Select data from sap tables FTR_
Display SAP table details
FTRA_AWKEY_RANGES - Ranges: Structure for Reference Key
FTRA_PAYMENT_HISTORY_FI - Payment History: Travel Expenses FI
FTRA_PAYMENT_HISTORY_KEY - Payment History: Travel Expenses FI - Key for Recpt. Determ.
FTRA_XXXXX - Structure for Report Parameters in Development Class FTRA
FTRC_DDES - Treasury: retention periods for data destruction
FTRC_FS_GEOT005 - Assignment of geo-coordinates to countries
FTRC_LOC_DEF - (Swift) Location and Financial Centre Codes Definition
FTRC_LOC_DEF_T - (Swift) Location and Financial Centre Codes Descriptions
FTRES - Fields in CAP / Restitution
FTRL_FS_GEOT005 - Geo-location data for countries
FTRS_ALRT_PRESELECT_KEY - TR Alert Preselection Key
FTRS_DEALNR - Range Structure for Transaction Number
FTRS_DEAL_AND_SEPOSITION_FLOW - Treasury: Transaction Flow + Securities Position Flows
FTRS_FIX_TRANS - Rate Fixing
FTRS_FIX_TRANS_DISPLAY - Treasury: Market Rate Fixing: Display Structure
FTRS_FIX_TRANS_FX_DISPLAY - Treasury: FX Rate Fixing: Display Structure
FTRS_FIX_TRANS_FX_RATE - Rate Fixing - FX Rate
FTRS_FIX_TRANS_KEY - Rate Fixing - Key
FTRS_FIX_TRANS_NO_KEY - Rate Fixing - No Key
FTRS_FIX_TRANS_PIDX_VALUE - Value Fixing - PIDX Value
FTRS_FP_SEL - Financial Position Selections
FTRS_JOURNAL_REPO - Interface Structure: Transaction Journal for Securities
FTRS_JOURNAL_SE - Interface Structure: Transaction Journal for Securities
FTRS_JOURNAL_SE_FORWARD - Interface Structure: Transaction Journal for Securities
FTRS_JOURNAL_SL - Interface Structure: Transaction Journal for Securities
FTRS_LMT_WRKLIST - Limit Details Structure for VTGFHA_WRKLIST
FTRS_MATCH_NUM_RANGE - Structure for Number Range for Match ID
FTRS_MD_FIXING - Common market-data fixing (so far TRCPAT and TRCPAT2)
FTRS_NR_TRANS_NUM_MM - Structure for Transaction Numbers for Money Market
FTRS_NR_TTYPE_DE - Structure for Transaction Type Definition: Derivatives
FTRS_NR_TTYPE_FX - Structure for Transaction Type Definition: FX
FTRS_NR_TTYPE_MM - Structure for Transaction Type Definition: Money Market
FTRS_NR_TTYPE_SEC - Structure for Transaction Type Definition: Securities
FTRS_NR_TTYPE_TF - Structure for Transaction Type Definition: Trade Finance
FTRS_PRODTYPE_MM - Structure for Product Type Definition for Money Market
FTRS_PRODUCTCATEGORY - Range Structure for Product Categories
FTRS_PRODUCTTYPE - Ranges Structure for Product Types
FTRS_VTBAFINKO - Structure for Alternative Conditions (Without Key)
FTRS_VTBFASGT - Account Assignment of a Financial Transaction Flow
FTRS_VTBFHAPO - Structure for Financial Transaction Flows (Without Key)
FTRS_VTBFINKO - Structure for Financial Transaction Conditions (Without Key)
FTRT_CFI_ATTR - CFI Attributes Per Group
FTRT_CFI_ATTR_T - CFI Attributes Per Group Text
FTRT_CFI_GRP - Define CFI Code Groups
FTRT_CFI_GRP_TXT - CFI Code Groups
FTRT_FIX_DEF - (FX Rate) Fixing Reference
FTRT_FIX_DEF_CMP - (FX Rate) Fixing Reference - Composition Details
FTRT_FIX_DEF_T - (FX Rate) Fixing Reference Descriptions
FTRT_FIX_TRANS - TR: Foreign Exchange Rate Fixing - Registration and Fixing
FTRT_LOC_TIME - Define Locations and Times
FTRT_OFF_MAP - Mapping for Offsetting - Portfolio
FTRT_OFF_MAP_HC - Mapping for Offsetting - Hedqe
FTRT_OFF_MAP_PF - Mapping for Offsetting - Portfolio
FTRV_CFI_ATTR - Generated Table for View
FTRV_CRDT_DEF - Generated Table for View
FTRV_DDES - Generated Table for View
FTRV_FIX_DEF - Generated Table for View
FTRV_FIX_DEF_CMP - Generated Table for View
FTRV_FP_DEF - Generated Table for View
FTRV_FP_GRP_DEF - Generated Table for View
FTRV_FS_GEOT005 - Generated Table for View
FTRV_LOC_DEF - Generated Table for View
FTRV_LOC_TIME - Generated Table for View
FTRV_TIER_ABS - Generated Table for View
FTRV_TIER_FAC - Generated Table for View
FTRXI_ADDRESS - Proxy Struktur (generiert)
FTRXI_AMOUNT - Proxy Struktur (generiert)
FTRXI_BUS_TRANS_DOC_PARTY - Proxy Struktur (generiert)
FTRXI_BUS_TRANS_DOC_PARTY2 - Proxy Struktur (generiert)
FTRXI_CONTACT_PERSON - Proxy Struktur (generiert)
FTRXI_EXCHANGE_FAULT_DATA - Proxy Struktur (generiert)
FTRXI_EXCHANGE_LOG_DATA - Proxy Struktur (generiert)
FTRXI_FOREIGN_EXCHANGE_LEG_NDF - Proxy Structure (generated)
FTRXI_FX_CURRENCY_FLOW - Proxy Structure (Generated)
FTRXI_FX_LEG - Proxy Structure (generated)
FTRXI_FX_LEG_EXCHANGE_RATE - Proxy Struktur (generiert)
FTRXI_FX_OPTION_PREMIUM - Proxy Struktur (generiert)
FTRXI_FX_OPTION_PREMIUM_QUOTE - Proxy Struktur (generiert)
FTRXI_FX_OPTION_SIMPLE - Proxy Structure (generated)
FTRXI_FX_OPTION_STRIKE_PRICE - Proxy Struktur (generiert)
FTRXI_FX_SWAP - Proxy Struktur (generiert)
FTRXI_GENERAL_DEAL_ATTRIBUTES - General attributes of a Financial Transaction or Instrument,
FTRXI_LOG - Proxy Struktur (generiert)
FTRXI_LOG_ITEM - protocol message issued by an application
FTRXI_PERSON_NAME - Proxy Struktur (generiert)
FTRXI_TR_DEAL - Treasury Deal
FTRXI_TR_DEAL_NOTIF - Treasury Deal Notification
FTRXI_TR_DEAL_NOTIF_M - Message for Contract of a Treasury Transaction
FTRXI_TR_DEAL_NOTIF_RESPONSE - Proxy Structure (Generated)
FTRXI_TR_DEAL_NOTIF_RESPONSE_M - Proxy Structure (Generated)
FTRXI_TR_DEAL_RESPONSE - Proxy Structure (Generated)
FTR_AC_FLOW_CONV - Structure for Converting TRD Flows into HAPO Flows
FTR_AC_FLOW_CONV_DATA - Flow Data for FTR_AC_FLOW_CONV
FTR_AC_PAYMENT - Payment Details
FTR_AC_POSTING - Posting Data
FTR_AC_POSTING_PAYMENT - Structure for Posting and Payment Details
FTR_AC_TICKET - Data Ticket for cl_ftr_ac
FTR_AC_TICKET_HAPOKEY - Flow Key
FTR_AVG - Generated Table for View
FTR_AVG_ASGN - Assign one flow to many adjustments for average
FTR_AVG_DISPLAY - Schedule Display Structure
FTR_AVG_PERIOD - Display Structure for Period Screen
FTR_AVG_PERIOD_TEXT - Text of Average popup
FTR_AVG_PROT - FX Rates for ARO: Structure for Log Output
FTR_AVG_PROT_DISP - FX Rates for ARO: Structure for Log Output
FTR_AVG_RATE - Average Rates
FTR_AVG_SCHEDULE - Schedule with Rates
FTR_COMF_AVG_ASGN_UI_ALV - Commodity Forward: Average + ALV field
FTR_COMF_AVG_ASGN_X - Commodity Forward: Average
FTR_COMS_AVG_ASGN_UI - COMS: average
FTR_COMS_AVG_ASGN_UI_ALV - COMS: average + ALV-Fields
FTR_COMS_AVG_ASGN_X - COMS: average
FTR_COMS_FLOWS_UI - COMS: Flow
FTR_COMS_FLOWS_UI_ALV - COMS: Flow + ALV-Fields
FTR_COMS_HEADER_UI - COMS: Header
FTR_COMS_HEADER_UI_FLOWGEN - COMS: Header flowgen extension
FTR_CRDT_DEF - Definition of Line of Credit
FTR_CRDT_DEF_T - Definition of Line of Credit
FTR_DEAL_WRK - Display Structure for Treasury Transactions
FTR_DEBT_INVEST_ANALY - Debt Investment Analysis
FTR_DEBT_INVEST_ANLYS - Debt Investment Analysis
FTR_ENTRY - Screen Structure for Central Entry Transactions
FTR_ENTRY_DEAL_ACTIVITY - Structure FTR Entry deal activity
FTR_ENTRY_NEW - Structure for Financial Transaction
FTR_FAC_AVAIL_AMT_STRUC - Facility Available Amount
FTR_FAC_MESSAGE - FTR Facilities - Messages
FTR_FLOWS_INFO - Information About Flows in a Money Market Transaction
FTR_FLOW_MATCH - Data Ticket for Assigning HAPO and TRD Flows
FTR_FLOW_MATCH_FULL - Data Ticket for Assigning HAPO and TRD Flows
FTR_FP_DEF - Financial Position Definition
FTR_FP_GRP_DEF - Financial Position Group Definition
FTR_FP_SEL - Financial Poistions Selections
FTR_FP_WHERECOND - Where conditions for Financial Positions
FTR_FUNCT_CLASS - Structure for locator framework: Transaction function list
FTR_FX_GUI - Int. FX - GUI Fields
FTR_FX_GUI2 - Int. FX - GUI Fields
FTR_FX_INT_FOREX - Int. FX: Create a Forex Transaction
FTR_FX_INT_HEADER - Int. FX: Header Information for Creating a Transaction
FTR_FX_WEB_GET_QUOTE - Structure for Determining FX Rate
FTR_FX_WEB_PROD_TRANS_TYPE - Product Type and Transaction Type
FTR_FX_WEB_TARGET_URLS - Service URLs for c-BS for CFM-TM
FTR_FX_WEB_URLS - FTR_FX_WEB_URLS
FTR_GDPDU_STR_FLOW - Flow in Parallel Position Management
FTR_GDPDU_STR_MASTERDATA - Financial Transaction
FTR_GDPDU_STR_SEC_FLOW - Securities Flow with Reversal Information and AWKEY
FTR_GDPDU_STR_STRUCT_NAME - Range Structure for DART Segment Name
FTR_GDPDU_STR_VTBFHA_MASTER - Financial Transaction
FTR_GDPDU_XSTR_AT02 - Activity Categories
FTR_GDPDU_XSTR_AT07 - Category of Flows and Conditions
FTR_GDPDU_XSTR_AT10 - Name of Transaction Type
FTR_GDPDU_XSTR_AT10B - Valuation Customizing
FTR_GDPDU_XSTR_AT30 - Formula Table for Financial Mathematics
FTR_GDPDU_XSTR_AT40 - Calculation Categories of Cash Flow Calculator
FTR_GDPDU_XSTR_ATMA - Type of Master Agreement
FTR_GDPDU_XSTR_CLASPOS - Class Position in Securities Account
FTR_GDPDU_XSTR_FLOW - Flow in Parallel Position Management
FTR_GDPDU_XSTR_SEC_FLOW - Security Flows
FTR_GDPDU_XSTR_TRACC_AA_REF - Account Assignment Reference in Parallel Valuation Areas
FTR_GDPDU_XSTR_TRDC_DFLOWTYPE - Definition of Update Types
FTR_GDPDU_XSTR_TRGC_VAL_AREA - Valuation Areas
FTR_GDPDU_XSTR_TRLPOS - Treasury Ledger Position
FTR_GDPDU_XSTR_TWD01 - Securities Account Master Data
FTR_GDPDU_XSTR_TWPOB - Portfolio Position
FTR_GDPDU_XSTR_TZBA - Holding
FTR_GDPDU_XSTR_VTBAFINKO - Alternative Conditions
FTR_GDPDU_XSTR_VTBFHA - Financial Transaction
FTR_GDPDU_XSTR_VTBFHAPO - Financial Transaction Flow
FTR_GDPDU_XSTR_VTBFHAZU - Transaction Activity
FTR_GDPDU_XSTR_VTBFINKO - Financial Transaction Condition
FTR_GDPDU_XSTR_VTIAFINKO - Alternative Conditions Underlying
FTR_GDPDU_XSTR_VTIDERI - Master Data Listed Options and Futures
FTR_GDPDU_XSTR_VTIFHA - Underlying Transaction
FTR_GDPDU_XSTR_VTIFHAZU - Underlying Transaction Status Table
FTR_GDPDU_XSTR_VTIFINKO - Underlying Transaction Conditions
FTR_GDPDU_XSTR_VTIOF - Options Additional Data
FTR_GDPDU_XSTR_VTIOFZU - Allocation of Option/Future to Underlying
FTR_GDPDU_XSTR_VWPAKTI - Stock, Subscription Rights, Investment Certificates
FTR_GDPDU_XSTR_VWPANLA - Asset Master for Securities
FTR_GDPDU_XSTR_VWPANLE - Interest-Bearing Securities
FTR_GDPDU_XSTR_VWPDEPO - Securities Account Position
FTR_GDPDU_XSTR_VWPTERM - Warrants
FTR_IRATE_DATE - Interest Rate Date
FTR_IRATE_PERIOD - Interest period
FTR_IRATE_TC_SCREEN - Screen Fields: Interest condition table in structure
FTR_LOCA_ENTRY - Structure for locator frame work: Financial Transaction
FTR_MA_DEALSTODAY_REFRESH - CFM TM MiniApps
FTR_MA_FIELDLIST - Field List for MiniApps
FTR_MA_LAUNCHER - CFM TM MiniApps
FTR_MSG_2_MSG_CTRL - Structure for Transferring Messages to CL_FTR_MSG_CTRL
FTR_OBJECT_KEY - Structure with Object Key Fields
FTR_PARAMETER_DEF - Structure for Defining Parameters and Variables
FTR_RANGE_GSART - Range for Product Types
FTR_RANGE_SANLF - Range for Product Categories
FTR_REPO_DATA - Structure for Repo Data
FTR_RPS_CONDITION - information about one condition of the deal
FTR_RPS_DEAL_VISUALIZATION_DAT - Visualization Data for Selection Table
FTR_RPS_FLOW - information about the flows of one day
FTR_RPS_FLOWS_OF_YEAR - information about all flows of one year
FTR_RPS_FLOWS_SUM - totals of all columns of the flow-table
FTR_RPS_FLOW_AMOUNTS - basic-amounts for the flow-structures of the rps
FTR_RPS_FOOTER - footer of the repayment schedule
FTR_RPS_HEADER_COUNTERPARTY - counterparty information
FTR_RPS_HEADER_DEAL_G_INFO - general information about the deal
FTR_RPS_HEADER_DEAL_T_INFO - time information about the deal
FTR_RPS_HEADER_TOPLINE - information for the topline
FTR_RXP_KEY - Structure with Object Key Fields
FTR_SCR_FLD_COND_EXT - Screen Fields: Condition detail (Extension)
FTR_SEC_HEADER - Header Information for Securities Master Data
FTR_SEPA_CC - SEPA Activation per Company Code
FTR_SL_CF - Output Structure for Cash Flow Update
FTR_SL_CFPROT - Output Structure for Cash Flow Update
FTR_SL_RDATA - Structure for Securities Lending Data
FTR_STOCK_BASIC_DATA - Basic Data and Conditions for Stocks
FTR_S_DBLFZ - Structure to Create a Range Table for Start of Term
FTR_S_DELFZ - Structure to Create a Range Table for End of Term
FTR_S_OBJNR - Structure to Create a Range Table for Object Number
FTR_TCOR_S_OM_APPL_OBJ_ID - Treasury Correspondence Output Management: Appl. Obj. ID
FTR_TERM_END - Term end for company code and product type
FTR_TIER_DEF - Definition of Rank
FTR_TIER_DEF_T - Description of Rank
FTR_TIER_LEVEL - Tier Level
FTR_TPI_CONDITION_SINGLEDAT - FTR: TPI Structure for Condition Details Single Dates (RFC)
FTR_TPI_COND_SCALE_FV_CHANGE - FFTR: TPI Str. for Scaled Conditions Formula Comp. (RFC)
FTR_TPI_CREATE - FTR: TPI Structure for Creating Transactions
FTR_TPI_CREATE2 - FTR: TPI Structure for Creating Transactions: eg. SWAP
FTR_TPI_CREATE_FXOPTION - Create a FX Option via TPI
FTR_TPI_CREATE_FXOPTION_2 - Create a FX Collar via TPI: Second Leg
FTR_TPI_CREATE_FXT - Create a Forex Transaction via TPI
FTR_TPI_CREATE_INFO - Create txn with further info on original trade request (TPI)
FTR_TPI_CREATE_SECURITY - Create a Security Transaction via TPI
FTR_TPI_MAINFLOW - FTR: TPI Structure for Changing Other Main Flows (RFC)
FTR_TPI_PAYDET - FTR: TPI Structure for Payment Details (RFC)
FTR_TPI_RFC_CONDITION - FTTR: Structure for Condition Details via TPI (RFC)
FTR_TPI_RFC_CONDITION_FORMULA - FTR: TPI Condition Details Formula Variables (RFC)
FTR_TPI_RFC_COND_SCALE_CHANGE - FTTR TPI Structure: Scaled Conditions (RFC)
FTR_TPI_RFC_CREATE_IRATE - FTR: Create Interest Rate Instrument per TPI (RFC)
FTR_TPI_RFC_FLOW - FTR: TPI Structure for Flows (RFC)
FTR_TPI_SEC_ID - Security ID (RFC/TPI)
FTR_TRANSACTIONTYPE_TEXT - Text Name of Product Type and Transaction Type
FTR_TRANSACTION_INFO - Transaction Data for Report RFTMFIMA
FTR_TRANSACTION_MESSAGES - Output Messages for RFTMFIMA
FTR_XI_COMMON - Mapping: General Data
FTR_XI_COMMON_EXT - Mapping: General Data in External Format
FTR_XI_COMMON_INT - Mapping: General Data in SAP Internal Format
FTR_XI_COMMON_INT2 - Mapping: 2xGeneral Data in SAP Internal Format (re. FX Swap)
FTR_XI_FXLEG - Mapping: FX Spot/Forward Data
FTR_XI_FXLEG_EXT - Mapping: FX Spot/Forward Data in External Format
FTR_XI_FXLEG_INT - Mapping: FX Spot/Forward Data in SAP Internal Format
FTR_XI_FXSIMPLEOPTION - Mapping: FX Option Data
FTR_XI_FXSIMPLEOPTION_EXT - Mapping: FX Option Data in External Format
FTR_XI_FXSIMPLEOPTION_INT - Mapping: FX Option Data in SAP Internal Format
FTR_XI_FXSWAP - Mapping: FX Swap Data
FTR_XI_FXSWAP_EXT - Mapping: FX Swap Data in External Format
FTR_XI_FXSWAP_INT - Mapping: FX Swap Data in SAP Internal Format
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