201 | BankLCImport |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankLCImportCharge_SA |
.BankLCImport |
(Global financial management - Asia Pacific) |
202 | BankLCImport |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankLCImportHistory |
.BankLCImport |
(Cash and bank management) |
203 | BankLCImport |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankLCImportMargin |
.BankLCImport |
(Cash and bank management) |
204 | BankLCImportHistory |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankLCImportLineHistory |
.BankLCImportHistory |
(Cash and bank management) |
205 | BankLCImportLine |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankLCImportChargeAllocation_SA |
.BankLCImportLine |
(Global financial management - Asia Pacific) |
206 | BankLCImportLine |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankLCImportMarginAllocation |
.BankLCImportLine |
(Cash and bank management) |
207 | BankLCImportLine |
.RecId |
(Cash and bank management) |
<‑‑‑ | PurchParmTable |
.BankLCImportLine |
(Procurement and sourcing) |
208 | BankLCImportLine |
.RecId |
(Cash and bank management) |
<‑‑‑ | VendInvoiceInfoTable |
.BankLCImportLine |
(Accounts Payable) |
209 | BankLCImportLine |
.RecId |
(Cash and bank management) |
<‑‑‑ | VendInvoiceJour |
.BankLCImportLine |
(Accounts Payable) |
210 | BankLCImportLine |
.RecId |
(Cash and bank management) |
<‑‑‑ | VendTrans |
.BankLCImportLine |
(Accounts Payable) |
211 | BankLCImportLine |
.RecId |
(Cash and bank management) |
<‑‑‑ | VendTransOpen |
.BankLCImportLine |
(Accounts Payable) |
212 | BankLCImportMargin |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankLCImportMarginAllocation |
.BankLCImportMargin |
(Cash and bank management) |
213 | BankLCLine |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankLCExportLine |
.RecId |
(Cash and bank management) |
214 | BankLCLine |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankLCImportLine |
.RecId |
(Cash and bank management) |
215 | BankLCLine |
.RecId |
(Cash and bank management) |
<‑‑‑ | LedgerJournalTransBankLC |
.BankLCLine |
(General ledger) |
216 | BankLGAction |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankLGGuarantee |
.CurrentAction |
(Cash and bank management) |
217 | BankLGAmountCalculation |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankLGFacilityAgreementLine |
.CashMarginCalc |
(Cash and bank management) |
218 | BankLGAmountCalculation |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankLGFacilityAgreementLine |
.DecreaseValueCommissionCalc |
(Cash and bank management) |
219 | BankLGAmountCalculation |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankLGFacilityAgreementLine |
.ExtensionCommissionCalc |
(Cash and bank management) |
220 | BankLGAmountCalculation |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankLGFacilityAgreementLine |
.IncreaseValueCommissionCalc |
(Cash and bank management) |
221 | BankLGAmountCalculation |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankLGFacilityAgreementLine |
.IssuanceCommissionCalc |
(Cash and bank management) |
222 | BankLGGuarantee |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankLGAction |
.Guarantee |
(Cash and bank management) |
223 | BankLGGuarantee |
.Number |
(Cash and bank management) |
<‑‑‑ | BankLGGuarantee |
.Number |
(Cash and bank management) |
224 | BankLGGuarantee |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankLGGuaranteeCustomerSalesOrder |
.Guarantee |
(Cash and bank management) |
225 | BankLGGuarantee |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankLGGuaranteeProject |
.Guarantee |
(Cash and bank management) |
226 | BankLGGuarantee |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankLGGuaranteePurchaseOrder |
.Guarantee |
(Cash and bank management) |
227 | BankLGGuarantee |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankLGGuaranteeSalesQuotation |
.Guarantee |
(Cash and bank management) |
228 | BankPromissoryNoteTable |
.PromissoryNoteNum |
(Cash and bank management) |
<‑‑‑ | LedgerJournalTrans |
.BankPromissoryNoteNum |
(General ledger) |
229 | BankPromissoryNoteTable |
.PromissoryNoteNum |
(Cash and bank management) |
<‑‑‑ | VendPromissoryNoteJour |
.DocumentNum |
(Accounts Payable) |
230 | BankPromissoryNoteTable |
.PromissoryNoteNum |
(Cash and bank management) |
<‑‑‑ | VendPromissoryNoteTrans |
.BankPromissoryNoteNum |
(Accounts Payable) |
231 | BankReconciliationHeader |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankReconciliationHeader |
.RecId |
(Cash and bank management) |
232 | BankReconciliationHeader |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankReconciliationHistoryDetails |
.BankReconciliationHeader |
(Cash and bank management) |
233 | BankReconciliationHeader |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankReconciliationMatching |
.BankReconciliationHeader |
(Cash and bank management) |
234 | BankReconciliationMatching |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankReconciliationMatchingItem |
.BankReconciliationMatching |
(Cash and bank management) |
235 | BankReconciliationMatchRule |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankAccountTable |
.BankReconMatchRuleManualMatch |
(Cash and bank management) |
236 | BankReconciliationMatchRule |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankAccountTable |
.BankReconMatchRuleManualReversal |
(Cash and bank management) |
237 | BankReconciliationMatchRule |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankReconciliationMatchRuleLine |
.BankReconciliationMatchRule |
(Cash and bank management) |
238 | BankReconciliationMatchRule |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankReconciliationMatchRuleSetLine |
.BankReconciliationMatchRule |
(Cash and bank management) |
239 | BankReconciliationMatchRuleSet |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankAccountTable |
.BankReconciliationMatchRuleSet |
(Cash and bank management) |
240 | BankReconciliationMatchRuleSet |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankReconciliationMatchRuleSetLine |
.BankReconciliationMatchRuleSet |
(Cash and bank management) |
241 | BankRemittanceFilesCust |
.FileId |
(Cash and bank management) |
<‑‑‑ | CustTrans |
.BankRemittanceFileId |
(Accounts Receivable) |
242 | BankRemittanceFilesCust |
.FileId |
(Cash and bank management) |
<‑‑‑ | LedgerJournalTrans |
.BankRemittanceFileId |
(General ledger) |
243 | BankRemittanceFilesVend |
.FileId |
(Cash and bank management) |
<‑‑‑ | LedgerJournalTrans |
.BankRemittanceFileId |
(General ledger) |
244 | BankRemittanceFilesVend |
.FileId |
(Cash and bank management) |
<‑‑‑ | VendTrans |
.BankRemittanceFileId |
(Accounts Payable) |
245 | BankStatementFormat |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankAccountTable |
.BankStatementFormat |
(Cash and bank management) |
246 | BankStatementFormat |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankGroup |
.BankStatementFormat |
(Cash and bank management) |
247 | BankStatementTransactionTypeHeader |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankStatementTransactionTypeMapping |
.BankStatementTransactionTypeHeader |
(Cash and bank management) |
248 | BankStmtISOAccountStatement |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankStmtISOCashBalance |
.BankStmtISOAccountStatement |
(Cash and bank management) |
249 | BankStmtISOAccountStatement |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankStmtISOReportEntry |
.BankStmtISOAccountStatement |
(Cash and bank management) |
250 | BankStmtISOCashBalance |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankStmtISOCashBalanceAvailibility |
.BankStmtISOCashBalance |
(Cash and bank management) |
251 | BankStmtISODocument |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankStmtISOAccountStatement |
.BankStmtISODocument |
(Cash and bank management) |
252 | BankStmtISODocument |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankStmtISODiscrepancy |
.BankStmtISODocument |
(Cash and bank management) |
253 | BankStmtISOGroupHeader |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankStmtISODocument |
.GroupHeader |
(Cash and bank management) |
254 | BankStmtISOPartyIdentification |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankStmtISOAccountStatement |
.OriginatorId |
(Cash and bank management) |
255 | BankStmtISOPartyIdentification |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankStmtISOAccountStatement |
.UltimateReceiverId |
(Cash and bank management) |
256 | BankStmtISOPartyIdentification |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankStmtISOGroupHeader |
.MessageSender |
(Cash and bank management) |
257 | BankStmtISOPartyIdentification |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankStmtISOGroupHeader |
.MessageRecipient |
(Cash and bank management) |
258 | BankStmtISOPartyIdentification |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankStmtISOReportEntry |
.TradingParty |
(Cash and bank management) |
259 | BankStmtISOReportEntry |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankReconciliationHistoryDetails |
.BankStmtISOReportEntry |
(Cash and bank management) |
260 | BankStmtISOReportEntry |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankReconciliationMatchingItem |
.BankStmtISOReportEntry |
(Cash and bank management) |
261 | BankStmtISOReportEntry |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankReconciliationStatementOpenTmp |
.BankStmtISOReportEntry |
(Cash and bank management) |
262 | BankStmtISOReportEntry |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankStatementLineBankDocumentInformation |
.BankStmtISOReportEntry |
(Cash and bank management) |
263 | BankStmtISOReportEntry |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankStmtISOCashBalanceAvailibility |
.BankStmtISOReportEntry |
(Cash and bank management) |
264 | BankStmtISOReportEntry |
.RecId |
(Cash and bank management) |
<‑‑‑ | BankStmtISOReportEntry |
.ParentBankStmtISOReportEntry |
(Cash and bank management) |
265 | BankStmtISOReportEntry |
.TableId, .RecId |
(Cash and bank management) |
<‑‑‑ | TmpTaxWorkTrans |
.SourceTableId, .SourceRecId |
(Tax) |
266 | BankTransactionTypeGroupHeader |
.BankTransactionTypeGroup |
(Cash and bank management) |
<‑‑‑ | BankTransTypeGroupDetails |
.BankTransactionTypeGroup |
(Cash and bank management) |
267 | BankTransactionTypeGroupHeader |
.BankTransactionTypeGroup |
(Cash and bank management) |
<‑‑‑ | TmpBankTransTypeSum |
.BankTransactionTypeGroup |
(Cash and bank management) |
268 | BankTransType |
.BankTransType |
(Cash and bank management) |
<‑‑‑ | BankAccountStatementTmp |
.BankTransType |
(Cash and bank management) |
269 | BankTransType |
.BankTransType |
(Cash and bank management) |
<‑‑‑ | BankAccountTrans |
.BankTransType |
(Cash and bank management) |
270 | BankTransType |
.BankTransType |
(Cash and bank management) |
<‑‑‑ | BankClientPayment_RU |
.BankTransactionType |
(Global financial management - Russia) |
271 | BankTransType |
.BankTransType |
(Cash and bank management) |
<‑‑‑ | BankDeposit |
.BankTransType |
(Cash and bank management) |
272 | BankTransType |
.BankTransType |
(Cash and bank management) |
<‑‑‑ | BankParameters |
.NSFTransactionType |
(Cash and bank management) |
273 | BankTransType |
.BankTransType |
(Cash and bank management) |
<‑‑‑ | BankPaymentOrderJour_RU |
.BankTransactionType |
(Global financial management - Russia) |
274 | BankTransType |
.BankTransType |
(Cash and bank management) |
<‑‑‑ | BankStatementLineBankDocumentInformation |
.BankTransType |
(Cash and bank management) |
275 | BankTransType |
.BankTransType |
(Cash and bank management) |
<‑‑‑ | BankStatementTransactionTypeMapping |
.BankTransType |
(Cash and bank management) |
276 | BankTransType |
.BankTransType |
(Cash and bank management) |
<‑‑‑ | BankTransTypeGroupDetails |
.BankTransactionType |
(Cash and bank management) |
277 | BankTransType |
.BankTransType |
(Cash and bank management) |
<‑‑‑ | CashDueAnnouncementJournal_RU |
.BankTransType |
(Global financial management - Russia) |
278 | BankTransType |
.BankTransType |
(Cash and bank management) |
<‑‑‑ | CustParameters |
.CreditCardPostingBankTransactionType |
(Accounts Receivable) |
279 | BankTransType |
.BankTransType |
(Cash and bank management) |
<‑‑‑ | CustPaymModeTable |
.BankTransType |
(Accounts Receivable) |
280 | BankTransType |
.dataAreaId, .BankTransType |
(Cash and bank management) |
<‑‑‑ | LedgerJournalTmp |
.Company, .BankTransType |
(General ledger) |
281 | BankTransType |
.BankTransType |
(Cash and bank management) |
<‑‑‑ | LedgerJournalTrans |
.BankTransType |
(General ledger) |
282 | BankTransType |
.BankTransType |
(Cash and bank management) |
<‑‑‑ | TmpBankTotal |
.BankTransType |
(Cash and bank management) |
283 | BankTransType |
.BankTransType |
(Cash and bank management) |
<‑‑‑ | VendPaymModeTable |
.BankTransType |
(Accounts Payable) |
284 | TmpBankPaym2Invoice |
.InvoiceTransDate, .InvoiceVoucher |
(Cash and bank management) |
<‑‑‑ | CustTrans |
.TransDate, .Voucher |
(Accounts Receivable) |
285 | TmpBankPaym2Invoice |
.InvoiceTransDate, .InvoiceVoucher |
(Cash and bank management) |
<‑‑‑ | VendTrans |
.TransDate, .Voucher |
(Accounts Payable) |