| 1 | CreditCardAccountSetup |
.CreditCardProcessors |
(Accounts Receivable) |
‑‑‑> | CreditCardProcessors |
.RecId |
(Accounts Receivable) |
| 2 | CreditCardAuthTrans |
.CreditCardProcessors |
(Accounts Receivable) |
‑‑‑> | CreditCardProcessors |
.RecId |
(Accounts Receivable) |
| 3 | CreditCardAuthTrans |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 4 | CreditCardAuthTrans |
.SalesInvoiceId |
(Accounts Receivable) |
‑‑‑> | CustInvoiceJour |
.InvoiceId |
(Accounts Receivable) |
| 5 | CreditCardAuthTrans |
.SalesId |
(Accounts Receivable) |
‑‑‑> | SalesTable |
.SalesId |
(Procurement and sourcing) |
| 6 | CreditCardCust |
.CreditCardProcessors |
(Accounts Receivable) |
‑‑‑> | CreditCardProcessors |
.RecId |
(Accounts Receivable) |
| 7 | CreditCardCust |
.CustAccount |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 8 | CreditCardCust |
.CustAccount |
(Accounts Receivable) |
‑‑‑> | SalesTable |
.InvoiceAccount |
(Procurement and sourcing) |
| 9 | CreditCardTypeCurrency |
.CreditCardTypeSetup |
(Accounts Receivable) |
‑‑‑> | CreditCardTypeSetup |
.RecId |
(Accounts Receivable) |
| 10 | CreditCardTypeCurrency |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 11 | CreditCardTypeSetup |
.CreditCardProcessors |
(Accounts Receivable) |
‑‑‑> | CreditCardProcessors |
.RecId |
(Accounts Receivable) |
| 12 | CreditCardTypeSetup |
.PaymentJournal |
(Accounts Receivable) |
‑‑‑> | LedgerJournalName |
.JournalName |
(General ledger) |
| 13 | CustAccountStatementExtTmp |
.CustTable_Currency |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 14 | CustAccountStatementExtTmp |
.BalanceCurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 15 | CustAccountStatementExtTmp |
.ClosingCurrency |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 16 | CustAccountStatementExtTmp |
.Currency |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 17 | CustAccountStatementExtTmp |
.CustTrans_CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 18 | CustAccountStatementExtTmp |
.Header_CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 19 | CustAccountStatementExtTmp |
.Tmp_Currency |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 20 | CustAccountStatementExtTmp |
.CustTable_AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 21 | CustAccountStatementExtTmp |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 22 | CustAccountStatementExtTmp |
.currencyCodeISO_CH |
(Accounts Receivable) |
‑‑‑> | ISOCurrencyCode |
.ISCCurrencyCodeAlpha |
(General ledger) |
| 23 | CustAging |
.CustTable |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 24 | CustAging |
.StatRepInterval |
(Accounts Receivable) |
‑‑‑> | StatRepInterval |
.Name |
(General ledger) |
| 25 | CustAgingLegalEntity |
.SourceLegalEntity |
(Accounts Receivable) |
‑‑‑> | CompanyInfo |
.RecId |
(General ledger) |
| 26 | CustAgingLegalEntity |
.CustAging |
(Accounts Receivable) |
‑‑‑> | CustAging |
.RecId |
(Accounts Receivable) |
| 27 | CustAgingLine |
.CustAgingLegalEntity |
(Accounts Receivable) |
‑‑‑> | CustAgingLegalEntity |
.RecId |
(Accounts Receivable) |
| 28 | CustAgingLine |
.StatRepIntervalLineName |
(Accounts Receivable) |
‑‑‑> | StatRepInterval |
.Name |
(General ledger) |
| 29 | CustAgingLine |
.StatRepIntervalLineName, .StatRepIntervalLineNum |
(Accounts Receivable) |
‑‑‑> | StatRepIntervalLine |
.Name, .LineNum |
(General ledger) |
| 30 | CustAgingReportTmp |
.Currency |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 31 | CustAgingReportTmp |
.CustGroup |
(Accounts Receivable) |
‑‑‑> | CustGroup |
.CustGroup |
(Accounts Receivable) |
| 32 | CustAgingReportTmp |
.CustAccount |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 33 | CustAuditorTmp |
.PostingProfile |
(Accounts Receivable) |
‑‑‑> | CustLedger |
.PostingProfile |
(Accounts Receivable) |
| 34 | CustAuditorTmp |
.CustAccount |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 35 | CustAuditorTmp |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 36 | CustAuditorTmp |
.SummaryLedgerDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
| 37 | CustAuditorTmp |
.MainAccountId |
(Accounts Receivable) |
‑‑‑> | MainAccount |
.MainAccountId |
(General ledger) |
| 38 | CustBalanceListTmp |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 39 | CustBankAccount |
.BankConstantSymbol |
(Accounts Receivable) |
‑‑‑> | BankConstantSymbol |
.RecId |
(Cash and bank management) |
| 40 | CustBankAccount |
.BankGroupId |
(Accounts Receivable) |
‑‑‑> | BankGroup |
.BankGroupId |
(Cash and bank management) |
| 41 | CustBankAccount |
.Fky?, .ForeignBank_RU |
(Accounts Receivable) |
‑‑‑> | BankGroup |
.Pky?, .BankGroupId |
(Cash and bank management) |
| 42 | CustBankAccount |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 43 | CustBankAccount |
.AccountID, .CustAccount |
(Accounts Receivable) |
‑‑‑> | CustBankAccount |
.AccountID, .CustAccount |
(Accounts Receivable) |
| 44 | CustBankAccount |
.CustAccount |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 45 | CustBankAccount |
.Location |
(Accounts Receivable) |
‑‑‑> | LogisticsLocation |
.RecId |
(Sales and marketing) |
| 46 | CustBillOfExchangeInvoice |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 47 | CustBillOfExchangeInvoice |
.BillOfExchangeId |
(Accounts Receivable) |
‑‑‑> | CustBillOfExchangeJour |
.BillOfExchangeId |
(Accounts Receivable) |
| 48 | CustBillOfExchangeInvoice |
.RecipientAccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 49 | CustBillOfExchangeInvoice |
.InvoiceAccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 50 | CustBillOfExchangeInvoice |
.BillOfExchangeId |
(Accounts Receivable) |
‑‑‑> | CustTrans |
.BillOfExchangeID |
(Accounts Receivable) |
| 51 | CustBillOfExchangeInvoice |
.InvoiceCompany, .InvoiceId |
(Accounts Receivable) |
‑‑‑> | CustTrans |
.dataAreaId, .Invoice |
(Accounts Receivable) |
| 52 | CustBillOfExchangeJour |
.CustAccount |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 53 | CustBillOfExchangeJour |
.Fky? |
(Accounts Receivable) |
‑‑‑> | LedgerJournalTrans |
.Pky? |
(General ledger) |
| 54 | CustBillOfExchangeJour |
.LedgerJournalTransRecId |
(Accounts Receivable) |
‑‑‑> | LedgerJournalTrans |
.RecId |
(General ledger) |
| 55 | CustBillOfExchangeJourExtensionJP |
.CustBillOfExchangeJour |
(Accounts Receivable) |
‑‑‑> | CustBillOfExchangeJour |
.BillOfExchangeId |
(Accounts Receivable) |
| 56 | CustBillOfExchangeJourExtensionJP |
.VendAccount |
(Accounts Receivable) |
‑‑‑> | VendTable |
.AccountNum |
(Procurement and sourcing) |
| 57 | CustBillOfExchangeReportTmp |
.Currency |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 58 | CustBillOfExchangeReportTmp |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 59 | CustBillOfExchangeReportTmp |
.BillOfExchangeId |
(Accounts Receivable) |
‑‑‑> | CustBillOfExchangeJour |
.BillOfExchangeId |
(Accounts Receivable) |
| 60 | CustBillOfExchangeReportTmp |
.PostingProfile |
(Accounts Receivable) |
‑‑‑> | CustLedger |
.PostingProfile |
(Accounts Receivable) |
| 61 | CustBillOfExchangeReportTmp |
.CustAccount |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 62 | CustBillOfExchangeReportTmp |
.InvoiceAccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 63 | CustBillOfExchangeReportTmp |
.InvoiceCompany, .Fky? |
(Accounts Receivable) |
‑‑‑> | DataArea |
.id, .Pky? |
(Unknown module) |
| 64 | CustBillOfExchangeTrans |
.RemittedToBankAccountId |
(Accounts Receivable) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
| 65 | CustBillOfExchangeTrans |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 66 | CustBillOfExchangeTrans |
.BillOfExchangeId |
(Accounts Receivable) |
‑‑‑> | CustBillOfExchangeJour |
.BillOfExchangeId |
(Accounts Receivable) |
| 67 | CustBillOfExchangeTrans |
.CustAccount |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 68 | CustBillOfExchangeTransExtensionJP |
.CustBillOfExchangeTrans |
(Accounts Receivable) |
‑‑‑> | CustBillOfExchangeTrans |
.RecId |
(Accounts Receivable) |
| 69 | CustBillOfExchangeTransExtensionJP |
.ReverseOffsetRecid |
(Accounts Receivable) |
‑‑‑> | CustBillOfExchangeTrans |
.RecId |
(Accounts Receivable) |
| 70 | CustBillOfExchangeTransExtensionJP |
.VendAccount |
(Accounts Receivable) |
‑‑‑> | VendTable |
.AccountNum |
(Procurement and sourcing) |
| 71 | CustCollectionJourTmp |
.CollectionLetterCurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 72 | CustCollectionJourTmp |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 73 | CustCollectionJourTmp |
.CurrencyCodeEuro |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 74 | CustCollectionJourTmp |
.CustCollectionTrans_CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 75 | CustCollectionJourTmp |
.CustCollectionLetterJour_AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 76 | CustCollectionJourTmp |
.currencyCodeISO_CH |
(Accounts Receivable) |
‑‑‑> | ISOCurrencyCode |
.ISCCurrencyCodeAlpha |
(General ledger) |
| 77 | CustCollectionJourTmp |
.TaxCode |
(Accounts Receivable) |
‑‑‑> | TaxTable |
.TaxCode |
(Tax) |
| 78 | CustCollectionLetterJour |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 79 | CustCollectionLetterJour |
.CustBillingClassification |
(Accounts Receivable) |
‑‑‑> | CustBillingClassification |
.RecId |
(Public Sector SL1) |
| 80 | CustCollectionLetterJour |
.PostingProfile |
(Accounts Receivable) |
‑‑‑> | CustLedger |
.PostingProfile |
(Accounts Receivable) |
| 81 | CustCollectionLetterJour |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 82 | CustCollectionLetterJour |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTransOpen |
.AccountNum |
(Accounts Receivable) |
| 83 | CustCollectionLetterJour |
.DefaultDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueSet |
.RecId |
(General ledger) |
| 84 | CustCollectionLetterJour |
.LanguageId, .Fky? |
(Accounts Receivable) |
‑‑‑> | LanguageTable |
.LanguageId, .Pky? |
(Developer and Partner Tools) |
| 85 | CustCollectionLetterJour |
.PostalAddress |
(Accounts Receivable) |
‑‑‑> | LogisticsPostalAddress |
.RecId |
(Sales and marketing) |
| 86 | CustCollectionLetterJour |
.NumberSequenceTable |
(Accounts Receivable) |
‑‑‑> | NumberSequenceTable |
.RecId |
(Server and Tools) |
| 87 | CustCollectionLetterJour |
.PaymTermId |
(Accounts Receivable) |
‑‑‑> | PaymTerm |
.PaymTermId |
(Accounts Payable) |
| 88 | CustCollectionLetterJour |
.TaxGroup |
(Accounts Receivable) |
‑‑‑> | TaxGroupHeading |
.TaxGroup |
(Tax) |
| 89 | CustCollectionLetterJour |
.TaxItemGroup |
(Accounts Receivable) |
‑‑‑> | TaxItemGroupHeading |
.TaxItemGroup |
(Tax) |
| 90 | CustCollectionLetterLine |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 91 | CustCollectionLetterLine |
.CollectionLetterCourse |
(Accounts Receivable) |
‑‑‑> | CustCollectionLetterTable |
.CollectionLetterCourse |
(Accounts Receivable) |
| 92 | CustCollectionLetterLine |
.LedgerDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
| 93 | CustCollectionLetterLine |
.TaxItemGroup |
(Accounts Receivable) |
‑‑‑> | TaxItemGroupHeading |
.TaxItemGroup |
(Tax) |
| 94 | CustCollectionLetterTable |
.PaymTermId |
(Accounts Receivable) |
‑‑‑> | PaymTerm |
.PaymTermId |
(Accounts Payable) |
| 95 | CustCollectionLetterTrans |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 96 | CustCollectionLetterTrans |
.CollectionLetterNum |
(Accounts Receivable) |
‑‑‑> | CustCollectionLetterJour |
.CollectionLetterNum |
(Accounts Receivable) |
| 97 | CustCollectionLetterTrans |
.AccountNum, .CollectionLetterNum |
(Accounts Receivable) |
‑‑‑> | CustCollectionLetterJour |
.AccountNum, .CollectionLetterNum |
(Accounts Receivable) |
| 98 | CustCollectionLetterTrans |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 99 | CustCollectionLetterTrans |
.CustTransId |
(Accounts Receivable) |
‑‑‑> | CustTrans |
.RecId |
(Accounts Receivable) |
| 100 | CustCollectionsAgent |
.DefaultCustomerPool |
(Accounts Receivable) |
‑‑‑> | CustCollectionsPool |
.Name |
(Accounts Receivable) |
| 101 | CustCollectionsAgent |
.DirPartyRelationship |
(Accounts Receivable) |
‑‑‑> | DirPartyRelationship |
.RecId |
(Sales and marketing) |
| 102 | CustCollectionsAgentPool |
.CustCollectionsAgent |
(Accounts Receivable) |
‑‑‑> | CustCollectionsAgent |
.RecId |
(Accounts Receivable) |
| 103 | CustCollectionsAgentPool |
.Fky?, .CustomerPoolId |
(Accounts Receivable) |
‑‑‑> | CustCollectionsPool |
.Pky?, .Name |
(Accounts Receivable) |
| 104 | CustCollectionsCaseDetail |
.RecId |
(Accounts Receivable) |
‑‑‑> | CaseDetailBase |
.RecId |
(Sales and marketing) |
| 105 | CustCollectionsContact |
.ContactPersonId |
(Accounts Receivable) |
‑‑‑> | ContactPerson |
.ContactPersonId |
(Sales and marketing) |
| 106 | CustCollectionsContact |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 107 | CustDefaultLocation |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 108 | CustDefaultLocation |
.PartyLocationRole |
(Accounts Receivable) |
‑‑‑> | DirPartyLocationRole |
.RecId |
(Sales and marketing) |
| 109 | CustDispute |
.CustTrans |
(Accounts Receivable) |
‑‑‑> | CustTrans |
.RecId |
(Accounts Receivable) |
| 110 | CustDispute |
.ReasonTableRef |
(Accounts Receivable) |
‑‑‑> | ReasonTableRef |
.RecId |
(General ledger) |
| 111 | CustDueReportDetailTmp |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 112 | CustDueReportDetailTmp |
.CustGroup, .AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.CustGroup, .AccountNum |
(Sales and marketing) |
| 113 | CustDueReportDetailTmp |
.Invoice, .PaymReference |
(Accounts Receivable) |
‑‑‑> | CustTrans |
.Invoice, .PaymReference |
(Accounts Receivable) |
| 114 | CustExchRateAdjSimulationTmp |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 115 | CustExchRateAdjSimulationTmp |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 116 | CustGroup |
.BankCustPaymIdTable |
(Accounts Receivable) |
‑‑‑> | BankCustPaymIdTable |
.RecId |
(Global financial management - Western Europe) |
| 117 | CustGroup |
.DefaultDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueSet |
.RecId |
(General ledger) |
| 118 | CustGroup |
.ClearingPeriod |
(Accounts Receivable) |
‑‑‑> | PaymTerm |
.PaymTermId |
(Accounts Payable) |
| 119 | CustGroup |
.PaymTermId |
(Accounts Receivable) |
‑‑‑> | PaymTerm |
.PaymTermId |
(Accounts Payable) |
| 120 | CustGroup |
.TaxPeriodPaymentCode_PL |
(Accounts Receivable) |
‑‑‑> | PlTaxDueTable |
.TaxPeriodPaymentCode |
(Global financial management - Eastern Europe) |
| 121 | CustGroup |
.TaxGroupId |
(Accounts Receivable) |
‑‑‑> | TaxGroupHeading |
.TaxGroup |
(Tax) |
| 122 | CustInPaymentCHTmp |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 123 | CustInPaymentCHTmp |
.CurrencyCodeTotal |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 124 | CustInPaymentCHTmp |
.LedgerDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
| 125 | CustInPaymentCHTmp |
.LedgerJournalId |
(Accounts Receivable) |
‑‑‑> | LedgerJournalTable |
.JournalNum |
(General ledger) |
| 126 | CustInterestAdjustmentHistory |
.InterestNote |
(Accounts Receivable) |
‑‑‑> | CustInterestJour |
.InterestNote |
(Accounts Receivable) |
| 127 | CustInterestAdjustmentHistory |
.CustInvoiceTable |
(Accounts Receivable) |
‑‑‑> | CustInvoiceTable |
.RecId |
(Accounts Receivable) |
| 128 | CustInterestAdjustmentHistory |
.createdBy |
(Accounts Receivable) |
‑‑‑> | UserInfo |
.id |
(Unknown module) |
| 129 | CustInterestFee |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 130 | CustInterestFee |
.CustInterestVersionDetail |
(Accounts Receivable) |
‑‑‑> | CustInterestVersionDetail |
.RecId |
(Accounts Receivable) |
| 131 | CustInterestFee |
.FeeLedgerDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
| 132 | CustInterestFee |
.TaxItemGroup |
(Accounts Receivable) |
‑‑‑> | TaxItemGroupHeading |
.TaxItemGroup |
(Tax) |
| 133 | CustInterestJour |
.GiroAccountId |
(Accounts Receivable) |
‑‑‑> | BankAccountTable |
.AccountID |
(Cash and bank management) |
| 134 | CustInterestJour |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 135 | CustInterestJour |
.CustBillingClassification |
(Accounts Receivable) |
‑‑‑> | CustBillingClassification |
.RecId |
(Public Sector SL1) |
| 136 | CustInterestJour |
.FeeLastAdjustmentInvoice |
(Accounts Receivable) |
‑‑‑> | CustInvoiceTable |
.RecId |
(Accounts Receivable) |
| 137 | CustInterestJour |
.PostingProfile |
(Accounts Receivable) |
‑‑‑> | CustLedger |
.PostingProfile |
(Accounts Receivable) |
| 138 | CustInterestJour |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 139 | CustInterestJour |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTransOpen |
.AccountNum |
(Accounts Receivable) |
| 140 | CustInterestJour |
.DefaultDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueSet |
.RecId |
(General ledger) |
| 141 | CustInterestJour |
.LanguageId, .Fky? |
(Accounts Receivable) |
‑‑‑> | LanguageTable |
.LanguageId, .Pky? |
(Developer and Partner Tools) |
| 142 | CustInterestJour |
.PostalAddress |
(Accounts Receivable) |
‑‑‑> | LogisticsPostalAddress |
.RecId |
(Sales and marketing) |
| 143 | CustInterestJour |
.NumberSequenceTable |
(Accounts Receivable) |
‑‑‑> | NumberSequenceTable |
.RecId |
(Server and Tools) |
| 144 | CustInterestJour |
.TaxGroup |
(Accounts Receivable) |
‑‑‑> | TaxGroupHeading |
.TaxGroup |
(Tax) |
| 145 | CustInterestJour |
.TaxItemGroup |
(Accounts Receivable) |
‑‑‑> | TaxItemGroupHeading |
.TaxItemGroup |
(Tax) |
| 146 | CustInterestNoteTmp |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 147 | CustInterestNoteTmp |
.CustCurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 148 | CustInterestNoteTmp |
.InterestCode |
(Accounts Receivable) |
‑‑‑> | CustInterest |
.InterestCode |
(Accounts Receivable) |
| 149 | CustInterestNoteTmp |
.InterestNote |
(Accounts Receivable) |
‑‑‑> | CustInterestJour |
.InterestNote |
(Accounts Receivable) |
| 150 | CustInterestNoteTmp |
.AccountNum |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 151 | CustInterestNoteTmp |
.currencyCodeISO_CH |
(Accounts Receivable) |
‑‑‑> | ISOCurrencyCode |
.ISCCurrencyCodeAlpha |
(General ledger) |
| 152 | CustInterestNoteTmp |
.PaymentTerms |
(Accounts Receivable) |
‑‑‑> | PaymTerm |
.PaymTermId |
(Accounts Payable) |
| 153 | CustInterestNoteTmp |
.TaxCode |
(Accounts Receivable) |
‑‑‑> | TaxTable |
.TaxCode |
(Tax) |
| 154 | CustInterestRange |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 155 | CustInterestRange |
.CustInterestFee |
(Accounts Receivable) |
‑‑‑> | CustInterestFee |
.RecId |
(Accounts Receivable) |
| 156 | CustInterestTrans |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 157 | CustInterestTrans |
.InterestNote |
(Accounts Receivable) |
‑‑‑> | CustInterestJour |
.InterestNote |
(Accounts Receivable) |
| 158 | CustInterestTrans |
.CustInvoiceLineIdRef |
(Accounts Receivable) |
‑‑‑> | CustInvoiceLineIdRef |
.RecId |
(Accounts Receivable) |
| 159 | CustInterestTrans |
.LastAdjustmentInvoice |
(Accounts Receivable) |
‑‑‑> | CustInvoiceTable |
.RecId |
(Accounts Receivable) |
| 160 | CustInterestTrans |
.CustTransId |
(Accounts Receivable) |
‑‑‑> | CustTrans |
.RecId |
(Accounts Receivable) |
| 161 | CustInterestTrans |
.GeneralJournalEntry |
(Accounts Receivable) |
‑‑‑> | GeneralJournalEntry |
.RecId |
(General ledger) |
| 162 | CustInterestVersion |
.CustInterest |
(Accounts Receivable) |
‑‑‑> | CustInterest |
.RecId |
(Accounts Receivable) |
| 163 | CustInterestVersionDetail |
.CustInterestVersion |
(Accounts Receivable) |
‑‑‑> | CustInterestVersion |
.RecId |
(Accounts Receivable) |
| 164 | CustInterestVersionDetail |
.LedgerDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
| 165 | CustInterestWaiveLimit |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 166 | CustInterestWriteOffUnPostedJournal |
.InterestNote |
(Accounts Receivable) |
‑‑‑> | CustInterestJour |
.InterestNote |
(Accounts Receivable) |
| 167 | CustInterestWriteOffUnPostedJournal |
.LedgerJournalTrans |
(Accounts Receivable) |
‑‑‑> | LedgerJournalTrans |
.RecId |
(General ledger) |
| 168 | CustInvoice4PaymFTILink |
.CustInvoice4PaymJour |
(Accounts Receivable) |
‑‑‑> | CustInvoice4PaymJour_RU |
.RecId |
(Global financial management - Russia) |
| 169 | CustInvoice4PaymFTILink |
.CustInvoiceTable |
(Accounts Receivable) |
‑‑‑> | CustInvoiceTable |
.RecId |
(Accounts Receivable) |
| 170 | CustInvoiceBackorderLine |
.SalesId, .InvoiceId, .InvoiceDate, .NumberSequenceGroup |
(Accounts Receivable) |
‑‑‑> | CustInvoiceJour |
.SalesId, .InvoiceId, .InvoiceDate, .numberSequenceGroup |
(Accounts Receivable) |
| 171 | CustInvoiceBackorderLine |
.InventDimId |
(Accounts Receivable) |
‑‑‑> | InventDim |
.inventDimId |
(Inventory and warehouse management) |
| 172 | CustInvoiceBackorderLine |
.ItemId |
(Accounts Receivable) |
‑‑‑> | InventTable |
.ItemId |
(Inventory and warehouse management) |
| 173 | CustInvoiceBackorderLine |
.InventTransId |
(Accounts Receivable) |
‑‑‑> | InventTransOrigin |
.InventTransId |
(Inventory and warehouse management) |
| 174 | CustInvoiceBackorderLine |
.NumberSequenceGroup |
(Accounts Receivable) |
‑‑‑> | NumberSequenceGroup |
.numberSequenceGroupId |
(Server and Tools) |
| 175 | CustInvoiceBackorderLine |
.SalesId |
(Accounts Receivable) |
‑‑‑> | SalesTable |
.SalesId |
(Procurement and sourcing) |
| 176 | CustInvoiceBackorderLine |
.OrigSalesId |
(Accounts Receivable) |
‑‑‑> | SalesTable |
.SalesId |
(Procurement and sourcing) |
| 177 | CustInvoiceBackorderLine |
.SalesUnit |
(Accounts Receivable) |
‑‑‑> | UnitOfMeasure |
.Symbol |
(Inventory and warehouse management) |
| 178 | CustInvoiceDistributionTemplate |
.CustInvoiceLineTemplate |
(Accounts Receivable) |
‑‑‑> | CustInvoiceLineTemplate |
.RecId |
(Accounts Receivable) |
| 179 | CustInvoiceDistributionTemplate |
.LedgerDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueCombination |
.RecId |
(General ledger) |
| 180 | CustInvoiceJour |
.BankLCExportLine |
(Accounts Receivable) |
‑‑‑> | BankLCExportLine |
.RecId |
(Cash and bank management) |
| 181 | CustInvoiceJour |
.CashDiscCode |
(Accounts Receivable) |
‑‑‑> | CashDisc |
.CashDiscCode |
(Financial management) |
| 182 | CustInvoiceJour |
.ContactPersonId |
(Accounts Receivable) |
‑‑‑> | ContactPerson |
.ContactPersonId |
(Sales and marketing) |
| 183 | CustInvoiceJour |
.CurrencyCode |
(Accounts Receivable) |
‑‑‑> | Currency |
.CurrencyCode |
(General ledger) |
| 184 | CustInvoiceJour |
.CustGroup |
(Accounts Receivable) |
‑‑‑> | CustGroup |
.CustGroup |
(Accounts Receivable) |
| 185 | CustInvoiceJour |
.InvoiceId |
(Accounts Receivable) |
‑‑‑> | CustInvoiceJour |
.InvoiceId |
(Accounts Receivable) |
| 186 | CustInvoiceJour |
.ReversedRecId |
(Accounts Receivable) |
‑‑‑> | CustInvoiceJour |
.RecId |
(Accounts Receivable) |
| 187 | CustInvoiceJour |
.RecId |
(Accounts Receivable) |
‑‑‑> | CustInvoiceJour |
.RecId |
(Accounts Receivable) |
| 188 | CustInvoiceJour |
.InvoiceId, .InvoiceDate, .numberSequenceGroup |
(Accounts Receivable) |
‑‑‑> | CustInvoiceTable |
.InvoiceId, .InvoiceDate, .numberSequenceGroup |
(Accounts Receivable) |
| 189 | CustInvoiceJour |
.PostingProfile |
(Accounts Receivable) |
‑‑‑> | CustLedger |
.PostingProfile |
(Accounts Receivable) |
| 190 | CustInvoiceJour |
.OrderAccount |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 191 | CustInvoiceJour |
.InvoiceAccount |
(Accounts Receivable) |
‑‑‑> | CustTable |
.AccountNum |
(Sales and marketing) |
| 192 | CustInvoiceJour |
.InterCompanyCompanyId, .Fky? |
(Accounts Receivable) |
‑‑‑> | DataArea |
.id, .Pky? |
(Unknown module) |
| 193 | CustInvoiceJour |
.DefaultDimension |
(Accounts Receivable) |
‑‑‑> | DimensionAttributeValueSet |
.RecId |
(General ledger) |
| 194 | CustInvoiceJour |
.DlvMode |
(Accounts Receivable) |
‑‑‑> | DlvMode |
.Code |
(Procurement and sourcing) |
| 195 | CustInvoiceJour |
.DlvTerm |
(Accounts Receivable) |
‑‑‑> | DlvTerm |
.Code |
(Procurement and sourcing) |
| 196 | CustInvoiceJour |
.WorkerSalesTaker |
(Accounts Receivable) |
‑‑‑> | HcmWorker |
.RecId |
(Human resources) |
| 197 | CustInvoiceJour |
.inventLocationId |
(Accounts Receivable) |
‑‑‑> | InventLocation |
.InventLocationId |
(Inventory and warehouse management) |
| 198 | CustInvoiceJour |
.PrintMgmtSiteId |
(Accounts Receivable) |
‑‑‑> | InventSite |
.SiteId |
(Inventory and warehouse management) |
| 199 | CustInvoiceJour |
.LanguageId, .Fky? |
(Accounts Receivable) |
‑‑‑> | LanguageTable |
.LanguageId, .Pky? |
(Developer and Partner Tools) |
| 200 | CustInvoiceJour |
.DeliveryPostalAddress |
(Accounts Receivable) |
‑‑‑> | LogisticsPostalAddress |
.RecId |
(Sales and marketing) |
| 201 | CustInvoiceJour |
.InvoicePostalAddress |
(Accounts Receivable) |
‑‑‑> | LogisticsPostalAddress |
.RecId |
(Sales and marketing) |
| 202 | CustInvoiceJour |
.numberSequenceGroup |
(Accounts Receivable) |
‑‑‑> | NumberSequenceGroup |
.numberSequenceGroupId |
(Server and Tools) |
| 203 | CustInvoiceJour |
.PaymDayId |
(Accounts Receivable) |
‑‑‑> | PaymDay |
.PaymDayId |
(Accounts Payable) |
| 204 | CustInvoiceJour |
.PaymentSched |
(Accounts Receivable) |
‑‑‑> | PaymSched |
.Name |
(Accounts Payable) |
| 205 | CustInvoiceJour |
.Payment |
(Accounts Receivable) |
‑‑‑> | PaymTerm |
.PaymTermId |
(Accounts Payable) |
| 206 | CustInvoiceJour |
.ReasonTableRef |
(Accounts Receivable) |
‑‑‑> | ReasonTableRef |
.RecId |
(General ledger) |
| 207 | CustInvoiceJour |
.ReturnReasonCodeId |
(Accounts Receivable) |
‑‑‑> | ReturnReasonCode |
.ReasonCodeId |
(Procurement and sourcing) |
| 208 | CustInvoiceJour |
.SalesOriginId |
(Accounts Receivable) |
‑‑‑> | SalesOrigin |
.OriginId |
(Procurement and sourcing) |
| 209 | CustInvoiceJour |
.SalesId |
(Accounts Receivable) |
‑‑‑> | SalesTable |
.SalesId |
(Procurement and sourcing) |
| 210 | CustInvoiceJour |
.SourceDocumentHeader |
(Accounts Receivable) |
‑‑‑> | SourceDocumentHeader |
.RecId |
(General ledger) |
| 211 | CustInvoiceJour |
.SourceDocumentLine |
(Accounts Receivable) |
‑‑‑> | SourceDocumentLine |
.RecId |
(General ledger) |
| 212 | CustInvoiceJour |
.TaxGroup |
(Accounts Receivable) |
‑‑‑> | TaxGroupHeading |
.TaxGroup |
(Tax) |
| 213 | CustInvoiceJour |
.TaxItemGroup |
(Accounts Receivable) |
‑‑‑> | TaxItemGroupHeading |
.TaxItemGroup |
(Tax) |
| 214 | CustInvoiceJour |
.TransportationDocument |
(Accounts Receivable) |
‑‑‑> | TransportationDocument |
.RecId |
(Global financial management - Western Europe) |
| 215 | CustInvoiceJour |
.BillOfLadingId |
(Accounts Receivable) |
‑‑‑> | WMSBillOfLading |
.billOfLadingId |
(Inventory and warehouse management) |