Sap control key bank account Table in SAP
Here is a list of possible Sap control key bank account related tables in SAP. You will get more details about each SAP table by clicking on the table name.
- TJF20
Table for Convert Bank Clearing Account to Interim Account (Bank Rtns)
Table Type : TRANSP
Package : JSD
Module : IS-M - T042Y
Table for Account Determination for Bank to Bank Payments
Table Type : TRANSP
Package : FMZA
Module : FI-BL-PT-AP - TBKK_BKS
Table for Control of Bank Control Key
Table Type : TRANSP
Package : FKBP_FINSERV
Module : IS-B-BCA-AM-IT
- EPIC_EBR_FEB
Table for Additional Data on Bank Statement Line Item for Bank Receipt
Table Type : TRANSP
Package : ID-FI-EPIC-EBR
Module : FI-LOC - TBKKIHB1
Table for In-House Bank ID from Payment Notes in Bank Statement
Table Type : TRANSP
Package : FKBI
Module : IS-B-BCA - T033D
Table for Account Determination: Account Determination Key Names
Table Type : POOL
Package : FBAS
Module : CRM - T033O
Table for Account Determination: Account Determination Key Values
Table Type : POOL
Package : FBAS
Module : CRM - T687
Table for Account Determination: Account Key
Table Type : POOL
Package : FBD
Module : CRM - T687T
Table for Account Determination: Account Key Texts
Table Type : POOL
Package : FBD
Module : CRM - BANKA_CUP_IT
Table for Bank Account Number maintenance for CUP/CIG Number
Table Type : TRANSP
Package : FBZ
Module : CRM - BKK84
Table for Bank Account - Individual Condition
Table Type : TRANSP
Package : FKBC
Module : IS-B-BCA-MD-CD - BKK84T
Table for Texts for Bank Account Individual Condition
Table Type : TRANSP
Package : FKBC
Module : IS-B-BCA-MD-CD
- BKK85
Table for Bank Account - Individual Condition Position
Table Type : TRANSP
Package : FKBC
Module : IS-B-BCA-MD-CD - FIAPPTD_BALANCE
Table for Table to store the Balances for Vendor/Customer/Bank Account
Table Type : TRANSP
Package : ID-FI-PT
Module : FI-LOC - FMRC07
Table for Results List Documents Bank/Clearing Account Matching FM-FI
Table Type : TRANSP
Package : FMFS_CORE
Module : FI-FM - FMRC07_WO_BUNDLE
Table for Results List Documents Bank/Clearing Account Matching FM-FI
Table Type : TRANSP
Package : FMFS
Module : FI - FMSD07
Table for Days Results List: FM-FI Bank/Clearing Account Comparison
Table Type : TRANSP
Package : FMFS_CORE
Module : FI-FM - ITAGCYBNKTRACC
Table for Short Account Assignments for Bank Transfers to Agencies
Table Type : TRANSP
Package : FSCDITAGCY_DDIC
Module : FS-CD - PAYRQP
Table for PAYRQ Enhancement (Cross-Country Bank Account Transfers)
Table Type : TRANSP
Package : FMZA
Module : FI-BL-PT-AP - T012T
Table for House Bank Account Names
Table Type : TRANSP
Package : BFIBL_BANK
Module : FI-BL-MD - T018V
Table for Acct Transfer: Determine Receiving Bank's Clearing Account
Table Type : TRANSP
Package : FMZA
Module : FI-BL-PT-AP - T8JVBA
Table for Documents included in Bank Account Switching
Table Type : TRANSP
Package : GJV2
Module : CA-JVA - TBCHAIN2
Table for Bank Chains per Business Partner Account
Table Type : TRANSP
Package : FIBI
Module : FI-BL-MD-BK - TBCHAIN21
Table for Bank chains per business partner account (allocation)
Table Type : TRANSP
Package : FIBI
Module : FI-BL-MD-BK
- TBKK01D
Table for Bank Area: Account for Payment Transactions
Table Type : TRANSP
Package : FKBP
Module : IS-B-BCA-AM-IT - TIBAN_WO_ACCNO
Table for Activation of "IBAN without Bank Account Number"
Table Type : TRANSP
Package : VSCORE
Module : CRM-BF - VIMMHBACC
Table for House Bank Account
Table Type : TRANSP
Package : RE_MM_MN
Module : RE-FX-MM - VWPBDEP
Table for Bank Securities Account Position
Table Type : TRANSP
Package : FVVW
Module : CRM - WBRD
Table for Agency Business: Bank Data Suspense Account
Table Type : TRANSP
Package : WZRE
Module : LO-AB - CMS_LIQCFL_OBKM
Table for Object key Mapping: Liq.CFL Key and PP key
Table Type : TRANSP
Package : CMS_BASEL
Module : FS-CMS-IS - COMC_KEYTYPE_CST
Table for SAP Control Table for Key Assignment Generation
Table Type : TRANSP
Package : COM_DIFF_BSP
Module : AP-MD-PRO - COMC_KEYTYPE_PCU
Table for SAP Control Table for Key Assignment Generation
Table Type : TRANSP
Package : COM_DIFF_BSP
Module : AP-MD-PRO - COMS_KEYTYPE_PCU
Table for SAP Control Table for Key Assignment Generation
Table Type : TRANSP
Package : COM_DIFF_BSP
Module : AP-MD-PRO - T5JBK
Table for HR Bank key for Property accumulation savings JP
Table Type : TRANSP
Package : PB22
Module : PA-PA-JP - TBKK_CLEAR_REL
Table for Assignment: Bank Key to Clearing Center ID
Table Type : TRANSP
Package : FKBDISPATCH
Module : IS-B-BCA-AM-IT - /SAPPSSRM/CTRL_0
Table for Item Process Type - Control Key - Foreign Key for Metadata
Table Type : TRANSP
Package : /SAPPSSRM/ITEM_PROCESS_TYPE
Module : SRM-EBP-PD - EPIC_CBC_EBR
Table for Cash Budgeting Control of Bank Receipt
Table Type : TRANSP
Package : ID-FI-EPIC-PMCTL
Module : FI-LOC - TBKKIRCV
Table for Control of the Recipient Bank Detail Identification
Table Type : TRANSP
Package : FKBP_FINSERV
Module : IS-B-BCA-AM-IT - TBKKI_RCV
Table for Control of the Recipient Bank Detail Identification
Table Type : TRANSP
Package : FKBP_FINSERV
Module : IS-B-BCA-AM-IT - TBKK_4EYES_G_NTC
Table for Notice: Dual Control for Each Bank Area/Product/Category
Table Type : TRANSP
Package : FKBE
Module : IS-B-BCA-AM - TBKK_4EYES_NTC
Table for Notice: Dual Control for Each Bank Area/Product/Category
Table Type : TRANSP
Package : FKBE
Module : IS-B-BCA-AM - ACCRAC
Table for Assignment of Acr./Def. G/L Account to Accruals Account
Table Type : TRANSP
Package : ACCR
Module : FI - BKK600
Table for Account Hierarchy: Account Relationships
Table Type : TRANSP
Package : FKBR
Module : IS-B-BCA-MD - BKK610
Table for Account Hierarchy: Assignment of Root Account to Tree Number
Table Type : TRANSP
Package : FKBR
Module : IS-B-BCA-MD - BSACC_HIST_GRP
Table for Account Groups for Account History
Table Type : TRANSP
Package : FIN_BS_DIALOG
Module : FI-GL-GL - BSACC_HIST_GRPT
Table for Account Groups for Account History
Table Type : TRANSP
Package : FIN_BS_DIALOG
Module : FI-GL-GL - CRMC_ACC_MAP
Table for Assignment of Account Assignment Group to Account
Table Type : TRANSP
Package : CRM_LEASING_SRM
Module : CRM-LAM-BTX - CRMD_ACC_PL_ATTR
Table for Account Planning account plan attributes
Table Type : TRANSP
Package : CRM_ACCOUNT_PLANNING
Module : CRM-ACP-APL - ICRC02
Table for Account Groups for G/L Account Reconciliation
Table Type : TRANSP
Package : FBAS
Module : CRM - ICRC03
Table for Account Groups for G/L Account Reconciliation - Name
Table Type : TRANSP
Package : FBAS
Module : CRM - ICRC04
Table for Account Groups for G/L Account Reconciliation - User Assgnmt
Table Type : TRANSP
Package : FBAS
Module : CRM - BNKKO
Table Data element for Bank account/bank clearing account (G/L account) - UBHKT
Table Data element for G/L Account Number for Our Bank Account / Bank Sub-Account - J_3RBKONT
Table Data element for Bank control key for correspondent account at our bank - EPIC_EBR_PART_BANK_ACCT_NAME
Table Data element for Bank Account of Partner/Account Involved in Bank Receipt - EPIC_EBR_PART_BANK_ACCT_NO
Table Data element for Bank Account No. of Partner/Account Involved in Bank Receipt - PRQ_ZHKONT
Table Data element for Partner Bank's Account No. for Bank Account Transfers - DZBKON
Table Data element for Bank Control Key of the Payee's Bank - UBKON
Table Data element for Bank control key at our bank - J_3RUBKON
Table Data element for Bank control key at our bank - EPIC_EBR_PART_BANK_NAME
Table Data element for Bank of Partner/Account Involved in Bank Receipt Transaction - BNKTO_49C
Table Data element for Bank Account at Receiving Bank - BANKL_KK
Table Data element for Bank Number of Other Bank Key
Sap control key bank account related terms
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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.