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SAP Table VTBFINKO

Transaction Condition

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The table VTBFINKO (Transaction Condition) is a standard table in SAP ERP. It belongs to the package FTA.

Technical Information

Table VTBFINKO
Short Text Transaction Condition
Package FTA
Table Type Transparent Table

Fields for Table VTBFINKO

Field Name Key Description Data Element Type Length Check Table
MANDT Client MANDT CLNT 3 T000
BUKRS Company Code BUKRS CHAR 4 T001
RGATT Class TI_RGATT CHAR 13
RFHA Financial Transaction TB_RFHA CHAR 13 VTBFHA
RFHAZU Transaction activity TB_RFHAZU NUMC 5
RKONDGR Direction of Transaction TB_RKONDGR NUMC 1
RKOND Condition TB_KOND NUMC 4
DGUEL_KP Condition Item Valid From DGUEL_KP DATS 8
NSTUFE Level number of condition item for recurring payments NSTUFE NUMC 2
CRUSER Entered by TB_CRUSER CHAR 12
DCRDAT Entered On TB_DCRDAT DATS 8
TCRTIM Entry Time TB_CRTIM CHAR 6
UPUSER Last Changed by TB_UPUSER CHAR 12
DUPDAT Changed on TB_DUPDAT DATS 8
TUPTIM Time changed TB_TUPTIM TIMS 6
SALTKOND Unit for supplementary condition items TB_SALKOND NUMC 4
SZINSANP Cross-referenced condition grp for interest rate adjustment SZINSANP NUMC 4
JNULLKON Condition Form JNULLKON CHAR 1
SKOART Condition Type (Smallest Subdivision of Condition Records) SKOART NUMC 4 TZK01
SSIGN Direction of flow TB_SSIGN CHAR 1
SBKKLAS Classification of flows and conditions TB_SBKKLAS CHAR 1
SBKTYP Category of Flows and Conditions TB_SBKTYP CHAR 2 AT08
PKOND Percentage rate for condition items PKOND DEC 10
BKOND Condition item currency amount BKOND CURR 13
SWHRKOND Currency of Condition Item SWHRKOND CUKY 5 TCURC
SBASIS Calculation base indicator SBASIS CHAR 4 *
BBASIS Calculation Base Amount TFM_BBASIS2 CURR 13
SZBMETH Interest Calculation Method SZBMETH CHAR 1
SKALIDWT Interest Calendar TFMSKALIDWT CHAR 2 *
SINCL Inclusive indicator for beginning and end of a period VVSINCL NUMC 1
SZSREF Reference Interest Rate SZSREF CHAR 10 T056R
SFORMREF Formula Reference TB_XFORMBE CHAR 4 *
SVARNAME Variable Name TB_VARNAME CHAR 4
AMMRHY Frequency in months AMMRHY NUMC 3
ATTRHY Frequency in Days ATTRHY NUMC 3
DVALUT Calculation Date DVALUT DATS 8
SVULT Month-end indicator for calculation date VVSBULT CHAR 1
SVWERK Working Day Shift for Calculation Day TB_SVWERK NUMC 1
SVMETH Method for determining the next value date TB_SVMETH NUMC 1
AVGSTAGE Number of Days for Relative Calculation of Value Date TB_AVGSTAG INT4 10
DFAELL Due date DFAELL DATS 8
SFULT Month-End Indicator for Due Date SFULT CHAR 1
SFWERK Working Day Shift for Due Date TB_SFWERK NUMC 1
SFMETH Method for determining the next due date TB_SFMETH NUMC 1
AFGSTAGE Number of days for rel. determination of due date TB_AFGSTAG INT4 10
SDWERK Working Day Shift for Payment Date TB_SDWERK NUMC 1
DZFEST Interest rate fixing date TB_DZFEST DATS 8
AZGSTAGE No. of days for relative determinatn of interest fixing TB_AZGSTAG INT4 10
DZSREF Reference interest rate fixing date TB_ZSREF DATS 8
SKALID Factory calendar SKALID CHAR 2 TFACD
SKALID2 Factory calendar SKALID CHAR 2 TFACD
RANTYP Contract Type RANTYP CHAR 1
SHERKUNFT Display Area of Flow or Condition TB_SHERK CHAR 4
SRHYTHM Frequency Indicator TB_SRHYTHM NUMC 1
SBERFIMA Calculation category for cash flow calculator SBEWFIMA CHAR 4 AT40
SZWERK Shift to working day for interest fixing date VVSZWERK NUMC 1
RHANDPL Exchange VVRHANDPL CHAR 10 *
SKURSART Rate/Price Type - Treasury Instruments TI_KURSART CHAR 2 *
SFVMETH Update method for calculation date/due date TB_SFVMETH NUMC 2
SERBTERM FiMa indicator: Date and frequency inheritance for condition TFMERBTERM CHAR 1
SFRANZ Shift Due Date TFMSFRANZ NUMC 1
SEXCLGUEL Exclusive indicator for start date of condition position TFMSEXCLKP NUMC 1
JSOFVERR Indicator for Immediate Settlement (Financial Mathematics) TFMSOFVERR CHAR 1
JEXPOZINS Exponential Interest Calculation TB_JZINSRE CHAR 1
SKALID3 Factory calendar SKALID CHAR 2 TFACD
PPAYMENT Payment Rate TFM_PPAYMENT DEC 11
SZEITANT Indicator for Pro Rata Temporis Calculations VVSZEITANT NUMC 1
PKOND1STPER Interest Rate for the First Period TFM_PKOND1STPER DEC 10
SREFDISC Referenced Condition Group Discounting SREFDISC NUMC 4
SDISCOUNT Discounting Category TFM_SDISCOUNT NUMC 1
BROUNDUNIT Rounding Unit TFMPRUNIT DEC 13
SROUND Rounding Category TFM_SROUND CHAR 1
AMMRHYZV Interest Settlement Frequency for Exponential Interest Calc. TFM_AMMRHYZV NUMC 2
FACILITYLINE Line of Credit TB_CREDIT_LINE CHAR 3 *
BGUEL_KP Condition Item Effective from Amount BGUEL_KP CURR 17
SULTGUEL Month-end indicator for start date of condition position TFMSULT_KP CHAR 1
BBASISUNIT Base Unit for Rounding TFM_BBASISUNIT CURR 17
RKONDREF Reference Condition Type TB_KONDREF NUMC 4
STTLM_FREQ COMS: Settlement Frequency FTR_COMS_SETTLE_FREQUENCY INT1 3
STTLM_FREQ_UNIT COMS: Settlement Frequency Unit FTR_COMS_SETTFRQ_UNIT CHAR 1
PAYDAT_OFFS_UNIT COMS: Unit for Payment Date Offset FTR_COMS_UNIT_PAYDATOFF CHAR 1
COMMON_PRICING Indicates Whether Common Pricing Is Used for Average Pricing FTR_COMS_AVG_COMMON_PRICING CHAR 1
FIXING_DATE_RULE COMS: Fixing Date Rule for COMS FTR_COMS_FIX_DAT_RULE CHAR 1
WEEKDAY_NUMBER COMS: Frequency of Occurrence of Weekday in Period FTR_COMS_OCCURE_OF_WD INT1 3
WEEKDAY COMS: Day of Week for Price Fixing FTR_COMS_FIX_WEEKDAY CHAR 1
AVERAGE_FREQ COMS: Frequency for Average FTR_COMS_AVERAG_FREQ INT2 5
QUAN Quantity FTR_QUAN QUAN 13
UNIT_OF_MEASURE Unit of Measure for the Commodity TPM_CTY_UOM UNIT 3 *
QUAN_RELATED_TO Quantity Related To FTR_COMS_QUAN_VAL_PER CHAR 1
REFERENCE Reference FTR_REFERENCE CHAR 32
FX_TRANSLATION Defines when quotation crcy is converted into payment crcy FTR_CURRENCY_CONV_POINT_IN_TIM CHAR 1
EXCH_RATE_TYPE Exchange Rate Type KURST_CURR CHAR 4 *
CPCC_FLAG COMS: Indicator for Consideration of Payment Crcy Calendar FTR_COMS_CPCC_FLAG CHAR 1