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BKKC12 Table in SAP | Gen. Ledger: New Balances for Bal. Sheet Preparation Table & Fields List

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
BKKC12 table in SAP

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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

FieldNoteData ElementDomain
MANDTClientMANDTMANDT
BAL_TYPEGL: Type of New Balance for Balance Sheet PreparationBKK_GLBLTPBKK_GLBLTP
DATE_POSTPosting dateBKK_PSTDATDATUM
BKKRSBank AreaBKK_BKKRSBKK_BKKRS
GLKEYNetting Group GLBKK_GLKEYCHAR4
BUPA_NOBusiness Partner NumberBU_PARTNERBU_PARTNER
ACNUM_INTInternal Account Number for Current AccountBKK_ACCNTBKK_ACCNT
PSTYPEGL: Posting CategoryBKK_GLPSTKBKK_GLPSTK
GLACTGeneral Ledger TransactionBKK_GLACTBKK_GLACT
EXTRAKEYAdditional Key Account Determination GLBKK_GLUSERCHAR6
ACURAccount CurrencyBKK_ACURWAERS
GLACCT_CLRGeneral Ledger Account Transfer BCA->FIBKK_GLACCSAKNR
GSBERBusiness AreaGSBERGSBER
A_AMOUNTTotalBKK_AMNTSUMBKK_TOAMT
CNT_BSPREPExecute Breakdown Rec./Pay. for Account Group with > 0BKK_CNTBSPINT4
BSPPNRPackage Number in Balance Sheet PreparationBKK_BSPPNRINT4

BKKC12 related tables

TableNote
BKKC12Gen. Ledger: New Balances for Bal. Sheet Preparation
BKKC12_ITEMGL: New Balances for Balance Sheet Preparation (Items)
BKKC10Gen. Ledger: Balances in FI per BCA Cust.Acct. / Bal.Sh.Prep
BKKC11Gen. Ledger: BCA Balances per GL Transac. for Bal.Sh.Prep.
BKKC30Gen. Ledger: Log for Transfer Postings (Bal.Sh.Prep., etc.)
BKKC20Last Balance Sheet Preparation
BKKC20_BPRUNTable that Saves Currently Running Balance Sheet Preparation
TBKKCCLRTransfer Posting Balance Sheet Preparation GL
FSSC_BALCAT_C1Balances Categories for Balances
FSSC_BALGRP_C2Balances Categories of Balances Group
MYABKBal. Sheet Valuation: Table of Database Commits Carried Out
MYCOMBal. Sheet Valuation: Table of Database Commits Carried Out
TBCA_BESTKONTBal. Sheet Accts for Currency Swap
TCKMLPR_EBCustomizing for Bal. Sheet Valuation: Define Valuation Areas
TCKMLPR_EBTCustomizing Bal. Sheet Valuation Procedures (Descriptions)
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