IS-B-RA-CL is a SAP sub-module coming under IS module and IS-M component.Total 168 IS-B-RA-CL tables are stored in our database.View these tables by sub modules wise coming under SAP IS-B-RA-CL.You can also refer SAP IS-B-RA-CL transaction codes from this link
- Module description :
- Parent Module : IS
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SAP IS-B-RA-CL Tables
- ATLA : Limit Type
- ATLAM : Allocation of limit characteristics to limit type
- ATLAR : Characteristic Filter for Limit Types
- ATLAT : Name of Limit Type
- ATLCHAR_MRM : Analysis Characteristics Relevant for Limits
- ATLPD : Limit Mgmt: Program/Screen Combinat. with Fld Selection Ctrl
- ATLPDD : Limit Mgmt: Permitted Program/Screen Combinat. for Fld Sel.
- ATLPDT : Limit Mgmt: Texts for Program/Screen Combinations
- ATLPG : Limit Product Group
- ATLPGT : Name of Limit Product Group
- ATLR : Limit Management: Basic Settings
- ATLRMRA : Limit Management: Basic Settings
- ATLSCR : Field Selection Control for Limit Types
- ATLSF : Display Filters for Limit Characteristics
- ATLSF0 : Display Filters: Basis Table
- ATLSFT : Display Filters: Limit Characteristics (Texts)
- ATLSLI : Permitted Statuses for Utilization Determination
- ATLSLIT : Permitted Statuses for Utilization Determination (Texts)
- ATLTKAF : Field Catatlog: Drilldown Reporting Link for Limit Mgmt
- BCKKLFAZ01 : Backup for Facilities
- COMBINATIONS_IR : Combinations of Company Code/Securities ID for Issuer Risk
- EGP24BREAKS : Breakpoints for Testing 24-Hour Capability of STC
- JBKLBEST : Credit Limit: Characteristics for Position Objects
- KLABEPOS : Line Items for the Risk of the Position
- KLADDONFAK : Determination of the Add-On Factor
- KLARP : Default Risk Line Items
- KLARPOS : Line Items for Default Risk
- KLARRC : Definition of Default Risk Rule
- KLARRCRS : Definition of Default Risk Rule
- KLARRCT : Text Table for KLARRC
- KLARRZU01 : Assign BCA Product to Default Risk Rule, Limit Prod Group
- KLARRZU02 : Define Default Risk Rule, Limit Product Group for Accounts
- KLARRZU03 : Assign DRR and Limit Product Group to BCA Product (New)
- KLARRZU04 : Variable Transaction: Assign DRR to Limit Product Group
- KLARRZU05 : Risk Object: Assign Default Risk Rule, Limit Product Group
- KLAUSFWKT : Default Risk Probabilities
- KLBBASID : Calculation Base ID
- KLBBASIDT : Text Table for KLBBASID: Calculation Base
- KLBEPOS : Line Items for the Risk of the Position
- KLBESTZU : Assignment of Product Type to CL Default Risk Rule
- KLBEWFAK : Define Valuation Factor Determination
- KLBEWFAKT : Define Valuation Factor Determination
- KLCLUST : Cluster for Distributed Data Use
- KLCLUSTER : Cluster for Distributed Data Use
- KLCMMAPPING : Mapping Table for CM and Business Partner
- KLCOCU : Assignment of County <-> Domestic Currency/Currencies
- KLDATESHIFT : Shift Validity Date of Settlement Risk for FX Option
- KLEGZU : Assignment of TR Product/Tran. Type to CL Default Risk Rule
- KLEVC : Determination-Procedure-Specific Settings
- KLEVCT : Text Table in Customizing for Determination Procedure
- KLEVDEF : Definition of Determination Procedures
- KLEVDEFT : Text Table for the Definition of Determination Procedures
- KLEXTKZ : Allocate Ext. Key Figures to Int. Key Figure Categories
- KLFAZ01 : Facilities (Header)
- KLFAZ06 : Facility Type
- KLFAZ06T : Facility Type Text
- KLFAZ07 : Facility Type - Limit Product Group Assignment
- KLFILLCHECK : Permitted Risk Filter Combinations for End-of-Day Processing
- KLFORMID : Formula ID
- KLFORMIDT : Text Table for KLDORMID: Formulas
- KLGEWFAK : Weighting Factor for Settlement Risk
- KLINTNR : Credit Limit: Admin. of Internal Key for Check Transactions
- KLINTORG : Internal Organizational Unit
- KLINTORGT : Text Table for KLINTORG
- KLLIMITEXCEEDED : Management of Exceeded Limits per Product/Transaction Type
- KLLR01 : Assignment of Country - Rating/Recovery Rate Determination
- KLLR02 : Assignment of Country - VaR%
- KLLR03 : Assignment of CEQ Class - CEQ in Percentage
- KLLR04 : Country Default Probabilities
- KLLR05 : Assignment of LEQ Class / LEQ in Percentage
- KLLRB : Table for Country Risk Areas
- KLLRBT : Text Table for KLLRB
- KLLRDEF01 : Definition of Country Risk Rating
- KLLRDEF01T : Text Table for Country Risk Rating
- KLLRDEF02 : Definition of Credit Equivalent Class (CEQ Class)
- KLLRDEF02T : Text Table for Credit Equivalent Class (CEQ Class)
- KLLRDEF03 : Definition of Loss Equivalent Class (LEQ Class)
- KLLRDEF03T : Text Table for the Loss Equivalent Class
- KLMAXLIMIT : Limit per Product Type/Transaction Type
- KLMWAERBD : Determination of MVC and RCP
- KLNT01 : Definition of Netting Group
- KLNT01T : Text Table for KLNT01
- KLNT02 : Definition of Netting Factor Assignment
- KLNT02T : Text Table for KLNT02
- KLORDERZU : Assign Prod. Type to CL DRR for Sec. Order and For.Sec.
- KLORDERZUARR : Assign Prod. Type to CL DRR for Sec. Order and For.Sec.
- KLPARAM : Credit Limit: Tab for Controlling Ext. Default Risk Rates
- KLPREHLOG : Persistent Error Handling
- KLRATINGRRFZU : Assignment of Rating to Recovery Rate Determination
- KLRECEIVER : User-Recipient Relationship
- KLREGDEF : Definition of Variable Assignment Rule
- KLREGDEFT : Text Table for KLREGDEF
- KLREP : Risk Line Items
- KLREPISRUN : Cross-Client Conversion Reports: Trigger Once Only
- KLREPOS : Risk Line Items
- KLRISKBEGIN : Start Date for Risk Calculation
- KLRISKSENSI : Definition of Risk Sensitivity
- KLRISKSENSIT : Text Table for KLRISKSENSI (Risk Sensitivity)
- KLRRDEF : Maintainance of Values for Recovery Rates
- KLRRFINDDEF : Definition of Recovery Rate
- KLRRFINDDEFT : Definition of Recovery Rate Determination
- KLSBV : Collateral Valuation Procedure
- KLSBVT : Text Table for KLSBVT
- KLSDCPARAM : Credit Limit: Controlling External Default Risk Rates (NEW)
- KLSDCPROT0 : Log Generation for Single Transaction Check: Meta Data
- KLSDCPROT1 : Log Gen. for Single Transaction Check: Header Information
- KLSDCPROT2 : Log Generation for Single Transaction Check: Items
- KLSDCPROT3 : Log Gen. for Single Transaction Check: Result in ALV Format
- KLSDCPROTE : STC: Error Log
- KLSDCPROTS : Status of Log of Single Transaction Check
- KLSDCTRPASS : Assignments to Single Transaction Check Product
- KLSDCTRPDEF : STC Transaction Control: Definition
- KLSDCTRPDEFT : Text Table for KLSDCTRPDEF
- KLSI01 : Collateral Provision (Header)
- KLSI01T : Collateral Provision (Header) Text Table
- KLSI01_BAK : Backup for Euro Changeover for Collateral Provision (Header)
- KLSI02 : Collateral Agreements
- KLSI02_BAK : Backup for Euro Changeover for Collateral Agreements
- KLSI03 : Collateral Agreements (Items)
- KLSI03_BAK : Backup for Euro Changeover for Collateral Agreements (Items)
- KLSI04 : Global Collateral (Items)
- KLSI04_BAK : Backup for Euro Changeover for Global Collateral (Items)
- KLSI05 : Single-Transaction-Related Collateral (Item)
- KLSI05_BAK : Backup for Euro Changeover for Single-Tran.-Rel. Collateral
- KLSI06 : Global Collateral (Assignment)
- KLSI06_BAK : Backup for Euro Changeover for Global Collateral (Assignmt)
- KLSI07 : Single-Transaction-Related Collateral (Assignment)
- KLSI07_BAK : Backup for Euro Changeover for Single-Tran.-Rel. Collateral
- KLSIART : Collateral Type
- KLSIARTT : Text Table for Collateral Type
- KLSIBESART : Collateral Valuation Control Type
- KLSIBESARTT : Text Table for KLSIBESART
- KLSIFDUMK : Definition of Required/Optional Fields for EDT of Collateral
- KLSIPRIO : Collateral Priority
- KLSIPRIOT : Text Table for Collateral Priority
- KLTAGENDSF : Selection Filter for End-of-Day Processing
- KLTAGENDSF1 : Table for View Maintenance for End-of-Day Processing
- KLTAGENDSFT : Text Table for KLTAGENDSF
- KLTERMFIND : Date Determination Rules
- KLTERMFINDT : Text Table for KLTERMFIND
- KLXAKT : Global Settings for Default Risk and Limit System
- KLXCMRT : CM Data for Risk Objects Derived from Cash Management
- KLZUEXTOBJ : Assignment of External Administration Key to Object Number
- LMSDCIACT : Integrated Limit Check in CFM: Activation
- VTBLID : Limit: Details of Utilizations (Single Records)
- VTBLIE : Limit Utilization: Single Record per Object
- VTBLII : Limit Utiliz.: Rel. Bet. Single Record and Totals Record
- VTBLIL : Program Run to Determine Limit Utilizations
- VTBLIS : Limit Utilization: Summarization per Limit Amount
- VTBLLH : Limit Management: Header Information for Limit Transfer
- VTBLLP : Limit Management: Item Information for Limit Transfer
- VTBLMCID : Values for customer characteristics
- VTBLMCID0 : Permitted IDs for Free Characteristics
- VTBLMCIDT : Values for customer characteristics (texts)
- VTBLM_SF : Only up to 4.63: Permitted Charact. for Displ. Filter ATLSF
- VTBLP : Log for Single Transaction Check
- VTBLPEC : Posting Deadline per Overnight Run
- VTBLRH : Reservations for Limit Amounts (Header)
- VTBLRP : Reservations for Limit Amounts (Item)
- VTBLS : Limits: Mapping Logical - Physical Keys
- VTBLSD : Global Collateral: Utilizations - Details
- VTBLSE : Global Collateral: Single Record per Object
- VTBLSI : Global Collat.: Relationship Single Record - Totals Record
- VTBLSLA : Limit Type: Summarization of the Characteristic Values
- VTBLSTAB : Limit Management: Administration of Generated Tables
- VTBLSTC : Transactions to be Updated per Determination Run
- VTBLV : Limits
- VTBLVIL : Interim Limits for Limits
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