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VDBOBEPP Table in SAP | Business Operation: Entered and Activated Flow Data Table & Fields List

VDBOBEPP is a SAP table coming under FS module and EA-FINSERV component.View details, Fields & related tables of VDBOBEPP in SAP.

  • Table description : Business Operation: Entered and Activated Flow Data
  • Module : FS-CML
  • Parent Module : FS
  • Package : FVVD
  • Software Component : EA-FINSERV
VDBOBEPP table in SAP

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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 VDBOBEPP Table Fields structure

FieldNoteData ElementDomain
MANDTClientMANDTMANDT
BUKRSCompany CodeBUKRSBUKRS
RANLContract NumberRANLRANL
DTRANSFlow data key: System dateVVDTRANSDATUM
TTRANSTransaction data key: system timeVVTTRANSUZEIT
NTRANSTransaction data key: Consecutive numberVVNTRANSNUMC4
.INCLUDEINCLUDE for VDBEPP (new fields always at the end)    
RERFEntered byRERFSYCHAR12
DERFFirst Entered onDERFDATUM
TERFTime of Initial EntryTERFTIMES
REHERSource of initial entryREHERCHAR10
RBEAREmployee IDRBEARSYCHAR12
DBEARLast Edited onDBEARDATUM
TBEARLast Edited atTBEARTIMES
RBHEREditing SourceRBHERCHAR10
DVORGANGActivity dateDVORGANGDATUM
SVORGANGBusiness Operation (Activity)SVORFALLSVORFALL
NVORGANGActivity numberNVORGANGCHAR3
SBEWARTFlow TypeSBEWARTSBEWART
SREFBEWReference flow typeSREFBEWSBEWART
SBEWZITIFlow categorySBEWZITISBEWZITI
SPLANISTPlan/actual record/record to be released indicatorSPLANISTSPLANIST
SSOLHABDebit/credit indicatorVVSSOLHABVVSSOLHAB
SSTORNOReversal indicatorSSTORNOSSTORNO
SSTOGRDReason for ReversalSSTOGRDSSTOGRD
ZUONRAssignment numberDZUONRZUONR
RSTBLGReverse Document NumberSTBLGBELNR
SGTXTItem TextSGTXTTEXT50
SANLFProduct CategorySANLFVVSANLF
DGUEL_KKDate Condition Effective fromDGUELDATUM
NLFD_ANGOffer consecutive numberNLFD_ANGLFNR3
SSTATIStatus of data recordSSTATISTATI
GSARTProduct TypeVVSARTVVSART
RREFKONTAccount Assignment Reference in Financial Assets ManagementRREFKONTUSTRU
GSBERBusiness AreaGSBERGSBER
DORDEROrder dayDORDERDATUM
NORDEROrder NumberNORDERNUM8
BNWHRNominal amountBNWHRWERTV7
SNWHRCurrency of nominal amountSNWHRWAERS
BBWHRAmount in position currencyBBWHRWERTV7
SBWHRPosition Currency (Currency of Position Amount)SBWHRWAERS
BCWHRSettlement AmountBCWHRWERTV7
SCWHRSettlement CurrencySCWHRWAERS
BHWHRAmount in local currencyBHWHRWERTV7
KURS1Exchange rateVVKURSFKURSF
KURS2Exchange rateVVKURSFKURSF
DVALUTCalculation DateDVALUTDATUM
DFAELLDue date/calculation dateDFAELLIGDATUM
DDISPOPayment DateDDISPODATUM
DBESTANDPosition value dateDBESTANDDATUM
DBERVONStart of Calculation PeriodDBERVONDATUM
DBERBISEnd of Calculation PeriodDBERBISDATUM
ATAGENumber of daysVVATAGEINT6
ABASTAGENumber of base days in a calculation periodABASTAGEINT6
SZBMETHInterest Calculation MethodSZBMETHSZBMETH
UMSKZSpecial G/L IndicatorUMSKZUMSKZ
KOSTLCost CenterKOSTLKOSTL
SSPESENExpenses keySSPESENSSPESEN
RSOLLAccount for debit postingRSOLLSAKNR
RHABENAccount for credit postingRHABENSAKNR
RZKSOLLDebit interim accountRZKSOLLSAKNR
RZKHABECredit interim accountRZKHABESAKNR
SBSLSOLLPosting KeyBSCHLBSCHL
SBSLZKSOPosting KeyBSCHLBSCHL
SBSLZKHAPosting KeyBSCHLBSCHL
SHSLHABENPosting KeyBSCHLBSCHL
RBANKKBank accountRBANKKSAKNR
SFDLEVPlanning LevelFDLEVFDLEV
JFDUPDRecord transferred to cash management and forecastJFDUPDJANEI
JONLAENIndicator for fixing a flow recordJONLAENVVSONLAEN
JZINSBASFlow in interest baseJZINSBASJANEI
JZINSZPTInterest dateJZINSZPTJANEI
PKONDPercentage rate for condition itemsPKONDDECV3_7
BBASISCalculation base amountBBASISWERTV7
SSORTZITSort indicator for interest/repayment schedule calculationsSSORTZITCHAR1
SWOHERSource of flow recordSWOHERCHAR1
SSTCKKZAccrued interest methodSSTCKKZSSTCKKZ
SSTCKTGAccrued interest: Daily methodSSTCKTGSZBMETH
PEFFZINSEffective Interest RatePEFFZINSDEC3_7
SEFFMETHEffective Interest Method (Financial Mathematics)SEFFMETHSEFFMETH
JVERFIndicator whether drawings exist for the disbursementJVERFJVERF
KUNNRCustomer NumberKUNNRKUNNR
BVTYPPartner bank typeBVTYPBVTYP
ZLSCHPayment methodDZLSCHZLSCH
MABERDunning AreaMABERMABER
ZAHLSBlock Key for PaymentDZAHLSZAHLS
RPARTNRBusiness Partner NumberBP_PARTNR_NEWBU_PARTNER
SROLEXTDummy functionDUMMY_3CHAR3
RKLAMMERClassification Number for Finance ProjectsRKLAMMERRANL
JEINBEHALTIndicator for withholding of amount during disbursementVVJEINBEKENZX
SZEGENGenerate incoming payment immediatelySZEGENSZEGEN
MWSKZTax on sales/purchases codeMWSKZMWSKZ
DTRANSREFFlow data key: System dateVVDTRANSDATUM
TTRANSREFTransaction data key: system timeVVTTRANSUZEIT
NTRANSREFTransaction data key: Consecutive numberVVNTRANSNUMC4
RPNNRDaybook no.VVRPNNRVVRPNNR
HBKIDShort key for a house bankHBKIDHBKID
SBUSTPosting control keyVVSBUSTVVSBUST
PWKURSSecurity price for percentage quotationPWKURSPWKURS
DSTOCKPremium reserve fund dateVVDSTOCKDATUM
JVORAUSID for planned record reference to an advance paymentVVJVORAUSKENZX
AMMRHYFrequency in monthsAMMRHYNUMC03
SKOARTCondition Type (Smallest Subdivision of Condition Records)SKOARTSKOART
SEXCLVONExclusive Indicator for the Start of a Calculation PeriodVVSEXCLVONVVSEXCLVON
SULTVONMonth-End Indicator for Start of a Calculation PeriodVVSULTVONVVSULT
SINCLBISInclusive Indicator for the End of a Calculation PeriodVVSINCLBISVVSINCLBIS
SULTBISMonth-End Indicator for the End of a Calculation PeriodVVSULTBISVVSULT
SINCLInclusive indicator for beginning and end of a periodVVSINCLVVSINCL
DVERRECHSettlement dateVVDVERRECHDATUM
DPKONDDetermination date for percentage rate of condition itemsVVDPKONDDATUM
RUMBLGReference transfer document numberUMBLGBELNR
ZINKZExempted from Interest CalculationDZINKZZINKZ
SVULTMonth-End Indicator for Value DateVVSVULTVVSULT
JSOFVERRImmediate settlementJSOFVERRTFMSOFVERR
SINCLVERRInclusive Indicator for Clearing DateVVSINCLVERVVSINCLVER
SULTVERRMonth-End Indicator for Clearing DateVVSULTVERRVVSULT
SREFZITIRefer.flow category in accrual/deferral flow recordsVVSREFZITISBEWZITI
STGBASISBase Days MethodVVSTGBASISVVSTGBASIS
STGMETHDaily MethodVVSTGMETHVVSTGMETH
SBASISCalculation base referenceVVSBASISVVSBASIS
SBERFIMACalculation category for cash flow calculatorSBEWFIMASBEWFIMA
SVORGKZActivity indicator for debit/credit controlVVSVORGKZVVSVORGKZ
MANSPDunning blockMANSPMANSP
DGUEL_KPCondition Item Valid FromDGUEL_KPDATUM
NSTUFELevel number of condition item for recurring paymentsNSTUFENUMC2
DBPERIODPeriod startVVDBPERIODDATUM
SPAEXCLExclusive Indicator for Start Date of a PeriodTFMSPAEXCLTFMSPAEXCL
SPAULTMonth-End Indicator for Start Date of a PeriodTFMSPAULTVVSULT
DEPERIODPeriod EndVVDEPERIODDATUM
SPEINCLInclusive Indicator for End Date of a PeriodTFMSPEINCLTFMSPEINCL
SPEULTMonth-End Indicator for End of a PeriodTFMSPEULTVVSULT
RKONTQuota numberRKONTRKONT
DAUSZLead date for withholding amounts for disbursementVVDAUSZDATUM
SSOLISTCalculation using actual principle (or debit)SSOLISTCHAR1
RDARNEHMBorrower/Applicant NumberRDARNEHM_NEWBU_PARTNER
BKONDCondition item currency amountBKONDWERTV7
RZEBELDocument number of waiver/write-off documentVEBLGNRBELNR
ZFBDTPayment DateDDISPODATUM
DZFESTInterest rate fixing dateTB_DZFESTDATUM
SBERECHGrace Period Interest MethodSBERECHXFELD
BKARZINSInt.for days betw. redemption clear.and pmnt (FiMa-internal)TFMBKAZINSTFM_WRTV7
BTITALKImputed annuity repayment amount (FiMa internal)TFMBTIKALKTFM_WRTV7
HDN_KUNNRMain Borrower Customer NumberHDN_KUNNRKUNNR
SZARTPayment transactionTB_SZARTXFELD
RUZBELAccounting Document NumberBELNR_DBELNR
REBZJFiscal Year of the Relevant Invoice (for Credit Memo)REBZJGJAHR
REBZGNumber of the Invoice the Transaction Belongs toREBZGBELNR
REBZZLine Item in the Relevant InvoiceREBZZBUZEI
S_SSDREFReference flow category in borrower's note loan flow recordsVVS_SSDREFSBEWZITI
SAENDChange Indicator for FiMa Flow RecordsTFM_SAENDTFM_SAEND
XPOREIndicator: Individual Payment?PRQ_XPOREXFELD
SPAYRQGenerate payment requestTB_SPAYRQKXFELD
PRKEYKey Number for Payment RequestPRQ_KEYNOPRQ_KEYNO
HKTIDID for account detailsHKTIDHKTID
VORGTYPActivity Category (Posting Area)VORGTYP_LOVORGTYP_LO
ACENVSource in TR-LO posting areaACENV_LOACENV_LO
SSIGNDirection of flowTB_SSIGNT_SSIGN
SPRSNGIndividual paymentTB_SPRSNGKXFELD
UZAWEPayment method supplementUZAWEUZAWE
SPRGRDDetermine grouping definitionTB_SPRGRDT_SPRGRD
SCSPAYSame direction necessary for joint payment?TB_SCSPAYXFELD
ZWELSList of the Payment Methods to be ConsideredDZWELSZWELS
PAYGRGrouping Field for Automatic PaymentsPAYGRCHAR20
JEXPOZINSExponential Interest CalculationTB_JZINSREXFELD
SREVALEXCLPrice gains w/o proportionate gains from deferral write-backVVSREVALEXCLXFELD
RBOBusiness Operation Number (Loans)RBORBO
SROUNDRounding CategoryTFM_SROUNDTFM_SROUND
SKALIDWTInterest CalendarTFMSKALIDWTWFCID
PPAYMENTPayment RateTFM_PPAYMENTTFM_PPAYMENT
AMMRHYZVInterest Settlement Frequency for Exponential Interest Calc.TFM_AMMRHYZVTFM_AMMRHYZV
LC_CAPITALSEffect of the Flow on Capital Amounts StatusTB_LC_CAPITALST_LC_CASH_FLOW
LC_DISBURSEEffect of the Flow on the Disbursement StatusTB_LC_DISBURSET_LC_CASH_FLOW
OP_APPLICATIONOpen Item Tool: Application KeyTB_OPAPPLT_OPAPPL
OP_RBOOI Tool: Locking Business OperationTB_OP_RBORBO
DFAELL_OLD_EXTOld Due DateTB_EXTENS_DFAELL_OLDDATUM
DDISPO_OLD_EXTOld Payment DateTB_EXTENS_DDISPO_OLDDATUM
RBO_EXTBusiness Operation Number (Loans)RBORBO
SBEWEGRP2Flow Record Group in Cash Flow Calculator (Incoming Payment)TB_FLOW_REC_GRPSBEWEGRP2
SUSP_REASON_TYPEKey for Overpayment ReasonTB_SUSPREASONT_SUSPREASON
MNDIDUnique Referene to Mandate per Payment RecipientSEPA_MNDIDID035
.INCLUDESEPA Remittance Information    
REMIT_INFOSEPA Payment Notes InformationTB_REMIT_INFOT_REMIT_INFO
.INCLU--APExtensions for Localization    
BROUNDUNITRounding Unit for AmountsTB_BROUNDUNIT_ATFMSRUNIT
.INCLU--APAdditional Fields for SEPA Direct Debit    
SEPA_PDPosting Date in the DocumentBUDATDATUM

VDBOBEPP related tables

TableNote
VDBOBEPPBusiness Operation: Entered and Activated Flow Data
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CRMC_CUST_BP2BUSTemplate for activated Bus Roles in Business Processes
/SDF/CMO_T_63ACMO Service: Activated Business Set
/SDF/CMO_T_63BCMO Service: Activated Business Function in Busi. Func. Set
/SDF/CMO_T_63DCMO Service: Activated Enterprise Business Function
CNLDST_OBJSAppl.and Obj. with Activated Language-Dependent Short Texts
ACT_ENT_PRODEntered Product ID
ACT_ENT_PRODHEntered Product ID
CRMC_MKTPL_VOLMNDefine where the volume is entered
DFKKCMFManually Entered Checks Lot: Reconciliation Key
DFKKCMPEManually Entered Checks Lot: Error Messages
DFKKCRCASHCR: Cashed Checks Not Yet Entered in Register
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