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SAP Table VTIFHAPO

Underlying transaction flows

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The table VTIFHAPO (Underlying transaction flows) is a standard table in SAP ERP. It belongs to the package FTT.

Technical Information

Table VTIFHAPO
Short Text Underlying transaction flows
Package FTT
Table Type Transparent Table

Fields for Table VTIFHAPO

Field Name Key Description Data Element Type Length Check Table
MANDT Client MANDT CLNT 3 *
RFHA Financial Transaction TB_RFHA CHAR 13 *
RFHAZU Transaction activity TB_RFHAZU NUMC 5
DCRDAT Entered On TB_CRDAT DATS 8
TCRTIM Entry Time TB_TCRTIM TIMS 6
RFHAZB Transaction flow TB_RFHAZB NUMC 4
CRUSER Entered by TB_CRUSER CHAR 12
UPUSER Last Changed by TB_UPUSER CHAR 12
DUPDAT Changed on TB_DUPDAT DATS 8
TUPTIM Time changed TB_TUPTIM TIMS 6
RANTYP Contract Type RANTYP CHAR 1
SFHAZBA Flow Type TB_SFHAZBA CHAR 4 *
SBKKLAS Classification of flows and conditions TB_SBKKLAS CHAR 1
SBKTYP Category of Flows and Conditions TB_SBKTYP CHAR 2 *
SBERFIMA Calculation category for cash flow calculator SBEWFIMA CHAR 4 *
SSIGN Direction of flow TB_SSIGN CHAR 1
SHERKUNFT Display Area of Flow or Condition TB_SHERK CHAR 4
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
SKOART Condition Type (Smallest Subdivision of Condition Records) SKOART NUMC 4 *
RREFKONT Obsolete: Accnt Assignment Ref. in Fin. Assets Management RREFKONT_OBSOLETE CHAR 8 *
SBZVABW Alternative payment details stated in flow TB_SBZVABW CHAR 1
RAHABKI Short key for own house bank TB_RHABKI CHAR 5 *
RAHKTID Short key for house bank account TB_RHKTID CHAR 5 *
RPZAHL Payer/payee TB_RPZAHL_NEW CHAR 10 *
RPBANK Partner bank details TB_RPBANK CHAR 4
SZART Payment transaction TB_SZART CHAR 1
ZLSCH Payment Method DZLSCH CHAR 1 *
UZAWE Payment Method Supplement UZAWE CHAR 2 *
SBEWEBE Posting Status of Flow TB_SBEWEBE CHAR 1
SSPRGRD Reason Why Flow Is Blocked for Posting TB_SSPRGRD NUMC 1
SBFREI Release Given for Flow to Be Posted? TB_SBFREI CHAR 1
DFAELL Due date TB_DFAELL DATS 8
DZTERM Payment or Delivery Date TB_DZTERM DATS 8
BZBETR Payment amount in payment currency TB_BZBETR CURR 13
WZBETR Payment Currency TB_WZBETR CUKY 5 *
BHWBETR Payment Amount in Local Currency TB_HWBETR CURR 13
KHWKURS Local currency rate TB_KHWKURS DEC 9
ASTUECK No. of Units for Financial Instruments TB_ASTUECK DEC 15
BPRICE Price per unit TB_BPRICE CURR 13
WPRICE Price currency TB_WPRICE CUKY 5 *
BHWPREIS Price in local currency TB_HWPREIS CURR 13
BINDEX Value of a point TB_BINDEX CURR 13
VVBASIS Price in points TB_VVBASIS DEC 11
PWKURS Price as percentage quotation TB_PWKURS DEC 10
BNWHR Nominal amount TB_BNWHR CURR 13
RHANDPL Exchange VVRHANDPL CHAR 10 *
SKURSART Rate/Price Type - Treasury Instruments TI_KURSART CHAR 2 *
DBERVON Start of Calculation Period DBERVON DATS 8
DBERBIS End of Calculation Period DBERBIS DATS 8
ATAGE Number of days VVATAGE NUMC 6
ABASTAGE Number of base days in a calculation period ABASTAGE NUMC 6
PKOND Percentage rate for condition items PKOND DEC 10
DPKOND Determination date for percentage rate of condition items VVDPKOND DATS 8
DZFEST Interest rate fixing date TB_DZFEST DATS 8
SZBMETH Interest Calculation Method SZBMETH CHAR 1
BBASIS Calculation base amount BBASIS CURR 13
WBASIS Currency of calculation basis TB_WBASIS CUKY 5 *
SINCL Inclusive indicator for beginning and end of a period VVSINCL NUMC 1
SINCLBIS Inclusive Indicator for the End of a Calculation Period VVSINCLBIS NUMC 1
SULTBIS Month-End Indicator for the End of a Calculation Period VVSULTBIS CHAR 1
SEXCLVON Exclusive Indicator for the Start of a Calculation Period VVSEXCLVON NUMC 1
SULTVON Month-End Indicator for Start of a Calculation Period VVSULTVON CHAR 1
SAEND Change Indicator for FiMa Flow Records TFM_SAEND NUMC 1
DVALUT Calculation Date DVALUT DATS 8
SVINCL Inclusive indicator for value date VVSVINCL NUMC 1
SVULT Month-End Indicator for Value Date VVSVULT CHAR 1
SBWGARTREF Referenced flow type TB_SBWGREF CHAR 4 *
SKHWFIX Indicator for translation into local currency TB_SKHWFIX CHAR 1
ZUONR Assignment Number DZUONR CHAR 18
BPPRC Security Price for Percentage Quotation TB_BPPRC DEC 15
BUPRC Security Price Without Currency Ref. with Unit Quotation TB_BUPRC DEC 15
SRUNIT Currency Unit of the Rate TB_RUNIT CHAR 5 *
REGI_STATE Status of Interest Rate Adjustment TB_IRA_REGISTRATION_STATE CHAR 2
QUANTITY Quantity FTR_QUAN QUAN 13
UNIT_OF_MEASURE Unit of Measure for the Commodity TPM_CTY_UOM UNIT 3 *
CONTRACT_PRICE Commodity Price FTR_COMPRICE DEC 13
SPOT_PRICE Commodity Spot Price FTR_COMSPOT DEC 13
CONTANGO_BACKWRD Commodity Contango / Backwardation FTR_CONBACK DEC 13
COMMODITY_ID Commodity ID TRCO_COMM_ID CHAR 18
PRICE_CURR_UNIT Currency Unit of the Rate TB_RUNIT CHAR 5 *
PRICE_UOM Unit of Measure for the Commodity TPM_CTY_UOM UNIT 3 T006
DCSID Derivative Contract Specification ID TBA_DCSID CHAR 6 *