Select data from sap tables FTI_L
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FTI_LDB_AD_PL_FLOW - Structure for accrual and deferral pl flows
FTI_LDB_BW_CFM_VALUES - Structure for LDB as Generic Data Source for Market Data
FTI_LDB_CLASS_DATA_00 - Common Fields for all Classes
FTI_LDB_CLASS_DATA_00A - Common Fields for all Fixed-Term Classes
FTI_LDB_CLASS_DATA_00B - Common Fields for all Condition-Based Classes
FTI_LDB_CLASS_DATA_01 - Common Fields: Stocks, Shareholdings, Funds, and Bonds
FTI_LDB_CLASS_DATA_02 - Common Fields: Stocks, Shareholdings, and Funds
FTI_LDB_CLASS_DATA_03 - Common Fields: Stocks and Shareholdings
FTI_LDB_CLASS_DATA_04 - Only Fields for Stocks
FTI_LDB_CLASS_DATA_05 - Only Fields for Funds
FTI_LDB_CLASS_DATA_06 - Common Fields: Bonds, Warrant Bonds, and Convertible Bonds
FTI_LDB_CLASS_DATA_07 - Only Field for Bonds
FTI_LDB_CLASS_DATA_08 - Only Fields for Convertible Bonds
FTI_LDB_CLASS_DATA_09 - Only Fields for Warrant Bonds
FTI_LDB_CLASS_DATA_10 - Only Fields for Drawable Bonds
FTI_LDB_CLASS_DATA_11 - Only Fields for Subscription Rights
FTI_LDB_CLASS_DATA_12 - Only Fields for Options/Futures
FTI_LDB_CLASS_DATA_13 - Only Fields for Bond with instalment repayment
FTI_LDB_CLASS_DATA_14 - Only Fields for Warrants
FTI_LDB_CLASS_MASTER_DATA - Harmonized Class Master Data from BAPI 1076
FTI_LDB_DDIC_MAP - Mapping Field from Logical Database to Database Table
FTI_LDB_HREL_POS_GUID - Hedge Relation Position Guid
FTI_LDB_INC_CLASS_DATA - Include for Time-Dependent Class Data (-> LDBs)
FTI_LDB_INC_DEAL_ATTR - Include for Transaction Attributes Rel. for Position (->LDB)
FTI_LDB_INC_FI_DOC_DATA - Include for FI Document Data/Filling FI Document Data ->LDB
FTI_LDB_INC_KONTR_PARTNER - Include for Counterparty Data
FTI_LDB_INC_RISK_PARTNER - Include for Data of Commitment Partner (->LDBs)
FTI_LDB_INC_TRPA_DEF_ATTR - PD and LGD values for LDB positions
FTI_LDB_OTC_TRANSACTIONS - Flows SWAPS -> LDB
FTI_LDB_PACKAGE - Structure for packaging in parallelization
FTI_LDB_PERIOD_FLOWS_INC_IDXCL - Include with Index-Clean Flow Attributes for LDB Periods
FTI_LDB_PERIOD_INC_IDXCL - Include with Index-Clean Attributes for LDB Periods
FTI_LDB_POSITION_ADD_FIELDS - Structure for Additional Fields of Logical Databases in CFM
FTI_LDB_POSITION_INC_IDX_CLEAN - Include with Index-Clean Attributes for LDB Positions
FTI_LDB_PREP_OUT_FLAGS - Structure with Flags for PREPARE_OUTPUT - replaced
FTI_LDB_PREP_OUT_FLOW_DATA_CMP - Component Value Field for FTI_LDB_PREP_OUT_FLOW_DATA_TRD
FTI_LDB_PREP_OUT_FLOW_DATA_TRD - Structur for TRD flow data in PREPARE_OUTPUT
FTI_LDB_PREP_OUT_POSTING_DATA - Structure for posting data in PREPARE_OUTPUT
FTI_LDB_PREP_OUT_REQ_TAB - Structure for Table of requested Tables
FTI_LDB_SEL_FLD - Selection fields
FTI_LDB_SWAP_POSITION - Treasury: Positions (Transactions) Swaps (-> LDB)
FTI_LDB_TIME_ATTRIBUTES_FLOW - Time Attributes for Flows
FTI_LDB_TIME_ATTRIBUTES_POS - Time Attributes
FTI_LDB_TRL_OTC_POS - TRL Data for OTC Positions
FTI_LDB_TR_ATTR_DEAL - Transaction Attributes Used in the Logical Database
FTI_LDB_TR_ATTR_LOAN - Loan Attributes Used in the Logical Database
FTI_LDB_TR_ATTR_SEC - Class Attributes Used in the Logical Database
FTI_LDB_TR_ATTR_SECACC - Securities Account Attributes Used in the Logical Database
FTI_LDB_TR_ATTR_SWAP - Swap Details
FTI_LDB_TR_CASH_FLOWS - Treasury: Payment Information
FTI_LDB_TR_CASH_FLOWS_2 - Treasury: Payment Information
FTI_LDB_TR_CASH_FLOWS_INTVAL - Treasury: Payment Information for Several Time Intervals
FTI_LDB_TR_CASH_FLOWS_INTVAL_2 - Treasury: Payment Information for Several Time Intervals
FTI_LDB_TR_COMM_DEAL_EXP - Commodity Centered Reporting Structure
FTI_LDB_TR_DEALS - Transactions
FTI_LDB_TR_DEAL_COLLATERAL - Structure: Collateral for Fiduciary Deposits
FTI_LDB_TR_DEAL_COMM_FWD - OTC Commodities Reporting
FTI_LDB_TR_DEAL_CONDITIONS - Treasury: Transaction Reporting, Conditions (-> LDB)
FTI_LDB_TR_DEAL_CONDITIONS_UL - TR: Transaction Reporting, Conditions Underlying (-> LDB)
FTI_LDB_TR_DEAL_CTY_ADJ - Deals LDB: Commodity Price Adjustment
FTI_LDB_TR_DEAL_DIV_PLAN - Structure: Dividend Plan for Forward Securities Transaction
FTI_LDB_TR_DEAL_FLOWS - Treasury: Transaction Reporting, Flow Data (-> LDB)
FTI_LDB_TR_DEAL_FLOWS_AVG - Treasury: Transaction Reporting, Average Data (-> LDB)
FTI_LDB_TR_DEAL_FLOWS_UL - Treasury: Transaction Reporting, Flows Underlying (-> LDB)
FTI_LDB_TR_DEAL_FLOWS_UL_2ND - TR: Transaction Reporting, Flows Underlying of Higher Order
FTI_LDB_TR_DEAL_FORMULA - Treasury: Transaction Reporting, Formulas (->LDB)
FTI_LDB_TR_DEAL_FORMULA_UL - Treasury: Transaction Reporting, Formulas Underlying(-> LDB)
FTI_LDB_TR_DEAL_FST_DIV_PLAN - Structure: Dividend Plan for Forward Securities Transaction
FTI_LDB_TR_DEAL_INTEREST_ADJ - TR: Transaction Reporting, Int. Rate Adjustment Data(-> LDB)
FTI_LDB_TR_DEAL_LC - TR: Letter of Credit Information(-> LDB)
FTI_LDB_TR_DEAL_LC_DOC - TR: Letter of Credit Doc information(-> LDB)
FTI_LDB_TR_DEAL_LC_INVOICE - TR: Letter of Credit Invoice(-> LDB)
FTI_LDB_TR_DEAL_LC_NOMIBANK - TR: Letter of Credit Nomiated Bank Information(->LDB)
FTI_LDB_TR_DEAL_LC_NOTE - TR: Letter of Credit Note information
FTI_LDB_TR_DEAL_LC_ORDER - TR: Letter of Credit Order information(-> LDB)
FTI_LDB_TR_DEAL_LC_PRESENT - TR: Letter of Credit Presentation Information(->LDB)
FTI_LDB_TR_DEAL_MAIN - Treasury: Transaction Reporting, Main Data (-> LDB)
FTI_LDB_TR_DEAL_PATNR_ASGMNT - Assignment of Further Business Partners
FTI_LDB_TR_DEAL_PAY_INFO - Treasury: Transaction Reporting, Payment Data (-> LDB)
FTI_LDB_TR_DEAL_ROLLOVER_PLAN - Structure for Rollover Periods: Forward Securities Transctn
FTI_LDB_TR_DEAL_SEC_ADJ - Deals LDB: Security rate Adjustment
FTI_LDB_TR_DEAL_TRADE_REP - TR:Transaction Reporting, Trade Repository (->LDB)
FTI_LDB_TR_DEAL_UNDERLYING - Treasury: Transaction Reporting, Underlying Data (-> LDB)
FTI_LDB_TR_DEAL_UNDERLYING_2ND - TR:Transaction Reporting, Underlying of Higher Order (->LDB)
FTI_LDB_TR_EXP_PARAMETERS - Parameters of the Commodity Centered LDB
FTI_LDB_TR_EXP_POS - Reporting Structure: Exposure Positions
FTI_LDB_TR_EXP_POS_DETAIL - Exposure Position Structure
FTI_LDB_TR_FLOWSUL_COMM_OPT - OTC Commodity Option Reporting(Underlying)
FTI_LDB_TR_HM_EFFECTIVE_VAL - Effectiveness Results
FTI_LDB_TR_HM_EXPOSURE - Exposure
FTI_LDB_TR_HM_EXPOSURE_ATTR - TR-LDB Hedge: Exposure
FTI_LDB_TR_HM_EXP_HEDGE_REL - Relationship: Exposure - Hedged Item
FTI_LDB_TR_HM_EXP_TRANS - Exposure Transaction
FTI_LDB_TR_HM_EXP_TRANS_COP - Exposre Transaction Prices
FTI_LDB_TR_HM_EXP_TRAN_DCSP - Exposre Transaction DCS based Prices
FTI_LDB_TR_HM_HEDGE_ID - Hedged Item
FTI_LDB_TR_HM_HEDGE_RELATION - Hedging Relationship
FTI_LDB_TR_HM_HEDGE_REL_DATA - RAPI Hedge: Hedging Relationship with Anchor Data
FTI_LDB_TR_HM_HEGDEPLAN - Hedge Plan Header Information
FTI_LDB_TR_HM_HEGDEPLAN_ATTR - Hedge Plan Header Information
FTI_LDB_TR_HM_HEGDEPLAN_HEAD - Hedge Plan Header Information
FTI_LDB_TR_HM_NSH_EFF_VAL - Non-Single Hedge: Effectiveness Results
FTI_LDB_TR_HM_NSH_EXPOSURE - TR-LDB Hedge: Non-Single Hedge: Exposure
FTI_LDB_TR_HM_NSH_EXP_TR - Non-Single Hedge: Exposure & 1 Transaction
FTI_LDB_TR_HM_NSH_HEDGE_ID - Non-Single Hedge: Hedged Item
FTI_LDB_TR_HM_NSH_HEDGE_REL - Non-Single Hedge: Hedging Relationship
FTI_LDB_TR_NEW_HEDGE_EFFTEST - Treasury: New hedge, Effectiveness test (-> LDB )
FTI_LDB_TR_NEW_HEDGE_ITEM_INST - Treasury: New hedge, items and instruments details (->LDB)
FTI_LDB_TR_NEW_HEDGE_REL - Treasury: New hedge, Hedge Relationship (->LDB)
FTI_LDB_TR_OTC_DEAL_1 - Treasury RAPIs - OTC Transaction Reporting
FTI_LDB_TR_OTC_DEAL_2 - TR RAPIs - OTC Transact. Reporting Incl. Risk Man. Figures
FTI_LDB_TR_PARAMETERS - Treasury: Control Parameters (-> LDB)
FTI_LDB_TR_PERIODS - Treasury: Period-Based Evaluations (-> LDB)
FTI_LDB_TR_PERIODS_1 - Treasury: Period-Based Evaluations (-> LDB)
FTI_LDB_TR_PERIODS_2 - Treasury: Period-Based Evaluations (-> LDB)
FTI_LDB_TR_PERIOD_FLOWS - Treasury: Flow Information
FTI_LDB_TR_PERIOD_FLOWS_1 - Treasury: Flow Information Projection
FTI_LDB_TR_PERIOD_FLOWS_2 - Treasury: Flow Information
FTI_LDB_TR_PL_CF - Treasury: Revenue and Cash Flow Information
FTI_LDB_TR_PL_CF_2 - Treasury: Revenue and Cash Flow + addtnl Pos attrs
FTI_LDB_TR_PL_CF_2_INTERVALS - Treasury: Revenue Information for Several Time Intervals
FTI_LDB_TR_PL_CF_INTERVALS - Treasury: Revenue Information for Several Time Intervals
FTI_LDB_TR_POSITIONS - Treasury: Positions (-> LDB)
FTI_LDB_TR_POSITIONS_1 - Treasury: Positions (-> LDB) Projection
FTI_LDB_TR_POSITIONS_2 - Treasury: Positions (-> LDB) with additional position attrs
FTI_LDB_TR_POSITION_PROJ_VALUE - Differentiations and Position Values
FTI_LDB_TR_POSITION_VALUE - Differentiations and Position Values
FTI_LDB_TR_POS_DEAL_ATTR - Transaction Attributes Used in the Logical Database
FTI_LDB_TR_POS_LOAN_ATTR - Loan Attributes Used in the Logical Database
FTI_LDB_TR_POS_SEC_ATTR - Class Attributes Used in the Logical Database
FTI_LDB_TR_SEC_DEAL_1 - Treasury RAPIs - Securities and Futures Transact. Reporting
FTI_LDB_TR_THX_HEDGE_EFFTEST - Treasury: New hedge, Effectiveness test (-> LDB )
FTI_LDB_TR_THX_HEDGE_ITEM_INST - Treasury: New hedge, items and instruments details (->LDB)
FTI_LDB_TR_THX_HEDGE_REL - Treasury: New hedge, Hedge Relationship (->LDB)
FTI_LDB_TR_UL_COMM_OPT - OTC Commodity Option Reporting(Underlying)
FTI_LEVEL3_DETAILED_S - Level3 detailed field structure
FTI_LEVEL3_DET_S - Level3 Details Ouput Structure
FTI_LEVEL3_OUPUT_S - FAS157: Output structure for level3 ALV
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