RDPTS_CONDITION_ATTR SAP (Condition Attributes) Structure details

Dictionary Type: Structure
Description: Condition Attributes




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




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

RDPTS_CONDITION_ATTR 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 "Condition Attributes" 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_RDPTS_CONDITION_ATTR TYPE RDPTS_CONDITION_ATTR.

The RDPTS_CONDITION_ATTR table consists of various fields, each holding specific information or linking keys about Condition Attributes data available in SAP. These include PKOND (Percentage rate for condition items), BKOND (Condition item currency amount), SWHRKOND (Currency of Condition Item), SBASIS (Calculation base reference).. 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 RDPTS_CONDITION_ATTR 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
SSTATIStatus of data record SSTATINUMC2Assigned to domainSTATI
PKONDPercentage rate for condition items PKONDDEC10(7) DECV3_7
BKONDCondition item currency amount BKONDCURR13(2) WERTV7
SWHRKONDCurrency of Condition Item SWHRKONDCUKY5TCURCWAERS
SBASISCalculation base reference VVSBASISCHAR4TZFBVVSBASIS
SZSREFReference Interest Rate REFERENZCHAR10T056RZIREFKU
SZSREFVZ+/- sign / reference interest rate operator SZSREFVZCHAR1SZSREFVZ
PFLUCTFluctuation margin TFM_PFLUCTDEC10(7) DECV3_7
AMMRHYFrequency in months AMMRHYNUMC3NUMC03
ATTRHYFrequency in Days ATTRHYNUMC3NUMC03
SZAWSPayment form (at start of period, mid-period, at period end) SZAWSNUMC1SZAHLDIV
RDIVNRDividend coupon number RDIVNRNUMC3NUM03
JNULLKONCondition Form JNULLKONCHAR1SKONDF
JBMONATIndicator for calculating amount per month JBMONATCHAR1JANEI
DVALUTCalculation Date DVALUTDATS8DATUM
DFAELLDue date DFAELLDATS8DATUM
RKONTQuota number RKONTNUMC6RKONTRKT
SVULTMonth-end indicator for calculation date VVSBULTCHAR1JFLAGG
SFULTMonth-End Indicator for Due Date SFULTCHAR1VVSULT
SFKALRICalculation of periods with flexible valid-to date? VVSFKALRICHAR1XFELD
AVGSTAGENumber of working days for value date AVGSTAGENUMC2NUMC2
AFGSTAGENumber of working days to due date AFGSTAGENUMC2NUMC2
SKALIDFactory calendar SKALIDCHAR2TFACDWFCIDH_TFACD
SZBMETHInterest Calculation Method TB_SZBMETHCHAR1SZBMETH
JSOFVERRImmediate settlement JSOFVERRCHAR1TFMSOFVERR
DALLGEMGeneral date DALLGEMDATS8DATUM
SBUSTPosting control key VVSBUSTNUMC2TZB09VVSBUST
SALTKONDBracket condition for alternative conditions VVSALTKONDNUMC4SKONDGRP
SZINSANPCross-referenced condition grp for interest rate adjustment VVSZINSANPNUMC4SKONDGRP
SINCLInclusive indicator for beginning and end of a period VVSINCLNUMC1VVSINCL
SFORMREFFormula reference for the cash flow calculator VVSFORMREFCHAR4AT30T_FORMBE
SVARNAMEDescription of variables in cash flow calculator VVSVARNAMECHAR4T_XFELD04
SVWERKShift calculation date to working day VVSVWERKNUMC1T_SWERK
SVMETHMethod for determining the next value date VVSVMETHNUMC1T_SVMETH
SFWERKShift due date to working day VVSFWERKNUMC1T_SWERK
SFMETHMethod for determining the next due date VVSFMETHNUMC1T_SFMETH
DPKONDDetermination date for percentage rate of condition items VVDPKONDDATS8DATUM
AZGSTAGENumber of working days for interest fixing AZGSTAGENUMC2NUMC2
SZKALRICalendar direction for interest rate fixing SZKALRICHAR1SKALRI
DZSREFDate fixing for benchmark interest rate in cash flow VVDZSREFDATS8DATUM
SKALID2Calendar ID 2 (valid in connection with calendar ID 1) VVSKALID2CHAR2TFACDWFCID
JGESUCHTInt. indicator for alternative calculations VVJGESUCHTCHAR1CHAR1
KURS1Exchange rate KURSFDEC9(5) EXCRTKURSF
BBASISCalculation base amount BBASISCURR13(2) WERTV7
SZWERKShift to working day for interest fixing date VVSZWERKNUMC1T_SWERK
SFINCLInclusive Indicator for Due Date VVSFINCLNUMC1VVSINCL
SRUNDVORFRounding of interim results for prepayments VVSRUNDVFNUMC1TFMSRUNDVF
SFVMETHUpdate method for calculation date/due date TB_SFVMETHNUMC2T_SFVMETH
SDWERKWorking Day Shift for Payment Date TB_SDWERKNUMC1T_SWERK
SBERECHGrace Period Interest Method SBERECHCHAR1XFELD
JPROZRPercentage Calculation TB_JPROZRCHAR1XFELD
SZEITANTIndicator for Pro Rata Temporis Calculations VVSZEITANTNUMC1VVSZEITANT
SFANTIndicator for due date-related FiMa calculations VVSFANTNUMC1VVSFANT
SFRANZShift Due Date TFMSFRANZNUMC1TFMSFRANZ
KBKONDCondition amount independent of currency VVKBKONDDEC15(6) VVKWKURS
SBASFIXIndicator for fixing calculation base TFMSBASFIXNUMC1TFMSBASFIX
BKONDQMCurrency amount per area unit BKONDQMCURR13(2) WRTV7
AVGSTAGEVZ+/- sign for number of working days for value date AVGSTAGEVZCHAR1PLUSM
AFGSTAGEVZ+/- sign for number of working days for due date AFGSTAGEVZCHAR1PLUSM
JEXPOZINSExponential Interest Calculation TB_JZINSRECHAR1XFELD
SROUNDRounding Category TFM_SROUNDCHAR1TFM_SROUND
SKALIDWTInterest Calendar TFMSKALIDWTCHAR2Assigned to domainWFCIDH_TFACD
XCROSSGross amount indicator RECNXCROSSCHAR1XFELD
PPAYMENTPayment Rate TFM_PPAYMENTDEC11(7) TFM_PPAYMENT
AMMRHYZVInterest Settlement Frequency for Exponential Interest Calc. TFM_AMMRHYZVNUMC2TFM_AMMRHYZV
PKOND2Percentage Rate for Condition Items PKOND2DEC15(10) DECV5_10
MNDIDUnique Referene to Mandate per Payment Recipient SEPA_MNDIDCHAR35ID035
RBOBusiness Operation Number (Loans) RBOCHAR15RBO
SEXCLGUELExclusive indicator for start date of condition position TFMSEXCLKPNUMC1VVSEXCLVON
SULTGUELMonth-end indicator for start date of condition position TFMSULT_KPCHAR1VVSULT
BROUNDUNITRounding Unit for Amounts TFMBRUNITDEC13(7) TFMSRUNIT
BBASISUNITBase Unit for Rounding TFM_BBASISUNITCURR17(2) TFM_WRTV9

Key field Non-key field



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

As RDPTS_CONDITION_ATTR 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 RDPTS_CONDITION_ATTR as there is no data to select.

How to access SAP table RDPTS_CONDITION_ATTR

Within an ECC or HANA version of SAP you can also view further information about RDPTS_CONDITION_ATTR 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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