BKKC12 is a SAP table coming under IS module and EA-FINSERV component.View details, Fields & related tables of BKKC12 in SAP.
- Table description : Gen. Ledger: New Balances for Bal. Sheet Preparation
- Module : IS-B-BCA-PT-GLP
- Parent Module : IS
- Package : FKBH
- Software Component : EA-FINSERV
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Definitions
What is SAP ?SAP is the short form of Systems, Applications & Products in Data Processing. It is one of the largest business process related software. This software focused on business processes on ERP & CRM.
What is table in SAP ?Like most other software, SAP also using database tables to store the data. In SAP thousands of tables are there to store different data. A table contains several fields and some of the fields will be key fields.
SAP BKKC12 Table Fields structure
Field | Note | Data Element | Domain |
---|---|---|---|
MANDT | Client | MANDT | MANDT |
BAL_TYPE | GL: Type of New Balance for Balance Sheet Preparation | BKK_GLBLTP | BKK_GLBLTP |
DATE_POST | Posting date | BKK_PSTDAT | DATUM |
BKKRS | Bank Area | BKK_BKKRS | BKK_BKKRS |
GLKEY | Netting Group GL | BKK_GLKEY | CHAR4 |
BUPA_NO | Business Partner Number | BU_PARTNER | BU_PARTNER |
ACNUM_INT | Internal Account Number for Current Account | BKK_ACCNT | BKK_ACCNT |
PSTYPE | GL: Posting Category | BKK_GLPSTK | BKK_GLPSTK |
GLACT | General Ledger Transaction | BKK_GLACT | BKK_GLACT |
EXTRAKEY | Additional Key Account Determination GL | BKK_GLUSER | CHAR6 |
ACUR | Account Currency | BKK_ACUR | WAERS |
GLACCT_CLR | General Ledger Account Transfer BCA->FI | BKK_GLACC | SAKNR |
GSBER | Business Area | GSBER | GSBER |
A_AMOUNT | Total | BKK_AMNTSUM | BKK_TOAMT |
CNT_BSPREP | Execute Breakdown Rec./Pay. for Account Group with > 0 | BKK_CNTBSP | INT4 |
BSPPNR | Package Number in Balance Sheet Preparation | BKK_BSPPNR | INT4 |
BKKC12 related tables
Table | Note |
---|---|
BKKC12 | Gen. Ledger: New Balances for Bal. Sheet Preparation |
BKKC12_ITEM | GL: New Balances for Balance Sheet Preparation (Items) |
BKKC10 | Gen. Ledger: Balances in FI per BCA Cust.Acct. / Bal.Sh.Prep |
BKKC11 | Gen. Ledger: BCA Balances per GL Transac. for Bal.Sh.Prep. |
BKKC30 | Gen. Ledger: Log for Transfer Postings (Bal.Sh.Prep., etc.) |
BKKC20 | Last Balance Sheet Preparation |
BKKC20_BPRUN | Table that Saves Currently Running Balance Sheet Preparation |
TBKKCCLR | Transfer Posting Balance Sheet Preparation GL |
FSSC_BALCAT_C1 | Balances Categories for Balances |
FSSC_BALGRP_C2 | Balances Categories of Balances Group |
MYABK | Bal. Sheet Valuation: Table of Database Commits Carried Out |
MYCOM | Bal. Sheet Valuation: Table of Database Commits Carried Out |
TBCA_BESTKONT | Bal. Sheet Accts for Currency Swap |
TCKMLPR_EB | Customizing for Bal. Sheet Valuation: Define Valuation Areas |
TCKMLPR_EBT | Customizing Bal. Sheet Valuation Procedures (Descriptions) |
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