JBSSTEFE SAP (Substructure for Control Fields in Reporting Data Record) Structure details
Description: Substructure for Control Fields in Reporting Data Record
Structure field list including key, data, relationships and ABAP select examples
JBSSTEFE 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 "Substructure for Control Fields in Reporting Data Record" 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_JBSSTEFE TYPE JBSSTEFE.
The JBSSTEFE table consists of various fields, each holding specific information or linking keys about Substructure for Control Fields in Reporting Data Record data available in SAP. These include SSART1 (Collateral Key 1 for §13 German Banking Act), SSART2 (Collateral Key 2 for §13 German Banking Act), SSART3 ( Collateral Key 3 for §13 German Banking Act), SSART4 (Collateral Key 4 for §13 German Banking Act).. 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 JBSSTEFE 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 |
SPGRUP | Product Group of Bank Product | JBSPGRUP | CHAR | 2 | JBSPGRUP | SPG | |||
SSART1 | Collateral Key 1 for §13 German Banking Act | JBSSART1 | CHAR | 2 | Assigned to domain | JBSSART1 | |||
SSART2 | Collateral Key 2 for §13 German Banking Act | JBSSART2 | CHAR | 2 | Assigned to domain | JBSSART2 | |||
SSART3 | Collateral Key 3 for §13 German Banking Act | JBSSART3 | CHAR | 2 | Assigned to domain | JBSSART3 | |||
SSART4 | Collateral Key 4 for §13 German Banking Act | JBSSART4 | CHAR | 2 | Assigned to domain | JBSSART4 | |||
SSART5 | Collateral key 5 for §13 German Banking Act | JBSSART5 | CHAR | 2 | Assigned to domain | JBSSART5 | |||
SAMRFR | Exemptions According to Minimum Reserve Directive | JBSAMRFR | CHAR | 1 | Assigned to domain | JBSAMRFR | |||
SAMRKZ | MRD indicator | JBSAMRKZ | CHAR | 1 | Assigned to domain | JBSAMRKZ | |||
SAMRKR | MRD Adjustment Item | JBSAMRKR | CHAR | 3 | Assigned to domain | JBSAMRKR | |||
SAMRSN | Other Reserve-Carrying Liabilities | JBSAMRSN | CHAR | 1 | Assigned to domain | JBSAMRSN | |||
SBEBGB | Issue of a Bearer Bond Abroad | JBSBEGBG | CHAR | 1 | Assigned to domain | JBSBEGBG | |||
SBZLND | Country Key of Bill of Exchange Drawee | JBSBZLND | CHAR | 3 | Assigned to domain | LAND1 | |||
SGMPAP | Indicator for Differentiation of Money Market Securities | JBSGMPAP | CHAR | 1 | Assigned to domain | JBSGMPAP | |||
SHYPKR | Mortgage Loans | JBSHYPKR | CHAR | 1 | Assigned to domain | JBSHYPKR | |||
SKNLND | Country Information for Borrower Statistics | JBSKNLND | CHAR | 1 | Assigned to domain | JBSKNLND | |||
SKNSKZ | Consolidation Indicator | JBSKNSKZ | CHAR | 1 | Assigned to domain | JBSKNSKZ | |||
SSNDLZ | Special Terms Key | JBSSNDLZ | CHAR | 3 | Assigned to domain | JBSSNDLZ | |||
SREIHN | Row Indicator for Treasury Bills and Interest-Free Notes | JBSREIHN | CHAR | 1 | Assigned to domain | JBSREIHN | |||
SSNDER | Special Conditions/Adjustments | JBSSNDER | CHAR | 3 | Assigned to domain | JBSSNDER | |||
SVRARB | Processing Indicator | JBSVRARB | CHAR | 2 | Assigned to domain | JBSVRARB | |||
SVRBRT | Subdivision for Various Liabilities-Side Items | JBSVRBRT | CHAR | 2 | Assigned to domain | JBSVRBRT | |||
SVRSIC | Payables Against Collateral | JBSVRSIC | CHAR | 2 | Assigned to domain | JBSVRSIC | |||
SWPART | Security Type for Differentiation in Sec. Account Statistics | JBSWPART | CHAR | 2 | Assigned to domain | JBSWPART | |||
SWPVRZ | Return on Securities | JBSWPVRZ | CHAR | 1 | JBSWPVRZ | ||||
SFNLFZ | Term Calculation with Warranties on Financial Innovations | JBSFNLFZ | CHAR | 4 | Assigned to domain | JBSFNLFZ | |||
SIA1PN | Statistical Repurchase Agreements | JBSIA1PN | CHAR | 1 | Assigned to domain | JBSIA1PN | |||
SIA3GE | Number for Calculating the Net Difference Amount | JBSIA3GE | CHAR | 13 | JBSIA3GE | ||||
SKTKLS | Differentiation of Transactions (Principle 1A) | JBSKTKLS | CHAR | 3 | Assigned to domain | JBSKTKLS | |||
SMICRO | Indicator for Micro Hedge | JBSMICRO | CHAR | 1 | Assigned to domain | JBSMICRO | |||
SWPVAL | Indicator for Forward Securities Transactions | JBSWPVAL | CHAR | 1 | Assigned to domain | JBSWPVAL | |||
SMRGIN | Indicator for Margin System | JBSMRGIN | CHAR | 1 | Assigned to domain | JBSMRGIN | |||
SRSAKT | Transaction Differentiation for COOKE or GAB | JBSRSAKT | CHAR | 3 | JBSRSAKT | ||||
SZUSKC | Indicator - Irrevocable Loan Commitment | JBSZUSKC | CHAR | 1 | JBSZUSKC | ||||
SUEBKZ | Indicator for Supervisory Case acc. to § 13, 14, 16 GAB | JBSUEBKZ | CHAR | 2 | JBSUEBKZ | ||||
SABTRT | Indicator - Assignment of Loan Receivables for Collateral | JBSABTRT | CHAR | 1 | Assigned to domain | JBSABTRT | |||
SEMITL | Country of Issuer | JBSEMITL | CHAR | 3 | Assigned to domain | LAND1 | |||
SGESAR | Transaction Type of Account from RR Perspective | JBSGESAR | CHAR | 4 | JBSGESAR | ||||
SKNZHL | Key Figure According to Service List | JBSKNZHL | CHAR | 3 | JBSKNZHL | ||||
SKZMEL | Status Indicator German Foreign Trade Regulations Data | JBSKZMEL | CHAR | 1 | JBSKZMEL | ||||
SLAUFG | Term Group of Account | JBSLAUFG | CHAR | 2 | JBSLAUFG | ||||
SWPBRN | Sector of Security | JBSWPBRN | CHAR | 5 | JBSWPBRN | ||||
SWPEIN | Unit of Security Quotation | JBSWPEIN | CHAR | 1 | JBSWPEIN | ||||
SZABER | Indicator - Payment Area acc.to German Foreign Trade Reg. | JBSZABER | CHAR | 3 | JBSZABER | ||||
SSIART | Collateral Type | JBSSIART | CHAR | 1 | JBSSIART | ||||
SPFAND | Seizability of a Security | JBSPFAND | CHAR | 1 | JBSPFAND | ||||
SBONKD | Indicator - Debtor's Credit Standing | JBSBONKD | CHAR | 1 | JBSBONKD | ||||
SKUEFR | Indicator - Period of Notice | JBSKUEFR | CHAR | 1 | JBSKUEFR | ||||
SKUEND | Indicator - Withdrawal Restriction | JBSKUEND | CHAR | 1 | JBSKUEND | ||||
SMUTLD | Country of Parent Bank's Headquarters | JBSMUTLD | CHAR | 2 | JBSMUTLD | ||||
S13AWV | Indicator for Further Processing with § 13 a | JBS13AWV | CHAR | 1 | Assigned to domain | JBS13AWV | |||
SABZUG | Deduction of Liable Equity Capital | JBSABZUG | CHAR | 1 | Assigned to domain | JBSABZUG | |||
SANART | Display Type | JBSANART | CHAR | 2 | Assigned to domain | JBSANART | |||
SANWKA | User-Specific Credit Type Text | JBSANWKA | CHAR | 15 | CHAR15 | ||||
SANWZ1 | User-Specific Supplementary Text | JBSANWZ1 | CHAR | 20 | CHAR20 | ||||
SANWZ2 | User-Specific Additional Details for Large Exposures etc. | JBSANWZ2 | CHAR | 60 | CHAR60 | ||||
SAUFRE | Indicator - Account Netting Type | JBSAUFRE | CHAR | 2 | Assigned to domain | JBSAUFRE | |||
SBERBN | Reporting Country Banks | JBSBERBN | CHAR | 2 | Assigned to domain | JBSBERBN | |||
SBNKVR | Settlement of Day-to-Day Bank Accounts | JBSBNKVR | CHAR | 1 | Assigned to domain | JBSBNKVR | |||
SBOEKZ | Stock Market Indicator | JBSBOEKZ | CHAR | 1 | Assigned to domain | JBSBORKZ | |||
SBOERS | Eligibility for Stock Market Listing/Marketabilty | JBSBOERS | CHAR | 1 | Assigned to domain | JBSBOERS | |||
SBUEKZ | Indicator - Guarantee / $ 14 GAB Double Display | JBSBUEKZ | CHAR | 1 | Assigned to domain | JBSBUEKZ | |||
SKDREF | Indicator for Legal Form of Customer | JBSKDREF | CHAR | 2 | JBSKDREF | ||||
SDUPLK | JBSDUPLK | CHAR | 2 | JBSDUPLK | |||||
BUKRS | Company Code | BUKRS | CHAR | 4 | Assigned to domain | BUKRS | BUK | C_T001 | |
SEBENI | Internal Hierarchy Level | JBSEBENI | NUMC | 8 | Assigned to domain | JBSEBENI | |||
SFOART | Subdivision for Various Asset-Side Items | JBSFOART | CHAR | 2 | Assigned to domain | JBSFOART | |||
SGEART | Transaction Type for Financial Innovations | JBSGEART | CHAR | 3 | Assigned to domain | JBSGEART | |||
SGEMKR | Indicator - Joint Loan | JBSGEMKR | CHAR | 2 | Assigned to domain | JBSGEMKR | |||
SGEWKZ | Indicator for Warranties Assumed | JBSGEWKZ | CHAR | 1 | JBSGEWKZ | ||||
SKNEIN | Number for Borrower Entity | JBSKNEIN | CHAR | 10 | Assigned to domain | ALPHA | BU_PARTNER | BPA | BUPA |
SKNSVR | Consolidation Settlement | JBSKNSVR | CHAR | 1 | Assigned to domain | JBSKNSVR | |||
SKNZKD | Group/Non-Group Customer | JBSKNZKD | CHAR | 1 | Assigned to domain | JBSKNZKD | |||
SKREDT | Credit Type for German Banking Act | JBSKREDT | CHAR | 2 | Assigned to domain | JBSKREDT | |||
SKTART | Regulatory Reporting - Account Type | JBSKTART | CHAR | 3 | Assigned to domain | JBSKTART | |||
SKTAUS | Account Print-Out | JBSKTAUS | CHAR | 2 | Assigned to domain | JBSKTAUS | |||
SKVKKZ | Indicator - Purchase/Sale of Forward and Spot Transactions | JBSKVKKZ | CHAR | 4 | Assigned to domain | SBEWZITI | |||
SLKFIN | Locally-Funded Transactions | JBSLKFIN | CHAR | 1 | Assigned to domain | JBSLKFIN | |||
SLNZON | Indicator - Zone Allocation of Countries | JBSLNZON | CHAR | 1 | Assigned to domain | JBSLNZON | |||
SNDLLD | Indicator - Business Activity in Country | JBSNDLLD | CHAR | 1 | Assigned to domain | JBSNDLLD | |||
SNERWR | Domestic State Adminisitration not Pursuing Business Goal | JBSNERWR | CHAR | 1 | Assigned to domain | JBSNERWR | |||
SNETAR | Type of Contractual Netting | JBSNETAR | CHAR | 2 | Assigned to domain | JBSNETAR | |||
SNRANG | Indicator for Subordinated Receivables/Payables | JBSNRANG | CHAR | 1 | Assigned to domain | JBSNRANG | |||
SRDISK | Bill Rediscount Point | JBSRDISK | CHAR | 2 | Assigned to domain | JBSRDISK | |||
SREFIN | Indicator for Refinanceability | JBSREFIN | CHAR | 1 | Assigned to domain | JBSREFIN | |||
SRLAND | Country Key for Rediscount Point | JBSRLAND | CHAR | 3 | Assigned to domain | LAND1 | |||
SSICHA | Type of Loan Collateral - § 14 /16 | JBSSICHA | CHAR | 2 | Assigned to domain | JBSSICHA | |||
SSWPFZ | Indicator - Fixed Rate for Swap | JBSSWPFZ | CHAR | 1 | Assigned to domain | JBSSWPFZ | |||
STRHND | Indicator for Trust Assets | JBSTRHND | CHAR | 1 | Assigned to domain | JBSTRHND | |||
SUTRAG | Indicator for Transmission Type | JBSUTRAG | CHAR | 2 | Assigned to domain | JBSUTRAG | |||
SVERWZ | Intended Use of Loan | JBSVERWZ | CHAR | 3 | JBSVERWZ | ||||
SWPDIF | Security Differentiation Bista and Principle I | JBSWPDIF | CHAR | 1 | Assigned to domain | JBSWPDIF | |||
SWPDOP | Double Notification for Securities Lending Transactions | JBSWPDOP | CHAR | 10 | JBSWPDOP | ||||
SZNSAN | Indicator for Interest Adjustment Mode | JBSZNSAN | CHAR | 2 | Assigned to domain | JBSZNSAN | |||
SZUSKZ | External Loan Commitment | JBSZUSKZ | CHAR | 2 | Assigned to domain | JBSZUSKZ | |||
SGOLDD | Gold Holdings Covered by Gold Payables | JBSGOLDD | CHAR | 1 | Assigned to domain | JBSGOLDD | |||
SHANDW | Indicator - Craftsperson (Borrower Statistics) | JBSHANDW | CHAR | 1 | Assigned to domain | JBSHANDW | |||
SOPTMO | Indicator for Option Price Model Calculation | JBSOPTMO | CHAR | 1 | JBSOPTMO | ||||
SKRART | Credit Type Text | JBSKRART | CHAR | 2 | Assigned to domain | JBSKRART | |||
SWEART | Bill of Exchange Type | JBSWEART | CHAR | 2 | Assigned to domain | JBSWEART | |||
SDUPPF | JBSDUPPF | CHAR | 8 | JBSDUPPF |
Key field | Non-key field |
How do I retrieve data from SAP structure JBSSTEFE using ABAP code?
As JBSSTEFE 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 JBSSTEFE as there is no data to select.How to access SAP table JBSSTEFE
Within an ECC or HANA version of SAP you can also view further information about JBSSTEFE 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