Select data from sap tables TXW_T

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TXW_T001Z - Additional Specifications for Company Code

TXW_T003A - Document Types for Posting with Clearing

TXW_T003M - Transaction/Event Types for SAPMM07M/SAPMM07I

TXW_T003O - Order Types

TXW_T007B - Tax Processing in Accounting

TXW_T007F - Taxes on Sales/Purchases Groups Names

TXW_T009 - Fiscal year variants

TXW_T009B - Fiscal year variant periods

TXW_T011 - Financial Statement Versions

TXW_T016 - Industries Descriptions

TXW_T022 - DART: Buffer structure for activities

TXW_T025K - Account Category Reference Description

TXW_T030 - Standard Accounts Table

TXW_T030K - Tax Accounts Determination

TXW_T030R - Rules for Determination of Standard Accounts

TXW_T030W - Transaction Key Names

TXW_T037S - Account Assignment References acc. to Transaction Type

TXW_T040 - Dunning keys descriptions

TXW_T041A - Clearing Transactions

TXW_T044G - Valuation Adjustment Key

TXW_T044I - FI Valuation: Determine Base Value

TXW_T056R - Interest reference definition

TXW_T059Q - Withholding Tax Code Descriptions

TXW_T074U - Special G/L Indicator Properties Descriptions

TXW_T077D - Customer account groups descriptions

TXW_T087G - Evaluation group 8 places descriptions

TXW_T090NA - Depreciation keys (new)

TXW_T090NAZ - Depreciation key - method assignments (new)

TXW_T090ND - Declining-balance depreciation method (new)

TXW_T090NH - Maximum depreciation amounts (new)

TXW_T090NP - Period control method (new)

TXW_T090NR - Depreciation calculation method (new)

TXW_T090NS - Depreciation level method (new)

TXW_T090NSG - Depreciation level method - begin of validity (new)

TXW_T090R - Period control rules for transactions descriptions

TXW_T093B_RSL - Company code specific depreciation area settings (new)

TXW_T093C - Company codes in Asset Accounting

TXW_T096 - Chart of depreciation description

TXW_T134M - Control of Qty/Value Update

TXW_T149D - Global Valuation Types

TXW_T151 - Customers: Customer Groups Descriptions

TXW_T156SC - Mvt Type: Qty/Value Posting: Customer Table; as of Rel. 4.

TXW_T156X - Trans./Event Key Modification

TXW_T157D - Reason for Movement Description

TXW_T171 - Customers: Sales Districts Descriptions

TXW_T176 - Sales Documents: Customer Order Types Descriptions

TXW_T188 - Conditions: Groups for Customer Classifications Descriptions

TXW_T604 - Foreign Trade: Commodity Code / Import Code Number

TXW_T604A - Foreign Trade: Preference/Tariff alternation

TXW_T604B - Foreign Trade: Preference Zone Description

TXW_T604C - Preference: Preference Procedure Code

TXW_T604P - Preference: Preference Zone/Rule

TXW_T604R - Preference: Preference Rule / Percentages

TXW_T604S - Preference: Determine Preference Zone in Export

TXW_T604V - Preference: Preference Determination / Procedure

TXW_T605 - Foreign Trade: Business Transaction Type

TXW_T609A - Foreign Trade: Declarations to Authorities - Exclusion Ind

TXW_T610O - Foreign Trade: Authorities

TXW_T612B - FT/Customs: Electr. Procedure: Type of means of transport

TXW_T615 - Foreign Trade: Customs Offices

TXW_T616 - Foreign Trade: Procedure

TXW_T616U - Foreign Trade: Import/Export Procedure Conversion

TXW_T618 - Foreign Trade: Modes of Transport

TXW_T681A - Conditions: Applications

TXW_T681V - Conditions: Usages

TXW_T683 - Pricing procedures

TXW_T685 - Conditions: Types Descriptions

TXW_T691M - Payment guarantee procedure description

TXW_T702L - Name of Service Provider

TXW_T706B4 - Travel Expense Types: Assignment of Wage Types

TXW_T706B4_ALTERN - Travel Expense Type: Alternative Assignment of Wage Types

TXW_T706B5 - Names for Travel Expense Types

TXW_T706G - Names for statutory trip types

TXW_T706R - Names for trip activity types

TXW_T706T_ABWH - Texts for Absence Types (PS Separation Allowance)

TXW_T706X - Names for enterprise-specific trip types

TXW_T706_LGART - Wage Type Assignmt Table for Clearing Add.Amts/Inc.Rel Exp.

TXW_T778O - Object Types Descriptions

TXW_T820 - Planning Parameters Descriptions

TXW_T821S - Distribution keys

TXW_T856 - Transaction Types Description

TXW_T881 - FI-SL Ledger Descriptions

TXW_T8JJ - Recovery Indicator Descriptions

TXW_TABNM - names of generated DB tables for view output

TXW_TABWA - Transaction types/dep. areas

TXW_TABWG - Transaction type groups

TXW_TABWK - Trans. types for posting prop. values and depreciation

TXW_TABWU - Special Treatment of Retirements

TXW_TACTIV - Transaction activities

TXW_TAXCOD - Tax codes

TXW_TBDLS - Logical system description

TXW_TBO00 - Object type control parameters descriptions

TXW_TBRC - Industry Code (Customer Master) Description

TXW_TBRG - Authorization groups description

TXW_TCJ_CPD - Cash Journal: One-Time Account Data of CJ Document Items

TXW_TCJ_C_JOURNALS - Cash Journals

TXW_TCJ_DOCUMENTS - Cash Journal Documents (Header Data)

TXW_TCJ_POSITIONS - Cash Journal Document Items

TXW_TCJ_TRANSACTIONS - Cash Journal Business Transactions

TXW_TCJ_WTAX_ITEMS - Withholding Tax Items for Cash Journal Document Items

TXW_TCURV - Exchange rate types for currency translation descriptions

TXW_TEMP_STORE - DART - temporary storage for DART data from external calls

TXW_TFACD - Factory calendar definition description

TXW_TIV01 - DART RE/RE-FX: External usage types of rental unit

TXW_TIV05 - DART RE: Definition of Service Charge Keys

TXW_TIV08 - Area Types

TXW_TIV26 - DART RE/RE-FX: Contract Type

TXW_TIVBDMEAS - DART RE-FX: Measurement Types

TXW_TIVBDOBJASSTYPE - DART RE-FX: Object Assignment Type

TXW_TIVCDCONDTYPE - DART RE-FX: Condition Types

TXW_TIVCDFLOWTYPE - DART RE-FX: Flow Types

TXW_TIVEXFITAXMAP - DART RE-FX: Tax Code Assignment

TXW_TIVITOPTMETH - DART RE-FX: Method for Option Rate Determination

TXW_TIVITTCTYPE - DART RE-FX: Type of Correction Object

TXW_TIVSCSCKEY - DART RE-FX: Service Charge Key

TXW_TJ01 - Business Transactions

TXW_TJ20 - Status profiles descriptions

TXW_TKA00 - Control parameters for controlling areas

TXW_TKA02 - Controlling area assignment

TXW_TKA03 - Statistical key figures

TXW_TKA09 - Basic Settings for Versions

TXW_TKA10 - Master Data Table, Price Indicators

TXW_TKA12 - Switching Structure for Cost Component Splitting

TXW_TKA30 - Automatic account assignment

TXW_TKVS - CO Versions Descriptions

TXW_TPAR - Business partner functions

TXW_TPARMS - Selection flags for transaction data sources

TXW_TRANST - Transaction texts

TXW_TRATYP - Transaction types

TXW_TREVTP - Inv. Mngmt - General: Transaction/Event Types Allowed

TXW_TSKM - Material Taxes Description

TXW_TSPA - Organizational Unit: Sales Divisions Descriptions

TXW_TSTCT_KEY - DART: Structure for Transaction Keys

TXW_TTXY - External sales and use tax interface

TXW_TTYP - Object Types for Accounting Description

TXW_TVKT - Customers: Account Assignment Groups Descriptions

TXW_TVLK - Delivery Types

TXW_TVSB - Shipping Conditions Descriptions

TXW_TVSD - Customers: Statistics groups descriptions

TXW_TVST - Organizational Unit: Shipping Points

TXW_TVTW - Organizational Unit: Distribution Channels

TXW_TW07 - SCB group

TXW_TW08 - Fin.acctng group

TXW_TW11 - Balance sheet indicator

TXW_TW18 - SCB indicator description

TXW_TW50 - Table for possible deposit types

TXW_TWD01 - Treasury: Securities Account Master Data

TXW_TXJCD - Tax jurisdiction codes

TXW_TZAF - Product categories

TXW_TZB03 - Flow categories

TXW_TZB0A - flow types

TXW_TZBA - Holding

TXW_TZK01 - Condition types

TXW_TZPA - Product Types

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