JBSMDS SAP (SAP Report Data Record (only as structure due to size)) Structure details

Dictionary Type: Structure
Description: SAP Report Data Record (only as structure due to size)




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




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

JBSMDS 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 "SAP Report Data Record (only as structure due to size)" 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_JBSMDS TYPE JBSMDS.

The JBSMDS table consists of various fields, each holding specific information or linking keys about SAP Report Data Record (only as structure due to size) data available in SAP. These include RRECID (Record ID for the RR Data Record), RALTRECID (Additional Record ID for Reporting Dataset), TERFAS (Time Reporting Data Record Created), DERFAS (Date Reporting Data Record Created).. 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: Not classified


SAP JBSMDS 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
MANDTClient MANDTCLNT3T000MANDT
RRECIDRecord ID for the RR Data Record JBRRECIDNUMC12JBRRECID
RALTRECIDAdditional Record ID for Reporting Dataset JBRARECIDNUMC5JBRARECID
TERFASTime Reporting Data Record Created TERFASTIMS6T
DERFASDate Reporting Data Record Created DERFASDATS8DATUM
CRUSEREntered by TB_CRUSERCHAR12SYCHAR12
BABSCHDepreciation of Own Holdings JBBABSCHCURR17(2) WERTV9
BAUSBTDisbursement in Reporting Period JBBAUSBTCURR17(2) WERTV9
BDIFSLBalance Difference for Zero Bonds JBBDIFSLCURR17(2) WERTV9
BEWBREIndividual Value Adjustment Surplus Amount JBBEWBRECURR17(2) WERTV9
BOFLIMOpen Commitments (Principle 1 and BISTA) JBBOFLIMCURR17(2) WERTV9
BSREALReal Estate Loan according to SA1.1 031/QS1.1 031 JBBSREALCURR17(2) WERTV9
BSPARBBalance of Debits in Savings Transactions JBBSPARBCURR17(2) WERTV9
BSPARGBalance of Credits in Savings Transactions JBBSPARGCURR17(2) WERTV9
BWKTSLBalance in Original Currency JBBWKTSLCURR17(2) WERTV9
BWNOMLNominal Value in Currency JBBWNOMLCURR17(2) WERTV9
BWTFSLSpecial Balance Receivables Due Daily JBBWTFSLCURR17(2) WERTV9
BWTVSLSpecial Balance Payables Due Daily JBBWTVSLCURR17(2) WERTV9
BZINSLBalance Interest Accrued for Zero Bonds JBBZINSLCURR17(2) WERTV9
BZUSAGAmount Commitments (Commitment Statistics) JBBZUSAGCURR17(2) WERTV9
BGSIKOCorrection Value for Principle I Balance JBBGSIKOCURR17(2) WERTV9
BSBE80Pledge with 20% Weighting in Principle I JBBSBE80CURR17(2) WERTV9
BSBEVOPledge with 0% Weighting in Principle I JBBSBEVOCURR17(2) WERTV9
BSVOLLGuarantees with 0% Weighting in Provision I JBBSVOLLCURR17(2) WERTV9
BSW80KSecurities Pledge with 20% Weighting in Provision I JBBSW80KCURR17(2) WERTV9
BSW80NSecurities Pledge with 20% Weighting in Provision I JBBSW80NCURR17(2) WERTV9
BSWPVOSecurities Pledge with 0% Weighting in Provision I JBBSWPVOCURR17(2) WERTV9
BSZENBGuarantees from Central Banks in Zone B JBBSZENBCURR17(2) WERTV9
BIKI80Collat.of CI with 20% Weight.for Simul.Rep.Agreement in Pr.I JBBIKI80CURR17(2) WERTV9
BIPKIBGuarantee of CI in Zone B with Simul.Rep.Agreement in Pr.I JBBIPKIBCURR17(2) WERTV9
BINB80Collateral of Non-Bank w.20% Weight.for Simul.Rep.Agreement JBBINB80CURR17(2) WERTV9
BIVOLLCollateral for Simul.Rep.Agreement with 0% Weighting in Pr.I JBBIVOLLCURR17(2) WERTV9
BIZENBGuarantees from Foreign Central Banks, 0% Weighting JBBIZENBCURR17(2) WERTV9
BIASL1Balance for Principle Ia JBBIASL1CURR17(2) WERTV9
BIASL2Balance 2 for Principle Ia JBBIASL2CURR17(2) WERTV9
BSF80KCollateral for Financial Innov.of CI with 20% Weight.in PrI JBBSF80KCURR17(2) WERTV9
BSF80NCollat. for Financ. Innov. of Non-Banks w.20% Weight.in PrI JBBSF80NCURR17(2) WERTV9
BSFKIBCollateral for Financ. Innov. of CI w. 20% Weight. in Pr.I JBBSFKIBCURR17(2) WERTV9
BSFVOLCollateral for Fin.Innov.with 0% Weighting in Pr.I JBBSFVOLCURR17(2) WERTV9
BTERMPForward Price for Option Price Model JBBTERMPDEC11(5) DEC6_5
BSIBT0Secured Amount 0 JBBSIBT0CURR17(2) WERTV9
BSIBT1Secured Amount 1 JBBSIBT1CURR17(2) WERTV9
BSIBT2Secured Amount 2 JBBSIBT2CURR17(2) WERTV9
BSIBT3Secured Amount 3 JBBSIBT3CURR17(2) WERTV9
BSIBT4Secured Amount 4 JBBSIBT4CURR17(2) WERTV9
BSIBT5Secured Amount 5 JBBSIBT5CURR17(2) WERTV9
BSIBT6Secured Amount 6 JBBSIBT6CURR17(2) WERTV9
BSIBT7Secured Amount 7 JBBSIBT7CURR17(2) WERTV9
BSIBT8Secured Amount 8 JBBSIBT8CURR17(2) WERTV9
BSIBT9Secured Amount 9 JBBSIBT9CURR17(2) WERTV9
BZUSGAAmount Open Commitment for Foreign Loan Portfolio JBBZUSGACURR17(2) WERTV9
BZUSGCAmount Open Commitments for COOKE JBBZUSGCCURR17(2) WERTV9
BKRAEQCredit Equivalence Amount JBBKRAEQCURR17(2) WERTV9
BNETLZAmount Used as Calculation Base for Netting JBBNETLZCURR17(2) WERTV9
BNETMBNet Coverage Cost (with Netting) JBBNETMBCURR17(2) WERTV9
BOFFLSSecondary Balance from Direct Debit Transactions JBBOFFLSCURR17(2) WERTV9
BZAHLBReporting Amount Payments JBBZAHLBCURR17(2) WERTV9
BSONSAReporting Amount for Other Expenses JBBSONSACURR17(2) WERTV9
BSONSEReporting Amount for Other Revenue JBBSONSECURR17(2) WERTV9
BZAUFWReporting Amount Costs Equivalent to Interest JBBZAUFWCURR17(2) WERTV9
BZERTRReporting Amount Interest Equivalent to Income JBBZERTRCURR17(2) WERTV9
BZAUSBReporting Amount Interest Costs JBBZAUSBCURR17(2) WERTV9
BZEINBReporting Amount Interest Income JBBZEINBCURR17(2) WERTV9
BRLZ1JLoan Parts w.Resid.Term of Upto 1 Year to For.Parties in DM JBBRLZ1JCURR17(2) WERTV9
BRLZ2JLoan Parts w.Resid.Term of 1 Year Plus to For.Parties in DM JBBRLZ2JCURR17(2) WERTV9
BAVALDAmount of Guarantee JBBAVALDCURR17(2) WERTV9
BSB1_1Collateral Amount according to §13(1) for Collateral Key 1 JBBSB1_1CURR17(2) WERTV9
BSB1_2Collateral Amount according to §13(2) for Collateral Key 1 JBBSB1_2CURR17(2) WERTV9
BSB14ECollateral Amount acc. §13(4)(Indiv.) for Collateral Key 1 JBBSB14ECURR17(2) WERTV9
BSB14GCollateral Amount acc. §13(4)(Overall) for Collateral Key 1 JBBSB14GCURR17(2) WERTV9
BSB2_1Collateral Amount according to §13(1) for Collateral Key 2 JBBSB2_1CURR17(2) WERTV9
BSB2_2Collateral Amount according to §13(2) for Collateral Key 2 JBBSB2_2CURR17(2) WERTV9
BSB24ECollateral Amount acc. §13(4) (Indiv.) for Collateral Key 2 JBBSB24ECURR17(2) WERTV9
BSB24GCollateral Amount acc. §13(4) (Overall) for Collateral Key 2 JBBSB24GCURR17(2) WERTV9
BSB3_1Collateral Amount according to §13(1) for Collateral Key 3 JBBSB3_1CURR17(2) WERTV9
BSB3_2Collateral Amount according to §13(2) for Collateral Key 3 JBBSB3_2CURR17(2) WERTV9
BSB34ECollateral Amount acc. §13(4)(Indiv.) for Collateral Key 3 JBBSB34ECURR17(2) WERTV9
BSB34GCollateral Amount acc. §13(4)(Overall) for Collateral Key 3 JBBSB34GCURR17(2) WERTV9
BSB4_1Collateral Amount acc. to §13(1) for Collateral Key 4 JBBSB4_1CURR17(2) WERTV9
BSB4_2Collateral Amount acc. to §13(2) for Collateral Key 4 JBBSB4_2CURR17(2) WERTV9
BSB44ECollateral Amount acc. §13(4)(Indiv.) for Collateral Key 4 JBBSB44ECURR17(2) WERTV9
BSB44GCollateral Amount acc. §13(4)(Overall) for Collateral Key 4 JBBSB44GCURR17(2) WERTV9
BSB5_1Collateral Amount acc. to §13(1) for Collateral Key 5 JBBSB5_1CURR17(2) WERTV9
BSB5_2Collateral Amount acc. to §13(2) for Collateral Key 5 JBBSB5_2CURR17(2) WERTV9
BSB54ECollateral Amount acc. to §13(4)(single) for Coll.Key 5 JBBSB54ECURR17(2) WERTV9
BSB54GCollateral Amount acc.to §13(4)(total) for Collateral Key 5 JBBSB54GCURR17(2) WERTV9
BAKAKNSyndicate Share of the Lender JBBAKAKNCURR17(2) WERTV9
BDMGEGDM Equivalent JBBDMGEGCURR17(2) WERTV9
BEWBERIndividual Value Adjustments JBBEWBERCURR17(2) WERTV9
BIANOMNominal Amount Forward/Option Transaction in DM JBBIANOMCURR17(2) WERTV9
BILIMTInternal Credit Limit JBBILIMTCURR17(2) WERTV9
BINNOMSecurities in Investment Fund/ GBA Nominal Values JBBINNOMCURR17(2) WERTV9
BKKOSTCredit Costs Effective p.a. (§13 Display) JBBKKOSTDEC6(3) PRZ33V
BKLIM22nd External Credit Commitment JBBKLIM2CURR17(2) WERTV9
BKLIMIIrreducible Credit Limit JBBKLIMICURR17(2) WERTV9
BKOMPENetting Amount JBBKOMPECURR17(2) WERTV9
BMBMTPMVM Amount Valued with Forward Rate JBBMBMTPCURR17(2) WERTV9
BMBMBPMVM Amount Valued with Base Price JBBMBMBPCURR17(2) WERTV9
BMBMSLAmount for Market Valuation Method JBBMBMSLCURR17(2) WERTV9
BMIOS2Second Secured Amount in Millions JBBMIOS2CURR17(2) WERTV9
BMIOSISecured Amount in Millions JBBMIOSICURR17(2) WERTV9
BNACHHRisk Amount for Underwriting Bank with Pass-Through Security JBBNACHHCURR17(2) WERTV9
BORGSISecured Staff Loan JBBORGSICURR17(2) WERTV9
BRUECKSeparate Display of Arrears with Display in Millions JBBRUECKCURR17(2) WERTV9
BSKI80Guarantee CI with 20% Weighting in Provision I JBBSKI80CURR17(2) WERTV9
BSKIZBGuarantee from Credit Institution in Zone B JBBSKIZBCURR17(2) WERTV9
BSNB80Guarantees fr.Non-Banks with 20% Weighting in Pr.I JBBSNB80CURR17(2) WERTV9
BSPBETSpecial Amount for Exempted Partial Balance JBBSPBETCURR17(2) WERTV9
BSTRIBExercise Price or Percentage Rate JBBSTRIBCURR17(2) WERTV9
BUNEPGSimulated Repurchase Transaction JBBUNEPGCURR17(2) WERTV9
BUNTERSubparticipation JBBUNTERCURR17(2) WERTV9
BVORHARisk Amount for Suggested CI with Pass-Through Loans JBBVORHACURR17(2) WERTV9
BBETRGContract Size of a Security Contract (amount) JBBKONBECURR17(2) WERTV9
BSTUCKContract Size of a Security Contract (number) JBBSTUCKDEC15(5) ASTUECK
BKONANContract Size of a Security Contract (number) JBBKONANDEC15(5) ASTUECK
DBLFZStart of Term DBLFZDATS8DATUM
DELFZEnd of Term DELFZDATS8DATUM
DAUSWEDate of RR Evaluation JBDAUSWEDATS8DATUM
DKNTGBStart of Contract Period for Financial Innovations JBDKNTBGDATS8DATUM
DKNTFLEnd of Contract Period for Financial Innovations JBDKNTFLDATS8DATUM
DUNDLBEnd of Term for Underlier JBDUNDLBDATS8DATUM
DUNDLVStart of Term for Underlier JBDUNDLVDATS8DATUM
DVALUTValue Date JBDVALUTDATS8DATUM
DZHLTGPayment Date JBDZHLTGDATS8DATUM
DZUSBEStart of External Loan Commitment JBDZUSBEDATS8DATUM
DZUSENExpiry Date of External Loan Commitment JBDZUSENDATS8DATUM
IZINSSCredit Interest Rate Savings Accounts JBIZINSSDEC5(3) PRZ23
JAEQREIndicator Showing Who Calculates Loan Equivalence Amount JBJAEQRECHAR1Assigned to domainJBJAEQRE
JTIEIGIndicator for 'Own Securities' JBJTIEIGCHAR1JBJTIEIG
JUMTSHIndicator - Exchange Option for Debentures JBJUMTSHCHAR1JBJUMTSH
JWOBAUIndicator - Loans for House-Building JBJWOBAUCHAR1Assigned to domainJBJWOBAU
JZUSTAIndicator for Commitment Statistics JBJZUSTACHAR1Assigned to domainJBJZUSTA
KKKURSSpot Price of Securities JBKKKURSCURR10(2) WHRBTRG
KKURS1Current Exchange Rate Account to Translation Currency JBKKURS1DEC9(5) EXCRTUKURS
AFFACT1Exchange Ratio of 'from' Currency Account/Conversion JBAFFACT1DEC9DEC9
ATFACT1Exchange Ratio of 'to' Currency Account/Conversion JBATFACT1DEC9DEC9
KKURS2Current Exchange Rate: Account Currency to Book Currency JBKKURS2DEC9(5) EXCRTUKURS
AFFACT2Exchange Ratio of 'from' Currency Account/Bal.sheet JBAFFACT2DEC9DEC9
ATFACT2Exchange Ratio of 'to' Currency Account/Balance Sheet Crcy JBATFACT2DEC9DEC9
KBUGLDAccount-Based Moving Average Rate JBKBUGLDCURR10(2) WHRBTRG
PEWBPRPercentage Value Adjustment for Country Risks JBPEWBPRDEC5(2) DEC3_2
PGBRQTPrivate Company Quota in Percentage JBPGBRQTDEC6(3) PRZ33
PPROZEPercentage for the Principles JBPPROZEDEC4(1) PRZ31
PTILGSRepayment Rate According to § 16 JBPTILGSDEC6(3) PRZ33V
OBJNRObject number for financial transactions JBOBJNRCHAR22Assigned to domainJ_OBJNR
RINTNUMInternal Number of Reporting Object JBRINTNUMCHAR18CHAR18
REXTNUMExternal Number of Reporting Object JBREXTNUMCHAR18CHAR18
RFIKONAccount Number of Bank's General Ledger Acount JBRFIKONCHAR10Assigned to domainALPHASAKNR
RGBRGSSort Key - Partner in Private Company JBRGBRGSCHAR10CHAR10
RKNSFHSyndicate Leader JBRKNSFHCHAR10CHAR010
RVREGLProcessing Rule (Regulatory Reporting) JBRVREGLCHAR4JBRVREGL
RWPKNRSecurities ID Number JBRWPKNRCHAR10CHAR10
RZUSNRNumber for the Merging of Accounts JBRZUSNRCHAR20CHAR20
RBRSAPIndustry Key in SAP Format JBRBRSAPNUMC6Assigned to domainJBRBRSAP
RREFNRContact Person's Number JBRREFNRCHAR5JBSREFNR
SPGRUPProduct Group of Bank Product JBSPGRUPCHAR2JBSPGRUPSPG
SSART1Collateral Key 1 for §13 German Banking Act JBSSART1CHAR2Assigned to domainJBSSART1
SSART2Collateral Key 2 for §13 German Banking Act JBSSART2CHAR2Assigned to domainJBSSART2
SSART3 Collateral Key 3 for §13 German Banking Act JBSSART3CHAR2Assigned to domainJBSSART3
SSART4Collateral Key 4 for §13 German Banking Act JBSSART4CHAR2Assigned to domainJBSSART4
SSART5Collateral key 5 for §13 German Banking Act JBSSART5CHAR2Assigned to domainJBSSART5
SAMRFRExemptions According to Minimum Reserve Directive JBSAMRFRCHAR1Assigned to domainJBSAMRFR
SAMRKZMRD indicator JBSAMRKZCHAR1Assigned to domainJBSAMRKZ
SAMRKRMRD Adjustment Item JBSAMRKRCHAR3Assigned to domainJBSAMRKR
SAMRSNOther Reserve-Carrying Liabilities JBSAMRSNCHAR1Assigned to domainJBSAMRSN
SBEBGBIssue of a Bearer Bond Abroad JBSBEGBGCHAR1Assigned to domainJBSBEGBG
SBZLNDCountry Key of Bill of Exchange Drawee JBSBZLNDCHAR3Assigned to domainLAND1
SGMPAPIndicator for Differentiation of Money Market Securities JBSGMPAPCHAR1Assigned to domainJBSGMPAP
SHYPKRMortgage Loans JBSHYPKRCHAR1Assigned to domainJBSHYPKR
SKNLNDCountry Information for Borrower Statistics JBSKNLNDCHAR1Assigned to domainJBSKNLND
SKNSKZConsolidation Indicator JBSKNSKZCHAR1Assigned to domainJBSKNSKZ
SSNDLZSpecial Terms Key JBSSNDLZCHAR3Assigned to domainJBSSNDLZ
SREIHNRow Indicator for Treasury Bills and Interest-Free Notes JBSREIHNCHAR1Assigned to domainJBSREIHN
SSNDERSpecial Conditions/Adjustments JBSSNDERCHAR3Assigned to domainJBSSNDER
SVRARBProcessing Indicator JBSVRARBCHAR2Assigned to domainJBSVRARB
SVRBRTSubdivision for Various Liabilities-Side Items JBSVRBRTCHAR2Assigned to domainJBSVRBRT
SVRSICPayables Against Collateral JBSVRSICCHAR2Assigned to domainJBSVRSIC
SWPARTSecurity Type for Differentiation in Sec. Account Statistics JBSWPARTCHAR2Assigned to domainJBSWPART
SWPVRZReturn on Securities JBSWPVRZCHAR1JBSWPVRZ
SFNLFZTerm Calculation with Warranties on Financial Innovations JBSFNLFZCHAR4Assigned to domainJBSFNLFZ
SIA1PNStatistical Repurchase Agreements JBSIA1PNCHAR1Assigned to domainJBSIA1PN
SIA3GENumber for Calculating the Net Difference Amount JBSIA3GECHAR13JBSIA3GE
SKTKLSDifferentiation of Transactions (Principle 1A) JBSKTKLSCHAR3Assigned to domainJBSKTKLS
SMICROIndicator for Micro Hedge JBSMICROCHAR1Assigned to domainJBSMICRO
SWPVALIndicator for Forward Securities Transactions JBSWPVALCHAR1Assigned to domainJBSWPVAL
SMRGINIndicator for Margin System JBSMRGINCHAR1Assigned to domainJBSMRGIN
SRSAKTTransaction Differentiation for COOKE or GAB JBSRSAKTCHAR3JBSRSAKT
SZUSKCIndicator - Irrevocable Loan Commitment JBSZUSKCCHAR1JBSZUSKC
SUEBKZIndicator for Supervisory Case acc. to § 13, 14, 16 GAB JBSUEBKZCHAR2JBSUEBKZ
SABTRTIndicator - Assignment of Loan Receivables for Collateral JBSABTRTCHAR1Assigned to domainJBSABTRT
SEMITLCountry of Issuer JBSEMITLCHAR3Assigned to domainLAND1
SGESARTransaction Type of Account from RR Perspective JBSGESARCHAR4JBSGESAR
SKNZHLKey Figure According to Service List JBSKNZHLCHAR3JBSKNZHL
SKZMELStatus Indicator German Foreign Trade Regulations Data JBSKZMELCHAR1JBSKZMEL
SLAUFGTerm Group of Account JBSLAUFGCHAR2JBSLAUFG
SWPBRNSector of Security JBSWPBRNCHAR5JBSWPBRN
SWPEINUnit of Security Quotation JBSWPEINCHAR1JBSWPEIN
SZABERIndicator - Payment Area acc.to German Foreign Trade Reg. JBSZABERCHAR3JBSZABER
SSIARTCollateral Type JBSSIARTCHAR1JBSSIART
SPFANDSeizability of a Security JBSPFANDCHAR1JBSPFAND
SBONKDIndicator - Debtor's Credit Standing JBSBONKDCHAR1JBSBONKD
SKUEFRIndicator - Period of Notice JBSKUEFRCHAR1JBSKUEFR
SKUENDIndicator - Withdrawal Restriction JBSKUENDCHAR1JBSKUEND
SMUTLDCountry of Parent Bank's Headquarters JBSMUTLDCHAR2JBSMUTLD
S13AWVIndicator for Further Processing with § 13 a JBS13AWVCHAR1Assigned to domainJBS13AWV
SABZUGDeduction of Liable Equity Capital JBSABZUGCHAR1Assigned to domainJBSABZUG
SANARTDisplay Type JBSANARTCHAR2Assigned to domainJBSANART
SANWKAUser-Specific Credit Type Text JBSANWKACHAR15CHAR15
SANWZ1User-Specific Supplementary Text JBSANWZ1CHAR20CHAR20
SANWZ2User-Specific Additional Details for Large Exposures etc. JBSANWZ2CHAR60CHAR60
SAUFREIndicator - Account Netting Type JBSAUFRECHAR2Assigned to domainJBSAUFRE
SBERBNReporting Country Banks JBSBERBNCHAR2Assigned to domainJBSBERBN
SBNKVRSettlement of Day-to-Day Bank Accounts JBSBNKVRCHAR1Assigned to domainJBSBNKVR
SBOEKZStock Market Indicator JBSBOEKZCHAR1Assigned to domainJBSBORKZ
SBOERSEligibility for Stock Market Listing/Marketabilty JBSBOERSCHAR1Assigned to domainJBSBOERS
SBUEKZIndicator - Guarantee / $ 14 GAB Double Display JBSBUEKZCHAR1Assigned to domainJBSBUEKZ
SKDREFIndicator for Legal Form of Customer JBSKDREFCHAR2JBSKDREF
SDUPLK JBSDUPLKCHAR2JBSDUPLK
BUKRSCompany Code BUKRSCHAR4Assigned to domainBUKRSBUKC_T001
SEBENIInternal Hierarchy Level JBSEBENINUMC8Assigned to domainJBSEBENI
SFOARTSubdivision for Various Asset-Side Items JBSFOARTCHAR2Assigned to domainJBSFOART
SGEARTTransaction Type for Financial Innovations JBSGEARTCHAR3Assigned to domainJBSGEART
SGEMKRIndicator - Joint Loan JBSGEMKRCHAR2Assigned to domainJBSGEMKR
SGEWKZIndicator for Warranties Assumed JBSGEWKZCHAR1JBSGEWKZ
SKNEINNumber for Borrower Entity JBSKNEINCHAR10Assigned to domainALPHABU_PARTNERBPABUPA
SKNSVRConsolidation Settlement JBSKNSVRCHAR1Assigned to domainJBSKNSVR
SKNZKDGroup/Non-Group Customer JBSKNZKDCHAR1Assigned to domainJBSKNZKD
SKREDTCredit Type for German Banking Act JBSKREDTCHAR2Assigned to domainJBSKREDT
SKTARTRegulatory Reporting - Account Type JBSKTARTCHAR3Assigned to domainJBSKTART
SKTAUSAccount Print-Out JBSKTAUSCHAR2Assigned to domainJBSKTAUS
SKVKKZIndicator - Purchase/Sale of Forward and Spot Transactions JBSKVKKZCHAR4Assigned to domainSBEWZITI
SLKFINLocally-Funded Transactions JBSLKFINCHAR1Assigned to domainJBSLKFIN
SLNZONIndicator - Zone Allocation of Countries JBSLNZONCHAR1Assigned to domainJBSLNZON
SNDLLDIndicator - Business Activity in Country JBSNDLLDCHAR1Assigned to domainJBSNDLLD
SNERWRDomestic State Adminisitration not Pursuing Business Goal JBSNERWRCHAR1Assigned to domainJBSNERWR
SNETARType of Contractual Netting JBSNETARCHAR2Assigned to domainJBSNETAR
SNRANGIndicator for Subordinated Receivables/Payables JBSNRANGCHAR1Assigned to domainJBSNRANG
SRDISKBill Rediscount Point JBSRDISKCHAR2Assigned to domainJBSRDISK
SREFINIndicator for Refinanceability JBSREFINCHAR1Assigned to domainJBSREFIN
SRLANDCountry Key for Rediscount Point JBSRLANDCHAR3Assigned to domainLAND1
SSICHAType of Loan Collateral - § 14 /16 JBSSICHACHAR2Assigned to domainJBSSICHA
SSWPFZIndicator - Fixed Rate for Swap JBSSWPFZCHAR1Assigned to domainJBSSWPFZ
STRHNDIndicator for Trust Assets JBSTRHNDCHAR1Assigned to domainJBSTRHND
SUTRAGIndicator for Transmission Type JBSUTRAGCHAR2Assigned to domainJBSUTRAG
SVERWZIntended Use of Loan JBSVERWZCHAR3JBSVERWZ
SWPDIFSecurity Differentiation Bista and Principle I JBSWPDIFCHAR1Assigned to domainJBSWPDIF
SWPDOPDouble Notification for Securities Lending Transactions JBSWPDOPCHAR10JBSWPDOP
SZNSANIndicator for Interest Adjustment Mode JBSZNSANCHAR2Assigned to domainJBSZNSAN
SZUSKZExternal Loan Commitment JBSZUSKZCHAR2Assigned to domainJBSZUSKZ
SGOLDDGold Holdings Covered by Gold Payables JBSGOLDDCHAR1Assigned to domainJBSGOLDD
SHANDWIndicator - Craftsperson (Borrower Statistics) JBSHANDWCHAR1Assigned to domainJBSHANDW
SOPTMOIndicator for Option Price Model Calculation JBSOPTMOCHAR1JBSOPTMO
SKRARTCredit Type Text JBSKRARTCHAR2Assigned to domainJBSKRART
SWEARTBill of Exchange Type JBSWEARTCHAR2Assigned to domainJBSWEART
SDUPPF JBSDUPPFCHAR8JBSDUPPF
WBUCHWBook Currency of Bank JBWBUCHWCUKY5TCURCWAERS
WGWAERCurrency of transaction JBWGWAERCUKY5TCURCWAERS
WUMREWReporting Currency (Currency Translated Into) JBWUMREWCUKY5TCURCWAERS
WWAEH2SCB Currency Key 2 (for Payment Amount) JBWWAEH2CUKY5TCURCWAERS
WWPWAESecurity Currency JBWWPWAECUKY5Assigned to domainWAERS
WWAEH3SCB Currency Key 3 (for Premium Balance) JBWWAEH3CUKY5TCURCWAERS
XKNNAMDescription of Borrower Entity JBXKNNAMCHAR40JBXKNNAM
XSITKUCustomer's Place of Residence JBXSITKUCHAR40JBXSITKU
XSITZKSeat of Borrower Entity JBXSITZKCHAR40JBXSITZK
LAND1Country Key LAND1CHAR3Assigned to domainLAND1LND
RANTYPContract Type RANTYPCHAR1RANTYP
RBPRODProduct Number RBPRODNUMC4RBPROD
RGATTClass TI_RGATTCHAR13ALPHAT_RGATTT04
SETTLFLSettlement indicator TI_SETTLFLCHAR1T_SETTLFL
STILGARTRepayment Type Indicator STILGARTNUMC1STILGART
BZBETRPayment amount in payment currency TB_BZBETRCURR13(2) WERTV7
OSSIGNDirection of strike amount (Put/Call) TB_OSSIGNCHAR1T_SSIGN
RANLWSecurity ID Number VVRANLWCHAR13Assigned to domainALPHAWP_RANLRANSECURITY_F4
COMP_REOrganization Relationship BP_COMP_RECHAR1BP_COMP_RE
KWG_ORGLoan to Manager According to Paragraph 15 German Banking Act BP_KWG_ORGNUMC2Assigned to domainBP_KWG_ORG
LEGAL_ENTYLegal Form of Organization BP_LEG_ETY_NEWCHAR2Assigned to domainBU_LEGENTY
MIN_RESERVBank Subject to Minimum Reserve Requirement BP_MIN_RSVCHAR1XFELD
NAME1Name 1 (surname for persons, otherwise company name) BP_NAME1CHAR40TEXT40
PARTNRBusiness Partner Number BP_PARTNR_NEWCHAR10Assigned to domainALPHABU_PARTNERBPABUPA
KWG_NRBorrower Number for Reporting a Loan According to GBA BP_KWG_NRCHAR8CHAR8
KWG_ENRBorrower Entity Number Used to Report Loan acc. to GBA BP_KWG_ENRCHAR8CHAR8

Key field Non-key field



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

As JBSMDS 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 JBSMDS as there is no data to select.

How to access SAP table JBSMDS

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

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


Search for further information about these or an SAP related objects



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