Here you will find a list of all SAP tables with the initial letter JB.
Here you will find a list of all SAP tables.
table name | description | |||
---|---|---|---|---|
SAP tables starting with JB | ||||
JBACDLI | List of conditions | |||
JBACDLITY | Condition List Types | |||
JBACDLITY_T | Name of Condition List Type | |||
JBACDLI_RFACC | Source of Condition List from Reference Account | |||
JBACDLI_T | Description of Condition List | |||
JBACDPERTY | Permitted Condition Types for List Types | |||
JBACFART2KNZ | ALM Assignment of CF Type to CF Indicator for Simulated ROs | |||
JBAFOKOKO | Condition Header | |||
JBAFOKOPO | Condition Items | |||
JBALMCTRL_01 | ALM Control Table for General List Tool Fields | |||
JBALMCTRL_02 | ALM Control Table for List Tool Fields | |||
JBALMDLADM | ALM: Administration Information for Detailed Logs | |||
JBALMDLADMT | ALM: Text Definitions for Detailed Logs | |||
JBALMDLGLOB | ALM: Higher-Level Data of Detailed Log | |||
JBALMDLLOC | ALM: Higher-Level Data of Detailed Log | |||
JBAMPGPAR | ALM Market Price Weighting: Parameters | |||
JBAPHKMERK | ALM Assignment of Characteristics to PH Nodes | |||
JBAPLANELASAVE | ALM: Maturity-Band-Dependent Parameters | |||
JBAPLANPAR | ALM Assignment of Planning Parameters to Planning Variant | |||
JBAPLANPARLZB | ALM Assignment of Planning Parameters to Planning Variant | |||
JBAPLANV | ALM Planning Variant | |||
JBAPLANVT | ALM Planning Variant: Text Table | |||
JBARTSEITE | Assignment: Transaction Type - Transaction Direction | |||
JBASAKOKO | Collective Conditions, Condition Header | |||
JBASIMA | ALM Simulation Type | |||
JBASIMAP | ALM Simulation Type: Parameters | |||
JBASIMAT | ALM Simulation Type: Texts | |||
JBASIMLZBSAVE | ALM: Maturity-Band-Dependent Parameters | |||
JBASIMPARASAVEDB | ALM: Additional Information when Saving Sim. Transactions | |||
JBASIMT | ALM Simulation Category | |||
JBASIMTT | ALM Simulation Category: Texts | |||
JBASTCH | Standard Conditions: Condition Header | |||
JBASTCP | Standard Conditions: Condition Item | |||
JBBEWART | Flow Types | |||
JBBEWART_T | Flow Types - Text Table | |||
JBBEWZU | Assign Flow Types to Transaction Type + Transaction Direct. | |||
JBCFBEWEG | Cash Flow Transaction: Flows | |||
JBCFBZR | Cash Flow Transaction: Analysis Period | |||
JBCFFIX | Cash Flow Transaction: Interest Rate Fixing | |||
JBCFKOPF | Cash Flow Transaction: Header Data | |||
JBCFSEITE | Cash Flow Transaction: Transaction Directions | |||
JBCFVER | Cash Flow Transaction: Additional Versions | |||
JBCFZSTRBEWEG | Cash Flow Transaction: Flow Data for Cash Flow | |||
JBCFZSTRKOPF | Cash Flow Transaction: Header Data for Cash Flow | |||
JBD11 | IS-B: Extended interest rate table | |||
JBD14 | Yield Curve Types (Header Information) | |||
JBD15 | Yield Curve Types (Values) | |||
JBD16CURR | Replacement of currencies for yield curve types | |||
JBD1T | Yield Curve Types (Texts) | |||
JBDABC01 | Table for Lock Object Tab Name | |||
JBDBAEND | Position Changes | |||
JBDBEDI | Condition Table | |||
JBDBEDS | Control Table for Logic Analysis | |||
JBDBEWE | Position Flows Generated by Position Changes | |||
JBDBFUS | Bank Position Management Point | |||
JBDBFUT | IS-B: Bank Position Management Point - Texts | |||
JBDBLAN | Country-Specific Data | |||
JBDBPKR | IS-B: Determination of the Costing Rule | |||
JBDBPRD | Bank Product | |||
JBDBPRT | Bank Product Text | |||
JBDBPVR | Value Table for JBRBPVAR | |||
JBDBPVT | Product Variant Text | |||
JBDBSTD | SAP Banking: Positions | |||
JBDBSTK | Positions for Single Transaction Costing | |||
JBDBSTS | Position Control | |||
JBDBSTW | Position Values | |||
JBDCHGREL | Change Relevance | |||
JBDCHGRELSYS | System Fields for Change Relevance | |||
JBDCHGRELVAL | Possible Tables for Change Relevance Check | |||
JBDCPHDR | Header Table for Change Pointer | |||
JBDCPHDR2 | Header Table for Change Pointer | |||
JBDCPPOS | Change Pointer - Item Table | |||
JBDCPPOS2 | Change Pointer - Item Table | |||
JBDCTVTBPRD | Conversion of Variable Transaction: Bank Product Assignment | |||
JBDCTVTBPVR | Conversion Variable Transaction: Bank Product Variant Assgn. | |||
JBDEURO | Indicator Table for EURO Conversion (CC) | |||
JBDEXPACT | Activate Export Interface | |||
JBDEXPOBJ | Export Object Categories | |||
JBDEXPOBJT | Description of Export Object Categories | |||
JBDEXPOBJVAL | Values for Export Object Categories | |||
JBDEXPRELFIELDS | Fields for Selection of Export Relevance Check | |||
JBDEXPRELHDR | Header Table for Export Relevance | |||
JBDEXPRELPOS | Item Table for Export Relevance | |||
JBDFRIS | Maturity Pattern for Core Deposits Products | |||
JBDFRST | Maturity Pattern for Core Deposits Products Text | |||
JBDFRVL | SAP Banking: Volume Distribution for Existing Core Deposits | |||
JBDFTPASSIGNMENT | SAP Banking: Assignment of value fields to cost elements | |||
JBDFUNCDEAKT | Deactivate Datapool Functions | |||
JBDGSCH | IS-B: Transaction Master Data | |||
JBDI0000 | Template Structure for Generated Qty Table in STC for ABC | |||
JBDKKOF | Fixing Table for Variable Transactions | |||
JBDKKOF_BACKUP | Backup Table for the Conversion of JBDKKOF | |||
JBDKKOF_N | New Fixing Table for Variable Transactions | |||
JBDKKON | SAP Banking: Business Partner Account | |||
JBDKKOW | Account Balances | |||
JBDKOKO | Condition Header | |||
JBDKOKOADDON | Additional Information on Table VZZKOKO | |||
JBDKOPO | Condition Items | |||
JBDKRVF | Assignment of Procedures for Costing Rules | |||
JBDKUMS | Turnovers for Business Partner Accounts | |||
JBDLSZA | Type 2 Cash Flow Disturbance (Shifting of a Payment) | |||
JBDMANPOSTLOAN | Indicator Table for Manual Postings | |||
JBDMKAP | Application Functions in Required/Optional Control | |||
JBDMKAZ | Display of Required/Optional Control | |||
JBDMKCDFP | Required/Optional Control for Class Data for Fin. Product | |||
JBDMKFGDT | Risk Object: Required/Optional Control | |||
JBDMKFS | Foreign Key Dependencies for Req./Opt.Control | |||
JBDMKSECU | Addition to Req./Opt.Control for Security Class Data | |||
JBDMKST | Definition of Required/Optional Control | |||
JBDMKTA | Application Fields of Required/Optional Control | |||
JBDMKTB | Required/Optional Control for EDT (SAP Banking) | |||
JBDMKTS | Application-Specific Required/Optional Control | |||
JBDMKVN | Neutral Required/Optional Control | |||
JBDMKVTFD | Variable Transaction: Opt./Req. Control - Flow Data | |||
JBDMKVTMD | Variable Transaction: Opt./Req. Control - Master Data | |||
JBDOBJ1 | Object Table for Financial Transactions, General Part | |||
JBDOBJEUR | Additional Fields for Finance Object (EURO Conversion) | |||
JBDOBJZU | STC Additional Data for Financial Object | |||
JBDRATEBAR | Deviation range of ref. int. rates depend. on exact time | |||
JBDSCBKKRS | Financial Object Integration: Selection Criteria Bank Area | |||
JBDSCPRODEXT | Financial Object Integration: Selection Criteria BCA Product | |||
JBDSEPR | Maintain Receiver Structures for EDT (w. n Costing Rules) | |||
JBDSEPT | Sender Structure Bank Product Text | |||
JBDSERV | SAP Banking: Master Table for Service Transactions | |||
JBDT001 | Bank Company Code | |||
JBDT56P | Reference interest rate table dependent on exact time | |||
JBDTDALLBCA | Assignment of BCA Product to Transaction Differentiations | |||
JBDTDALLVT | Assignment of Transaction Differentiations/Description | |||
JBDTREASPRCTR | Field Names Containing Treasury PRCTR | |||
JBDTVWF | Table/Administration Fields | |||
JBDTZK01 | Condition Types for Variable Transactions | |||
JBDUBPC | Profit Center - Non-Interest-Bearing Position | |||
JBDUBPCGR | Profit Center Group - Non-Interest-Bearing Position | |||
JBDUBPO | Position Items for Non-Interest-Bearing Position | |||
JBDUBST | SAP Banking: Non-Interest-Bearing Position | |||
JBDUBT | Text for Non-Interest-Bearing Positions | |||
JBDVAFE | Outbound Fields for Procedures | |||
JBDVDAK | Summarization of Current Indicators per Sender Program | |||
JBDVDAN | Summarization Indicators: Exceptions | |||
JBDVTBA | Variable Transaction - Balances | |||
JBDVTCH | Variable Transaction - Condition Headers | |||
JBDVTCI | Variable Transaction: User-Defined Fields | |||
JBDVTCP | Variable Transaction - Condition Items | |||
JBDVTGL | Variable Transaction - General Ledger Assignment | |||
JBDVTGLAC | Variable Transaction - Reference to FI G/L Account | |||
JBDVTLD | Variable Transaction: Ledger Assignment | |||
JBDVTLD_POS | Variable Transaction: Ledger Item | |||
JBDVTLD_SEL_DIM | Variable Transaction: Ledger Selection Dimension | |||
JBDVTMD | Variable transaction - master data | |||
JBDVTMD_T | Variable Transaction - Description | |||
JBDVTPA_SEL_CHAR | Variable Transaction: Selection Char. for Operating Concern | |||
JBDVTTO | Variable Transaction - Turnovers | |||
JBDVTVM | Variable Transaction - Type of Value Maintenance | |||
JBDVTXP23_ERR | Variable Transaction: Error in Converting Description | |||
JBDZSAUSVER | Cash Flow Transaction: Individual Disbursement Procedure | |||
JBDZSEK | Cash Flow (Effective Capital and NIM between Payment Dates) | |||
JBDZSKO | Cash Flow Header | |||
JBDZSTR | Cash Flow | |||
JBDZSVO | Cash Flow (Volume Information) | |||
JBDZSZT | SAP Banking: Cash Flow (Interest and Repayment Schedule) | |||
JBDZZTK | Standard Customizing for Condition Field Selection | |||
JBFIELDSELLIST | Control Table for Field Selection Control | |||
JBFTPDOCN | SAP Banking: document management table for FTP | |||
JBGESCHART | Transaction Type | |||
JBGESCHART_T | Transaction Type - Text Table | |||
JBGESCHSEITE | Direction of the Transaction | |||
JBGESCHSEITE_T | Transaction Direction - Text Table | |||
JBKLBEST | Credit Limit: Characteristics for Position Objects | |||
JBKLOBJ1 | Segment Table for Financial Transactions, CL Part | |||
JBNIPL | ALM Non Interest Profit and Loss | |||
JBNIPL_DATA | ALM Non Interest Profit and Loss Data | |||
JBRABREG0 | RM: Control of Write-Down Rules via Evaluation Type | |||
JBRABREG1 | RM: Write-Down Rule-Specific Control | |||
JBRABREG2 | RM: Control of Write-Down Rules via Evaluation Type | |||
JBRABREG3 | RM: Write-Down Rule-Specific Control | |||
JBRABREGTAB | RM: Write-Down Rule for P+L Evaluation | |||
JBRABREGTABT | RM: Write-Down Rule for P+L Simulation (Texts) | |||
JBRACCOUNT | RM BP Update Administration for Account Balances | |||
JBRADKET | Text Table for JBRADKEY | |||
JBRADKEY | Transaction Differentiation | |||
JBRALF | Due Date Scenario - Items | |||
JBRALFD | Due Date Scenario: Definition | |||
JBRALFDT | Texts for Due Date Scenario - Definition | |||
JBRALMPARASAVE | ALM: Evaluation Parameters | |||
JBRALM_IC | ALM: Parameters for Tab "Individual Calculations" | |||
JBRAMOUNT | RM: Account Balance Summarization in Base Portfolio | |||
JBRANTYPE | RM: Evaluation Category (Internal for Program Generation) | |||
JBRASAVT | FO Integration: Required/Optional Save for SEM Applications | |||
JBRBDSGUV | RM-BDS: P+L Distribution | |||
JBRBDSGUV10 | RM-BDS: P+L Distribution in Blocks of Ten | |||
JBRBDSLFN | RM-BDS: Run Number Definition | |||
JBRBDSLFNA | RM-BDS: Index for P+L Data in the Archive File | |||
JBRBDSLFNB | RM-BDS: Archive Information per Run | |||
JBRBDSLFNC | RM-BDS: Calculation Basis per Run Number | |||
JBRBDSLFNS | RM-BDS: Run Number Status | |||
JBRBDSVAR | RM-BDS: VaR Data | |||
JBRBDSZZFLG | Report Data Memory: Activation of Time Measurement Backup | |||
JBRBETA | Beta factors | |||
JBRBEWREG | Valuation Rules for Evaluations (Per Object) | |||
JBRBEWREGT | Valuation Rules for Evaluations (Texts) | |||
JBRBFART | Beta factor type | |||
JBRBFARTT | Beta factor type texts | |||
JBRBG0 | Gap Analysis - Global Control | |||
JBRBG1 | Gap Analysis - Control using Valuation Rule | |||
JBRBG2 | Gap Analysis - Global Control | |||
JBRBG2T | Text Table for Gap Type | |||
JBRBG3 | Gap Analysis - Control using Valuation Rule | |||
JBRBGR | RM: Position Group | |||
JBRBGRPO | RM Position Groups: Items | |||
JBRBGRT | RM: Position Group (Text) | |||
JBRBP | Base Portfolio Definition | |||
JBRBPCFKN | RM: Aggregated Capital Commitment Cash Flows | |||
JBRBPCFV | RM: BP Update Administration for Cash Flows | |||
JBRBPCFVN | RM: BP Update Management for Cash Flows | |||
JBRBPCFZN | RM: Aggregated Interest Commitment Cash Flows | |||
JBRBPFART | RM: Update Type for Objects per View | |||
JBRBPGEN | RM: ABAP Sequences as Template for BP Generation | |||
JBRBPGENUE | Generated Views for an RM Area | |||
JBRBPKSV | RM BP Update Administration for Account Balances | |||
JBRBPT | Base Portfolio Definition: Text | |||
JBRBPWPV | RM: BP Update Administration for Positions/Securities | |||
JBRBRALM_IC | ALM: Parameters for Tab "Ind. Calcs." Valuation Rule specif. | |||
JBRBRFS | RM: Assignment of Valuation Rule to Due Date Scenario | |||
JBRBRIASZ | Assignment of Utilization Scenario to Valuation Rule | |||
JBRBRLQSZ | Assignment of Liquidation Scenario to Valuation Rule | |||
JBRBSTD | RM: Base Portfolios - Single Positions (until F3.03) | |||
JBRBSTV | RM: Base Portfolio for Position Management | |||
JBRBV0 | VaR - Global Control | |||
JBRBV1 | VaR - Local Control | |||
JBRBV2 | VaR Simulation Types | |||
JBRBV2_T | Text Table for Table JBRBV2 (VaR Type) | |||
JBRCFART | Cash flow type | |||
JBRCFART2KNZ | Cash flow type | |||
JBRCFARTT | Texts for Description of Cash Flow Type | |||
JBRCFEV | Cash Flow Evaluation - Assignment | |||
JBRCFKAP | RM: Aggregated Capital Commitment Cash Flows per BP | |||
JBRCFZINS | RM: Aggregated Fixed-Interest Cash Flows per BP | |||
JBRCHARSEL | RM: Assignment of Parameter Names to Characteristics | |||
JBRDBABEST | RM: DB Table ABEST Fields | |||
JBRDBBEWEG | RM: DB Table BEWEG Extended Category of Primary Transaction | |||
JBRDBFML | RM: Formula Components for Individual Cash Flows | |||
JBRDBHIER | RM: DB Table for Hierarchy Structure xDTFT/DTFT | |||
JBRDBKO | RM: DB Table Header Information Extended Risk Object | |||
JBRDBKOET | RM: DB Table Header, HIERA and BEST Extended Cat.Prim.Trans. | |||
JBRDBKOMIG | RM: Migration Table for Corrections to Generic Transaction | |||
JBRDBOPTI | RM: DB Table OPTI Extended Category of Primary Transaction | |||
JBRDBRTBSTD | RM: Position for Extended Risk Object | |||
JBRDBRTBSTDII | RM: Position for Generic Transaction; Additional Data | |||
JBRDBRTBSTDPO | RM: Position Items of Extended Risk Objects | |||
JBRDBRTEXT | RM: DB Table for External Risk Object | |||
JBRDBSIMLF | RM: Table of Simulation Run Numbers | |||
JBRDERI | Characteristic Derivation Settings for Analysis Structure | |||
JBRDIFTKEF | RM Compared to CO-PA - Fields that are to be changed | |||
JBREGSH | RM Base Portfolio for Single Transactions | |||
JBREVAL | Risk Management evaluation type - definition | |||
JBREVALT | Risk Management evaluation type - texts | |||
JBRFSZ | Due Date Scenario - Header Information | |||
JBRFSZABS | Absolute Due Date Scenario, Parameters | |||
JBRFSZREL | Relative Due Date Scenario, Parameters | |||
JBRGENPROG | RM: Table of Generated Programs | |||
JBRHABEST | RM: Version Table for ABEST Fields | |||
JBRHBEWEG | RM: Version Table BEWEG for Extended Cat. of Primary Trans. | |||
JBRHFML | RM: Version Table: Formula Components for Individ.Cash Flows | |||
JBRHHIER | RM: Version Table for Hierarchy Structure xDTFT/DTFT | |||
JBRHISPHBAUMS | Tree Structure for Deactivated Portfolio Hierarchies | |||
JBRHISPHTEXT | RM: Portfolio Texts for Deactivated Portfolio Hierachy | |||
JBRHISPHZUORDN | RM Deactivated PH: Assign Base Portfolios to End Nodes | |||
JBRHKO | RM: Version Table: Header Information: Extended Risk Object | |||
JBRHKOET | RM: Version Table Header, HIERA and BEST Ext.Cat.Prim.Trans. | |||
JBRHOPTI | RM: Version Table OPTI Extended Category of Primary Trans. | |||
JBRIASZ | Settings for Utilization Scenarios | |||
JBRIASZD | Definitions of Utilization Scenarios | |||
JBRIASZDT | Descriptions for Utilization Scenarios | |||
JBRIDXG | Allocation Class - Index | |||
JBRINDX | RM: Cluster for Storing Datasets Derived from INDX | |||
JBRINDXCAT | RM: Cluster for Storing Datasets, Catalog Entries | |||
JBRINDXKAT | RM: Cluster for Storage of Datasets, Catalog | |||
JBRKNZ | RM: External Key Figures for Financial Object | |||
JBRKNZTYPTAB | Definition of Basic Key Figure Categories | |||
JBRKNZTYPTABT | Key Figure Categories | |||
JBRKON | RM: Account Balance Summarization in Base Portfolio | |||
JBRLQSZD | Settings for Liquidation Scenarios | |||
JBRLQSZH | Defintions of Liquidation Scenarios | |||
JBRLQSZHT | Texts for Liquidation Scenarios | |||
JBRLZB | Maturity band | |||
JBRLZBD | Date Entries in Maturity Band | |||
JBRLZBP | Maturity band parameters | |||
JBRLZBT | Maturity Band - Texts | |||
JBRMSGSEL | RM: Indicators that control the Filter for Messages | |||
JBRMZBG | RM: Assignment of Transactions to Business Partners | |||
JBRNAMESPC | RM: (Sub-)Namespaces for Generation | |||
JBRNODETXT | All Information for Display of Hierarchies | |||
JBROBJ1 | RM: Definition of Fields/Characteristics Specific to RM | |||
JBROZ | RM Gap Opportunity Interest Rates from Single Trans. Costing | |||
JBROZAKT | RM Gap Determination of Nominal OI from Single Trans.Costing | |||
JBROZPROTKOPF | RM Gap: Log Information from OI Determination (Header) | |||
JBROZPROTPOS | RM Gap: Log Information from OI Determination (Items) | |||
JBRPBL | Period block | |||
JBRPBLD | Period Block - Definition | |||
JBRPBLDT | Texts for Period Block - Definition | |||
JBRPH | Portfolio hierarchy | |||
JBRPHARC | RM: Archiving Data for Portfolio Hierarchies | |||
JBRPHBAUMS | Storage of Portfolio Hierarchy | |||
JBRPHDEF | Definitions Used to Derive Portfolio Hierarchy | |||
JBRPHDEFBK | RM: Backup for Table JBRPHDEF | |||
JBRPHGE | RM: Portfolio Hierarchy: Generation Data | |||
JBRPHT | Portfolio hierarchy | |||
JBRREGD | Rule Definition | |||
JBRREGDT | Text Table Market Data Shift Definition | |||
JBRREGW | Rules for multi-dimensional risk factor shift | |||
JBRREGWT | Text table for risk factor shift | |||
JBRRH | Check Table for Risk Hierarchy | |||
JBRRHBAUM | Tree Structure of Risk Hierarchy | |||
JBRRHBAUMH | Tree Structure of Risk Hierarchy (History) | |||
JBRRHBAUMT | Texts for Tree Structure of Risk Hierarchy | |||
JBRRHBAUMTH | Text for Tree Structure of Risk Hierarchy (History) | |||
JBRRHBAUMT_BACK | Backup Table JBRRHBAUMT (Required for Transport Imports) | |||
JBRRHBAUM_BACK | Backup Table JBRRHBAUM (Required for Transport Imports) | |||
JBRRHBLATT | End Node Structure of a Risk Hierarchy | |||
JBRRHBLATTH | End-Node Structure of a Risk Hierarchy (History) | |||
JBRRHBLATT_BACK | Backup Table JBRRHBLATT (Required for Transport Imports) | |||
JBRRHBLT | End-Node Structure of a Risk Hierarchy (Risk Factors) | |||
JBRRHH | Check Table for the Risk Hierarchy (History) | |||
JBRRHKNT | Node Structure of a Risk Hierarchy | |||
JBRRHKNTT | Texts (only used for data definitions) | |||
JBRRHT | Texts for Risk Hierarchy Check Table | |||
JBRRHTH | Texts for Risk Hierarchy Check Table (History) | |||
JBRRHT_BACK | Backup Table JBRRHT (Required for Transport Imports) | |||
JBRRH_BACK | Backup Table JBRRH (Required for Transport Imports) | |||
JBRRMB | Assignment of Analysis Structure to Client | |||
JBRRMBBF | Analysis Structure | |||
JBRRMBM | Assignment of Characteristics to Analysis Structures | |||
JBRRMBT | Text Table for Analysis Structure | |||
JBRRMTKEF | RM: Copy of CO-PA Field Catalog | |||
JBRRMTKEFD | RM: Copy of CO-PA Field Catalog, Characteristic Dependencies | |||
JBRRMTKES | RM: Base Field Catalog CO-PA Fix.Char./Basic Key Figures | |||
JBRRMTKESD | RM: Base Field Catalog CO-PA, Characteristic Dependencies | |||
JBRSAEV | Assign Balance Type to Yield Curve for Evaluation | |||
JBRSART | Balance Type for Characterizing an Account Balance | |||
JBRSARTT | Text Table for Balance Types | |||
JBRSHBAUM | Tree Structure of Nodes in a Portfolio Hierarchy | |||
JBRSHKN | Nodes in Portfolio Hierarchy | |||
JBRSI | Views | |||
JBRSICRIT | Restrictions for Subviews | |||
JBRSIHIM | Hierarchy of Characteristics | |||
JBRSIM | Assign Characteristics to Views | |||
JBRSIMZ | Simulated Interest - Definition | |||
JBRSIMZT | Texts for Simulated Interest Payments | |||
JBRSIT | Dims texts | |||
JBRSPH | Definition of Portfolio Hierarchy (Check Table) | |||
JBRSPHT | Definition of Portfolio Hierarchy (Text Table) | |||
JBRSVABEST | RM: Header Table SDTFT (Additional Info.) for Saved Datasets | |||
JBRSVADOKU | RM-SA: Table for Documentation in Generated Reports 39-42 | |||
JBRSVBEWEG | RM: Flow Table for Cat. of Prim. Trans. for Saved Datasets | |||
JBRSVFML | RM: CF Formula Table for Cat. Prim.Trans. for Saved Datasets | |||
JBRSVGAPERR | RM Gap: Error for Saved Gap Evaluation Results | |||
JBRSVGAPHD | RM: Header Data (Saved Gap Evaluation Results) | |||
JBRSVGAPHD2 | RM: Header Data (Saved Gap Evaluation Results) | |||
JBRSVGAPHEAD | RM: Header Data (Saved Gap Evaluation Results) | |||
JBRSVGAPRES | RM: Saved Gap Evaluation Results | |||
JBRSVGAPRES2 | RM: Saved Gap Evaluation Results | |||
JBRSVGAPSZEN | RM Gap: Scenarios for Stored Gap Evaluation Results | |||
JBRSVHIER | RM: Hierarchy Structure Table of xDTFT for Saved Datasets | |||
JBRSVKO | RM: Header Table of SDTFT for Saved Datasets | |||
JBRSVKOET | RM: Header Table of Cat. of Prim. Trans for Saved Datasets | |||
JBRSVMSEG | RM: Val. Parameters of Cat.of Prim. Trans.for Saved Datasets | |||
JBRSVOPTI | RM: Option Data Table of Cat. Prim. Trans for Saved Datasets | |||
JBRSVPHBAUM | RM: Portfolio Hierarchy for Saved Datasets (Backtesting) | |||
JBRSVPHTEXT | RM: Portfolio Texts for Saved Datasets (Backtesting) | |||
JBRSVPHZUORDN | RM: Assignment of PH->BP for Saved Datasets (Backtesting) | |||
JBRSVRBR | Assignment of View and Summarization Rule to Valuation Rule | |||
JBRSVRCFK | Assignment of View and Summarization Rule to Cash Flow Ind. | |||
JBRSVSTATE | RM: Administration Table for Saved Datasets (Backtesting) | |||
JBRSZTABDB | ALM: Scenarios Used in a Simulation Run | |||
JBRTKCHABK | RM: Backup Table for Characteristic Hierarchies | |||
JBRUBSTV | RM: Base Portfolio - Management of Non-Int-Bearing Positions | |||
JBRUEBPROG | Generated Programs for Analysis Structure | |||
JBRUPGRADE | RM: Administration of Release Changes and Autom.Conversions | |||
JBRVBRDEF | RM: Default Setting for Summarization (with Valuation Rule) | |||
JBRVBRSA | RM: Summarization for Balances (with Valuation Rule) | |||
JBRVBRSPEZ | RM: Specific Settings for Summarization(with Valuation Rule) | |||
JBRVMKBR | RM: Template for Tables I73xxxx with Valuation Rule | |||
JBRVRCA | Assignment of Flow Type to RM Cash Flow Type | |||
JBRVRDEF | Summarization Rule - Default Setting | |||
JBRVREG | Summarization Rule | |||
JBRVREGT | Texts for Summarization Rule | |||
JBRVRSA | Assignment of Summarization Rule to Balance Type | |||
JBRZUORDNT | RM: Assignment of Base Portfolios to PH End Nodes | |||
JBR_US_ACCT | Balance Sheet Account Key | |||
JBR_US_ACCT_MAP | Balancing Account | |||
JBSREFTEX1 | Reference Texts for SAMBA (Loans of 1 Million Plus) | |||
JBSREFTEX2 | Reference Texts for SAMBA (Large-Scale and Corporate Loans) | |||
JBSREFTEXT | Text Table for SAMBA Reference Text Table | |||
JBSSAMOB | Regulatory Reporting - Grouping Objects | |||
JBSSICH | Regulatory Reporting - Collateral | |||
JBSSKB1 | IS-B: Additional FI account info.(Regulatory Reporting) | |||
JBSSPAR | Regulatory Reporting - Savings | |||
JBSSTEU | Table for Dynamic Field Allocation Control | |||
JBSSTSIC | Control Table for Formatting Collateral | |||
JBSUNPACK | Control Table for Conversion of CHAR to NUMC (SAMBA) | |||
JBSWPOFF | Open, Non-Fulfilled Spot Securities Transactions (RR) | |||
JBTAUSVER | Disbursement Procedure (Loans) - Customizing | |||
JBTAUSVERT | Disbursement Procedure (Loans) - Customizing (Texts) | |||
JBTBACKUP | Backup Table for Saving Tables | |||
JBTBEWWERT | Assignment of Flow Type to Value Fields | |||
JBTBEWZUSA | Additional Information for Flow Types | |||
JBTBREL | Relevance Indicator for Flow Types | |||
JBTKABC | Assignment of CO-ABC Templates to Costing Rules | |||
JBTKREG | Costing Rule | |||
JBTKREG_SPREADS | Markups/Markdowns on Opportunity Interest | |||
JBTKRET | Costing Rule Texts | |||
JBTKZEIT | Costing Times | |||
JBTOBJ1 | Segment Table for Financial Transactions, STC Part | |||
JBTOBJP | Commission Fields for Financial Transactions | |||
JBTOZGW | Weighting of Opportunity Interest Rate | |||
JBTSPREADS | Opportunity Interest Rate Markups and Markdowns | |||
JBTSPREAD_METH | Process for Markups or Markdowns | |||
JBTSPREAD_METH_T | Process for Markups or Markdowns | |||
JBTTABNAME | Table Name of Customizing Table | |||
JBTVERF | Costing Procedure in IS-B Based on Detailed Concept | |||
JBTVERT | Costing Procedure Texts | |||
JBT_FTP_CALC_TRA | Settings for Tranches for Calculation of Opp. Int. Rate | |||
JBT_VAL_AR_ACT | Activate TRM Valuation Area in SEM PA | |||
JBT_VA_AR_AC_VI | Generierte Tabelle zu einem View | |||
JBVBETA | Generierte Tabelle zu einem View | |||
JBVBFART | Generierte Tabelle zu einem View | |||
JBVBFHA | Generated Table for View | |||
JBVBGRPO | Generierte Tabelle zu einem View | |||
JBVBLAN | Generierte Tabelle zu einem View | |||
JBVDFUNCDEAKT | Generated Table for View | |||
JBVIDXG | Generierte Tabelle zu einem View | |||
JBVJBDT56PD | Generierte Tabelle zu einem View | |||
JBVJBDT56PR | Generierte Tabelle zu einem View | |||
JBVOBJRM | Generierte Tabelle zu einem View | |||
JBVPHDEF | Generierte Tabelle zu einem View | |||
JBVPLANV | Generierte Tabelle zu einem View | |||
JBVROBJ2 | Generated Table for View | |||
JBVSICRIT | Generierte Tabelle zu einem View | |||
JBVT056PD | Generierte Tabelle zu einem View | |||
JBVT056PR | Generierte Tabelle zu einem View | |||
JBVT056R | Generierte Tabelle zu einem View | |||
JBVTDALLBCA | Generierte Tabelle zu einem View | |||
JBVTZPA | Generated Table for View | |||
JBV_JBDT56P | Generierte Tabelle zu einem View | |||
JBV_T056P | Generierte Tabelle zu einem View |