MANDT |
✔ |
Client |
MANDT |
CLNT |
3 |
T000 |
TCTYP |
✔ |
Trading Contract: Trading Contract Type |
TCTYP |
CHAR |
4 |
|
TDTPV |
|
Trading Contract: Purchasing Group |
TDTPV |
CHAR |
4 |
TB2BC |
TDTPC |
|
Trading Contract: Sales Group |
TDTPC |
CHAR |
4 |
TB2BD |
STATGR |
|
Trading Contract: Status Group |
STATGR |
CHAR |
1 |
TB2BB |
TXTGR |
|
Text determination procedure |
TXTGR |
CHAR |
2 |
TTXG |
INCPO |
|
Increment of item number in the SD document |
INCPO |
NUMC |
6 |
|
DEFWAERS |
|
Trading Contract: Default Currency |
DEFWAERS |
CUKY |
5 |
TCURC |
DEFKURST |
|
Trading Contract: Default Exchange Rate Type |
DEFKURST |
CHAR |
4 |
TCURV |
NUMKI |
|
Number range in the case of internal number assignment |
NUMKI |
CHAR |
2 |
|
TCUNCGR |
|
Trading Contract: Incompleteness Group |
TCUNCGR |
CHAR |
2 |
TB2BG |
TCSACHV |
|
Trading Contract: Suggest Person Responsible |
TCSACHV |
CHAR |
1 |
|
GBATCH |
|
Trading Contract: Automatic Generation of Batches |
GBATCH |
CHAR |
1 |
|
TCTDID |
|
Trading Contract: Default Text Type for Main Screen |
TCTDID |
CHAR |
4 |
TTXID |
WCHUN |
|
Trad. Contr.: Check Completeness Bef. Setting to Active |
WCHUN |
CHAR |
1 |
|
WCHQU |
|
Trad. Contr.: Check Quantities Before Setting to Active |
WCHQU |
CHAR |
1 |
|
LIVAR |
|
List variant for sales price calculation |
LIVAR |
CHAR |
2 |
TWST |
KAPPL_NA |
|
Application for output conditions |
NA_KAPPL |
CHAR |
2 |
T681A |
KALSMK_MGT |
|
Trading Contract: Message Schema for Messages for Employee |
KALSMB_MGT |
CHAR |
6 |
T683 |
KALSMP_MGT |
|
Trad.Contr: Message Schema f. Empl., Messages at Item Level |
KALSMBP_MGT |
CHAR |
6 |
T683 |
TC_URL |
|
Trading Contract URL |
TC_URL |
CHAR |
132 |
|
USE_CASE |
|
Use Case Type |
WB2_USE_CASE_TYPE |
CHAR |
2 |
|
TCCAT |
|
Trading Contract: Contract Category |
TCCAT |
CHAR |
1 |
|
TKONN_EX_ACT |
|
Trading Contract: External Number Active |
TKONN_EX_ACT |
CHAR |
1 |
|
TKONN_EX_CHECK |
|
Trading Contract: Check External Number |
TKONN_EX_CHECK |
CHAR |
1 |
|
TC_CHANGE_CHECK |
|
Trading Contract: Schema for Fields to be Checked |
TC_CHANGE_CHECK |
CHAR |
10 |
TB2BV |
POFOST |
|
Portfolio: Control Type for Portfolio Determination |
WB2_CONTR_GROUP |
CHAR |
4 |
TPOST |
BTBSTA_DEF_INCO |
|
Trading Contract: Default Application Status Incomplete |
BTBSTA_DEF_INCO |
CHAR |
1 |
TB2BF |
BTBSTA_DEF |
|
Trading Contract: Default Application status |
BTBSTA_DEF |
CHAR |
1 |
TB2BF |
FOL_DOC_DIR |
|
Trading Contract: Create Follow-On Document When TC Posted |
WB2_FOLLOW_DOC_DIRECT |
CHAR |
1 |
|
TC_TYPE_BLOCK |
|
Trading Contract: Contract Type Block |
WB2_TC_TYPE_BLOCK |
CHAR |
1 |
|
PZUGR |
|
Responsibility Group |
PZUGR |
CHAR |
4 |
TPOFOB |
TCGROUP |
|
Trading Contract Group |
WB2_TCGROUP |
CHAR |
4 |
TEWTCGROUP |
DELIVDEF |
|
Trading Contract: Default Delivery Date |
WB2_DELIVDATE_DEFAULT |
CHAR |
1 |
|
PRICE_DEFAULT |
|
Trading Contract: Price Proposal |
WB2_PRICE_DEFAULT |
CHAR |
1 |
|
PARGR |
|
Partner Determination Procedure |
PARGR |
CHAR |
4 |
TVPG |
CLOSING_RULE |
|
Trading Contract: Completion Rule |
WB2_CLOSING_RULE |
CHAR |
1 |
|
WB2_BEZOB |
|
Reference Required |
WB2_BEZOB |
CHAR |
1 |
|
ASSO_OFF |
|
Deactivate Association for One Side in Trading Contract |
WB2_ASSO_OFF |
CHAR |
1 |
|
PRCHGRP |
|
Price Change Group |
WB2_PRCHGRP |
CHAR |
2 |
TB2BP4 |
BWREL |
|
Trading Contract Type: BW Relevance |
BWREL |
CHAR |
1 |
|
PRICING_TYPE |
|
Definition of Pricing Procedure in Trading Contract |
WB2_PRICING_TYPE |
CHAR |
1 |
|
TCVARIANT |
|
Transaction variant |
TCVARIANT |
CHAR |
30 |
SHDTVCIU |
GTS_RELEVANT |
|
Trading Contract Type Is Relevant for GTS Check |
WB2_GTS_RELEVANT |
CHAR |
1 |
|
EVENT_RELEVANT |
|
Trading Contract: Control of Event Call-Up |
WB2_EVENT_RELEVANT |
CHAR |
1 |
|
LIGRU |
|
List group |
LIGRU |
CHAR |
1 |
|
PLANT_CONTROL |
|
Control of Plant Entry in the Trading Contract |
WB2_PLANT_CONTROL |
CHAR |
1 |
|
PURCHASE_PLANT |
|
Control of Differing Ordering Plant in Trading Contract |
WB2_PURCHASE_PLANT |
CHAR |
1 |
|
CONTEXT |
|
Context |
WUF_CONTEXT |
CHAR |
10 |
TWUF_CONTEXT |
TYPE_USAGE |
|
GTM: Usage of Trading Contract Type |
WB2_TYPE_USAGE |
CHAR |
1 |
|
REP_GROUP |
|
GTM: Replication Group |
WB2_REPLICATION_GROUP |
CHAR |
4 |
TB2BS2 |
AR_OBJECT |
|
Document type |
SAEOBJART |
CHAR |
10 |
TOADV |
ITEM_HANDLING |
|
Control of Item Number Allocation for Enterprise SOA Call-Up |
WB2_ITEM_HANDLING |
CHAR |
1 |
|
CHANGE_DOC |
|
GT: Scope of Change Document |
WB2_CHANGE_DOC |
CHAR |
1 |
|
DOCUMENT_INDEX |
|
GT: Document Index Active |
WB2_DOCUMENT_INDEX_ACTIVE |
CHAR |
1 |
|
DOC_INDEX_DELETE |
|
GT: Delete Document Index When Document Is Closed |
WB2_DOC_INDEX_DEL_AFTER_CLOSE |
CHAR |
1 |
|
PARTNER_HI |
|
GT: Partner Hierarchy active |
WB2_PARTNER_HIERARCHY |
CHAR |
1 |
|
BATCH_DET_ACT |
|
Batch Determination |
WB2B_BATCH_DETERMINATION |
CHAR |
1 |
|
TXZUF |
|
Text Group |
WB2_TXZUF |
NUMC |
4 |
TXZUF_WB2 |
SINGLE_ORG_DATA |
|
Control of Organizational Data |
WB2_SINGLE_ORG_DATA |
CHAR |
1 |
|
CONSOL_CONTEXT |
|
Context for Trading Contract consolidation |
WB2_CONSOLIDATION_CONTEXT |
CHAR |
10 |
TSMT_CONTEXT |
FREEZE_GROUP |
|
Group of Frozen Fields |
WB2_FREEZE_GROUP |
NUMC |
4 |
WB2_C_FREEZE_H |
CALL_OFF_PARTY |
|
GT: Check Partner Authorizations for Contract Call Off |
WB2_CALL_OFF_PARTY |
CHAR |
1 |
|
WRART |
|
Agency business: Payment type |
WRART |
CHAR |
4 |
TMZR |
LFART_C |
|
Different Billing Type for Customer-Related Settlement |
WB2_LFART_CUSTOMER |
CHAR |
4 |
TMFK |
LFART_V |
|
Different Billing Type for Vendor-Related Settlement |
WB2_LFART_VENDOR |
CHAR |
4 |
TMFK |
LFART |
|
Different Billing Type at Contract Settlement |
WB2_LFART |
CHAR |
4 |
TMFK |
SET_VARIANT |
|
Business Process Variant for Contract Settlement |
WB2_WASHOUT_SET_VARIANT |
CHAR |
1 |
|
GTS_CHECK |
|
Legal Control Check |
WB2_GTS_CHECK_AT_UPDATE |
CHAR |
1 |
|
FLOW_DISPLAY |
|
Document Flow Control Indicator |
WB2_FLOW_DISPLAY |
CHAR |
1 |
|
FLOW_SIZE |
|
Max Number of Flow Entries to Show in the Document Flow Tree |
WB2_FLOW_SIZE |
INT4 |
10 |
|
RELEASE_LOG |
|
Handling of Release Messages |
WB2_RELEASE_LOG |
CHAR |
1 |
|
PURPOSE |
|
Purpose of Trading Contract |
WB2_TC_PURPOSE |
CHAR |
2 |
|
ITEM_REL_TYPE |
|
Item Rel. Determination Type Based on Portfolio Management |
CIWB_DE_PM_TYPE |
CHAR |
4 |
IFW_C_RELEVANCY |
LOCK_FOL_DOCS |
|
GT: Lock for Follow-on Documents of a Trading Contract |
WB2_LOCK_FOLLOW_ON_DOCS |
CHAR |
1 |
|
SETTL_PURPOSE |
|
GT: Settlement Purpose of a Trading Contract |
WB2_SETTLEMENT_PURPOSE |
CHAR |
1 |
|
BATCH_CLASS |
|
Batch Classification is enabled |
WB2_BATCH_CLASS_ENABLED |
CHAR |
1 |
|
PPE_GROUP_CODE |
|
Group |
PPE_GROUP |
CHAR |
4 |
PPE_C_GROUP |
DELIVDEF_TYPE |
|
Trading Contract: Default Delivery Date Type |
WB2_DELIVDATE_TYPE_DEFAULT |
CHAR |
1 |
|
TRMRISK_CTRL |
|
TRM Raw Exposure Update Control |
WB2_TRM_RISK_UPD_CONTROL |
CHAR |
1 |
|
TIME_CONTROL |
|
GT: Setting of date and time |
WB2_TIME_CONTROL |
CHAR |
1 |
|