Select data from sap tables TDR

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TDR01 - Valuation of loan contract

TDREFBASE - References to Basis Amounts (Calculation Bases, Cap Amnts)

TDREFBASET - Text Table for References to Basis Amounts

TDREMIT - Remittance Code

TDREMITT - Remittance Code Description

TDREMIT_ZIP - Assignment of Remittance Code to Postal Code

TDREPAY_AMT_LMT - Amount Limits for Notice

TDREPAY_CFHANDLE - Cash Flow Behavior in the Payoff

TDREPAY_CLRPRF - Clearing Profile

TDREPAY_CLRPRFT - Clearing Profile Description

TDREPAY_COMSTATT - Texts for Communication Status

TDREPAY_COMSTATU - Communication Status Payoff

TDREPAY_GSTEER - General Control Data for Payoff and Notice

TDREPAY_MMETHOD - Distribution Methods for Fields in Receivables List

TDREPAY_MMETHODT - Text Table for TDREPAY_MMETHOD

TDREPAY_PRCOND - Condition Type Determination for the Payoff

TDREPAY_REASON - Payoff Reasons

TDREPAY_REASONT - Texts for Payoff Reasons

TDREPAY_RECLIST - Customizing for Receivables List

TDREPAY_RECLISTT - Name of Items in Receivables List

TDREPAY_REJECT - Rejection Reasons

TDREPAY_REJECTT - Texts for Rejection Reasons

TDREPAY_RLFLOWS - Flow Type Groups for Receivables List for Payoff

TDREPAY_RLFLOWST - Text Table for TDREPAY_RLFLOWST

TDREPAY_TEMPL - Table for Payoff and Notice Templates

TDREPAY_TEMPLTXT - Texts for Payoff Templates

TDROUND_ACT_WAER - Active Currencies for Rounding

TDRP_COND_TYPE - Repayment schedule: relevant condition types

TDRP_FLOW_TYPE - Repayment schedule: relevant flow types

TDRVEV - Assignment of Search Procedures to Derivation Events

TDRVLVL - Derivation: default values for rule levels in batch WUL

TDRXX - Foreign currency loan with special coverage

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