TRDS_FLOW SAP (Distributor Flow) Structure details

Dictionary Type: Structure
Description: Distributor Flow




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




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

TRDS_FLOW 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 "Distributor Flow" 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_TRDS_FLOW TYPE TRDS_FLOW.

The TRDS_FLOW table consists of various fields, each holding specific information or linking keys about Distributor Flow data available in SAP. These include DIS_FLOWTYPE (Update Type), ALLOC_NMBR (Assignment Number), ACTIVE_PASSIVE (Indicator: Assets/Liabilities Position), DIFFERENTIATION_DATA ().. 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 TRDS_FLOW 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
FLOW_NUMBERNumber of a Distributor Flow TPM_TRDFLOWNRINT410TPM_TRDFLOWNR
DIS_FLOWTYPEUpdate Type TPM_DIS_FLOWTYPECHAR8Assigned to domainTPM_DIS_FLOWTYPE
ALLOC_NMBRAssignment Number DZUONRCHAR18ZUONR
ACTIVE_PASSIVEIndicator: Assets/Liabilities Position TPM_ACTIVE_PASSIVECHAR1TPM_ACTIVE_PASSIVE
DIFFERENTIATION_DATA 0
COMPANY_CODECompany Code BUKRSCHAR4BUKRSBUKC_T001
VALUATION_AREAValuation Area TPM_VAL_AREACHAR3TPM_VAL_AREATPM_VAL_AREATRG_VALUATION_AREA
PRODUCT_TYPEProduct Type VVSARTCHAR3VVSARTSANVVSART_APPL_BAS
TRANSACTION_TYPEFinancial Transaction Type TB_SFHAARTCHAR3T_SFHAARTT02C_AT10
COM_VAL_CLASSGeneral Valuation Class TPM_COM_VAL_CLASSNUMC4TPM_COM_VAL_CLASSCVC
VALUATION_CLASSValuation Class TPM_VAL_CLASSNUMC4TPM_VAL_CLASS
SECURITY_IDSecurity ID Number VVRANLWCHAR13ALPHAWP_RANLRANSECURITY_F4
SECURITY_ACCOUNTSecurities Account RLDEPOCHAR10RLDEPODEPACC_CCD_CORE
ACCOUNT_GROUPSecurities Account Group TPM_SEC_ACCT_GRPCHAR10TPM_SEC_ACCT_GRPTPM_SHPL_SEC_ACC_GRP
PORTFOLIOPortfolio RPORTBCHAR10RPORTBT50H_RPORTB_CORE
TRADERTrader RDEALERCHAR12RDEALER
LOANS_CONTRACTContract Number RANLCHAR13ALPHARANLRAN
DEAL_NUMBERFinancial Transaction TB_RFHACHAR13ALPHAT_RFHAFANVTBA
POSITION_ACCOUNTFutures Account for Listed Options and Futures TPM_POS_ACCOUNT_FUTCHAR10TPM_POS_ACCOUNT_FUTTRF_PACTRFC_F4_POS_ACCOUNT
LOT_IDIdentifier of the Lot TPM_LOT_IDRAW16SYSUUID
FLAG_LONG_SHORTIndicator: Long or Short Position TPM_FLAG_LONG_SHORTCHAR1TPM_FLAG_LONG_SHORT
FUNDFund FM_FUNDCHAR10BP_GEBERFIC
GRANT_NBRGrant GM_GRANT_NBRCHAR20ALPHAGM_GRANT_NBRGM_GRANT_NBRGRANTS_GENERIC
EXTERNAL_ACCOUNTExternal Account TPM_EXT_ACCOUNTCHAR10TPM_EXT_ACCOUNTTREA_EATREATH_EXT_ACCOUNT
DIFF_CURRENCYCurrency as Differentiation Term TPM_DIFF_CURRENCYCUKY5WAERSTPM_DIFF_CURR
SUBPOS_DIFF_DATA 0
PA_COMPANY_IDCompany ID of trading partner RASSCCHAR6ALPHARCOMPPGS
ORIGIN_DATETreasury Ledger Date TPM_TRLDATEDATS8DATUM
HINST_OIDObject Identity in Database Format TPM_DB_OS_GUIDCHAR32TPM_DB_OS_GUID
HITEM_OIDObject Identity in Database Format TPM_DB_OS_GUIDCHAR32TPM_DB_OS_GUID
FLG_FREESTANDINGIndicator: Freestanding Portion of the Position TPM_FLG_FREESTANDINGCHAR1XFELD
POSITION_DATA 0
UNITSUnits TPM_UNITSDEC22(6) TPM_UNITS
NOMINAL_CURRNominal Currency TPM_NOMINAL_CURRCUKY5WAERS
NOMINAL_AMTNominal Amount TPM_NOMINAL_AMTCURR21(2) TPM_AMOUNT
NOMINAL_ORG_AMTOriginal Nominal Amount in Position Currency TPM_NOMINAL_ORG_AMTCURR21(2) TPM_AMOUNT
POSITION_CURRPosition Currency TPM_POSITION_CURRCUKY5WAERS
POSITION_AMTAmount (Position Currency) TPM_POSITION_AMTCURR21(2) TPM_AMOUNT
POSAMT_IDX_CLEANAmount in Position Currency Index-Clean TPM_POSITION_AMT_IDX_CLEANCURR21(2) TPM_AMOUNT
QUANT_CATPosition Change Category: Quantity TPM_QTY_PM_CATCHAR4TPM_QTY_PM_CAT
SUBPOS_DATA 0
SUB_SOURCETARGETSource or Target of Subposition Transfer TPM_SUB_SOURCE_TARGETCHAR1TPM_SUB_SOURCE_TARGET
SUB_TRANSFERGRPGroup of Flows in Subposition Transfer TPM_SUB_TRANSFER_GROUPNUMC4TPM_SYSTEM_KEY
LOCAL_CURR_DATA 0
LOCAL_CURRLocal Currency TPM_LOCAL_CURRCUKY5WAERS
LOCAL_AMTAmount (Local Currency) TPM_LOCAL_AMTCURR21(2) TPM_AMOUNT
SKHWFIXIndicator for translation into local currency TB_SKHWFIXCHAR1T_SKHWFIX
TRANSL_DATETranslation Date WWERT_DDATS8DATUM
VALUATION_AREA_DATA 0
VALUATION_CURRValuation Currency TPM_VALUATION_CURRCUKY5WAERS
VALUATION_AMTAmount in Valuation Currency TPM_VALUATION_AMTCURR21(2) TPM_AMOUNT
TRL_POS_MAN_CATPosition Change Category TPM_AMT_PM_CATCHAR4TPM_PM_CAT
FIXED_AA_REFAccount Assignment Reference of Position Management TPM_AA_REFCHAR12TPM_AA_REFTRAC_AA_REF
TRANSFER_DATA 0
SOURCETARGET_FLGIndicator: Source or Target of a Flow TPM_SOURCE_TARGET_FLGCHAR1TPM_SOURCE_TARGET_FLG
TRANSFER_GROUPGroup of Flows from a Source or Target TPM_TRANSFER_GROUPNUMC4TPM_SYSTEM_KEY
LOT_CREATIONLot Creation Category TPM_LOT_CREATIONNUMC1TPM_LOT_CREATION
AMOUNT_FACTORValue Coefficient TPM_AMOUNT_FACTORFLTP16(16) TPM_AMOUNT_FACTOR
ORIGIN_DATEOriginal Position Acquisition Date TPM_ORIGIN_DATEDATS8TPM_ORIGIN_DATE
PAYMENT_AMOUNTS 0
PAYMENT_CURRPayment Currency TPM_PAYMENT_CURRCUKY5WAERS
PAYMENT_AMTPayment Amount TPM_PAYMENT_AMTCURR21(2) TPM_AMOUNT
PAYMENT_INFO 0
SIGNDirection of flow TB_SSIGNCHAR1T_SSIGN
HOUSE_BANKShort key for own house bank TB_RHABKICHAR5HBKID
HOUSE_BANK_ACCShort key for house bank account TB_RHKTIDCHAR5HKTID
PAYMENT_DATEPayment Date TPM_PAYMENT_DATEDATS8TPM_POSITION_DATE
DUE_DATEDue Date TPM_DUE_DATEDATS8DATUM
RPBANKPartner bank details TB_RPBANKCHAR4BVTYP
RPZAHLPayer/payee TB_RPZAHL_NEWCHAR10ALPHABU_PARTNERBPABUPA
SZARTPayment transaction TB_SZARTCHAR1XFELD
ZLSCHPayment Method DZLSCHCHAR1ZLSCH
UZAWEPayment Method Supplement UZAWECHAR2UZAWE
SPAYRQPayment request allowed TB_SPAYRQCHAR1T_SPAYRQ
SPRSNGIndividual payment required TB_SPRSNGCHAR1T_SPAYRQ
SPRGRDDetermine grouping definition TB_SPRGRDCHAR1T_SPRGRD
SCSPAYSame direction necessary for joint payment? TB_SCSPAYCHAR1XFELD
ZWELSList of the Payment Methods to be Considered DZWELSCHAR10ZWELS
PAYGRGrouping Field for Automatic Payments PAYGRCHAR20CHAR20
LANDLSupplying Country LANDLCHAR3LAND1
LZBKZState Central Bank Indicator LZBKZCHAR3LZBKZ
RPCODERepetitive Code RPCODECHAR20ALPHARPCODEFIBL_RPCODE
RP_TEXTReference Text for Repetitive Code RPCODE_TEXTCHAR50XTEXT50
MNDIDUnique Referene to Mandate per Payment Recipient SEPA_MNDIDCHAR35ID035
FIMA_DATA 0
CALCULATION_DATECalculation Date DVALUTDATS8DATUM
CALC_DATE_INCLInclusive indicator for beginning and end of a period VVSINCLNUMC1VVSINCL
COUPON_DATEDate of the Next Coupon TPM_COUPON_DATEDATS8DATUM
COUPON_SIGNCoupon ID for Interest and Accrued Interest Calculation TPM_COUPON_SIGNCHAR1VVSCOUPON
CALC_BEGINStart of Calculation Period DBERVONDATS8DATUM
CALC_ENDEnd of Calculation Period DBERBISDATS8DATUM
EFF_INT_RATE_UFor Calculation of Amortization Amts (SAC) for Used EffInR TPM_TRL_EFF_INT_RATE_USEDDEC10(7) DEC3_7
SCHED_EFF_RATEKey for Redemption Schedule that Explains Effect. Int. Rate RDPT_SCHEDULE_KEY_EFF_RATEINT410
EFF_INT_RATE_NValid Effective Interest Rate for the Next Amortization TPM_TRL_EFF_INT_RATE_NEWDEC10(7) DEC3_7
SCHED_FIXKey for Fixed Redemption Schedule RDPT_SCHEDULE_KEY_FIXINT410
DEAL_INFO 0
RFHAZUTransaction activity TB_RFHAZUNUMC5T_RFHAZUFAS
NORDEXTExternal Reference TB_NORDEXTCHAR16FTI_CHAR16LOW
SFGZUSTTTransaction Activity Category TB_SFGZUTYNUMC2T_SFGZUTYC_AT02
RKONDGRDirection of Transaction TB_RKONDGRNUMC1T_RKONDGR
COUNTERPARTYBusiness Partner Number TB_KUNNR_NEWCHAR10ALPHABU_PARTNERBPABUPA
SNOTDELIVEREDSecurity not delivered FTR_NOT_DEL_FLGCHAR1XFELD
CLEARING_STATUSClearing Status (TREA) TPM_TREA_CLEARING_STATUSNUMC1TPM_TREA_CLEARING_STATUS
CLEARING_DATEActual Clearing Date TPM_TREA_CLEARING_DATE_ACTDATS8TPM_TREA_CLEARING_DATE
SEC_BEPP_DATA 0
DGUEL_KPCondition Item Valid From DGUEL_KPDATS8DATUM
PKONDPercentage rate for condition items PKONDDEC10(7) DECV3_7
SEXCLVONExclusive Indicator for the Start of a Calculation Period VVSEXCLVONNUMC1VVSEXCLVON
SINCLBISInclusive Indicator for the End of a Calculation Period VVSINCLBISNUMC1VVSINCLBIS
SINCLVERRInclusive Indicator for Clearing Date VVSINCLVERNUMC1VVSINCLVER
SKOARTCondition Type (Smallest Subdivision of Condition Records) SKOARTNUMC4SKOART
SREFZITIRefer.flow category in accrual/deferral flow records VVSREFZITICHAR4SBEWZITI
SULTBISMonth-End Indicator for the End of a Calculation Period VVSULTBISCHAR1VVSULT
SULTVERRMonth-End Indicator for Clearing Date VVSULTVERRCHAR1VVSULT
SULTVONMonth-End Indicator for Start of a Calculation Period VVSULTVONCHAR1VVSULT
SZBMETHInterest Calculation Method SZBMETHCHAR1SZBMETH
SZEGENGenerate incoming payment immediately SZEGENNUMC2SZEGEN
DSCHLUSSDate of business closing VVDSCHLUSSDATS8DATUM
MERKMCharacteristics TB_MERKMCHAR25CHAR25
REFERInternal Reference TB_REFERCHAR16CHAR16
ZUONDAssignment TB_ZUONDCHAR18TEXT18
NORDEXTExternal order number NORDEXTCHAR20CHAR20
OBJNRObject number J_OBJNRCHAR22J_OBJNRONR
PEFFZINSEffective Interest Rate PEFFZINSDEC10(7) DEC3_7
SEFFMETHEffective Interest Method (Financial Mathematics) SEFFMETHNUMC1SEFFMETH
RKONTRAReference to Counterparty RKONTRA_NEWCHAR10ALPHABU_PARTNERBPABUPA
NORDERPosition number SECPOSITIONNUMBERNUMC8NUM8
RZBANKPaying Bank VVRZBANK_NEWCHAR10ALPHABU_PARTNERBPABUPA
DBUDATPosting Date in the Document BUDATDATS8DATUM
DGJAHRFiscal Year GJAHRNUMC4GJAHRGJAHRGJR
RBELNRFIAccounting Document Number BELNR_DCHAR10ALPHABELNRBLN
RBELNRFI2Accounting Document Number BELNR_DCHAR10ALPHABELNRBLN
SWOHERTreasury: Source of flow TB_SWOHERCHAR1TB_SWOHER
DVERRECHSettlement date VVDVERRECHDATS8DATUM
DPKONDDetermination date for percentage rate of condition items VVDPKONDDATS8DATUM
DZFESTInterest rate fixing date TB_DZFESTDATS8DATUM
ATAGENumber of days VVATAGENUMC6INT6
ABASTAGENumber of base days in a calculation period ABASTAGENUMC6INT6
APERTAGENo. of days of a (calculation) period in cash flow VVAPERTAGENUMC6INT6
BBASISCalculation base amount BBASISCURR13(2) WERTV7
SKALIDWTInterest Calendar TFMSKALIDWTCHAR2WFCIDH_TFACD
JEXPOZINSExponential Interest Calculation TB_JZINSRECHAR1XFELD
PPAYMENTPayment Rate TFM_PPAYMENTDEC11(7) TFM_PPAYMENT
SBERFIMACalculation category for cash flow calculator SBEWFIMACHAR4SBEWFIMA
ACCRUAL_DATA 0
AD_REF_CATAccrual/Deferral: Reference Category TPM_AD_REFERENCE_CATCHAR1TPM_AD_REFERENCE_CAT
AD_REF_TERMAccrual/Deferral: Reference TPM_AD_REFERENCE_TERMCHAR8TPM_AD_REFERENCE_TERM
AD_FLOW_CATAccrual/Deferral: Flow Category TPM_AD_FLOW_CATCHAR4TPM_AD_FLOW_CAT

Key field Non-key field



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

As TRDS_FLOW 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 TRDS_FLOW as there is no data to select.

How to access SAP table TRDS_FLOW

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