RREPAYMENT_API SAP (API Fields for the Payoff) Structure details

Dictionary Type: Structure
Description: API Fields for the Payoff




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




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

RREPAYMENT_API 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 "API Fields for the Payoff" 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_RREPAYMENT_API TYPE RREPAYMENT_API.

The RREPAYMENT_API table consists of various fields, each holding specific information or linking keys about API Fields for the Payoff data available in SAP. These include BUKRS (Company Code), SARCHIV (Archiving Category Indicator), RANL (Contract Number), RBO (Business Operation Number (Loans)).. 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 RREPAYMENT_API 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
VDARL_KEY 0
BUKRSCompany Code BUKRSCHAR4BUKRSBUKC_T001
SARCHIVArchiving Category Indicator SARCHIVCHAR1SARCHIVARC
RANLContract Number RANLCHAR13ALPHARANLRAN
RBOBusiness Operation Number (Loans) RBOCHAR15RBO
BASIS 0
DFAELLDue Date of Business Operation TB_DFAELLRDATS8DATUM
SBOTERMRepayment Change During Partial Payoff TB_SBOTERMCHAR1T_SBO_TERM
BCWHRNet Payoff Amount TB_BBNWHRCURR13(2) WERTV7
BFELD1Amount Field 1 TB_FELD1CURR13(2) WERTV7
BFELD2Amount Field 2 TB_FELD2CURR13(2) WERTV7
BFELD3Amount Field 3 TB_FELD3CURR13(2) WERTV7
BFELD4Amount Field 4 TB_FELD4CURR13(2) WERTV7
SBWHRPosition Currency (Currency of Position Amount) SBWHRCUKY5WAERS
XBO_TEXTText for Business Operation XBOTEXTCHAR30TEXT30
.INCLU--AP 0
SBRUTTOGross procedure TB_SBRUTTOCHAR1JFLAGG
BBBWHRGross Payoff Amount TB_BBBWHRCURR13(2) WERTV7
DETAIL 0
BHWHRPayoff Amount in Local Currency TB_BHNWHRCURR13(2) WERTV7
SINCLInclusive Indicator for Due Date TB_SINCLCHAR1XFELD
SVULTMonth-End Indicator for Due Date TB_SVULTCHAR1VVSULT
DDISPOPayment Date TB_PAYDATEDATS8DATUM
SKALIDFactory calendar SKALIDCHAR2WFCIDH_TFACD
SBEWARTPayoff Flow Type TB_SBEWARTCHAR4SBEWART
SGTXTItem Text SGTXTCHAR50TEXT50
JREPAY_SETTLEMRepayment Settlement TB_JREPAY_SETTLEMENTCHAR1JFLAGG
JREGPAYMENTSTreatment of Regular Payments TB_JREGPAYMENTSCHAR1JFLAGG
DGUEL_KPRepayment Change Effective From TB_DGUEL_KP_REPAYDATS8DATUM
BBASISBase Amount for Repayment Change TB_BBASIS_REPAYCURR13(2) WERTV7
PKONDRepayment Rate for Repayment Change TB_PKOND_REPAYDEC10(7) DECV3_7
BKONDPayment Installment for Repayment Change TB_BKOND_REPAYCURR13(2) WERTV7
DDEFERRAL_FROMStart of Deferral Period TB_DEFERRAL_FROMDATS8DATUM
SPAYSIMIndicator: Full Clearing for Actual Principle 1 TB_SPAYSIMCHAR1JFLAGG
PSSDKURSExchange Rate For Net Posted Borrower's Notes TB_PSSDKURSDEC10(7) PWKURS
BNWHRNominal Payoff Amount TB_REPAY_BNWHRCURR13(2) WERTV7
JNOREGSETTLEAvailable Capital Contains Regular Repayments TB_NO_REG_SETTLEMENTCHAR1JFLAGG
.INCLU--AP 0
DFAELL_ADJDue date adjustment indicator TB_DFAELLR_ADJ_CMLCHNCHAR1TD_DFAELLR_ADJ_CMLCHN
ADMIN 0
PARTNRPayer of Payoff TB_PARTNR_REPAYCHAR10ALPHABU_PARTNERBPABUPA
KUNNRCustomer Numbers KUNNRCHAR10ALPHAKUNNRKUNC_KUNNR
ZLSCHPayment Method DZLSCHCHAR1ZLSCH
BVTYPPartner Bank Type BVTYPCHAR4BVTYP
SZARTPayment transaction TB_SZARTCHAR1XFELD
XCONDPAYDATAKeep Payment Data for Condition-Based Flows Acc to Cond. XCONDPAYDATACHAR1XFELD
JNODOIPBlocked by Payoff: No Open Item Clearing for Loan TB_JNODOIPCHAR1XFELD
XNODUNNExclude Loan from Dunning Run XNODUNNCHAR1XFELD
ZAHLSBlock Key for Payment DZAHLSCHAR1ZAHLS
SBUSTPosting control key VVSBUSTNUMC2VVSBUST
SZEGENGenerate incoming payment immediately SZEGENNUMC2SZEGEN
DANGAMCreation Date for the Offer TB_DANGAM_REPAYDATS8DATUM
DANGBISEnd of the Validity Period of the Offer TB_DANGBIS_REPAYDATS8DATUM
DANNAHMEAcceptance Date of the Offer TB_DANNAHME_REPAYDATS8DATUM
DKUENDDGDate of Receipt of Notice TB_DKUEND_REPAYDATS8DATUM
SKUENDReason for Notice TB_SKUEND_REPAYNUMC3SKUEART
RREJECT_REASONReason for Rejection TB_REJECT_REASONCHAR3T_REASON
RREPAY_REASONPayoff Reason TB_REPAY_REASONNUMC3SKUEART
ACCEPTANCE_TIMENumber of Time Units Added to the Application Date TB_ACCEPTANCE_TIMEDEC3DEC3
TIMEUNITTime Unit TIMEUNITCHAR1TIMEUNIT
MABERDunning Area MABERCHAR2MABER
MANSPDunning block MANSPCHAR1MANSP
REMIT_INFOPayment Notes Info TB_REMIT_INFOCHAR140T_REMIT_INFO
MNDIDUnique Referene to Mandate per Payment Recipient SEPA_MNDIDCHAR35ID035

Key field Non-key field



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

As RREPAYMENT_API 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 RREPAYMENT_API as there is no data to select.

How to access SAP table RREPAYMENT_API

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