SAP table REIS_CASHFLOW_PAY_L (ALV Reporting: Cash Flow)

SAP table REIS_CASHFLOW_PAY_L has 1 primary key field being CFPAYGUID.

Field Description Data Type Length Decimals Checktable Data Element
MANDT Client CLNT 3 0 * MANDT
INTRENO Internal Key of Real Estate Object CHAR 13 0 RECAINTRENO
BUKRS Company Code CHAR 4 0 T001 BUKRS
RECNNR Contract Number CHAR 13 0 RECNNUMBER
OBJNR Object Number CHAR 22 0 * RECAOBJNR
IMKEY Internal Key of Real Estate Object (FI) CHAR 8 0 RECAIMKEY
CREATIONTYPE How the Object Was Created CHAR 1 0 RECACREATIONTYPE
Object created in Classic RE
1 Object created in Classic RE or migrated from other system
2 Object created in Flexible Real Estate Management
RERF Entered By CHAR 12 0 RERF
DERF First Entered On DATS 8 0 DERF
TERF Time of Creation TIMS 6 0 TERF
REHER Source of Initial Entry CHAR 10 0 REHER
RBEAR Employee ID CHAR 12 0 RBEAR
DBEAR Last Edited On DATS 8 0 DBEAR
TBEAR Last Edited At TIMS 6 0 TBEAR
RBHER Editing Source CHAR 10 0 RBHER
RESPONSIBLE Person Responsible CHAR 12 0 USR02 RECARESPONSIBLE
USEREXCLUSIVE User with Exclusive Change Authorization CHAR 12 0 USR02 RECAUSEREXCLUSIVE
AUTHGRP Authorization Group CHAR 40 0 RECAAUTHGRP
RECNTYPE Contract Type CHAR 4 0 TIV26 RECNCONTRACTTYPE
RECNBEG Date of contract start DATS 8 0 RECNCNBEG
RECNENDABS Term End Date DATS 8 0 RECNCNENDABS
RECNTXT Contract Name CHAR 80 0 RECNTXT
RECNDACTIV Contract activation DATS 8 0 DAKTV
RECNTLAW Tenancy law CHAR 5 0 TIV03 SMIETR
RECNTXTOLD Number of old contract CHAR 20 0 VVOSMIVE
RECNBUKRSCOLLECT Company Code of Main Contract CHAR 4 0 T001 RECNBUKRSCOLLECT
RECNNRCOLLECT Number of Real Estate Main Contract CHAR 13 0 RECNNUMBERCOLLECT
RECNCNCURR Currency for Contract CUKY 5 0 * RECNWAERS_CN
INDUSTRY Industry CHAR 10 0 * BU_IND_SECTOR
SRRELEVANT Indicator: Relevant to Sales CHAR 1 0 RECNSALESRENTRELEVANT
DPTARGETTYPE Security Deposit Type CHAR 4 0 TIVCNDPTYPE RECNDPTYPE
RECNDAT Date of Contract Conclusion DATS 8 0 RECNDAT
RECN2DAT Date of Second Signature DATS 8 0 RECN2DAT
RECNDPO Cash Flow Generated Starting On DATS 8 0 RECDCFSTARTFROM
RECNEND1ST Date of First Contract End DATS 8 0 RECNCNEND1ST
RECNNOTPER Contract Notice Per DATS 8 0 RECNNTPER
RECNNOTRECEIPT Date of receipt of notice DATS 8 0 RECNNTRECEIPT
RECNNOTREASON Reason for Notice NUMC 2 0 TIVCNNTRE RECNNTREASON
RECNDAKTKU Notice: Date of Activation DATS 8 0 RECNNTACTIVATEDON
CFARCHIVEDTO Date Up to Which the Cash Flow Is Archived DATS 8 0 RECDCFARCHIVEDTO
CFLOCKEDTO Date Until Which the Cash Flow Is Locked DATS 8 0 RECDCFLOCKEDTO
CFPOSTINGFROM First Posting From DATS 8 0 RECDCFPOSTINGFROM
BENOCN Business Entity That Belongs to Contract CHAR 8 0 * RECNBENOCN
TRANSPOSSFROM Transfer of Possession: Start Date DATS 8 0 RECNTRANSPOSSFROM
TRANSPOSSTO Transfer of Possession: End Date DATS 8 0 RECNTRANSPOSSTO
HASMULTIASSIGN Multiple Assignment of Object to Group Allowed CHAR 1 0 REBDHASMULTIASSIGN
POSSDATEFROM Date From Which the Object Is Made Available for Use DATS 8 0 REBDPOSSDATEFROM
POSSDATETO Date Up to Which the Object Is Used DATS 8 0 REBDPOSSDATETO
RELEVANTEVAL Valuation Relevance CHAR 10 0 RECNRELEVANTEVAL
DUMMY_REC_PS Custom Fields: Dummy for Use in Extension Includes CHAR 1 0 CFD_DUMMY
SECDEPRELEVANT Relevant to Security Deposit CHAR 1 0 REXCESCDREL
NOTADJSDCN No Data Update in Security Deposit Contract CHAR 1 0 REXCESCDNOTADJ
XRECNNRCOL Contract Name CHAR 80 0 RECNTXT
XBUKRS Name of Company Code or Company CHAR 25 0 BUTXT
XRECNTYPE Description of type of RE contract type CHAR 30 0 XMVARTM
GSBER Business Area CHAR 4 0 * GSBER
PRCTR Profit Center CHAR 10 0 PRCTR
KOSTL Cost Center CHAR 10 0 * KOSTL
AUFNR Order Number CHAR 12 0 * AUFNR
XTENANCYLAW Tenancy law long text CHAR 50 0 XMIETR
XCOLLECT Contract Name CHAR 80 0 RECNTXT
XAUTHGRP Description of Authorization Group CHAR 60 0 RECAXAUTHGRP
XINDUSTRY Industry Name CHAR 20 0 RECNINDUSTRY
XTRANSPOSSPERIOD Productive Holdings: Time Period CHAR 30 0 RECNXTRANSPOSSPERIOD
PSPNR WBS Element NUMC 8 0 * PS_POSNR
XRELEVANTEVAL Description for Valuation Relevance CHAR 60 0 RECNXRELEVANTEVAL
KOSTLX Name of Cost Center CHAR 40 0 KOSTLX
AUFNRX Name of Order CHAR 40 0 AUFNRX
PSPNRX Name of Order CHAR 40 0 PSPNRX
CFPAYGUID GUID (RAW16) for Payment-Related Cash Flow RAW 16 0 RECDCFPAYGUID
CONDGUID GUID (RAW16) for Conditions RAW 16 0 RECDCONDGUID
CONDVALIDFROM Date from when condition is valid DATS 8 0 RECDVALIDFROM
REFGUID GUID (RAW16) for Document References in Cash Flow RAW 16 0 RECDREFGUID
BBWHR Amount which changes position CURR 23 2 TFM_BBWHR
BNWHR Nominal amount CURR 23 2 TFM_BNWHR
DBERVON Start of Calculation Period DATS 8 0 DBERVON
SEXCLVON Exclusive Indicator for the Start of a Calculation Period NUMC 1 0 VVSEXCLVON
0 Inclusive
1 Exclusive
SULTVON Month-End Indicator for Start of a Calculation Period CHAR 1 0 VVSULTVON
DBERBIS End of Calculation Period DATS 8 0 DBERBIS
SINCLBIS Inclusive Indicator for the End of a Calculation Period NUMC 1 0 VVSINCLBIS
0 Exclusive
1 Inclusive
SULTBIS Month-End Indicator for the End of a Calculation Period CHAR 1 0 VVSULTBIS
DVALUT Calculation Date DATS 8 0 DVALUT
SINCL Inclusive indicator for beginning and end of a period NUMC 1 0 VVSINCL
0 Start date inclusive/end date exclusive
1 Start date exclusive/end date inclusive
SVINCL Inclusive indicator for value date NUMC 1 0 VVSVINCL
SVULT Month-End Indicator for Value Date CHAR 1 0 VVSVULT
DFAELL Due date DATS 8 0 DFAELL
SFINCL Inclusive Indicator for Due Date NUMC 1 0 VVSFINCL
SFULT Month-End Indicator for Due Date CHAR 1 0 SFULT
DDISPO Payment Date DATS 8 0 DDISPO
SINCLVERR Inclusive Indicator for Clearing Date NUMC 1 0 VVSINCLVER
0 Exclusive
1 Inclusive
SULTVERR Month-End Indicator for Clearing Date CHAR 1 0 VVSULTVERR
ATAGE Number of Days INT4 10 0 TFMATAGE
ABASTAGE Amount in floating point format for recursive determination FLTP 16 16 BITER
APERTAGE No. of Days of a (Calculation) Period in Cash Flow NUMC 6 0 VVAPERTAGE
STGMETH Daily Method NUMC 1 0 VVSTGMETH
1 360E
2 Act
3 365
4 360
5 ActW
6 360 ISDA
7 m+act
8 m+30
9 360 German
STGBASIS Base Days Method CHAR 1 0 VVSTGBASIS
1 0
2 360
3 365
4 366
5 actP
6 actY
7 252
8 364
9 actE
A 365P
B 365L
C actEP
D 1
E 365.25
F 365Y
G act[M]
H actW[M]
SZBMETH Interest Calculation Method CHAR 1 0 SZBMETH
0 Not Specified
1 360E/360
2 act/360
3 act/365
4 act/366
5 act/actP (ICMA)
6 act/actY (ISDA)
7 360/360
8 30.42E/360
9 *365.25/360
A actW/252
B 360E/365
C 365/365
D 365/360
E act/364
F 360/360 (ISDA)
G act/actE (AFB)
H 360/365 (ISDA)
I 360E/actY
J m+act/360
K m+30/360
L 360/360 (German)
M act/365P
N act/365L
P 1/1
Q act/actEP (AFB)
R act/365.25
S act/365Y
T act/act[M]
U actW/actW[M]
DBPERIOD Period start DATS 8 0 VVDBPERIOD
SPAEXCL Exclusive Indicator for Start Date of a Period NUMC 1 0 TFMSPAEXCL
0 inclusive
1 exclusive
SPAULT Month-End Indicator for Start Date of a Period CHAR 1 0 TFMSPAULT
DEPERIOD Period End DATS 8 0 VVDEPERIOD
SPEINCL Inclusive Indicator for End Date of a Period NUMC 1 0 TFMSPEINCL
0 exclusive
1 inclusive
SPEULT Month-End Indicator for End of a Period CHAR 1 0 TFMSPEULT
SWHRKOND Currency of Condition Item CUKY 5 0 * TFMWHRKOND
BKOND Condition item currency amount CURR 17 2 TFM_BKOND
SSTAFF Type of Scaled Calculation NUMC 1 0 TFMSSTAFF
0 No incremental/interval calculation
1 Incremental calculation
2 Interval calculation
SBASIS Calculation Base Reference CHAR 4 0 TFM_SBASIS
JSOFVERR Indicator for Immediate Settlement (Financial Mathematics) CHAR 1 0 TFMSOFVERR
Settlement According to Condition
E Clearing on Calculation Date (Interest Calc. Capital Only)
P Settlement at End of Period
Q Settlement at Start of Period
R Settlement on Due Date (Calendar Day)
S Settlement on Payment Day (Calendar Day)
X Immediate Settlement
Y Settlement on Due Date
Z Settlement on Calculation Date
AMMRHY Frequency in months NUMC 3 0 AMMRHY
ATTRHY Frequency in Days NUMC 3 0 ATTRHY
SSORTZIT Sort Flag for Financial Mathematical Calculations NUMC 2 0 TFM_SORT
SZEITANT Indicator for Pro Rata Temporis Calculations NUMC 1 0 VVSZEITANT
0 Pro rate calculation in shortened/extended periods
1 Ignored in shortened/extended periods
2 Respected in full in shortened/extended periods
3 Start period: pro rate; End period: Ignored
4 Start period: pro rate; End period: Respected in full
5 Start period: Ignored; End period: Pro rata
6 Start period: Respected in full; End period: Pro rata
7 Start period: Ignored; End period: Respected in full
8 Start period: Respected in full; End period: Ignored
SSALBAS Indicator for debit position/incoming pmnt (internal FiMa) CHAR 1 0 TFMSSALBAS
Planned flow
1 (Posted) debit position
2 (Posted) incoming payment
SKONDGRP Condition group in cash flow calculator NUMC 4 0 SKONDGRP
LCNETAMOUNT Net Amount of Cash Flow Item in Local Currency CURR 15 2 RECDCFLCVALUENET
LCGROSSAMOUNT Gross Amount of Cash Flow Item in Local Currency CURR 15 2 RECDCFLCVALUEGROSS
LCTAXAMOUNT Sales/Purch. Tax Amount of Cash Flow Item in Local Currency CURR 15 2 RECDCFLCTAXVALUE
LOCALCURR Local Currency of Cash Flow Item CUKY 5 0 * RECDCFLCCURR
CCNETAMOUNT Net Amount of Cash Flow Item in Condition Currency CURR 15 2 RECDCFVALUENET
CCGROSSAMOUNT Gross Amount of Cash Flow Item in Condition Currency CURR 15 2 RECDCFVALUEGROSS
CCTAXAMOUNT Tax on Sales/Purch. of Cash Flow Item in Condition Currency CURR 15 2 RECDCFTAXVALUE
CONDCURR Condition Currency of Cash Flow Item CUKY 5 0 * RECDCFCURR
TAXTYPE Tax Type CHAR 4 0 TIVRATAXTYPE RERATAXTYPE
TAXGROUP Tax Group CHAR 20 0 TIVRATAXGROUP RERATAXGROUP
TXJCD Tax Jurisdiction CHAR 15 0 * TXJCD
ISGROSS Condition Amount Is Gross Amount CHAR 1 0 RECDISGROSS
TAXCOUNTRY Alternative Tax Reporting Country/Region CHAR 3 0 * RERATAXCOUNTRY
WHEREFROM Flow Origin CHAR 1 0 RECDWHEREFROM
A Entered by Process - Accruals/Deferrals
E Entered by Process - Reservation/Continuous Occupancy
F Entered by RE - Generating Program (Follow-Up Postings)
G Entered by TR - Generating Program (Financial Mathematics)
O Entered by TR - Generating Program (One-Time Conditions)
P Entered by Process - One-Time Postings
R Entered by RE - Generator (Differences)
S Entered by RE - Generator (Split)
U Entered by Process - Sales-Based Settlement
FLOWTYPE Flow Type CHAR 4 0 TIVCDFLOWTYPE RECDFLOWTYPE
ORIGFLOWTYPE Original Flow Type CHAR 4 0 TIVCDFLOWTYPE RECDORIGFLOWTYPE
REFFLOWREL Type of Relationship Between Flow Type and Refer.Flow Type CHAR 3 0 TIVCDREFFLOWREL RECDREFFLOWREL
CFSTATUS Indicates Status of Flow CHAR 1 0 RECDCFSTATUS
I Actual Record
P Planned Record
V Partially Canceled
FDLEV Planning Level CHAR 2 0 FDLEV
FDUPD Flag as to whether record enters cash management + forecast CHAR 1 0 FDUPD
FDELETE Deletion Indicator for Archiving CHAR 1 0 RECAARDELETEIND
ORIGDUEDATE Original Due Date DATS 8 0 RECDORIGDUEDATE
PARTNER Business Partner of Cash Flow CHAR 10 0 REISCFPARTNER
PARTNEROBJNR Object Number CHAR 22 0 RECAOBJNR
CONDTYPE Condition Type CHAR 4 0 TIVCDCONDTYPE RECDCONDTYPE
TERMNOPY Number of Posting Term CHAR 4 0 RECDTERMNOPY
TERMNORH Number of Frequency Term CHAR 4 0 RECDTERMNORH
TERMNOAJ Number of Adjustment Term CHAR 4 0 RECDTERMNOAJ
TERMNOOA Number of Organizational Assignment Term CHAR 4 0 RECDTERMNOOA
TERMNOSR Number of Sales Term CHAR 4 0 RECDTERMNOSR
TERMNOMR Number of Peak Sales Term CHAR 4 0 RECDTERMNOMR
TERMNOWT Number of Withholding Tax Term CHAR 4 0 RECDTERMNOWT
ORIGEXDUEDATE Original Due Date DATS 8 0 RECDORIGDUEDATE
SEAPSTATUS Status of Advance Payment Relevant to SCS CHAR 1 0 RERASEAPSTATUS
Not Yet Considered
+ Simulation Mode
X Was Updated
POSTINGDATE Posting Date DATS 8 0 RECDPOSTINGDATE
DOCUMENTDATE Document Date DATS 8 0 RECDDOCUMENTDATE
VALUATIONDATE Date for Translation of Contract Currency to Local Currency DATS 8 0 RECDVALUATIONDATE
REVERSAL_FOR GUID (RAW16) for 'Reversal for' References RAW 16 0 RECDREVERSALFORGUID
REVERSAL_BY GUID (RAW16) for 'Reversed by' References RAW 16 0 RECDREVERSALBYGUID
FOLLOWUP_FOR GUID (RAW16) for 'Follow-Up Posting for' References RAW 16 0 RECDFOLLOWUPFORGUID
BOOK_FLOWTYPE Flow Type CHAR 4 0 TIVCDFLOWTYPE RECDFLOWTYPE
BOOK_REFFLOWREL Type of Relationship Between Flow Type and Refer.Flow Type CHAR 3 0 TIVCDREFFLOWREL RECDREFFLOWREL
TAXDATE Date of Calculation of Sales/Purchase Tax DATS 8 0 RECDTAXDATE
MODDUEDATE Modified Due Date DATS 8 0 RECDMODDUEDATE
CALCDUEDATE Calculated Due Date DATS 8 0 RECDCALCDUEDATE
CTRULE Currency Translation Rule CHAR 20 0 RECACTRULE
CTLCNETAMOUNT Net Amount in Local Currency CURR 15 2 RECACTLCNETAMOUNT
CTLCGROSSAMOUNT Gross Amount in Local Currency CURR 15 2 RECACTLCGROSSAMOUNT
CTLCTAXAMOUNT Tax Amount in Local Currency CURR 15 2 RECACTLCTAXAMOUNT
CTRATE Exchange Rate DEC 9 5 RECACTRATE
CTRATEORIG Exchange Rate DEC 9 5 RECACTRATE
CTPOSTCDCURR Post in Condition Currency CHAR 1 0 RECACTPOSTCDCURR
CTDATEREQ Planned Translation Date DATS 8 0 RECACTDATEREQ
CTDATEACT Actual Translation Date DATS 8 0 RECACTDATEACT
CTDATEACTORIG Actual Translation Date DATS 8 0 RECACTDATEACT
REFDOCID Reference Key of Document CHAR 20 0 RERAREFDOCID
DOCIDENT ID of Accounting Document CHAR 50 0 RERADOCIDENT
SPLANIST Plan/actual record/record to be released indicator CHAR 1 0 SPLANIST
F Record to be Released
I Actual Record
P Planned Record
S Simulated Record
SWOHER Source of flow record CHAR 1 0 TFM_SWOHER
Non-condition FiMa flow record
C Imputed FiMa flow record
K FiMa condition flow record
SBEWEGRP Flow record group in cash flow calculator NUMC 4 0 SBEWEGRP
SBERFIMA Calculation category for cash flow calculator CHAR 4 0 * SBEWFIMA
SAEND Change Indicator for FiMa Flow Records NUMC 1 0 TFM_SAEND
0 Can be Changed
1 Cannot be Changed
2 Due Date and Payment Date Cannot be Changed
3 Application Part of Flow Record Cannot be Changed
9 To Be Deleted
BBWHR2 Amount DEC 26 5 TFMBBWHR2
BBASISUR Original calculation basis (e.g. for interval calculation) CURR 23 2 TFMBBASISU
BBASIS Calculation Base Amount CURR 23 2 TFM_BBASIS
TBERVON Time of Start of Calculation Period TIMS 6 0 TFM_TBERVON
TBERBIS Time of End of Calculation Period TIMS 6 0 TFM_TBERBIS
TVALUT Time of Calculation Date TIMS 6 0 TFM_TVALUT
SRUNDVORF Rounding of interim results for prepayments NUMC 1 0 VVSRUNDVF
DVERRECH Settlement date DATS 8 0 VVDVERRECH
ASEKUNDEN Number of Seconds DEC 5 0 TFMASEKUNDEN
JEXPOZINS Exponential Interest Calculation CHAR 1 0 TB_JZINSRE
PKOND Percentage rate for condition items DEC 10 7 PKOND
DPKOND Fixing Date of Percentage Rate from Condition DATS 8 0 VVDPKOND
DZFEST Interest rate fixing date DATS 8 0 TB_DZFEST
KBKOND Currency-independent FiMa condition amount DEC 15 6 TFM_KBKOND
BUGRENZ Lower Limit for Amount CURR 23 2 TFMBUGRENZ
BOGRENZ Upper Limit for Amt CURR 23 2 TFMBOGRENZ
BTIKALK Imputed annuity repayment amount (internal FiMa) CURR 23 2 TFM_TIKALK
BKARZINS Interest amount on diff. betw. clearing/pmnt date (int.FIMA) CURR 23 2 TFMKARZINS
ASTUECK No. of units for unit-quoted securities (fin. mathematics) DEC 15 5 TFMASTUECK
SSTCKKZ Accrued interest method CHAR 1 0 SSTCKKZ
Accrued int. determined automat. acc. to coupon cutting day
0 No coupon delivery
F Traded flat, accrued interest included in price
M Minus accrued interest
O No accrued interest, next coupon only partial right
P Plus accrued interest
SSTCKTG Accrued interest: Daily method CHAR 1 0 SSTCKTG
SSTCKNOT Internal FiMa indicator for unit-quoted securities NUMC 1 0 TFMSTCKNOT
0 Not unit-quoted
1 Unit-quoted
SFLAT Indicator 'Traded flat',i.e.no accrued interest calculation CHAR 1 0 VVSFLAT
JGESUCHT Int. indicator for alternative calculations CHAR 1 0 VVJGESUCHT
SBERECH Grace Period Interest Method CHAR 1 0 SBERECH
SBASFIX Indicator for fixing calculation base NUMC 1 0 TFMSBASFIX
0 For each entry
1 At start of period
2 At end of period
3 At start of calculation
4 At end of calculation
SFANT Indicator for due date-related FiMa calculations NUMC 1 0 VVSFANT
0 Do not use due date in calculation
1 Calculate using due date
RURKONDIND Reference index for an investment mathematical item INT4 10 0 VVRKONDIND
RURBEWEIND Reference index for a FiMa flow record INT4 10 0 VVRBEWEIND
SKALIDWT Interest Calendar CHAR 2 0 TFMSKALIDWT
SROUND Rounding Category CHAR 1 0 TFM_SROUND
Round to the Nearest
+ Round Up
- Round Down
H Round Down If 5
BROUNDUNIT Rounding Unit DEC 13 7 TFMPRUNIT
BBASISUNIT Base Unit for Rounding CURR 17 2 TFM_BBASISUNIT
PPAYMENT Payment Rate DEC 11 7 TFM_PPAYMENT
SDISCOUNT Discounting Category NUMC 1 0 TFM_SDISCOUNT
0 No Discounting
1 Discounting with Compounding Factor
2 Discounting with Discounting Factor
PDISCOUNT Percentage Discount Rate DEC 10 7 TFM_PDISCOUNT
AMMRHYZV Interest Settlement Frequency for Exponential Interest Calc. NUMC 2 0 TFM_AMMRHYZV
00 Annual Interest Settlement
01 Monthly Interest Settlement
03 Quarterly Interest Settlement
06 Interest Settlement Every Six Months
52 Weekly Interest Settlement
96 Daily Interest Settlement (252)
97 Daily Interest Settlement (360)
98 Daily Interest Settlement (365)
99 Continuous Interest Settlement
ARHYREL Relative Frequency NUMC 3 0 TFM_ARHYREL
JRATENFIX Keep Installment CHAR 1 0 TFM_JRATENFIX
JANNVERR Settle Annuity Installment CHAR 1 0 TFM_JANNVERR
Settle Repayment Share
X Settle Annuity Installment
JSOFTILG Begin with Repayment Immediately CHAR 1 0 TFM_JSOFTILG
Begin With Repayment When Balance > Zero
X Begin with Repayment Immediately
SVKEYDAY Key Date for Update of Calculation Date NUMC 2 0 TFM_SVKEYDAY
SFKEYDAY Key Date for Update of Due Date NUMC 2 0 TFM_SFKEYDAY
JINTRADAY Intraday Interest Calculation CHAR 1 0 TFM_JINTRADAY
JEFFZREL Relevant for Effective Interest Rate CHAR 1 0 TFM_JEFFZREL
XCONDITION Condition Type Name CHAR 30 0 RECDXCONDITION
XCONDCURR Condition Currency Name CHAR 40 0 RECDXCONDCURR
XTAXTYPE Name of Tax Type CHAR 30 0 RERAXMTAXTYPE
XTAXGROUP Name of Tax Group CHAR 30 0 RERAXMTAXGROUP
XLOCALCURR Local Currency Name CHAR 40 0 RECDXLOCALCURR
XFLOWTYPE Name of Flow Type CHAR 30 0 RECDXFLOWTYPE
ICON_CFSTATUS Cash Flow Status CHAR 132 0 RECDICONCFSTATUS
ICON_REFFLOWREL Relationship of Flow Type to Reference Flow Type CHAR 132 0 RECDICONREFFLOWREL
BOOK_XFLOWTYPE Name of Flow Type CHAR 30 0 RECDXFLOWTYPE
ICON_BOOK_REFFLOWREL Relationship of Flow Type to Posting Flow Type CHAR 132 0 RECDICONBREFFLOWREL
PROCESSID Process Identification -> Accounting Reference Number CHAR 16 0 RECAPROCESSID
XWHEREFROM Flow Origin CHAR 60 0 RECDXWHEREFROM
OBJIDENTCALC Complete Object Identification, for Example BE 1000/123 CHAR 50 0 RECAIDENT
CONDDELETE Deletion Indicator for Condition CHAR 1 0 RECDCONDDELETE
SWENR Business Entity Number CHAR 8 0 REBDBENO
SGENR Number of Building CHAR 8 0 REBDBUNO
SGRNR Number of Land CHAR 8 0 REBDPRNO
NORUPS Number of Pooled Space or Rental Unit CHAR 8 0 REBDNORUPS
FUND Fund CHAR 24 0 RERAFUND
FUNDSCENTER Funds Center CHAR 24 0 RERAFUNDSCENTER
COMMITMENTITEM Commitment Item CHAR 24 0 * RERACOMMITMENTITEM
FUNCTIONALAREA Functional Area CHAR 24 0 RERAFUNCTIONALAREA
GRANTNUMBER Grant CHAR 24 0 RERAGRANTNUMBER
MEASURE Program in Funds Management CHAR 24 0 RERAMEASURE
BUDGETPERIOD FM: Budget Period CHAR 24 0 RERABUDGETPERIOD
NORS Number of Rental Space CHAR 8 0 REBDNORS
OBJECTID Object ID CHAR 40 0 REISOBJECTID
OBJECTTEXT Short Description of Object CHAR 80 0 REISOBJECTTEXT
OBJECTICON Icon: Object Type CHAR 137 0 REISOBJECTICON
OBJECT_VALIDFROM Date: Object Valid From DATS 8 0 REISOBJVALIDFROM
OBJECT_VALIDTO Date: Object Valid To DATS 8 0 REISOBJVALIDTO
ROLE_BP1 First Main Contractual Partner: Role CHAR 6 0 * REBPROLE1
XROLE_BP1 1st Main Contractual Partner: Name of Role Category CHAR 30 0 REBPXROLE1
PARTNER_BP1 First Main Contractual Partner CHAR 10 0 REBPPARTNER1
XPARTNER_BP1 Name/Address of 1st Business Partner CHAR 80 0 REBPXPARTNER1
TEL_NUMBER_LONG_BP1 Complete Number: Dialling Code+Number+Extension CHAR 30 0 AD_TELNRLG
FAX_NUMBER_LONG_BP1 Complete number: dialling code+number+extension CHAR 30 0 AD_FXNRLNG
SMTP_ADDR_BP1 E-Mail Address CHAR 241 0 AD_SMTPADR
XNAME_BP1 Short Description of 1st Business Partner CHAR 50 0 REBPXNAME1
STREET_BP1 Street CHAR 60 0 AD_STREET
HOUSE_NUM1_BP1 House Number CHAR 10 0 AD_HSNM1
POST_CODE1_BP1 City postal code CHAR 10 0 AD_PSTCD1
CITY1_BP1 City CHAR 40 0 AD_CITY1
CITY2_BP1 District CHAR 40 0 AD_CITY2
REGION_BP1 Region (State, Province, County) CHAR 3 0 * REGIO
PO_BOX_BP1 PO Box CHAR 10 0 AD_POBX
POST_CODE2_BP1 PO Box Postal Code CHAR 10 0 AD_PSTCD2
ROLECAT_BP1 Category of Role Category CHAR 1 0 REBPROLECATE
1 Main Contractual Partner 1
2 Main Contractual Partner 2
ADDRTYPE_BP1 Address Type CHAR 10 0 * REBPADDRTYPE
HOUSE_NUM2_BP1 House number supplement CHAR 10 0 AD_HSNM2
ROLE_BP2 Second Main Contractual Partner: Role CHAR 6 0 * REBPROLE2
XROLE_BP2 2nd Main Contractual Partner: Name of Role Category CHAR 30 0 REBPXROLE2
PARTNER_BP2 Second Main Contractual Partner CHAR 10 0 REBPPARTNER2
XPARTNER_BP2 Name/Address of 2nd Business Partner CHAR 80 0 REBPXPARTNER2
TEL_NUMBER_LONG_BP2 Complete Number: Dialling Code+Number+Extension CHAR 30 0 AD_TELNRLG
FAX_NUMBER_LONG_BP2 Complete number: dialling code+number+extension CHAR 30 0 AD_FXNRLNG
SMTP_ADDR_BP2 E-Mail Address CHAR 241 0 AD_SMTPADR
XNAME_BP2 Short Description of 2nd Business Partner CHAR 50 0 REBPXNAME2
STREET_BP2 Street CHAR 60 0 AD_STREET
HOUSE_NUM1_BP2 House Number CHAR 10 0 AD_HSNM1
POST_CODE1_BP2 City postal code CHAR 10 0 AD_PSTCD1
CITY1_BP2 City CHAR 40 0 AD_CITY1
CITY2_BP2 District CHAR 40 0 AD_CITY2
REGION_BP2 Region (State, Province, County) CHAR 3 0 * REGIO
PO_BOX_BP2 PO Box CHAR 10 0 AD_POBX
POST_CODE2_BP2 PO Box Postal Code CHAR 10 0 AD_PSTCD2
ROLECAT_BP2 Category of Role Category CHAR 1 0 REBPROLECATE
1 Main Contractual Partner 1
2 Main Contractual Partner 2
ADDRTYPE_BP2 Address Type CHAR 10 0 * REBPADDRTYPE
HOUSE_NUM2_BP2 House number supplement CHAR 10 0 AD_HSNM2
GEN_OBJTYPE Object Type CHAR 2 0 RECAOBJTYPE
GEN_OBJNR Object Number CHAR 22 0 * RECAOBJNR
GEN_CONTRACT Object Number CHAR 22 0 * RECAOBJNR
GEN_PARTNER1 Business Partner Number CHAR 10 0 BU_PARTNER
GEN_PARTNER2 Business Partner Number CHAR 10 0 BU_PARTNER
ALVROWS Number of Rows INT2 5 0 REISALVROWS
INFOCOND Statistical or Informational Condition CHAR 1 0 RECDINFOCOND
RECISVALIDFROM Displayed Row Is Valid From DATS 8 0 REISRECVALIDFROM
RECISVALIDTO Displayed Row Is Valid Until DATS 8 0 REISRECVALIDTO
OBJECT_BUKRS Object Company Code CHAR 4 0 REISOBJECTBUKRS
XPARTNER Description of a Business Partner CHAR 80 0 BU_DESCRIP_LONG
ACCDETKEY Account Determination Value CHAR 10 0 RERAACCDETKEY
OIACCOUNTTYPE Account Type CHAR 1 0 RERAOIACCOUNTTYPE
1 Customer
2 Vendor
3 Contract A/R + A/P
OIACCOUNT Open Item Account CHAR 20 0 RERAOIACCOUNT
PO_SUB_NO ISR subscriber number CHAR 11 0 ESRNR
PO_REF_NO ISR/QR Reference Number CHAR 27 0 ESRRE
PO_TEXT Text of Vendor Invoice CHAR 60 0 REXCRAESRREFTEXT
ESRREFDELFITXT Delete FI Posting Text (Yes or No) CHAR 1 0 REXCRAESRREFDELFITXT
DOCGUID GUID: Unique Internal Key for RE Document RAW 16 0 RERADOCGUID
ITEMNO Accounting Document Line Item Number NUMC 10 0 POSNR_ACC

REIS_CASHFLOW_PAY_L foreign key relationships

Table Field Check Table Check Field
0 REIS_CASHFLOW_PAY_L BOOK_FLOWTYPE TIVCDFLOWTYPE Flow Type MANDT
1 REIS_CASHFLOW_PAY_L BUKRS T001 Company Codes BUKRS
0 REIS_CASHFLOW_PAY_L CONDTYPE TIVCDCONDTYPE Condition Type MANDT
0 REIS_CASHFLOW_PAY_L CONDTYPE TIVCDCONDTYPE Condition Type CONDTYPE
1 REIS_CASHFLOW_PAY_L DPTARGETTYPE TIVCNDPTYPE Security Deposit Type DPTYPE
0 REIS_CASHFLOW_PAY_L FLOWTYPE TIVCDFLOWTYPE Flow Type MANDT
1 REIS_CASHFLOW_PAY_L ORIGFLOWTYPE TIVCDFLOWTYPE Flow Type MANDT
0 REIS_CASHFLOW_PAY_L RECNBUKRSCOLLECT T001 Company Codes BUKRS
1 REIS_CASHFLOW_PAY_L RECNNOTREASON TIVCNNTRE Reason for Notice MANDT
1 REIS_CASHFLOW_PAY_L RECNNOTREASON TIVCNNTRE Reason for Notice NTREASON
0 REIS_CASHFLOW_PAY_L RECNTLAW TIV03 Country-specific tenancy law MANDT
1 REIS_CASHFLOW_PAY_L RECNTYPE TIV26 Real Estate Contract Type (Entities) MANDT
1 REIS_CASHFLOW_PAY_L RECNTYPE TIV26 Real Estate Contract Type (Entities) SMVART
0 REIS_CASHFLOW_PAY_L RESPONSIBLE USR02 Logon Data (Kernel-Side Use) BNAME
1 REIS_CASHFLOW_PAY_L TAXGROUP TIVRATAXGROUP Tax Group TAXGROUP
0 REIS_CASHFLOW_PAY_L TAXTYPE TIVRATAXTYPE Tax Types COUNTRY
0 REIS_CASHFLOW_PAY_L TAXTYPE TIVRATAXTYPE Tax Types TAXTYPE
1 REIS_CASHFLOW_PAY_L USEREXCLUSIVE USR02 Logon Data (Kernel-Side Use) BNAME