VTB_S_REPO_DYNP SAP (Fields for Repo Flow) Structure details

Dictionary Type: Structure
Description: Fields for Repo Flow




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




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

VTB_S_REPO_DYNP 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 "Fields for Repo 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_VTB_S_REPO_DYNP TYPE VTB_S_REPO_DYNP.

The VTB_S_REPO_DYNP table consists of various fields, each holding specific information or linking keys about Fields for Repo Flow data available in SAP. These include XBEWART_R (Name of flow type), BPPRC_R (Security Price for Percentage Quotation), BUPRC_R (Security Price Without Currency Ref. with Unit Quotation), SRUNIT_R (Currency Unit of the Rate).. 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: Cannot Be Enhanced


SAP VTB_S_REPO_DYNP 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
SFHAZBA_RFlow Type TB_SFHAZBACHAR4Assigned to domainSBEWART
XBEWART_RName of flow type XBEWARTCHAR30TEXT30
BPPRC_RSecurity Price for Percentage Quotation TB_BPPRCDEC15(6) VVPKTKUR
BUPRC_RSecurity Price Without Currency Ref. with Unit Quotation TB_BUPRCDEC15(6) VVPKTKUR
SRUNIT_RCurrency Unit of the Rate TB_RUNITCHAR5Assigned to domainVVSRUNIT
DBESTANDX_RPosition Date of Bond as Underlying of a Forward TB_XDBESTANDBCHAR10T_XDATUM
DBESTAND_RPosition Value Date TB_DBESTANDDATS8DATUM
DVALUTX_RCalculation date TB_DVALUTXCHAR10T_XDATUM
DVALUT_RCalculation Date DVALUTDATS8DATUM
XZTERM_RPayment or Delivery Date TB_XZTERMCHAR10T_XDATUM
DZTERM_RPayment or Delivery Date TB_DZTERMDATS8DATUMT33
XEBETR_RAmount as text field TM_XBETRAGCHAR18T_XBETRG18
BEBETR_RMarket Value in Quotation Currency TB_BEBETRCURR13(2) WERTV7
WEBETR_RPrice currency TB_WEBETRCUKY5Assigned to domainWAERS
XZBETR_RPayment amount TB_XZBETRCHAR18T_XBETR
BZBETR_RPayment amount in payment currency TB_BZBETRCURR13(2) WERTV7
WZBETR_RPayment Currency TB_WZBETRCUKY5Assigned to domainWAERS
XHBETR_RAmount as text field TM_XBETRAGCHAR18T_XBETRG18
BHWBETR_RPayment Amount in Local Currency TB_HWBETRCURR13(2) WERTV7
WHWBETR_RLocal currency TB_WHWBETRCUKY5Assigned to domainWAERS
XBBETR_RAmount as text field TM_XBETRAGCHAR18T_XBETRG18
BBBETR_RAmount that Changes the Position TB_BBBETRCURR13(2) WERTV7
WBBETR_RCurrency of Position Amount TB_WBBETRCUKY5Assigned to domainWAERS
KZWKURS_RPayment currency rate TB_KZWKURSDEC9(5) EXCRTUKURS
KZWKURS_FROM_RCurrency Key for Currency Conversion: Source Currency TB_WFROMCUKY5Assigned to domainWAERS
KZWKURS_TO_RCurrency key for curreny conversion: Target currency TB_WTOCUKY5Assigned to domainWAERS
KHWKURS_RLocal currency rate TB_KHWKURSDEC9(5) EXCRTUKURS
KHWKURS_FROM_RCurrency Key for Currency Conversion: Source Currency TB_WFROMCUKY5Assigned to domainWAERS
KHWKURS_TO_RCurrency key for curreny conversion: Target currency TB_WTOCUKY5Assigned to domainWAERS
KBWKURS_RPosition currency rate TB_KBWKURSDEC9(5) EXCRTUKURS
KBWKURS_FROM_RCurrency Key for Currency Conversion: Source Currency TB_WFROMCUKY5Assigned to domainWAERS
KBWKURS_TO_RCurrency key for curreny conversion: Target currency TB_WTOCUKY5Assigned to domainWAERS
SBKTYP_RCategory of Flows and Conditions TB_SBKTYPCHAR2Assigned to domainT_SBKTYP
SSIGN_RDirection of flow TB_SSIGNCHAR1T_SSIGN
SHERKUNFT_RDisplay Area of Flow or Condition TB_SHERKCHAR4T_XFELD04
ASTUECK_RNumber of units for unit-quoted securities ASTUECKDEC15(5) ASTUECK
XNWHR_RNominal Amount in Issue Currency TB_XNOM_FWCHAR18T_XBETRG18
BNWHR_RNominal amount TB_BNWHRCURR13(2) WERTV7
SBKKLAS_RClassification of flows and conditions TB_SBKKLASCHAR1T_SBKKLAS
SBERFIMA_RCalculation category for cash flow calculator SBEWFIMACHAR4Assigned to domainSBEWFIMA
RFHAZU_RTransaction activity TB_RFHAZUNUMC5T_RFHAZUFAS
RFHAZB_RTransaction flow TB_RFHAZBNUMC4T_RFHAZB
DCRDAT_REntered On TB_CRDATDATS8DATUM
TCRTIM_REntry Time TB_TCRTIMTIMS6UZEIT
CRUSER_REntered by TB_CRUSERCHAR12SYCHAR12
UPUSER_RLast Changed by TB_UPUSERCHAR12SYCHAR12
DUPDAT_RChanged on TB_DUPDATDATS8DATUM
TUPTIM_RTime changed TB_TUPTIMTIMS6UZEIT
RANTYP_RContract Type RANTYPCHAR1RANTYP
SABVERF_RProcedure to Generate Derived Flows TB_SABVERFCHAR5Assigned to domainT_SABVERF
RKONDGR_RDirection of Transaction TB_RKONDGRNUMC1T_RKONDGR
RKOND_RCondition TB_KONDNUMC4T_KOND
DGUEL_KP_RCondition Item Valid From DGUEL_KPDATS8DATUM
NSTUFE_RLevel number of condition item for recurring payments NSTUFENUMC2NUMC2
SKOART_RCondition Type (Smallest Subdivision of Condition Records) SKOARTNUMC4Assigned to domainSKOART
RREFKONT_RObsolete: Accnt Assignment Ref. in Fin. Assets Management RREFKONT_OBSOLETECHAR8Assigned to domainUSTRUKRE
SBZVABW_RAlternative payment details stated in flow TB_SBZVABWCHAR1XFELD
RAHABKI_RShort key for own house bank TB_RHABKICHAR5Assigned to domainHBKID
RAHKTID_RShort key for house bank account TB_RHKTIDCHAR5Assigned to domainHKTID
RPZAHL_RPayer/payee TB_RPZAHL_NEWCHAR10Assigned to domainALPHABU_PARTNERBPABUPA
RPBANK_RPartner bank details TB_RPBANKCHAR4BVTYP
SZART_RPayment transaction TB_SZARTCHAR1XFELD
ZLSCH_RPayment Method DZLSCHCHAR1Assigned to domainZLSCH
UZAWE_RPayment Method Supplement UZAWECHAR2Assigned to domainUZAWE
SPAYRQ_RGenerate payment request TB_SPAYRQKCHAR1XFELD
SPRSNG_RIndividual payment TB_SPRSNGKCHAR1XFELD
SPRGRD_RDetermine grouping definition TB_SPRGRDCHAR1T_SPRGRD
SCSPAY_RSame direction necessary for joint payment? TB_SCSPAYCHAR1XFELD
ZWELS_RList of the Payment Methods to be Considered DZWELSCHAR10ZWELS
PAYGR_RGrouping Field for Automatic Payments PAYGRCHAR20CHAR20
SBEWEBE_RPosting Status of Flow TB_SBEWEBECHAR1T_SBEWEBE
SSPRGRD_RReason Why Flow Is Blocked for Posting TB_SSPRGRDNUMC1T_SSPRGRD
SBFREI_RRelease Given for Flow to Be Posted? TB_SBFREICHAR1XFELD
SSTORNOBWG_RFlow reversal in Treasury TB_SBWGSTOCHAR1XFELD
PRKEY_RKey Number for Payment Request PRQ_KEYNOCHAR10Assigned to domainALPHAPRQ_KEYNO
BELNR_RAccounting Document Number BELNR_DCHAR10ALPHABELNRBLN
BELNR2_RDoc. no. of a second accounting doc. for currency swap TB_BELNR2CHAR10ALPHABELNR
GJAHR_RFiscal Year GJAHRNUMC4GJAHRGJAHRGJR
DBUCHUNG_RPosting Date in the Document BUDATDATS8DATUM
DFAELL_RDue date TB_DFAELLDATS8DATUM
BPRICE_RPrice per unit TB_BPRICECURR13(2) WERTV7
WPRICE_RPrice currency TB_WPRICECUKY5Assigned to domainWAERS
BHWPREIS_RPrice in local currency TB_HWPREISCURR13(2) WERTV7
BINDEX_RValue of a point TB_BINDEXCURR13(2) BWHR
VVBASIS_RPrice in points TB_VVBASISDEC11(6) T_PKTKUR
PWKURS_RPrice as percentage quotation TB_PWKURSDEC10(7) DEC3_7
PRKKURS_RCurrency option premium with price in points TI_PRKURDEC13(9) TB_KKURS
RHANDPL_RExchange VVRHANDPLCHAR10Assigned to domainVVRHANDPLWHP
SKURSART_RRate/Price Type - Treasury Instruments TI_KURSARTCHAR2Assigned to domainVVSKURSARTRATETYPE_F4
DBERVON_RStart of Calculation Period DBERVONDATS8DATUM
DBERBIS_REnd of Calculation Period DBERBISDATS8DATUM
ATAGE_RNumber of days VVATAGENUMC6INT6
ABASTAGE_RNumber of base days in a calculation period ABASTAGENUMC6INT6
PKOND_RPercentage rate for condition items PKONDDEC10(7) DECV3_7
DPKOND_RDetermination date for percentage rate of condition items VVDPKONDDATS8DATUM
DZFEST_RInterest rate fixing date TB_DZFESTDATS8DATUM
SZBMETH_RInterest Calculation Method SZBMETHCHAR1SZBMETH
SKALIDWT_RInterest Calendar TFMSKALIDWTCHAR2Assigned to domainWFCIDH_TFACD
BBASIS_RCalculation base amount BBASISCURR13(2) WERTV7
WBASIS_RCurrency of calculation basis TB_WBASISCUKY5Assigned to domainWAERS
JEXPOZINS_RExponential Interest Calculation TB_JZINSRECHAR1XFELD
SINCL_RInclusive indicator for beginning and end of a period VVSINCLNUMC1VVSINCL
SINCLBIS_RInclusive Indicator for the End of a Calculation Period VVSINCLBISNUMC1VVSINCLBIS
SULTBIS_RMonth-End Indicator for the End of a Calculation Period VVSULTBISCHAR1VVSULT
SEXCLVON_RExclusive Indicator for the Start of a Calculation Period VVSEXCLVONNUMC1VVSEXCLVON
SULTVON_RMonth-End Indicator for Start of a Calculation Period VVSULTVONCHAR1VVSULT
SAEND_RChange Indicator for FiMa Flow Records TFM_SAENDNUMC1TFM_SAEND
SVINCL_RInclusive indicator for value date VVSVINCLNUMC1VVSINCL
SVULT_RMonth-End Indicator for Value Date VVSVULTCHAR1VVSULT
JSOFVERR_RIndicator for Immediate Settlement (Financial Mathematics) TFMSOFVERRCHAR1TFMSOFVERR
DVERRECH_RSettlement date VVDVERRECHDATS8DATUM
SINCLVERR_RInclusive Indicator for Clearing Date VVSINCLVERNUMC1VVSINCLVER
SULTVERR_RMonth-End Indicator for Clearing Date VVSULTVERRCHAR1VVSULT
SSTORNOMAN_RManual reversal of flows posted in FI TB_SBWGSTMCHAR1T_SBWGSTM
SSTORNOART_RType of manual reversal of flows posted in FI TB_SSTOARTCHAR2Assigned to domainT_SSTOART
SBWGARTREF_RReferenced flow type TB_SBWGREFCHAR4Assigned to domainSBEWART
SKHWFIX_RIndicator for translation into local currency TB_SKHWFIXCHAR1T_SKHWFIX
ZUONR_RAssignment Number DZUONRCHAR18ZUONR
RLDEPO_RSecurities Account RLDEPOCHAR10Assigned to domainRLDEPODEPACC_CCD_CORE
RANL_RSecurity ID Number VVRANLWCHAR13Assigned to domainALPHAWP_RANLRANSECURITY_F4
RTRBELNR_RInternal document number of derivatives document TPM_DEDOC_RDOCNRINTCHAR15ALPHATPM_DEDOC_RDOCNRINT
WSBETR_RCurrency Key for Currency Conversion: Source Currency TB_WFROMCUKY5Assigned to domainWAERS
SSTCKKZ_RAccrued interest method SSTCKKZCHAR1SSTCKKZ
SSTCKTG_RAccrued interest: Daily method SSTCKTGCHAR1SZBMETH
SFLAT_RIndicator 'Traded flat',i.e.no accrued interest calculation VVSFLATCHAR1XFELD
SCOUPON_RCoupon ID for interest and accrued interest calculation VVSCOUPONCHAR1VVSCOUPON
DCOUPON_RCoupon date of next delivered coupon VVDCOUPONDATS8DATUM
AWKEY_RReference Key AWKEYCHAR20AWKEY
INDEX_VALUE_RIndex Value (Independent of Basis) TIDX_INDEX_VALUE_NO_RATIODEC18(12) TIDX_INDEX_VALUE_NO_RATIO
SBASIS_RCalculation base indicator SBASISCHAR4Assigned to domainVVSBASIS
REGI_STATE_RRepetitive Code RPCODECHAR20Assigned to domainALPHARPCODEFIBL_RPCODE
RPCODE_RRepetitive Code RPCODECHAR20Assigned to domainALPHARPCODEFIBL_RPCODE
RP_TEXT_RReference Text for Repetitive Code RPCODE_TEXTCHAR50XTEXT50
HEDGE_ID_RIdentification for Hedging Relationship TPM_HEDGE_IDCHAR10
XINCL_RIndicator date inclusive VVXINCLCHAR1XFELD

Key field Non-key field



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

As VTB_S_REPO_DYNP 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 VTB_S_REPO_DYNP as there is no data to select.

How to access SAP table VTB_S_REPO_DYNP

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