Select data from sap tables TRST
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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
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