The package JBA (Application developmnet IS-B General Development) is a standard package in SAP ERP. It belongs to the parent package EA-FINSERV.
Package | JBA |
Short Text | Application developmnet IS-B General Development |
Parent Package | EA-FINSERV |
SAP Package JBA contains 19 function groups.
BOB1 | Object Number for Securities Positions |
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BOB2 | Object Number - Non-Int. Bear. Positions |
BOB3 | Object Number for Services |
BOBA | Object number bank account |
FKB_AUDIT_SEM | License Audit Banking SEM |
JBACOND | STC: Condition Maintenance |
JBD7 | Ext. Data Transfer of Financial Trans. |
JBDA | SAP Banking: Batch Input |
JBDV | SAP Banking: Non-interest Bearing Pos. |
JBEU | SAP-Banking (Prof.Anal.) EURO Conversion |
JBF1 | SAP Banking: External Data Transfer |
JBFO | Financial Object: General Part |
JBFOEDT | EDT Connection for Financial Objects |
JBM3 | Securities Specifications Rq/Opt Control |
JBM4 | Spec. RM Functions for Req./Opt.Control |
JBM5 | Details of Derivatives Rq/Opt Control |
JBM9 | RM: Req./Opt. Control for Risk Objects |
JBPR | Log Modules |
JBTL | Detailed Log Functions |
SAP Package JBA contains 90 transactions.
JB0W | Change Transaction Differentiation |
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JB0X | Display Transaction Differentiation |
JB2X | Securities |
JB5X | Forex |
JB6X | Derivatives |
JB81 | Maintain account |
JB88 | Maintain Output Fields |
JB91 | Maintain Aggregation |
JB92 | Display Aggregation Value Fields |
JBB0 | Create Position Object |
JBB2 | Display Position |
JBBB | Position Determ.-Stock Ex.Der. |
JBBD | Forex Position Determination |
JBBM | Positions |
JBC0 | Sample Customizing - Organization |
JBC1 | Sample Customizing - Basis Data |
JBC2 | Sample Customizing - Treasury |
JBC3 | Sample Customizing - Basis |
JBC4 | Sample Customizing - Money Market |
JBC5 | Sample Customizing - Forex |
JBC6 | Sample Customizing - Derivatives |
JBC7 | Sample Customizing - Securities |
JBC8 | Sample Customizing - Loans |
JBC9 | Sample Customizing - Accounts |
JBCA | Sample Customizing - Services |
JBCB | Sample Customizing-Non-Int.Positions |
JBCBCA | Customizing BCA Accts Non-Critical |
JBCC | Delta Customizing - Derivatives |
JBCD | Delta Customizing - Loans |
JBCDLI | Display Condition Lists |
JBCDLITY | Display List Types for Cond. Lists |
JBCDPERTY | Assign Cond. Types to List Types |
JBCE | Delta Customizing - Securites |
JBCG | Sample Customizing - Process Costs |
JBCH | Delta Customizing - Accounts |
JBCI | Delta Customizing - Loans |
JBCJ | Delta Customizing - Derivatives |
JBCK | Delta Customizing: ABC 4.02 |
JBCL | Delta Cust.: Basic Data 4.02 |
JBCM | Delta Cust.: Loans 4.02 |
JBCN | Delta Cust.: Money Market 4.02 |
JBCO | Sample Customizing: Volumen Costing |
JBCP | Customizing: Vol. Cost. Not Critical |
JBCQ | Customizing: Var.Trans. Not Critical |
JBDM | IS-B: Loans |
JBG0 | CO-PA Bank: Edit Operating Concern |
JBG0O | CO-PA Bank: Edit Operating Concern |
JBL7 | Current Settings Market Risk |
JBLM | Block Size for EDT |
JBLS | Bank Profit.Analysis - Curr.Settings |
JBM0 | Maintain Eval.Types (Addition) |
JBM1 | Maintain Eval Types - Value Fields |
JBM10 | Euro Reversal: Variable Transaction |
JBM2 | Maint. Transact. Disbursements |
JBM5 | EURO Conversion: Current Accounts |
JBM6 | EURO Conv.: Current Accnts (Reverse) |
JBM7 | EURO Conversion Security |
JBM8 | EURO Conversion Security (Cancel) |
JBM9 | Euro Conversion: Variable Transact. |
JBMVT | Business Partner Configuration Menu |
JBN4 | IS-B: Nummernkreispflege Gp.konto |
JBN5 | IS-B: Nummernkreispflege Dienstl. |
JBR3 | Assign Flow Type to Cash Flow Indic. |
JBRUD | Banking Reuse Library Display |
JBRUM | Banking Reuse Library Maintenance |
JBSTCOND | Maintain Standard Conditions |
JBUB | Non-Int. Bearing Positions: Maintain |
JBVT0001 | VT Control: Application |
JBVT0002 | VT Control: Field Groups |
JBVT0003 | VT Control: Views |
JBVT0004 | VT Control: Sections |
JBVT0005 | VT Control: Screens |
JBVT0006 | VT Control: Screen Sequence |
JBVT0007 | VT Control: Business Trans. Events |
JBVT0008 | VT Control: CUA Standard Functions |
JBVT0009 | VT Control: CUA Additional Functions |
JBVT0010 | VT Control: Matchcode |
JBVT0011 | VT Control: Screen Fld -> DB Field |
JBVT0013 | VT Control: Role Categories |
JBVT0014 | VT Control: Role Category Groupings |
JBVT0015 | VT Control: Application Transactions |
JBVT0016 | VT Control: Tables |
JBVTCH | Change Variable Transaction |
JBVTCR | Create Variable Transaction |
JBVTSH | Display Variable Transaction |
JBWPORD | Securities Order Maint. Transaction |
JBWPORD_ANZ | Display Securities Order Directly |
JBZK | Assign Condition Types->Cond. Groups |
KCLF | External Data Transfer |
KCLFS | Sender Structures |
SAP Package JBA contains 38 database tables.
JBACDLI | List of conditions |
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JBACDLI_RFACC | Source of Condition List from Reference Account |
JBACDLI_T | Description of Condition List |
JBACDLITY | Condition List Types |
JBACDLITY_T | Name of Condition List Type |
JBACDPERTY | Permitted Condition Types for List Types |
JBAFOKOKO | Condition Header |
JBAFOKOPO | Condition Items |
JBASAKOKO | Collective Conditions, Condition Header |
JBASTCH | Standard Conditions: Condition Header |
JBASTCP | Standard Conditions: Condition Item |
JBDLSZA | Type 2 Cash Flow Disturbance (Shifting of a Payment) |
JBDMKFGDT | Risk Object: Required/Optional Control |
JBDMKSECU | Addition to Req./Opt.Control for Security Class Data |
JBDOBJEUR | Additional Fields for Finance Object (EURO Conversion) |
JBDOBJZU | STC Additional Data for Financial Object |
JBDSERV | SAP Banking: Master Table for Service Transactions |
JBDUBPC | Profit Center - Non-Interest-Bearing Position |
JBDUBPCGR | Profit Center Group - Non-Interest-Bearing Position |
JBDUBPO | Position Items for Non-Interest-Bearing Position |
JBDUBST | SAP Banking: Non-Interest-Bearing Position |
JBDUBT | Text for Non-Interest-Bearing Positions |
JBDZSEK | Cash Flow (Effective Capital and NIM between Payment Dates) |
JBDZSVO | Cash Flow (Volume Information) |
JBDZSZT | SAP Banking: Cash Flow (Interest and Repayment Schedule) |
JBKLOBJ1 | Segment Table for Financial Transactions, CL Part |
JBSREFTEX1 | Reference Texts for SAMBA (Loans of 1 Million Plus) |
JBSREFTEX2 | Reference Texts for SAMBA (Large-Scale and Corporate Loans) |
JBSREFTEXT | Text Table for SAMBA Reference Text Table |
JBTAUSVER | Disbursement Procedure (Loans) - Customizing |
JBTAUSVERT | Disbursement Procedure (Loans) - Customizing (Texts) |
JBTBACKUP | Backup Table for Saving Tables |
JBTBEWWERT | Assignment of Flow Type to Value Fields |
JBTBEWZUSA | Additional Information for Flow Types |
JBTBREL | Relevance Indicator for Flow Types |
JBTKZEIT | Costing Times |
JBTTABNAME | Table Name of Customizing Table |
KCD_TYPADD | EDT: Additional Specifications for Certain Trans. Categories |
SAP Package JBA contains 22 views.
JBV683_01 | Costing sheets - bank profitability analysis |
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JBV683_02 | Costing Sheet Items - Bank Profitability Analysis |
JBV685A_01 | Flexible Procedures: Condition Types |
JBVADKEY | Maintain Transaction Differentiation |
JBVBEWWERT | Maintenance View (Assignment Flow Type - Value Field) |
JBVCDLI | Condition Lists |
JBVCDLITY | Customizing View for List Types |
JBVCDPERTY | Assignment of Condition Types to List Types |
JBVKOPO | Condition Items |
JBVREFTEX1 | Application-Specific Addit.Text for Multi-Mill.Loans |
JBVREFTEX2 | Application-Specific Addit.Texts for Large +Mgmt Loans |
JBVTOBJ | Read View for Costing |
JBVUBPC | Maintenance View f.Profit Centers - Non-Int.-Bearing Posits |
JBVUBPCGR | Maintnce View f.Profit Center Grps-Non-Int.-Bearing Position |
JBVUBPO | Non-Interest Bearing Positions |
JBVUBST | Non-Interest Bearing Positions |
JBWPORD | View of VWBEKI and WVBEPI (Active Orders) |
M_MJB2A | Generated View for Matchcode ID MJB2-A |
M_MJB3A | Generated View for Matchcode ID MJB3-A |
M_MJB4B | Generated view for matchcode ID MJB4 -B |
M_MJB5B | Generated View for Matchcode ID MJB5-B |
M_MJBUA | Generated View for Matchcode ID MJBU-A |
SAP Package JBA contains 98 structures.
ISBORIG_PARAM | Reporting Parameters: Properties of Original Transactions |
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JBA_STR_OZ_RATE_FOR_ALM | For Determination of Opportunity Interest Rate for ALM |
JBAFORM_FORMULA | SAP Banking Form Values (a Coordinate) |
JBASNKOKO | Condition Maintenance Header Structure |
JBASNKOND | Additional Attributes for Condition Maintenance |
JBASNKOPO | Condition Maintenance Item Structure |
JBASTCD_KEY | Key for Read Access to Standard Conditions |
JBCVERR | Error Return Structure |
JBDBEWEG | Flow Information for Selection |
JBDMKM | Costing Objects |
JBDSTAMM | Structure for Securities Master Data |
JBDWFW | Bank PA - Non-Calculated Value Fields |
JBFDURFC | Transfer Structure for Example with RFC |
JBI_DYN_BBEW | Structure for Screen Position Changes |
JBI_DYN_WPORD | Screeen Structure for Security Orders |
JBI_ZABGR_PROT | Structure for Log Output |
JBICFDAR | Loans for Cash Flow Generation |
JBIDBLE | Control Fields for DB Access |
JBIESERV | Receiver Structure for Services for User |
JBIFRIS | Structure for Core Deposit Products |
JBIKUGW | Structure for Determining Realized Gains/Losses |
JBILIST | Structure for Outputting a List |
JBIMKEGK | STC-Specific Required/Optional Fields |
JBIMKRM | Required/Optional Fields Specific to RM |
JBIMKS1 | Required/Optional Control for Transfer Categories |
JBIOBJZU | Additional Fields from JBDOBJZU for EDT |
JBIPEBP | Include for EDT Business Partner, Single Trans. Cost., Long |
JBIPKOB | Credit Limit Receiver Structure - Large |
JBIPREP | Structure for Prepayment Percentage Rates |
JBIPROT | Structure for Log Entries |
JBIREFEREN | Structure for transferring reference intest rates |
JBISAKNR | G/L Accounts from-to |
JBISELBEW | Structure for Selecting Position Flows |
JBIUB | Non-Interest-Bearing Positions + Additions for Costing |
JBIUBDL | Lock Structure for Positions (Listed Derivatives) |
JBIUBPO | Position Items, BUKRS |
JBIUBSE | Receiver Structure for Position Objects |
JBIUBSEL | Structure for JBDUBST (Instead of Category) |
JBIUBST | Transfer Structure for Position Objects (Internal) |
JBIUBWE | Receiver Structure for Position Values (External) |
JBIUCOMM | Transfer Structure for Commercial Paper |
JBIUDEL | Lock Structure for Forex |
JBIUDER | Batch Input Structure for Derivatives |
JBIUDEV | Batch Input Structure for Forex |
JBIUEBP | Include for EDT Bus. Partner, Sngl. Trans. Cost. Part, Short |
JBIUFEST | Transfer Structure for Fixed-Term Deposits |
JBIUFHA | Receiver Structure for Financial Transactions |
JBIUFOREX | Receiver Structure: Forex Transactions |
JBIUFRA | Receiver Structure: FRA |
JBIUGEL | Batch Input Structure for Money Market Trading |
JBIUKOB | Receiver Structure Objects CL-Relevant Data |
JBIUKUMS | Receiver Structure for Account Turnovers |
JBIULISTR | Receiver Structure for Stock Transactions |
JBIUMDATA | Receiver Struct: Class Data for Listed Derivatives |
JBIUNIT | Internal Structure for Check Modules |
JBIUPART | Receiver Structure for Transferring Business Partners |
JBIUPER | Receiver Structure for Transferring Period Values |
JBIUPFOREX | Extended Receiver Structure - Forex |
JBIUPFRA | Extended Receiver Structure - FRA |
JBIUPGEHA | Extended Transfer Struct. for Money Mkt. Transactions |
JBIUPKUMS | Extended Receiver Structure for Turnovers |
JBIUPLISTR | Extended Receiver Struct. for Stock Exch.Transactions |
JBIUPPART | Extended Transfer Structure for Business Partner |
JBIUPSECDA | Extended Receiver Structure for Security Class Data |
JBIUPSWAP | Extended Receiver Structure for Swaps |
JBIUPTSAL | Extended Receiver Structure for Daily Balances |
JBIUPZPA | Central business partners |
JBIUSECDA | Receiver Structure for Security Class Data |
JBIUSERV | Receiver Structure for Services - Internal |
JBIUSTAMM | Master Data Structure for Financial Transactions |
JBIUSWAP | Receiver Structure Swap |
JBIUTSAL | Receiver Structure for Daily Balances |
JBIUTSAL2 | New Receiver Structure for Daily Balances |
JBIUWPL | Lock Structure for Security Positions |
JBIUWPOL | Lock Structure for SAP Banking |
JBIUZBEW | EDT Include for Additional Flows |
JBIUZKON | Structure for Interest Terms |
JBIUZKOND | EDT Include for Interest Terms |
JBIUZPA | Central business partners |
JBIXPART | Processing Structure for Transferring Business Partners |
JBRPHDEPD | Path Description for Portfolio Hierarchy |
JBTCAUSVER | Disbursement Procedure for Loan Transactions |
JBTFGBEWEG | Financial Transaction (Flow Data) |
JBTFGKOND | Financial Transaction (Condition Items) |
JBTFGKOPF | Financial Transaction (Activity Data) |
JBTFGSTAMM | Financial Transaction (Master Data) |
JBTICOB | Financial Object Data for Costing |
JBTLOBEWEG | Loans (Flow Data) |
JBTLOKOND | Loans (Condition Items) |
JBTLOKOPF | Loans (Condition Header) |
JBTLOSTAMM | Loans (Master Data) |
JBTOSTRUCT | Table Structure for Storing DB Table |
JBTPRCTR | Range Structure for Profit Centers |
JBTRANGE | Range Structure for G/L Accounts |
JBTSAKNPRC | Results Structure for Value Field Reconciliation |
JBVTOBJE | Extended Object Structure for Costing |
LBTEST1 | test |
RJBTKF | Additional Fields for Maintaining Flex. Procedures |
SAP Package JBA contains 56 programs.
FDU_BUILT_TESTS | Test Data Generated for External Data Transfer |
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KCDSTRUCF | Sender Structures |
KCFEVGFD | EDT: Central Business Partner |
MJBEHTOP | Include MJBEHTOP |
RJB_REUSE_DISPLAY | Program ZJB_REUSE_DISPLAY |
RJB_REUSE_EX_KLMZ1 | Example: Average balances for reporting period |
RJB_REUSE_EX_ZINS1 | Example: Display Yield Curve |
RJB_REUSE_EX_ZINS10 | Example: Interpolation Using Different Cubic Splines |
RJB_REUSE_EX_ZINS2 | Example: Reading a Yield Curve Value from a Yield Curve |
RJB_REUSE_EX_ZINS3 | Example: NPV of a Cash Flow |
RJB_REUSE_EX_ZINS4 | Example: Calculation of Zero Bond Discounting Factors from Par Rates |
RJB_REUSE_EX_ZINS5 | Example: Calculation of Par Rates from Zero Bond Discounting Factors |
RJB_REUSE_EX_ZINS6 | Example:Calculation of Zero Bond Discounting Factors from Zero Coupons |
RJB_REUSE_EX_ZINS7 | Example: Calculation of Zero Coupons from Zero Bond Disc. Factors |
RJB_REUSE_EX_ZINS8 | Example: Calculation of Forward Yield Curve Value from Yield Curve |
RJB_REUSE_EX_ZINS9 | Example: Calculation of Forward Yield Curve from Base Yield Curve |
RJB_REUSE_MAINT | Program ZJB_REUSE_MAINT |
RJBACCMAIN | Account Conversion for New Indicator 'Type of Account Mngmt' |
RJBAUFBD | Generation Report for Positions (Listed Derivatives) |
RJBAUFDE | Position generation (Forex) |
RJBAUFWP | Generation Report for Positions (Securities) |
RJBDBTC1 | Batch Input for Forex Transactions |
RJBDBTC2 | Batch Input for Money Market |
RJBDBTC3 | Batch Input for Derivatives |
RJBDXP05 | XPRA Distribution of JBDZSTR Entries from JBDZSZT and JBDZSEK |
RJBDXP07 | XPRA 3.0D - New Number Range Object for Account Turnovers |
RJBDXP08 | XPRA 3.0E - Costing Rules for Derivatives |
RJBDXP09 | XPRA IS-B Setting of Indicators in JBDZSKO and JBDOBJZU |
RJBDXP10 | XPPRA 3.0F - Posit.Determination Ind.from Rule in Posit.Header |
RJBDXP11 | XPRA 3.0F - Convert Yield Curves/Reference Interest Rate Tables |
RJBDXP12 | XPRA 3.0F - Convert Account Condition Line |
RJBDXP14 | XPRA 3.0F/2 Regenerate Procedure List for Costing Rules |
RJBDXP15 | XPRA F3.04 Check Yield Category and Quotation Type |
RJBDXP17 | XPRA Additional Information for Flow Types (JBTBEWZUSA) |
RJBDXP20 | Initialize New Fields in Costing Rule |
RJBEURKK | EURO Conversion - Current Accounts |
RJBEURVT | EURO Conversion - Variable Transaction |
RJBEURWP | EURO Conversion Securities |
RJBEUVTS | EURO Conversion - Variable Transaction (Cancelation) |
RJBMCUST | Evaluation Report for Objects in Object Lists |
RJBRDVCCH | Program for reassigning generated objects |
RJBRECCH | Reconciliation: Overlap Check |
RJBRMSGS | Error Log |
RJBRSTDY | Saved Datasets for SAP Banking Risk Management |
RJBRVARS | Display Shifts for VaR Evaluations |
RJBTANRE | Retrospective derivation for financial objects, STC parts |
RJBTANREX | Retrospective derivation for financial objects, STC parts |
RJBTCOMP | Program for Mass Comparison of Customizing Tables |
RJBTPZUP | Check Report for Product Allocation |
RKCFILEF | External Data Transfer: Start transfer |
SAPFKCDF | IS-B: Data transfer, exceptions |
SAPMJBD1 | Account: Maintain master data and turnovers |
SAPMJBDM | Dummy Program for Inserting Modified Includes |
SAPMJBEU | Report for EURO Changeover (ONLY PURELY IS-B Transactions) |
SAPMJBWPORD | Program SAPMJBWPORD |
TEST_OO | Test 00 |
SAP Package JBA contains 14 search helps.
H_NORDER | Search Help for Internal Order Number |
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H_NORDEX | Search Help for External Order Number |
H_RKONTRA | Search Help for Counter Party Number |
H_RLDEPO | Search Help for Securities Account (RLDEPO) |
MJB2 | Account |
MJB2A | Account |
MJB3 | Position Criteria |
MJB3A | All Position Criteria |
MJB4 | Service |
MJB5 | Non-Interest-Bearing Position |
MJB5B | Non-Interest-Bearing Position |
MJBU | SAP Banking: Search Using Securities Account ID |
MJBUA | SAP Banking: Search Using Securities Account ID |
RSERVI | Service Number |
SAP Package JBA contains 2 message classes.
JBACND | Fehlermeldungen Konditionenpflege |
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JSEL | Fehlermeldungen Selektion |
SAP Package JBA contains 7 authorization objects.
J_B_BUKRS | Check Company Code Authorization |
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J_B_CLTCOP | Copy STC Authorization Object for Company Code |
J_B_PO_CHG | Authorization Object for Position Changes |
J_B_RMCUS2 | RM Authorization 1 |
J_B_TRANSB | CFM/Banking Analysis: Transactions |
J_B_VARTRA | STC Authorization Object for Variable Transaction |
J_B_WPORD | SAP Banking: Authorization Object for Security Orders |