Here you will find a list of all SAP tables with the initial letter AT.
Here you will find a list of all SAP tables.
| table name | description | |||
|---|---|---|---|---|
| SAP tables starting with AT | ||||
| AT01 | Transaction Category | |||
| AT01T | Name of Transaction Category | |||
| AT02 | Transaction Activity Category | |||
| AT02A | Transaction Code for Menu TIMN | |||
| AT02T | Transaction Activity Category: Description | |||
| AT03 | Diary Functions | |||
| AT03T | Diary Function: Description | |||
| AT05 | Processing Categories | |||
| AT05T | Name: Processing Category | |||
| AT06 | Allocation of Processing Categories to Activity Categories | |||
| AT07 | Category of Flows and Conditions | |||
| AT07T | Name of category for flows and conditions | |||
| AT08 | Allocation: Application to Category of Flows and Conditions | |||
| AT09 | Posting category | |||
| AT09T | Posting type: Name | |||
| AT10 | Transaction Types | |||
| AT100 | Treasury Additions to User Master | |||
| AT10B | Treasury: Customizing for Valuation | |||
| AT10S | Securities | |||
| AT10T | Name of Transaction Type | |||
| AT10X | Forex Attributes for Transaction Types | |||
| AT11 | Allocation of Condition Types to Transaction Types | |||
| AT13 | Allocation of Flow Types to Transaction Types | |||
| AT13U | Flow types for transfer posting for activity transition | |||
| AT14 | Status Transfers | |||
| AT15 | Treasury: Foreign exchange swap rates | |||
| AT15B | Treasury: Forex Swap Rates (New) | |||
| AT16 | Treasury: Fixing Settings for Forex Transactions | |||
| AT16B | Treasury: Settings for mirror transaction types | |||
| AT18 | Treasury: Valid Formulas | |||
| AT181 | Treasury: Subsequent Screen Control - Initial Item Groups | |||
| AT181T | Treasury: Texts for Subsequent Screen Control Init.Pos.Group | |||
| AT185 | Treasury: Starting Values for Subsequent Screen Control | |||
| AT19 | Supplements to Flow Types | |||
| AT20 | Supplements to Condition Types | |||
| AT200 | Rules for Determining a Tax Indicator | |||
| AT21 | Generate derived flows | |||
| AT210 | Rules for Determining a Taxes for CFM postings | |||
| AT22 | Procedure to Generate Derived Flows | |||
| AT22T | Procedure to Generate Derived Flows: Name | |||
| AT23 | Procedure for Calculating Derived Flows | |||
| AT23T | Procedure for Calculating Derived Flow: Name | |||
| AT24 | Currency-Dependent Rules for Calculating Derived Flows | |||
| AT25 | Amount-Dependent Rules for Calculating Derived Flows | |||
| AT30 | Formula Table for Investment Mathematics | |||
| AT31 | Preallocated variables for FIMA formulas | |||
| AT32 | Control indicators for financial mathematic calculations | |||
| AT40 | Calculation Categories of Cash Flow Calculator | |||
| AT40T | Calculation Category Texts for the Cash Flow Calculator | |||
| AT50 | Future/Option Groups | |||
| AT50T | Description of Options/Futures Groups | |||
| AT51 | Margin Types | |||
| AT51T | Text Table for Margin Types | |||
| AT52 | Expiry Date Type | |||
| AT52T | Name of expiration date types | |||
| AT53 | Due Date Category | |||
| AT56R | Supplements to Analysis System for Table T056R | |||
| AT60 | Definition of Treasury Functions for Activity Processing | |||
| AT60T | Description of Treasury Functions for Activity Editing | |||
| AT70 | Hedging Relevance of Currencies | |||
| AT72 | Customizing: Unit Types | |||
| AT72T | Text for unit types | |||
| AT80 | Treasury: Correspondence Control MM, FX, DE, SE | |||
| AT80P | Replacement Table for Correspondence Printer | |||
| AT81 | Correspondence type | |||
| AT81M1 | Assignment Table: SWIFT Code of Sender -> Business Partner | |||
| AT81T | Name of correspondence type | |||
| AT85 | CMF - Generating pmnt advices (prod./trans.type) | |||
| AT90 | Type of manual reversal of posted flows | |||
| AT90T | Name of manual reversal type for posted flows | |||
| ATALRT | Treasury: Alert Category Assignment | |||
| ATARCHIVE00 | Archiving: Minimum retention period per company code | |||
| ATARCHIVE01 | Archiving: Minimum retention period of transaction in system | |||
| ATCKONTEXT | Table Control Context Hash Codes | |||
| ATCOVO | Commodity Price Volatilities | |||
| ATCVC1 | CRM: Assign General Valuation Class to Product Type | |||
| ATCVC2 | CRM: Assign General Valuation Class to Product Type | |||
| ATCVO | Exchange Rate Volatilities | |||
| ATDEALDFT | Update Types for Position Update | |||
| ATDR | Date Rule | |||
| ATDRT | Date Rule | |||
| ATFTA | CFM: Assign Transaction Flow Type to Update Type | |||
| ATFTA_MIGR | Migration: Assignment of Flow Type to Update Type | |||
| ATFWDUL | Assignment of Underlying to Transaction | |||
| ATIVABGBHEB | NULL | |||
| ATIVO | Reference interest rate volatilities | |||
| ATKO1 | Correlation Type | |||
| ATKO1T | Text Table Correlation Type | |||
| 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 | |||
| ATMA | Type of Master Agreement | |||
| ATMAT | Type of Master Agreement: Name | |||
| ATO1 | Check Table for Option Categories | |||
| ATO1T | Text Table for ATO1 | |||
| ATOR | Table of Limit Types | |||
| ATORT | Text Table for Limit Types | |||
| ATPA | Treasury: Product Type Supplements | |||
| ATPRA | Treasury: Clearing Account for Payment Requests | |||
| ATP_AFPO | Generierte Tabelle zu einem View | |||
| ATP_EBAN | Generated Table for View | |||
| ATP_EBUB | Generated Table for View | |||
| ATP_EKES | Generated Table for View | |||
| ATP_EKET | Generated Table for View | |||
| ATP_EKUB | Generated Table for View | |||
| ATP_PLAF | Generierte Tabelle zu einem View | |||
| ATP_PLPW | Generierte Tabelle zu einem View | |||
| ATP_RESB | Generated Table for View | |||
| ATP_VBBE | Generierte Tabelle zu einem View | |||
| ATQC | CFM: Assign Volume Change Category to Flow Category | |||
| ATR1 | Check table for reference categories | |||
| ATR1T | Text table for reference categories | |||
| ATRAS | Treasury Rates Table | |||
| ATRELE1 | Transaction release: Release procedure | |||
| ATRELE2 | Transaction release: Release procedure for detail parameters | |||
| ATRESERVATION | Offer/Acceptance Reservation Indicator | |||
| ATRESERVATIONT | Offer/Acceptance Reservation Indicator | |||
| ATRF | Risk factor | |||
| ATRFART | Risk factor type | |||
| ATRFARTT | Risk factors - risk factor type texts | |||
| ATRFBETA | Risk factor description beta factors | |||
| ATRFKORR | Risk factor description correlations | |||
| ATRFT | Risk Factors - Definition of Risk Factor Name | |||
| ATRFVO | Risk factor volatilities | |||
| ATRFVOLA | Descriptions of Risk Factors for Volatility Names | |||
| ATRMO | Valuation control | |||
| ATSYC | Default Settings for Risk Evaluations | |||
| ATSYCII | Additional Default Settings for Risk Evaluations | |||
| ATVC1 | Calculation routines | |||
| ATVC2 | Descriptions of Calculation Routines | |||
| ATVDEALDFT | Generated Table for View | |||
| ATVMO | Calculation Methods Risk Management | |||
| ATVO0 | Volatilities - Definition of Volatility Name | |||
| ATVO0T | Text Table for Name of Volatility | |||
| ATVO1 | Volatility Types 1 | |||
| ATVO2 | Descriptions of Volatility Types | |||
| ATVO3 | Statistics Type for Parameterizing Estimation Functions | |||
| ATVO3T | Text Table Statistics Type | |||
| ATVO4 | Volatilities - Master Data | |||
| ATVO5 | Volatilities - Flow Data | |||
| ATVO61 | Volatilities - Mapping from Reference Interest Rates | |||
| ATVO62 | Volatilities - Mapping from Currency Pairs | |||
| ATVO63 | Volatilities - Mapping from Security ID Numbers | |||
| ATVO64 | Volatilities - Mapping from Security Indexes | |||
| ATVO65 | Volatility: Map Yield Curves to Hull-White Volatility | |||
| ATVO66 | Volatilities - Mapping from Commodity IDs | |||
| ATVOK | Rate types for OTC NPVs | |||
| ATVOKT | Text tables for rate/NPV types for OTC transactions | |||
| ATVST | Names of scenario types | |||
| ATVSZ | Scenario types | |||
| ATWVO | Security price volatilities | |||
| ATXKO | Correlations from Abstract Instruments | |||
| ATXVO | Security Index Volatilities | |||
| ATZVO | Reference Int. Rate Volatilities with Curve Info. | |||