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SITAGCYACCCCTOTALS - Totals for Each Company Code and Currency Account Balance

SITAGCYACCCCTOTALS_OWNSHARES - Totals to Be Transferred for Co. Code and Curr. Acct Bal.

SITAGCYACCCTRL - Control Structure Account Maintenance Agency Collections

SITAGCYACCDISPLAYOPEN - Agency Collections: Display Structure for Open Items

SITAGCYACCDISPLAYOPENCTRL - Control Data for Open Items Account Balance Agency

SITAGCYACCDISPLAYSTOREDCTRL - Control Data for Open Items Account Balance Agency

SITAGCYACCDISPLAYTOBEPAID - Italian Agency Collections: Marked for Disbursement

SITAGCYACCDISPLAYTOBEPAIDCTRL - Control Data for Open Items Account Balance Agency

SITAGCYACCDISPLAYTOBEPAIDOUT - Agency Collections: Display Structure for Open Items

SITAGCYACCDISPLOPEN_CUST - Control Structure Display Account Maintenance Applications

SITAGCYACCDISPLOPEN_CUST1 - Agency Collections: Display Structure Acct Maint. Own Shares

SITAGCYACCDISPLOPEN_CUST2 - Agency Coll.: Display Structure Acct Maint. 3rd-Party Shares

SITAGCYACCDISPLOPEN_CUST3 - Agency Coll.: Display Structure Acct Maint. Shares Ins.

SITAGCYACCDISPLREVERSE_CUST - Control Structure Display Account Maintenance Applications

SITAGCYACCDISPLREVERSE_CUST1 - Agency Collections: Display Reversed Payments in Acct Maint.

SITAGCYACCDISPLREVERSE_CUST2 - Agency Collections: Display Reversed Payments in Acct Maint.

SITAGCYACCDISPLREVERSE_CUST3 - Agency Collections: Display Reversed Payments in Acct Maint.

SITAGCYACCDISPLTOBEPAID_CUST - Control Structure Display Account Maintenance Applications

SITAGCYACCDISPLTOBEPAID_CUST1 - Agency Collections: Display Notified Payments

SITAGCYACCDISPLTOBEPAID_CUST2 - Agency Collections: Display Notified Payments

SITAGCYACCDISPLTOBEPAID_CUST3 - Agency Collections: Display Notified Payments

SITAGCYACCDISPLTOTAL_CUST1 - Agency Collections: Display Acct Maint. Own Shares Totals

SITAGCYACCDISPLTOTAL_CUST2 - Agency Collections: Display Acct Maint. Shares 3rd-P. Totals

SITAGCYACCDISPLTOTAL_CUST3 - Agency Collections: Display Acct Maint. Shares Ins. Totals

SITAGCYACCDOC - Agency Collections: Documents Acct Maint. Application

SITAGCYACCDOC_EXT - Agency Coll.: Addtl Info ITAGCYACCDOC

SITAGCYACCGROUP - Open Items for Account Maintenance in Agency Collections

SITAGCYACCGROUPCRIT - Grouping Criteria Account Balance Agency

SITAGCYACCPAYMENTDATA - Data for Payment from Account Balance

SITAGCYACCREVDATA - Agency Coll.: Data Reversal Acct Maint.

SITAGCYACCREVDISPLAY - Agency Coll.: Display Structure Reversal Acct Maint.

SITAGCYACCREVDISPLAY1 - Agency Coll.: Reversal Acct Maint. (w/o Suborg)

SITAGCYACCREVSELVALUES - Agency Collections: Selection Parameters Rev. Acct Maint.

SITAGCYACCSELVALUES - Selection Values Account Balance for Agencies

SITAGCYACCSUM - Totalling Items in Account Balance

SITAGCYACT - Activity Data Structure

SITAGCYBANKTRIGGCTRL - Control Data Incoming Payments Agency

SITAGCYBANKTRIGGDISPLAY - Display Structure Incoming Bank Payments Agency Collections

SITAGCYBANKTRIGGDISPLAYADD - Additional Data for a Bank Deposit

SITAGCYBANKTRIGGDISPLAYEXT - Extended Agency Structure Incoming Payments Agency

SITAGCYBANKTRIGGKEY - Key for Bank Transfers Agency

SITAGCYBANKTRSELVALUES - Selection Values for Incoming Bank Payments

SITAGCYBNKTRGLTRANSVALUES - Data for Transfer Posting Inc. Payts to Short Acct Assgmnt

SITAGCYBROKERCOMMASSIGNMENT - Assignment of Commission to Brokers

SITAGCYBROKERREPCOMMASSIGNMENT - Assignment of Commission to Broker Reports

SITAGCYBROKERREPORT - Structure for Broker Report Details

SITAGCYBROKREPASSIGN - Assignment of Broker Report to Broker

SITAGCYBROKREPITEMKEY - Broker Report: BAPI Structure Key Fields for Item

SITAGCYCASHDESK - Cash Desk in Agency Collections

SITAGCYCASHDESKAUTH - Authorizations for Cash Desks

SITAGCYCASHDESKPAYCTRL - Control Structure for Payments in Cash Desk

SITAGCYCCAUTDATA - Structure for Transferring Credit Card Authorization Data

SITAGCYCCAUTHAMOUNT - Credit Card Payment: Amt to Be Authorized for each Currency

SITAGCYCCDATA - Structure with Authorization Data for Credit Card Payments

SITAGCYCDCHOICEMODELDATA - Data for Model Class for Classes

SITAGCYCDESKADMINSELVALUES - Selection Values for Cash Desk Administration

SITAGCYCDESKSELVALUES - Structure with Selection Values for Creating a Cash Desk

SITAGCYCDM - Cash Desk Data Structure

SITAGCYCDMODE - Mode Data Structure

SITAGCYCDM_USER_DISPLAY - Display Structure for Users for a Cash Desk

SITAGCYCDTRANSFERCHECKOVW - Overview of Cash Desk Contents for Checks

SITAGCYCDTRANSFEROVW - Overview of Cash Desk Contents

SITAGCYCFDATA - Structure for Carryforward Data

SITAGCYCHANGE - Structure with Change Data

SITAGCYCLEARSUM - Structure for Postings on Clearing Account

SITAGCYCOCTRLAUTH - Authorizations in COCTRL

SITAGCYCOCTRLBANKTR - Structure for Bank Incoming Payments Data

SITAGCYCOCTRLCLOSEDATA - Structure for Data for Preparation for Closing

SITAGCYCOCTRLDATA - Current Data for Collection Controller

SITAGCYCOCTRLSELVALUES - Selection Values for Collection Controller

SITAGCYCOCTRLTEMPCLAR - Structure for Data for Clarification of Temporary Collection

SITAGCYCOCTRLTRAY - Trays for Collection Controller

SITAGCYCOINS - Structure with Details Whether Agency Transfers Coins.Shares

SITAGCYCOINSADD - Struct.of Addtnl Data If Agency Transfers Coins.Shares

SITAGCYCOINSCOLLECTTRANSFER - Agency Collections: Summarization Structure Coinsur. Shares

SITAGCYCOINSENQ - Lock Structure Coinsurance Shares Agency Collections

SITAGCYCOINSEXT - Enhanced Structure Coinsurance Agency Collections

SITAGCYCOLLECTCTRLDATA - Structure with Data for Collections

SITAGCYCOLLECTDETAILS - Detailed Data for Collection

SITAGCYCOLLECTINFORMATION - Return Parameters After Collection

SITAGCYCOLLTRANSF - Shares to Be Transferred in Agency Collections

SITAGCYCOMMCLEAR - Commission to Subagencies from External Agencies

SITAGCYCOMPCODE - Structure for Description of a Company Code

SITAGCYCONTAINERAUTH - Agency Collections: Authorizations for Container

SITAGCYCONTAINERDISPLAY - Display Structure for a Container

SITAGCYCONTBROCONASSIGN - Link Container to Broker / Broker Contract

SITAGCYCONTCLMODELDATA - Model Data for Closing Containers

SITAGCYCONTCLSELVALUES - Selection Criteria for Closing Containers

SITAGCYCONTDELETE_SELVALUES - Selection Values for Closing Containers

SITAGCYCONTH - Structure: Header Data - Container

SITAGCYCONTINTSEL - Selection Vals for Int. Database View in Agency Collections

SITAGCYCONTINT_HEADINFO - Specifications for Container for Internal Database View

SITAGCYCONTINT_POSINFO - Item Data for Internal Database View

SITAGCYCONTOVWCOOKIEDATA - Agency Coll.: Struct. for Cookie Data for Container Overview

SITAGCYCONTPKEY - Key for Container Item

SITAGCYCONTPOSDISPLAY - Display Structure Container Item

SITAGCYCONTREP - Structure for Container and Report Data

SITAGCYCONTSELVALUES - Structure with Selection Values for Container Creation

SITAGCYCOOKIELOGONDATA - Agency Collections: Cookie Data for Logon

SITAGCYCOSTOBJ_OPBEL - Structure for Monitoring Cost Objects in Event 20

SITAGCYCOSTSELVALUES - Selection Conditions for Open Item Selection

SITAGCYCOSTTPSELVALUES - Selection Conditions for Open Item Selection

SITAGCYCOSTTR_OPBEL - Structure for Monitoring Cost Triggers in Event 20

SITAGCYCREATION - Structure with Creation Data

SITAGCYCURRENCYCOMPCODEAMOUNT - Structure with Currency, Company Code and Amount Fields

SITAGCYCUSTSCREEN_CTRL - Data for Customer Screen

SITAGCYCUSTSCR_TEXT - Customer Screens with Text

SITAGCYDATA - Agency Collections: Global Data

SITAGCYDEPOSITSELVALUES - Structure for Input Values for Deposits

SITAGCYDESELPROCESS - Agency Collections: Help Structure for Exit V520

SITAGCYDIFFCONTROL - Return Structure for Handling Differences

SITAGCYDIFFITEMCTRL - Control Structure for Third-Party Differences

SITAGCYDIFFITEMDISPLAY - Differences Display Structure

SITAGCYDIFFITEMGROUP - Line in Difference Display for Third-Party

SITAGCYDIFFMODELCTRL - Model Data for Handling Differences

SITAGCYDIFFRULES - Structure Rules for Handling Differences

SITAGCYDIFFSELLIST - List of Selectable Difference Rules

SITAGCYDIRECTPAYMENTCONTROL - Payment Information for Direct Collection

SITAGCYDOCTYPE - Document and Document Catgeory in Agency Collections

SITAGCYDOCTYPET - Document and Document Cat. in Agency Collections with Text

SITAGCYDOCTYPEWD - Agency Collections: Document Data for Withdrawals

SITAGCYDUNCTRLDATA - Current Data for Dunning Controller

SITAGCYDUNLEVELS - Dunning Level Descriptions

SITAGCYDUNLOCKREASONS - Dunning Lock Reasons with Description

SITAGCYDUNNINGCTRL - Agency Collections: Data for Dunning

SITAGCYDUNNINGDETVW - Agency Collections: Displaying Dunning Lines

SITAGCYDUNNINGOVRVW - Agency Collections: Display Dunning Headers

SITAGCYDUNNINGSELECTION - Agency Collections: Fields for Selection of Dunning Proc.

SITAGCYDUNSELVALUES - Selection Values for Dunning Procedure Controller

SITAGCYERROR - Agency Collections: Error Structure

SITAGCYEXPNOTEOVRVW - Structure for Display of Expiry Notes Overview

SITAGCYFKKMAKO - Agency Collections: Dunning Headers with GUID

SITAGCYGUID - Agency Collections: Structure with GUID

SITAGCYHELPBP_INPUT - Input for Business Partner Search Help

SITAGCYHELPBP_RESULT - Results Fields for Business Partner Search Help

SITAGCYHELPBP_SELVALUES - Selection Fields for Business Partner Search Help

SITAGCYHELPIO_INPUT - Input for Insurance Object Search Help

SITAGCYHELPIO_RESULT - Results Fields for Insurance Object Search Help

SITAGCYHELPIO_SELVALUES - Selection Fields for Insurance Object Search Help

SITAGCYHOUSEBANK - House Banks in Agency Collections

SITAGCYHOUSEBANKKEY - Key for House Banks

SITAGCYINSCMPENQ - Lock Structure Posting Shares to Insurance

SITAGCYINSCOMPTRANSF - Agency Collections: Shares to Be Transferred to Insurance

SITAGCYKUKON - Short Account Assignments for Bank Transfers to Agencies

SITAGCYKUKONCHECK - Check Structure on Short Acct Assignments for Agencies

SITAGCYLOBUS - Division

SITAGCYMERCHID - Handler IDs in Agency Collections

SITAGCYMERCHIDBUKRS - Handler IDs for Each Company Code

SITAGCYMODESET - Mode Settings Structure

SITAGCYOPBEL - Agency Collections: Structure with Document Number

SITAGCYOPBUKBUFFER - Buffer Partner-Contract -> CoCodeGroup

SITAGCYOPDISPLAY - Agency Collections: Display Structure for FKKOP

SITAGCYOPENCOST - Display Structure for Open Items

SITAGCYOPENCOSTCTRL - Control Structure for Managing Open Costs

SITAGCYOPENCOSTCTRL_GROUP - Assignment Structure Group->Open Costs

SITAGCYOPENCOSTGROUP - Summarization Structure for Displaying Open Costs

SITAGCYOPENITEM - Display Structure for Open Items

SITAGCYOPENITEMCTRL - Control Structure OI Management

SITAGCYOPENITEMCTRL_GROUP - Assignment Structure Group -> Open Items

SITAGCYOPENITEMGROUP - Summarization Structure for Displaying Open Items

SITAGCYOPENITEMOPCTRL_GROUP - Assignment Structure Group -> Open Items

SITAGCYOPENITEMOPOVRVW - Display Structure for Open Item Overview

SITAGCYOPENITEMOVRVW - Display Structure for Open Item Overview

SITAGCYORG - Organizational Unit Data

SITAGCYORGDESCR - Organizational Units Description

SITAGCYORGDESCR_REALLOC - Agencies in Substitution

SITAGCYORGKEY - Key for Identification of an Organizational Unit

SITAGCYORGUNITSTEXT - Display Structure for Open Items

SITAGCYOWNSHARESINPUT - Agency Collections: Help Structure Display Own Shares

SITAGCYPARACCHOUSEBANKKEY - Selected House Banks for each Partner and Account

SITAGCYPARACCMERCHID - Assignment of Partner and Acct to Handler ID and Auth. No.

SITAGCYPARTNERADDRESSDETAIL - Display Structure for Addresses for a Partner

SITAGCYPARTNERBANKDETAIL - Display Structure for Bank Details for a Partner

SITAGCYPARTNERCCDETAIL - Display Structure for Credit Cards for a Partner

SITAGCYPARTNERDETAIL_REALLOC - Business Partner Detailed Specs for Substitution Business

SITAGCYPAYCASH - Agency Collections: Data for Cash Desk Contents

SITAGCYPAYCHECK - Agency Collections: Data for Cash Desk Check Contents

SITAGCYPAYDATA - Payment Data

SITAGCYPAYDATADISPLAY - Display Structure for Payment Information

SITAGCYPAYMENTCONTROL - Payment Info During Collection (Italian Agency Collection)

SITAGCYPAYMETHODT - Payment Methods for Agency with Text

SITAGCYPAYMET_ADD - Other Payment Methods

SITAGCYPAYRUNAGENCYDATA - Payt Data Payt Run for Agencies (Local Bank Acct, MerchID)

SITAGCYPAYRUNAGENCYDATAEXT - Payment Data Payment Run for Agencies with FKKCL

SITAGCYPM - Payment Method Structure

SITAGCYPMHOUSEBANK - House Bank Selection Information for each Company Code

SITAGCYPMMERCHID - Handler ID for each Company Code

SITAGCYPMPARTNERDATA - Partner Data for Payment Methods

SITAGCYPM_ADD - Agency Collections: Other Payment Methods

SITAGCYPM_ADD_DETAIL - Details for Other Payment Method

SITAGCYPM_BANK - Automatic Debit Structure

SITAGCYPM_BANK_DETAIL - Automatic Debit Structure

SITAGCYPM_BANK_PM - Structure Bank Entries with Payment Method

SITAGCYPM_CASH_DETAIL - Details for Cash Payment Method

SITAGCYPM_CC - Credit Card Structure

SITAGCYPM_CCODE_TRCURR_SUMMARY - Updating Payt Methods for each Company Code in Trans. Curr.

SITAGCYPM_CC_DETAIL - Credit Card Structure

SITAGCYPM_CC_PM - Structure Credit Card Entries with Payment Method

SITAGCYPM_CF - Carryforward Information

SITAGCYPM_CHECK - Check Structure

SITAGCYPM_CHECK_DETAIL - Check Structure

SITAGCYPM_CHECK_DETAIL_OUT - Structure Check for Outgoing Payments

SITAGCYPM_CHECK_PM - Structure Check Entries with Payment Method

SITAGCYPM_CHECK_PR_DETAIL - Details for Printed Checks

SITAGCYPM_COST_DETAIL - Details for Payment via Cost Object

SITAGCYPM_CTRL - Payment Information

SITAGCYPM_DETAILS - Payment Method Structure

SITAGCYPM_GL_CURR_SUMMARY - Updating Payment Methods for each Currency

SITAGCYPM_GL_SUMMARY - Collect Structure for Updating Payment Methods

SITAGCYPM_MODELDATA - Structure for Payment Methods in Model

SITAGCYPM_PAY - Payment Information

SITAGCYPM_SELVALUES - Payment Methods: Input Values

SITAGCYPM_TRANSFER_DETAIL - Transfer Entries Structure

SITAGCYPM_WD - Withdrawal Information

SITAGCYPOLTY - Contract Type

SITAGCYPREPCLOSEAMOUNTS - Preparations for Closing: Display Structure for Amounts

SITAGCYPREPCLOSECONTROLDATA - Preparation for Closing: Data for Control Totals

SITAGCYPRINTDATA - Transfer Parameters for Generic Printing

SITAGCYPROCTYPE - Process Categories in Agency Collections with Text

SITAGCYPROPRULE - Proposal Rules

SITAGCYPYBUKBUFFER - Buffer Assignment Company Code Group-> Paying Company Code

SITAGCYPYMETCHANGECONTROL - Control Structure for Writing Payment Methods to Doc. Items

SITAGCYRADISPLAYCTRL - Display Structure for Reported Amount

SITAGCYREALLOCCTRLDATA - Current Data for Reallocation Controller

SITAGCYREALLOCDISPLAY - Display Structure for Reallocation History

SITAGCYREALLOCSELECT - Agency Collections: Data Transfer from Sel. Screen Realloc.

SITAGCYREALLOCSELVALUES - Selection Values for Dunning Procedure Controller

SITAGCYSEL - Selection Category Structure

SITAGCYSFDEF - Agency Collections: Smart Form Data

SITAGCYSFMETADATA - Meta Data for Transfer to SmartForm

SITAGCYSTOREDITEM - Display Structure for Marked Open Items

SITAGCYSTOREDITEM_SUMMARY - Summary of Amounts to Be Paid

SITAGCYSUBCOMMASSIGN - Assignment of Subcommission to Subagency

SITAGCYSUBCOMMASSIGNEXT - Enhanced Assignment Structure of Subcommission

SITAGCYSUBCOMMCLR - Structure for Clearing Statistical Subcommission

SITAGCYSUBCOMMTRG - Structure for Posting and Transferring Subcommission

SITAGCYTCCOINS - Coinsurers for Temporary Collections

SITAGCYTCPOP - Posting Options for Temporary Collections

SITAGCYTCPROP - Data for Proposal for Clearing Temporary Collections

SITAGCYTCPROPCTRL - Check Data for Proposal for Clearing Temporary Collections

SITAGCYTCPROP_DISPLAY - Display Data for Proposal for Clearing Temporary Collections

SITAGCYTCREAS - Structure for Reasons for Temporary Collection/Disbursement

SITAGCYTEMPCLARENQ - Structure for EITAGCYTEMPCLAR Lock Object

SITAGCYTEMPCLARITEM - Display Line for Clarification of Temporary Collection/Disb.

SITAGCYTEMPCLARITEMCTRL - Control Structure for Clarification of Temporary Coll./Disb.

SITAGCYTEMPCLARITEMDISPLAY - Display Structure Clarification Temporary Coll./Disb.

SITAGCYTEMPCLARSELVALUES - Selection Parameters for Clarification of Temp. Coll./Disb.

SITAGCYTEMPCOLLAUTH - Authorizations for Temporary Collections

SITAGCYTEMPCOLLCTRL - Control Structure for Temporary Collections

SITAGCYTEMPCOLLITEM - Structure for Temporary Collections

SITAGCYTEMPCOLLSELVALUES - Selection Values for Temporary Collections

SITAGCYTHIRDPAYMENTCONTROL - Payment Information for Direct Collection

SITAGCYTPCLACCPOSTONACC - Structure of Information for Posting On Account

SITAGCYTPCOMM - Structure for Reported Commission for Container Item

SITAGCYTPDIFFSELVALUES - Selection Parameters for Differences in Third-Party Coll.

SITAGCYUSERDATA - User Data Structure

SITAGCYUSERORGUNIT - User and Organizational Units

SITAGCYWDDATA - Agency Collections: Withdrawal Data

SITAGCY_2STRINGS - Structure with 2 Strings for Display

SITAGCY_AGENCYFI_TRANSFER - Structure for Transferring Data to Agency Accounting

SITAGCY_AGENCY_CUST - Agency Customizing

SITAGCY_AMOUNT_DISPLAY - Display Amounts

SITAGCY_CALL - Structure Call

SITAGCY_CC_PM_CARDID - Structure for Identifying a Credit Card

SITAGCY_CLEARACC - Clearing Accounts

SITAGCY_COINSACC - Coinsurance Accounts

SITAGCY_COINSCOMM_FOR_COINSH - Commission from Coinsurers for each Coinsurance Header

SITAGCY_COLLTR_CUST - Customer Data for Transfer Information

SITAGCY_CONT_GRPKEY - Agency Collections: Container and Grouping Characteristic

SITAGCY_CONT_OVERVIEW - Structure for Displaying Container Overview

SITAGCY_CONT_OVW_2_FIELDS - Structure for Displaying a Two-Column Table

SITAGCY_CONT_OVW_COINS - Container Overview: Shares to Be Transferred to Coinsurers

SITAGCY_CONT_OVW_COINS_DET - Container Overview: Detail View for Coinsurance Shares

SITAGCY_CONT_OVW_COLLTYPES - Fields for Displaying Categories for a Container Item

SITAGCY_CONT_OVW_COLLTYPE_DISP - Structure for Displaying Payment Categories

SITAGCY_CONT_OVW_COMMISSIONS - Structure for Displaying Container Contents

SITAGCY_CONT_OVW_COMPANY - Structure for Displaying Container Contents

SITAGCY_CONT_OVW_CONTAINER - Structure for Storing Container Contents

SITAGCY_CONT_OVW_CONT_POS_DISP - Structure for Displaying Items for a Container

SITAGCY_CONT_OVW_CURRENCY - Structure with Currency Data

SITAGCY_CONT_OVW_DIFF_DISP - Structure for Displaying Differences in Container Overview

SITAGCY_CONT_OVW_ITEM_CONTEXT - Context for an Item in Container Overview

SITAGCY_CONT_OVW_PAYMT - Structure with Payment Amounts for each Payment Method

SITAGCY_CONT_OVW_PAYMT_ADD - Agency Collections Container Overview: Other Payment Methods

SITAGCY_CONT_OVW_PAYR_DET - Container Overview: Save Details for Rec. / Payable

SITAGCY_CONT_OVW_PAYR_DET_DISP - Structure for Displaying Amounts to be Transferred in Detail

SITAGCY_CONT_OVW_PAY_DATA - Payment Data for the Container Overview

SITAGCY_CONT_OVW_PAY_REC_DISP - Structure for Displaying Amounts to Be Transferred

SITAGCY_CONT_OVW_PM_DISP - Structure for Payment Method Display

SITAGCY_CONT_OVW_PM_SUM_DISP - Structure for Displaying Payment Method Total

SITAGCY_CONT_OVW_SRCH_RES_DISP - Structure for Displaying Search Res. in Container Overview

SITAGCY_CONT_OVW_TRANSFER - Tranfer Information in the Container Overview

SITAGCY_CONT_STATUS_DISPLAY - Structure for Display Container Status

SITAGCY_COST_CTRL - Control Structure for Processing Costs

SITAGCY_DEPACC - Deposit/Difference/Withdrawal Accounts

SITAGCY_DOCDETAIL - Display Structure Detail View Document

SITAGCY_DOCDETAIL_ADD - Display Structure Detailed View Document: Additional Specs

SITAGCY_DOCDETAIL_STRUC - Help Structure for Saving Document Details

SITAGCY_INSCOMPSH_CUST - Customer Data for Insurance Shares

SITAGCY_MAD_COMMCTRL - Agency Collections: Commission Monitoring Additional Data

SITAGCY_MAD_COSTCTRL - Agency Collections: Structure for Cost Monitoring Addtl Data

SITAGCY_MAD_SUBCOMMCLR - Agency Collections: Structure for Addtl Data 'Clrg Subcomm.'

SITAGCY_MESSAGE - Structure for Messages

SITAGCY_OI_CCODE_SUMMARY - Summarization of OIs According to Company Code

SITAGCY_OI_CONTRACT_SUMMARY - Summarization of OIs Acc. to Contract Rel. and Company Code

SITAGCY_OPEN_ITEM_SUMMARY - Summarization of OIs By CoCd, Distribution of a Difference

SITAGCY_PAYACC - Payment Method Accounts

SITAGCY_POSTAREA_VI01 - Help Structure Posting Area V102

SITAGCY_POSTAREA_VI02 - Help Structure Posting Area VI02

SITAGCY_POSTAREA_VI03 - Help Structure for Posting Area VI03

SITAGCY_POSTAREA_VI04 - Help Structure for Posting Area VI03

SITAGCY_POSTAREA_VI05 - Help Structure Posting Area VI05

SITAGCY_POSTAREA_VI06 - Help Structure Posting Area VI06

SITAGCY_POSTAREA_VI07 - Help Structure for Posting Area VI07

SITAGCY_POSTAREA_VI08 - Help Structure for Posting Area VI08

SITAGCY_POSTAREA_VI09 - Help Structure for Posting Area VI09

SITAGCY_POSTAREA_VI10 - Help Structure for Posting Area VI10

SITAGCY_POSTAREA_VI11 - Help Structure for Posting Area VI11

SITAGCY_POSTAREA_VI13 - Help Structure for Posting Area VI13

SITAGCY_POSTAREA_VI14 - Help Structure for Posting Area VI14

SITAGCY_POSTAREA_VI15 - Help Structure for Posting Area VI15

SITAGCY_POSTAREA_VI16 - Help Structure for Posting Area VI16

SITAGCY_POSTAREA_VI17 - Help Structure for Posting Area VI17

SITAGCY_POSTAREA_VI18 - Help Structure for Posting Area VI18

SITAGCY_POSTAREA_VI20 - Help Structure for Posting Area VI20

SITAGCY_POSTAREA_VI21 - Help Structure for Posting Area VI21

SITAGCY_POSTAREA_VI22 - Help Structure for Posting Area VI22

SITAGCY_POSTAREA_VI23 - Help Structure for Posting Area VI23

SITAGCY_POSTAREA_VI24 - Internal Structure for Posting Area VI24

SITAGCY_POSTAREA_VI25 - Internal Structure for Posting Area VI25

SITAGCY_REVERSE_POSCTRL - Control Data for Selected Items in Reversal

SITAGCY_REVERSE_SELVALUES - Selection Parameters in Reversal

SITAGCY_REVERSE_STOREDPOSCTRL - Control Data for Selected Items in Reversal

SITAGCY_REVSTATUS - Agency Collections: Reversal Status with Description

SITAGCY_SUBCOMMACC - Clearing Account Subcommission in Third-Party Collections

SITAGCY_TCACC - Accounts for Temporary Collections

SITAGCY_TP_CLEARACC_DIFF - Differences for each Clearing Account in Third-Party Coll.

SITAGCY_TP_CLEARACC_DIFFCTRL - Control Structure Differences for Container in 3rd-Pty Coll.

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