ABAP Select data from SAP table FCLM_CP_S_REP_BANK_VIEW into internal table
Get Example source ABAP code based on a different SAP table
Below is a number of ABAP code snippets to demonstrate how to select data from SAP FCLM_CP_S_REP_BANK_VIEW table and store it within an internal table, including using the newer @DATA inline declaration methods. It also shows you various ways to process this data using ABAP work area, inline declaration or field symbols including executing all the relevant CONVERSION_EXIT routines specific to FCLM_CP_S_REP_BANK_VIEW. See here for more generic Select statement tips.
Sometimes data within SAP is stored within the database table in a different format to what it is displayed to the user. These input/output conversation FM routines are what translates the data between the two formats.
There is also a full declaration of the FCLM_CP_S_REP_BANK_VIEW table where each field has a char/string type for you to simply copy and paste. This allows you to use processing that is only available to these field types such as the CONCATENATE statement.
DATA: IT_FCLM_CP_S_REP_BANK_VIEW TYPE STANDARD TABLE OF FCLM_CP_S_REP_BANK_VIEW, WA_FCLM_CP_S_REP_BANK_VIEW TYPE FCLM_CP_S_REP_BANK_VIEW, GD_STR TYPE STRING. DATA: lo_typedescr type REF TO cl_abap_typedescr. DATA: lv_fieldname type fieldname. FIELD-SYMBOLS: <FIELD> TYPE any. FIELD-SYMBOLS: <FCLM_CP_S_REP_BANK_VIEW> TYPE FCLM_CP_S_REP_BANK_VIEW. *Process all fields in table header/work area as string values PERFORM process_as_string_field_values CHANGING wa_FCLM_CP_S_REP_BANK_VIEW. SELECT * *restrict ABAP select to first 10 rows UP TO 10 ROWS FROM FCLM_CP_S_REP_BANK_VIEW INTO TABLE IT_FCLM_CP_S_REP_BANK_VIEW. *Select data and declare internal table using in-line method @DATA *SELECT * * FROM FCLM_CP_S_REP_BANK_VIEW * INTO TABLE @DATA(IT_FCLM_CP_S_REP_BANK_VIEW2). *--Further methods of using ABAP code to select data from SAP database tables *You can also declare the header/work area using the in-line DATA declaration method READ TABLE IT_FCLM_CP_S_REP_BANK_VIEW INDEX 1 INTO DATA(WA_FCLM_CP_S_REP_BANK_VIEW2). *Demonstrate how to loop at an internal table and update values using a FIELD-SYMBOL LOOP AT IT_FCLM_CP_S_REP_BANK_VIEW ASSIGNING <FCLM_CP_S_REP_BANK_VIEW>.*To update a field value using a field symbol simply change the value via the field symbol pointer
<FCLM_CP_S_REP_BANK_VIEW>-BANKS = 1.
<FCLM_CP_S_REP_BANK_VIEW>-BANKL = 1.
<FCLM_CP_S_REP_BANK_VIEW>-ORGEH = 1.
<FCLM_CP_S_REP_BANK_VIEW>-ORGTX = 1.
<FCLM_CP_S_REP_BANK_VIEW>-ACC_NUM = 1.
ENDLOOP. LOOP AT IT_FCLM_CP_S_REP_BANK_VIEW INTO WA_FCLM_CP_S_REP_BANK_VIEW. *Write horizonal line to screen report. WRITE:/ sy-uline. *Write selected data to screen/report before conversion. WRITE:/ sy-vline, WA_FCLM_CP_S_REP_BANK_VIEW-CURRENCY, sy-vline,
WA_FCLM_CP_S_REP_BANK_VIEW-VALUE_DATE, sy-vline,
WA_FCLM_CP_S_REP_BANK_VIEW-VALUE_TIME, sy-vline,
WA_FCLM_CP_S_REP_BANK_VIEW-CASH_IN, sy-vline,
WA_FCLM_CP_S_REP_BANK_VIEW-CASH_OUT, sy-vline,
WA_FCLM_CP_S_REP_BANK_VIEW-CASH_POSITION, sy-vline.
ENDLOOP. *Add any further fields from structure WA_FCLM_CP_S_REP_BANK_VIEW you want to display... WRITE:/ sy-uline. * Aternatively use generic code to Write field values (and NAME) to screen report DO. ASSIGN COMPONENT sy-index OF STRUCTURE wa_FCLM_CP_S_REP_BANK_VIEW TO <field>. IF sy-subrc <> 0. EXIT. ENDIF. WRITE:/ 'Field Value', <field>, sy-vline. gd_str = <field> . lo_typedescr ?= CL_ABAP_DATADESCR=>DESCRIBE_BY_DATA( <field> ). lv_fieldname = lo_typedescr->GET_RELATIVE_NAME( ). WRITE:/ 'Field Name', lv_fieldname. ENDDO. *Redo loop but convert all fields from internal to out value LOOP AT IT_FCLM_CP_S_REP_BANK_VIEW INTO WA_FCLM_CP_S_REP_BANK_VIEW. *Write horizonal line to screen report. WRITE:/ sy-uline. *Convert all fields to display/output versions using conversion routines PERFORM convert_all_field_values CHANGING wa_EKKO. ENDLOOP. *&---------------------------------------------------------------------* *& Form convert_all_field_values *&---------------------------------------------------------------------* FORM convert_all_field_values CHANGING p_EKKO LIKE wa_EKKO. DATA: ld_input(1000) TYPE c, ld_output(1000) TYPE C.
*Conversion exit AU132, internal->external for field CASH_IN CALL FUNCTION 'CONVERSION_EXIT_AU132_OUTPUT' EXPORTING input = WA_FCLM_CP_S_REP_BANK_VIEW-CASH_IN IMPORTING output = ld_input.
WRITE:/ 'Org Value:', WA_FCLM_CP_S_REP_BANK_VIEW-CASH_IN.
WRITE:/ 'New Value:', ld_input.
*Conversion exit AU132, internal->external for field CASH_OUT CALL FUNCTION 'CONVERSION_EXIT_AU132_OUTPUT' EXPORTING input = WA_FCLM_CP_S_REP_BANK_VIEW-CASH_OUT IMPORTING output = ld_input.
WRITE:/ 'Org Value:', WA_FCLM_CP_S_REP_BANK_VIEW-CASH_OUT.
WRITE:/ 'New Value:', ld_input.
*Conversion exit AU132, internal->external for field CASH_POSITION CALL FUNCTION 'CONVERSION_EXIT_AU132_OUTPUT' EXPORTING input = WA_FCLM_CP_S_REP_BANK_VIEW-CASH_POSITION IMPORTING output = ld_input.
WRITE:/ 'Org Value:', WA_FCLM_CP_S_REP_BANK_VIEW-CASH_POSITION.
WRITE:/ 'New Value:', ld_input.
*Conversion exit AU132, internal->external for field CASH_IN_AGG CALL FUNCTION 'CONVERSION_EXIT_AU132_OUTPUT' EXPORTING input = WA_FCLM_CP_S_REP_BANK_VIEW-CASH_IN_AGG IMPORTING output = ld_input.
WRITE:/ 'Org Value:', WA_FCLM_CP_S_REP_BANK_VIEW-CASH_IN_AGG.
WRITE:/ 'New Value:', ld_input.
*Conversion exit AU132, internal->external for field CASH_OUT_AGG CALL FUNCTION 'CONVERSION_EXIT_AU132_OUTPUT' EXPORTING input = WA_FCLM_CP_S_REP_BANK_VIEW-CASH_OUT_AGG IMPORTING output = ld_input.
WRITE:/ 'Org Value:', WA_FCLM_CP_S_REP_BANK_VIEW-CASH_OUT_AGG.
WRITE:/ 'New Value:', ld_input.
*Conversion exit AU132, internal->external for field CASH_POSITION_AGG CALL FUNCTION 'CONVERSION_EXIT_AU132_OUTPUT' EXPORTING input = WA_FCLM_CP_S_REP_BANK_VIEW-CASH_POSITION_AGG IMPORTING output = ld_input.
WRITE:/ 'Org Value:', WA_FCLM_CP_S_REP_BANK_VIEW-CASH_POSITION_AGG.
WRITE:/ 'New Value:', ld_input.
ENDFORM. *&---------------------------------------------------------------------* *& Form process_as_string_field_values *&---------------------------------------------------------------------* FORM process_as_string_field_values CHANGING p_EKKO LIKE wa_EKKO. TYPES: BEGIN OF T_FCLM_CP_S_REP_BANK_VIEW_STR,
BANKS TYPE STRING,
BANKL TYPE STRING,
ORGEH TYPE STRING,
ORGTX TYPE STRING,
ACC_NUM TYPE STRING,
CURRENCY TYPE STRING,
VALUE_DATE TYPE STRING,
VALUE_TIME TYPE STRING,
CASH_IN TYPE STRING,
CASH_OUT TYPE STRING,
CASH_POSITION TYPE STRING,
CURRENCY_AGG TYPE STRING,
CASH_IN_AGG TYPE STRING,
CASH_OUT_AGG TYPE STRING,
CASH_POSITION_AGG TYPE STRING,END OF T_EKKO_STR. DATA: WA_FCLM_CP_S_REP_BANK_VIEW_STR type T_EKKO_STR. DATA: ld_text TYPE string. LOOP AT IT_EKKO INTO WA_EKKO. MOVE-CORRESPONDING wa_EKKO TO WA_EKKO_STR. CONCATENATE: sy-vline
WA_FCLM_CP_S_REP_BANK_VIEW_STR-BANKS sy-vline
WA_FCLM_CP_S_REP_BANK_VIEW_STR-BANKL sy-vline
WA_FCLM_CP_S_REP_BANK_VIEW_STR-ORGEH sy-vline
WA_FCLM_CP_S_REP_BANK_VIEW_STR-ORGTX sy-vline
WA_FCLM_CP_S_REP_BANK_VIEW_STR-ACC_NUM sy-vline
WA_FCLM_CP_S_REP_BANK_VIEW_STR-CURRENCY sy-vline
WA_FCLM_CP_S_REP_BANK_VIEW_STR-VALUE_DATE sy-vline
WA_FCLM_CP_S_REP_BANK_VIEW_STR-VALUE_TIME sy-vline
WA_FCLM_CP_S_REP_BANK_VIEW_STR-CASH_IN sy-vline
WA_FCLM_CP_S_REP_BANK_VIEW_STR-CASH_OUT sy-vline
WA_FCLM_CP_S_REP_BANK_VIEW_STR-CASH_POSITION sy-vline
WA_FCLM_CP_S_REP_BANK_VIEW_STR-CURRENCY_AGG sy-vline
WA_FCLM_CP_S_REP_BANK_VIEW_STR-CASH_IN_AGG sy-vline
WA_FCLM_CP_S_REP_BANK_VIEW_STR-CASH_OUT_AGG sy-vline
WA_FCLM_CP_S_REP_BANK_VIEW_STR-CASH_POSITION_AGG sy-vline INTO ld_text SEPARATED BY SPACE. *Add any further fields from structure WA_EKKO_STR you want to CONCATENATE... ENDLOOP. ENDFORM.