Select data from sap tables TRS_

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TRS35 - Control Table RSSTAT35 Collector Run

TRSAPNAMES - Internal Representation of Sapnames Entries

TRSB_CLASFLO - CFM: Backup Table for Class Flows in Securities Account

TRSB_CLASFLO_REV - CFM: Backup Table for Class Flows in Securities Account

TRSB_NOM_CORR - CFM: Backup Table for Nominal Adjustment

TRSB_POSCHG_FLOW - CFM: Backup Table for Flow Rel. to Change in Sec. Acct Pos.

TRSB_RECON_POS - CFM: Backup Table for Position Reconciliation

TRSB_SECACCTRANS - CFM: Backup Table for Securities Account Transfer

TRSB_SUBTOTAL - CFM: Backup Table with Transaction Figures

TRSC_ACCINT - Treasury: Assignment of Update Types for Accrued Interest

TRSC_CONDITION - Treasury: Update Types for Condition Type

TRSC_CONDITION_P - Update Types for Condition Type (Passive Positions)

TRSC_DFLOWTYPE - Treasury: Attributes of Update Type for TRS

TRSC_DFTYPE_IP - CFM: Update Types for Incoming Payments

TRSC_DFTYPE_MP - CFM: Update Types for Manual Posting

TRSC_DFTYPE_NC - CFM: Update Types for Nominal Adjustment

TRSC_DFTYPE_SD - CFM: Update Type for 'Capitalize Dividends'

TRSC_LEND_TRANS - Update Types for Securities Account Transfer for Sec.Lending

TRSC_RECON_PRT - Treasury: Type of External Data Record of the Position

TRSC_RECON_RD - Treasury: Name of External Data Records

TRSC_RECON_STA - Treasury: Status of External Securities Account Statement

TRSC_REF_DISFLO - Treasury: Referenced Update Types (Incoming payment)

TRSC_ROUND_RULE - Treasury: Rounding Rule

TRSC_ROUND_RUL_T - Treasury: Rounding Rule Text

TRSC_SA_TYPE_T - Text for Fund Type

TRSC_SECACCTRANS - Treasury: Update Type for Securities Account Transfer

TRSC_SECACC_TYPE - Securities Account Type

TRSE1 - Reset objects to be made productive

TRSE2 - Reset objects to be made productive: Texts

TRSES_FLOW_CAT - Treasury: Structure for Range Table of Flow Categories

TRSET - Reset Data Before Production Start-up

TRSET_BUSTRANS - OLD! Preliminary Solution: Transferred Sec. Bus.Transactions

TRSET_FLOW - OLD: Prelim. Solution: Transferred Security Flows

TRSET_RUN_HEAD - OLD: Prelim. Solution: Transfer Runs

TRSET_RUN_POS - OLD: Preliminary Solution: Transfer Run Items

TRSE_CLASSES - RSE Class Dictionary - System Table of Classes

TRSLT - Indexing Results Display

TRSOURCES - Object Check: Source with Main Program

TRSPAS - TR: Security Price Adjustment-Registration and Fixing

TRSPAS_CF - Security Price Adjustment Registrations per Cash Flow

TRSPAS_DISPLAY - Treasury: Security Price Adjustment: Display Structure

TRSPAS_EXHANGE - Range structure type for Treasury Exhange

TRSPAS_FIXING_DATA - Security Price Adj. Struc-->Security Price Adj. Activity

TRSPAS_IRA_DATE - Range structure for Security Price Adjustment Date

TRSPAS_KEY - TR: Security Price Adjustment - Registration and Fixing-Key

TRSPAS_NO_KEY - TR: Security Price Adjustment-Registration and Fixing-NoKey

TRSPAS_PRICE_TYPE - Range struc type for Rate/Price Type - Treasury Instruments

TRSPAS_SCHEDULE_DISPLAY - Treasury - Security Price Adjustment: Schedule

TRSPAS_SECURITIES_PRICE - Security Price Adjustment: Structure for Security Prices

TRSPAT - TR: Security Price Adjustment - Registration and Fixing

TRSQLPRT - SQL-Specific Part of SQL Record

TRSQLREC - SQL Trace Record

TRSS_APPL_DATA - Treasury: Structure for Cash Flow Calc. - Application Data

TRSS_BOT9_KEY - Key for Finance Object of Category 'T9'

TRSS_BUSTRANSID_FLOWCAT_TRS - Treasury: Structure of Bus. Trans. ID and TRS Flow Cat.

TRSS_CC_SA_SI - Structure for Company Code, Securities Account, ID Number

TRSS_CF_CTRLDATA - Treasury: Structure for Control Data for Cashflow Calculator

TRSS_CF_DISPLAY_SA - Input Screen Fields with Selection for Securities Account

TRSS_CF_DISPLAY_SI - Input Screen Fields with Selection for Securities Class

TRSS_CF_FLOW - Treasury: Flow Format for Cash Flow Calculation

TRSS_CF_FLOW_FLPT - Treasury: Flow Format for Cash Flow Calculation

TRSS_CH_POS_IND - TRSS_CH_POS_IND

TRSS_CLASFLO - Treasury: Mapping Struct. for Class Pos. in Securities Acct

TRSS_CLASFLO_ADD_FIELDS - CFM: Class Flows in Securities Account + Technical Fields

TRSS_CLASFLO_CFD - CFM: Structure for Cash Flow Display

TRSS_CLASFLO_I - Treasury: Include Structure for Class Flows in Sec. Account

TRSS_CLASPOS - Treasury: Mapping Struct. for Class Pos. in Securities Acct

TRSS_CLASPOS_FLOW - Treasury: Class Position in Securities Account Flow Table

TRSS_CLASPOS_I - Treasury: Include Struct. for Class Pos. in Securities Acct

TRSS_CLASPOS_KEY - Treasury: Structure for the Key of Class Pos. in Sec. Acct

TRSS_CLASPOS_SELOPT - Treasury: Select Options for Selection Module of CP in SA

TRSS_CLASS_POS_SELECTION - CFM: Structure for Report Selections TRS

TRSS_DAY_FACTOR - CFM: Structure for Key Date with Assignment Factor

TRSS_DFT_ACCINT - CFM: Structure for Accrued Interest Update Types

TRSS_FIMA_DATA - Treasury: Structure for Cash Flow Calculation - FiMa Data

TRSS_FIMA_FLOWS_RISK_INFO - Structure for Transfer of FiMa Flows to Risk

TRSS_FLOW_DISPLAY_I - Include Structure for Condition Data for Cash Flow Display

TRSS_FT_ACCINT - CFM: Structure for Accrued Interest Update Types

TRSS_FWUP_LOG - structure for FWUP log

TRSS_GUARD_ID - Treasury: Range Structure for Futures Account

TRSS_IM_POS_IND - TRSS_IM_POS_IND

TRSS_NOM_CORR - Treasury: Mapping Structure for Nominal Position Adjustment

TRSS_NOM_CORR_GUI - Treasury: Structure for Nominal Adjustment Interface

TRSS_NOM_CORR_I - Treasury: Include Structure for Nominal Position Adjustment

TRSS_PERIOD_FLOWS_RISK_INFO - Structure for Transfer of Period Flows to Risk

TRSS_POSITION - Treasury: Mapping Structure for Securities Account Position

TRSS_POSITION_DIFF - Treasury: Struct. for Qty Display of Class Pos.in Sec.Acct

TRSS_POSITION_I - Treasury: Include Structure for Securities Account Position

TRSS_POSITION_LOCK_HEADER - Treasury: Structure for Header Table of Restrnt on Disposal

TRSS_POSITION_LOCK_POSITION - Treasury: Structure for Pos. Table of Restrnt on Disposal

TRSS_POSITION_OBJECT - Treasury: Structur of Class Pos. in Sec. Acct with Fin. Obj.

TRSS_POSITION_W_FACTOR - CFM: Structure for TRS Item with Assignment Factor

TRSS_POS_CHG - CFM: Mapping Structure for Securities Acct Position Change

TRSS_POS_CHG_I - CFM: Include Structure for Securities Acct Position Change

TRSS_POS_LOCK_PARAM - Treasury: Lock Parameter for TRS Position

TRSS_POS_QUANT_GUI - Structure for Flows, Locks, and Quantities

TRSS_POS_W_DIFF - CFM: Structure for TRS Item with Differentiation

TRSS_PROT - Treasury: Structure for TRF Logs

TRSS_PROT_FLOW - CFM: Structure for TRS Flow Log

TRSS_QUANTITY - Treasury: Structure for Quantity Position

TRSS_QUANTITY_DATE - Quantity of a Sec. Acct Class Position for a Date

TRSS_QUANTITY_POSITION - Treasury: Structure for Displaying Quantity of Sec.Acct Pos.

TRSS_QUANTITY_RISK_INFO - Structure for Transfer of Quantities to Risk

TRSS_QUANT_LIST_HEADER - CFM: Structure for List Display

TRSS_QUANT_LOCK - Structure: Quantity with Locks

TRSS_RAN_CLASPOS_GUID - Treasury: Range Structure for Class Position -Guid

TRSS_RECON_ENTITY - Treasury: External Securities Account Statement Header

TRSS_RECON_FCODE - Function Code of GUI Status

TRSS_RECON_NUM_OF_POSITION - Treasury: Number of Positions

TRSS_RECON_POSITION - Treasury: External Position

TRSS_RECON_REPORT_HEADER - Header Data for the Reconciliation Report

TRSS_RECON_REPORT_MESSAGE - Reconciliation Report Message

TRSS_RECON_RR_HEADER - Header Data for the Reconciliation Report

TRSS_RECON_SECACC_DATA - Securities Account and Depository Bank

TRSS_SA_TRANSFER_HLP - F4 Help Securities Account Transfer Posting

TRSS_SCREEN_STATUS - Screen Status for a Dynpro

TRSS_SECACCTRANS - Treasury: Mapping Structure for Securities Account Transfer

TRSS_SECACCTRANS_I - Treasury: Include Structure for Securities Account Transfer

TRSS_SECACC_BANK_ALV - Payment Information for Securities Account

TRSS_SECACC_BANK_TC - Structure for Table Control for TRSS_SECACC_BANK

TRSS_SECACC_LIST_ALV - Securities Account List

TRSS_SEC_ACC_W_FACTOR - Structure for TRS Item with Assignment Factor

TRSS_ST_RAN_RECON_BUKRS - Selection Range for Company Code

TRSS_ST_RAN_RECON_DATE - Range Structure for Date

TRSS_ST_RAN_RECON_DATE_CAT - Treasury: Range Structure for Date Category

TRSS_ST_RAN_RECON_DEPOT - Range for Securities Account

TRSS_ST_RAN_RECON_EXTREF1 - Treasury: Range Structure for External Reference 1

TRSS_ST_RAN_RECON_EXTREF2 - Treasury: Range Structure for External Reference 2

TRSS_ST_RAN_RECON_EXTSECACC_NO - Treasury: Range Structure for Sec. Acct ID

TRSS_ST_RAN_RECON_GROUPID - Treasury: Range Structure for Grouping of Reconcil. Entities

TRSS_ST_RAN_RECON_NUMBERID - Treasury: Structure for Reconciliation Entity Number

TRSS_ST_RAN_RECON_POS_DATE - Range for Position Date

TRSS_ST_RAN_RECON_STATUS - Treasury: Status Range

TRSS_ST_RAN_RECON_USER - Range Structure for User

TRSS_SUBTOTAL - Treasury: Struct. with Trans.Figs - Class Pos. in Sec. Acct

TRSS_TAX_MAPPING - CFM: Structure for TRS Tax Generation

TRSS_TRANSACTION - CFM: Structure for TRS Business Transaction

TRSTATLOG - Log: Statistics

TRSTC_BUFFER - Activation for Security Cash flow buffering

TRSTHC - BRST directory of hierarchy classes

TRSTHCT - BRST texts for hierarchy classes

TRSTHV - BRST directory of hierarchies

TRSTHVT - BRST Texts for hierarchies

TRSTHV_VP - BRST Repository of Hierarchies - Virtual InfoProvider

TRSTI - BRST assignment sender -> receiver (Communication Handler)

TRSTI0 - R/R Interface: Assignment Cross-Client Senders to Receivers

TRSTI0T - Assignment Cross-Client Senders to Receivers: Receiver Texts

TRSTIT - BRST assignment sender -> receiver: Receiver texts

TRSTREE - Tool Display

TRSTRUC4PAYSC - TR: Structure for Display of Payment Plan

TRSTS_FLOWCAT - Treasury: Flow Categories for Securities Account Management

TRSTS_FLOWCAT_T - Treasury: Flow Category Text for Securities Acct Management

TRSTT - BRST Registration of the Reporting Tools

TRSTTT - Text Table for the Reporting Tools

TRST_CLASFLO - CFM: Class Flows in Securities Account

TRST_CLASFLO_REV - CFM: Reversed Class Flows in Securities Account

TRST_CLASPOS - Treasury: Class position in Securities Account

TRST_LEGAL_LIMIT - Structure for Legal Limit Report

TRST_NOM_CORR - Treasury: Nominal Adjustment

TRST_POSCHG_FLOW - CFM: Flow for Securities Account Position Change

TRST_POS_CHG - CFM: Securities Account Position Change

TRST_RECON_POS - Reconciliation Positions

TRST_RECON_RCE - Treasury: External Securities Account Statement

TRST_RECON_TXT - Text for the Editor

TRST_SECACCTRANS - Treasury: Securities Account Transfer

TRST_SECACC_BANK - Payment Details for Securities Account

TRST_SECACC_PAY - Downport Payment Information for Securities Management

TRST_SEC_ACC_FLD - Field Status for Securities Account Master Data

TRST_SUBTOTAL - Treasury: Table with Trans.Figs - Class Pos. in Sec. Acct

TRSV_ACCINT - Generated Table for View

TRSV_CLASPOS - Generated Table for View

TRSV_CLASPOS_TXT - Generated Table for View

TRSV_CONDITION - Generated Table for View

TRSV_CONDITION_P - Generated Table for View

TRSV_DFLOWTYPE - Generated Table for View

TRSV_DFTYPE_IP - Generated Table for View

TRSV_DFTYPE_MP - Generated Table for View

TRSV_DFTYPE_NC - Generated Table for View

TRSV_DFTYPE_SD - Generated Table for View

TRSV_F4_GSART - Generated Table for View

TRSV_F4_NOMCORR - Generated Table for View

TRSV_F4_SANLF - Generated Table for View

TRSV_LEND_TRANS - Generated Table for View

TRSV_POSFLOW - Generated Table for View

TRSV_POSFLOW_REV - Generated Table for View

TRSV_POS_CHG - Generated Table for View

TRSV_RECON_V1 - Generated Table for View

TRSV_REF_DISFLO - Generated Table for View

TRSV_ROUND_RULE - Generated Table for View

TRSV_SAT_FLOWT - Generated Table for View

TRSV_SAT_PTYPE - Generated Table for View

TRSV_SECACCTRANS - Generated Table for View

TRSV_SECACC_TYPE - Generated Table for View

TRSYMSG - Structure of Message Variables

TRSYSCLI - Simple Transport Target

TRSYSCOMP - Directory of Repository Objects

TRSYSNAME - System Name

TRSYST_OBJTYP_T - Transport System Object Types Texts

TRS_T100_MESSAGE - T100 Message

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