBRBESTO | NUMC | 10 | NUM10 | JBA | |||
WBWAER | Currency of Position | JBWBWAER | CUKY | 5 | Assigned to domain | WAERS | |||
SSHLNG | Short/Long Indicator | JBSSHLNG | CHAR | 1 | JBSSHLNG | ||||
SOBJART | Type of Grouping Object (Part of JBSPGRUP) | JBSOBJART | CHAR | 2 | JBSOBJART | OBZ | |||
ROBJNR | Grouping Object No. | JBROBJNR | CHAR | 14 | JBROBJNR | OBY | |||
REXTOB | External Grouping Object Number | JBREXTOB | CHAR | 14 | JBROBJNR | ||||
RIDXRT | Internal Number of the Generic Transaction | JBRIDXRT | CHAR | 20 | Assigned to domain | ALPHA | JBRIDXRT | RIDXRT | S_JBRDBKO_RIDXRT |
RIDEXT | External Number of the Generic Transaction | JBRIDEXT | CHAR | 20 | JBRIDEXT | RIDEXT | S_JBRDBKO_RIDEXT | ||
RIDBSTD | Internal Number for Position of Generic Transactions | JBRIDBSTD | CHAR | 20 | Assigned to domain | ALPHA | JBRIDBSTD | RIDBSTD | S_JBRDBRTBSTD_RIDBSTDEXT |
RIDBSTDEXT | External ID for Position of Generic Transactions | JBRIDBSTDEXT | CHAR | 20 | JBRIDBSTDEXT | RIDBSTDEXT | |||
BKKRS | Bank Area | BKK_BKKRS | CHAR | 4 | Assigned to domain | BKK_BKKRS | BNS | ||
ACNUM_EXT | Account number for current account | BKK_ACEXT | CHAR | 35 | ACEXT | BKK_ACEXT | ACE | BKKACEXT | |
ACNUM_INT | Internal Account Number for Current Account | BKK_ACCNT | CHAR | 10 | Assigned to domain | ALPHA | BKK_ACCNT | ACI | |
VTNUM | Number of Variable Transaction | JBVTNUM | CHAR | 40 | JBVTNUM | VTNUM | JBSHVT | ||
VTNUM_INT | Internal Number of Variable Transaction | 0 | |||||||
FAZNR | Identifier for Facilities (Internal) | KL_FAZNR | CHAR | 20 | Assigned to domain | KL_FAZNR | FAZINT | ||
FAZID | Identifier for Facilities (External) | KL_FAZID | CHAR | 40 | KL_FAZID | FAZEXT | |||
SIDINT | Identifier for Collateral Provision | KL_SID | CHAR | 20 | CHAR20 | SIDINT | |||
SIDEXT | External Identifier for Collateral Provision | KL_SIDEXT | CHAR | 20 | CHAR20 | SIDEXT | |||
ST_SECID | Security ID Number | VVRANLW | CHAR | 13 | Assigned to domain | ALPHA | WP_RANL | RAN | SECURITY_F4 |
ST_SECACC | Securities Account | VRLDEPO | CHAR | 10 | Assigned to domain | RLDEPO | DEP | ||
FT_SECID | Security ID Number | VVRANLW | CHAR | 13 | Assigned to domain | ALPHA | WP_RANL | RAN | SECURITY_F4 |
FT_POSACC | Futures Account for Listed Options and Futures | TPM_POS_ACCOUNT_FUT | CHAR | 10 | Assigned to domain | TPM_POS_ACCOUNT_FUT | TRF_PAC | TRFC_F4_POS_ACCOUNT | |
NIPL_IDNUM | Key of Non-Interest Profit and Loss | JBNIPL_IDNUM | CHAR | 16 | H_JBA_US_IDNUM | ||||
POSITION_ID | Exposure Position ID | FTR_POSITION_ID | CHAR | 20 | Assigned to domain | ALPHA | FTR_POSITION_ID | TEXH_POSITION | |
POS_SUBPOS_GUID | Globally Unique Identifier | OS_GUID | RAW | 16 | SYSUUID | ||||
VALUATION_AREA | Valuation Area | TPM_VAL_AREA | CHAR | 3 | TRGC_VAL_AREA | TPM_VAL_AREA | TPM_VAL_AREA | TRG_VALUATION_AREA | |
COM_VAL_CLASS | General Valuation Class | TPM_COM_VAL_CLASS | NUMC | 4 | TRGC_COM_VALCL | TPM_COM_VAL_CLASS | CVC | ||
VALUATION_CLASS | Valuation Class | TPM_VAL_CLASS | NUMC | 4 | TRGC_VAL_CLASS | TPM_VAL_CLASS | |||
ACCOUNTING_CODE | Accounting Code | TPM_ACC_CODE | CHAR | 4 | TRGC_TR_ACC_CODE | TPM_ACC_CODE | TPM_TAC | TRG_ACC_CODE | |
COMPANY_CODE | Company Code | BUKRS | CHAR | 4 | T001 | BUKRS | BUK | C_T001 | |
PRODUCT_TYPE | Product Type | VVSART | CHAR | 3 | TZPA | VVSART | SAN | VVSART_APPL_BAS | |
SECURITY_ACCOUNT | Securities Account | RLDEPO | CHAR | 10 | TWD01 | RLDEPO | DEP | ACC_CCD_CORE | |
SECURITY_ID | Security ID Number | VVRANLW | CHAR | 13 | VWPANLA | ALPHA | WP_RANL | RAN | SECURITY_F4 |
PORTFOLIO | Portfolio as Differentiation Characteristic | TPM_PORTFOLIO_DIFF | CHAR | 10 | TWPOB | RPORTB | |||
TRADER | Trader | RDEALER | CHAR | 12 | TZDEA | RDEALER | |||
ACCOUNT_GROUP | Securities Account Group | TPM_SEC_ACCT_GRP | CHAR | 10 | TRGT_SECACCGRP | TPM_SEC_ACCT_GRP | TPM_SHPL_SEC_ACC_GRP | ||
LOANS_CONTRACT | Contract Number | RANL | CHAR | 13 | VDARL | ALPHA | RANL | RAN | |
POSITION_ACCOUNT | Futures Account for Listed Options and Futures | TPM_POS_ACCOUNT_FUT | CHAR | 10 | TRFT_POS_ACCOUNT | TPM_POS_ACCOUNT_FUT | TRF_PAC | TRFC_F4_POS_ACCOUNT | |
FLAG_LONG_SHORT | Indicator: Long or Short Position | TPM_FLAG_LONG_SHORT | CHAR | 1 | TPM_FLAG_LONG_SHORT | ||||
LOT_ID | Identifier of the Lot | TPM_LOT_ID | RAW | 16 | SYSUUID | ||||
DEAL_NUMBER | Financial Transaction | TB_RFHA | CHAR | 13 | VTBFHA | ALPHA | T_RFHA | FAN | VTBA |
FUND | Fund | FM_FUND | CHAR | 10 | Assigned to domain | BP_GEBER | FIC | ||
GRANT_NBR | Grant | GM_GRANT_NBR | CHAR | 20 | ALPHA | GM_GRANT_NBR | GM_GRANT_NBR | GRANTS_GENERIC | |
EXTERNAL_ACCOUNT | External Account | TPM_EXT_ACCOUNT | CHAR | 10 | TPM_EXT_ACCOUNT | TREA_EA | TREATH_EXT_ACCOUNT | ||
DIFF_CURRENCY | Currency as Differentiation Term | TPM_DIFF_CURRENCY | CUKY | 5 | TCURC | WAERS | TPM_DIFF_CURR | ||
RADKEY | Differentiation of Transactions from Costing View | JBRADKEY_D | CHAR | 2 | Assigned to domain | JBRADKEY | |||
RBPROD | Bank Product | JBRBPROD | CHAR | 10 | Assigned to domain | JBRBPROD | |||
RBPVAR | Bank Product Variant for Costing | JBRBPVAR | CHAR | 6 | Assigned to domain | JBRBPVAR | |||
DKGUEL | Validity Date for Determining Costing Rule | JBDKGUEL | DATS | 8 | DATUM | ||||
RKALRG | Costing Rule | JBRKALRG | CHAR | 8 | Assigned to domain | JBRKALRG | JB7 | ||
SPERIO | Costed to Period | JBSPERIO | NUMC | 3 | NUM3 | ||||
SKJAHR | Costed up to Year | JBSKJAHR | NUMC | 4 | NUM4 | ||||
ARSTP1 | Number of Periods for Residual Distribution of Commission 1 | JBARPER1 | INT1 | 3 | INT1 | ||||
ARSTP2 | Number of Periods for Residual Distribution of Commission 2 | JBARPER2 | INT1 | 3 | INT1 | ||||
ARSTP3 | Number of Periods for Residual Distribution of Commission 3 | JBARPER3 | INT1 | 3 | INT1 | ||||
ARSTP4 | Number of Periods for Residual Distribution of Commission 4 | JBARPER4 | INT1 | 3 | INT1 | ||||
BRPRV1 | Remaining Commission 1 | JBBRPRV1 | CURR | 17(2) | WERTV9 | ||||
BRPRV2 | Remaining Commission 2 | JBBRPRV2 | CURR | 17(2) | WERTV9 | ||||
BRPRV3 | Remaining Commission 3 | JBBRPRV3 | CURR | 17(2) | WERTV9 | ||||
BRPRV4 | Remaining Commission 4 | JBBRPRV4 | CURR | 17(2) | WERTV9 | ||||
SFEMODE | Mode for Data Transfer for Profitability Analysis Part | JBSFEMD | CHAR | 1 | JBSMODE | ||||
SEGUB | Indicator - Record Relevant for Profitability Analysis? | JBSEGUB | CHAR | 1 | JBSEGUB | ||||
SRMUB | Indicator showing whether the record is relevant for RM | JBSRMUB | CHAR | 1 | JBSRMUB | ||||
SFRMODE | Mode for Data Transfer of Analysis Parameters | JBSFRMD | CHAR | 1 | JBSMODE | ||||
VERDREGEL | Summarization Rule | JBRVREGEL | CHAR | 8 | JBRVREG | JBRVREGEL | S_DE_JBRVREGEL | ||
APKENNZ | Indicator: Asset/Liability Transaction | JBRAKTPAS | CHAR | 1 | JBRAKTPAS | ||||
BEWREGEL | Valuation Rule | JBRBEWREG_ | CHAR | 8 | JBRBEWREG | JBRBEWREG | |||
ABREG | Write-Down Rule | JBRABREG | CHAR | 8 | JBRABREGTAB | JBRABREG | |||
SKLUB | Indicator, Showing if Record Relevant for CL | JBSKLUB | CHAR | 1 | JBSKLUB | ||||
SFKMODE | Mode for Data Transfer CL Part | JBSFKMD | CHAR | 1 | JBSFKMD | ||||
SID | Identifier for Collateral Provision | KL_SID | CHAR | 20 | CHAR20 | SIDINT | |||
RDEALER | Trader | RDEALER | CHAR | 12 | TZDEA | RDEALER | |||
CONTROL01 | Monitoring Unit | TB_CONTROL | CHAR | 10 | CHAR10 | TB_CONTROL | |||
SLPG | Limit Product Group With/Without Collective Limit | TB_SLPG_R1 | CHAR | 3 | Assigned to domain | T_SLPG | F4_TB_SLPG_R1 | ||
ARR | Default Risk Rule | KL_DEFRIRE | CHAR | 10 | KLARRC | KL_DEFRIRE | |||
RATING | Rating | BP_RATING | CHAR | 3 | TP06 | BP_RATING | |||
RRFIND | Recovery Rate | KL_RRFIND | CHAR | 5 | KLRRFINDDEF | KLCHAR5 | |||
NID | Indentifier for Netting Groups | KL_NID | CHAR | 10 | KLNT01 | KL_NID | |||
CAID | Identifier for Collateral Groups | KL_CAID | CHAR | 20 | CHAR20 | ||||
FAZNR_OBJ | Assignment of Facility (Internal) to Financial Object | KL_FAZNR_OBJ | CHAR | 20 | Assigned to domain | KL_FAZNR | FAZINT | ||
FAZID_OBJ | Facility Assignment (External) to Financial Object | KL_FAZID_OBJ | CHAR | 40 | KL_FAZID | FAZINT | |||
PARTNR | Business Partner Number | BU_PARTNER | CHAR | 10 | BUT000 | ALPHA | BU_PARTNER | BPA | BUPA |
RISK_EFFECT | Transaction is Risk-Reducing | KL_RISK_EFFECT | CHAR | 1 | KL_RISK_EFFECT | ||||
SARAKT | Indicator: Counterparty/Issuer Risk Active | KL_ARAKT | CHAR | 1 | JBSJANEIN | ||||
DARBEG | Transaction Start Date for CL Counterparty/Issuer Risk | KL_ARBEG | DATS | 8 | DATUM | ||||
DAREND | Transaction End Date for CL Counterparty/Issuer Risk | KL_AREND | DATS | 8 | DATUM | ||||
GRUPP | Credit Limit Part: General Ledger Account | KL_SKPSK | CHAR | 10 | Assigned to domain | ALPHA | SKPSK | ||
EBENE | Credit Limit: Level for Cash Management and Forecasting | KL_FDLEV | CHAR | 2 | Assigned to domain | FDLEV | |||
DISPW | Planned Currency for Cash Management and Forecast | KL_DISPW | CUKY | 5 | Assigned to domain | WAERS | |||
PARTNER_DERI | Business Partner Number | BU_PARTNER | CHAR | 10 | Assigned to domain | ALPHA | BU_PARTNER | BPA | BUPA |
LRB | Country Risk Area | KL_LRB | NUMC | 2 | KLLRB | KL_LRB | KL_F4_LRB | ||
LRL | Relevant Country for Country Risk | KL_LRL | CHAR | 3 | T005 | LAND1 | |||
LRL_POL | Country of Head Office of Branch (Political) | KL_LRLPOL | CHAR | 3 | T005 | LAND1 | |||
INTORG | Internal Organizational Unit (Branch where Postings Made) | KL_INTORG | CHAR | 10 | KLINTORG | KL_INTORG | |||
LEQ | Loss Equivalent Class | KL_LEQCLASS | CHAR | 5 | KLLRDEF03 | KL_LEQCLASS | |||
CEQ | CEQ Class | KL_CEQCLASS | CHAR | 5 | KLLRDEF02 | KL_CEQCLASS | |||
DLRBEG | Transaction Start Date for CL Country Risk | JBDLRBEG | DATS | 8 | DATUM | ||||
DLREND | Transaction End Date for CL Country Risk | JBDLREND | DATS | 8 | DATUM | ||||
SLRAKT | Indicator: Country Risk Active | KL_LRAKT | CHAR | 1 | JBSJANEIN | ||||
UPUSERLR | Last Changed By (Country Risk) | KLUPUSERLR | CHAR | 12 | SYCHAR12 | ||||
DUPDATLR | Changed On (Country Risk) | KLDUPDATLR | DATS | 8 | DATUM | ||||
TUPTIMLR | Time Changed (Country Risk) | KLTUPTIMLR | TIMS | 6 | UZEIT | ||||
CRUSERLR | Entered By (Country Risk) | KLCRUSERLR | CHAR | 12 | SYCHAR12 | ||||
DCRDATLR | Entered On (Country Risk) | KLCRDATLR | DATS | 8 | DATUM | ||||
TCRTIMLR | Time Entered (Country Risk) | KLTCRTIMLR | TIMS | 6 | UZEIT | ||||
WGWAERK | Transaction Currency (CL) | KLWGWAER | CUKY | 5 | Assigned to domain | WAERS |
Key field | Non-key field |
How do I retrieve data from SAP structure JBIUOBJ using ABAP code?
As JBIUOBJ 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 JBIUOBJ as there is no data to select.How to access SAP table JBIUOBJ
Within an ECC or HANA version of SAP you can also view further information about JBIUOBJ and the data within it using relevant transactions such asSE11 (ABAP Dictionary Maintenance)
SM30 (Maintain Table Data)
SE80 (Object Navigator)
SE16 (Data Browser).
Search for further information about these or an SAP related objects