Select data from sap tables TRGC
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TRGC_AMORTPROC_T - OLD!! Treasury: Amortization Procedure Texts
TRGC_AMORT_PROC - OLD!! Treasury: Amortization Procedure
TRGC_ASYN_FIX_RG - Asynchronous Fixing for Each Product Type
TRGC_AUTO_INI_VA - Automatic Valuation Area Initialization
TRGC_CFG_CNTXT - Configuration Context
TRGC_COM_VALCL - General valuation class
TRGC_COM_VALCL_T - Treasury: General Valuation Class (Text)
TRGC_CVC1 - Assignment of Product Cat. and Trans. Cat. to GVC Group
TRGC_CVC_GR - Definition: Grouping of General Valuation Class
TRGC_CVC_GR_ASS - Assignment of General Valuation Class to Group
TRGC_CVC_GR_STAT - Assignment of General Valuation Class to Group
TRGC_DERIV_ASSGN - Treasury: Assignment of Derivation Categories
TRGC_DER_ONLINE - Control Derived Business Transactions
TRGC_DFTSOURCASS - Assign Update Types to Usages
TRGC_DF_QUANTCAT - Prel. Solution: Assignm.: Update Type - Pos.Mgmnt Cat. Units
TRGC_FICLASS - Financial Instrument Classification
TRGC_FICLASS_PT - Classification of Product and Transaction Types
TRGC_FICLASS_T - Financial Instruments Classification Description
TRGC_FICLASS_TY - Financial Instrument Classification Type
TRGC_FICLASS_TYT - Financial Instrument Classification Type Descrptions
TRGC_IMP_PROC - Impairment Procedure
TRGC_IMP_PROC_T - Impairment Procedure Text
TRGC_MIGR1 - Customizing for Converting to Enterprise 2.0
TRGC_MIGR2 - Migration: Key Date of Data Transfer per Company Code
TRGC_MIGR_PMP - Conversion Position Management Procedure
TRGC_MIG_PMP_OTC - Conversion: Assignment of OTC Position Management Procedures
TRGC_OLDVALCLASS - Treasury: Rel. Betw. Previous and General Valuation Classes
TRGC_OP_VAL_AREA - Define alternative paying valuation area
TRGC_PAR - Parallel Processing Control
TRGC_PARAM - Assignment of Parameters and Parameter Values
TRGC_PAY_REL - Payment Relevance of Update Type
TRGC_PAY_REL_LO - Payment Relevance of Flow Type for Loans, Operative
TRGC_PC_EXCL - Product Cats of the Parallel Valn Areas to be Excluded
TRGC_PG_EXCL - Product Groups to be Excluded in the Parallel Val. Areas
TRGC_PL_ASGNFTYP - Assignment of Profit/Loss Types to Flow Type
TRGC_PL_ASSIGN - Assign Profit/Loss Types to Update Type and Valuation Area
TRGC_PL_CATE - Define/Maintain Profit/Loss Types
TRGC_PL_CATE_T - Text Table for Profit/Loss Types
TRGC_PM_PROC - Treasury: Position Management Procedure
TRGC_PM_PROC_ASS - Assignment of Position Management Procedure
TRGC_PM_PROC_T - Treasury: Position Management Procedure Texts
TRGC_PT_EXCL - Product Types to be Excluded in the Parallel Val. Areas
TRGC_STEP_PROC - Procedure for Steps
TRGC_STEP_PROC_T - Step Procedure Texts
TRGC_TAC_VA - Assignment of Accounting Code to Valuation Area
TRGC_TAX - CFM: Derivation Rules for Tax Flows
TRGC_TR_ACC_CODE - Accounting Code
TRGC_TR_SWITCH - Switch Table
TRGC_VALCLS_MAP - Treasury: Asst of Gen. ValnCl. to ValnCl. for each Valn Area
TRGC_VAL_AREA - Valuation Areas
TRGC_VAL_CLASS - Treasury: Valuation Class
TRGC_VAL_CLASS_T - Treasury: Valuation Class (Text)
TRGC_VA_ACCPR_LK - Link Accounting Principle to Valuation Area
TRGC_ZATTRIB - Custom Settings for Valuation Steps
TRGC_ZATTRIB_T - Texts for Custom Settings for Valuation Steps
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