SAP G/L TABLES LIST
T011A : ( Category : FI-GL ) Calendar - task description
T011B : ( Category : FI-GL ) FI financial calendar - job
text table
T011E : ( Category : FI-GL ) Calendar of person
responsible for unit
T011F : ( Category : FI-GL ) FI [Link] - person
responsible for unit text table
T011V : ( Category : FI-GL ) FI financial calendar task-
schedule link
T8G04 : ( Category : FI-GL ) Derive line categories from
accounts
T8G05 : ( Category : FI-GL ) Derive allocation activities
from procedure and process
T8G06 : ( Category : FI-GL ) Dimensions for allocation,
acct balancing, and consolidation
T8G08 : ( Category : FI-GL ) Doc type assignment -
business process
T8G30B : ( Category : FI-GL ) Acct determination for
doc allocation - posting key
T8G30C : ( Category : FI-GL ) Acct determ. for doc
allocation - accounts
ACCTCR : ( Category : FI-GL-GL ) Compressed data from
FI/CO document - currencies
ACCTHD : ( Category : FI-GL-GL ) Compressed data
from FI/CO document - header
ACCTIT : ( Category : FI-GL-GL ) Compressed data from
FI/CO document
AGKO : ( Category : FI-GL-GL ) Cleared accounts
AVIK : ( Category : FI-GL-GL ) Payment advice header
AVIP : ( Category : FI-GL-GL ) Payment advice line item
AVIR : ( Category : FI-GL-GL ) Payment advice subitem
AVIT : ( Category : FI-GL-GL ) Advice header: User-
definable text
BFIT_A : ( Category : FI-GL-GL ) FI subsequent BA/PC
adjustment: G/L account items
BFIT_A0 : ( Category : FI-GL-GL ) FI [Link]/PC
adjustmnt: Zero [Link] for [Link]
BFO_A_RA : ( Category : FI-GL-GL ) Versions for
resetting cleared items
BFOD_A : ( Category : FI-GL-GL ) FI subsequent BA/PC
adjustment: Customer items
BFOD_AB : ( Category : FI-GL-GL ) FI [Link]/PC
adjustmnt: Valuatn diffrnce in customer OIs
BFOK_A : ( Category : FI-GL-GL ) FI subsequent BA/PC
adjustment: Vendor items
BFOK_AB : ( Category : FI-GL-GL ) FI [Link]/PC
adjustmnt: Valuatn difference in vendor OIs
BKDF : ( Category : FI-GL-GL ) Document header
supplement for recurring entry
BKORM : ( Category : FI-GL-GL ) Accounting
correspondence requests
BKORR : ( Category : FI-GL-GL ) Accounting
correspondence requests
BKPF : ( Category : FI-GL-GL ) Accounting document
header
BNKA : ( Category : FI-GL-GL ) Bank master record
BSAD : ( Category : FI-GL-GL ) Accounting: Secondary
index for customers (cleared items)
BSAK : ( Category : FI-GL-GL ) Accounting: Secondary
index for vendors (cleared items)
BSAS : ( Category : FI-GL-GL ) Accounting: Secondary
index for G/L accounts (cleared items)
BSBW : ( Category : FI-GL-GL ) Document valuation
fields
SAP GL TABLES
BSIA : ( Category : FI-GL-GL ) Archive Index for FI
Documents (outdated! see ARCH_IDX)
BSID : ( Category : FI-GL-GL ) Accounting: Secondary
index for customers
BSIK : ( Category : FI-GL-GL ) Accounting: Secondary
index for vendors
BSIP : ( Category : FI-GL-GL ) Index for vendor
validation of double documents
BSIS : ( Category : FI-GL-GL ) Accounting: Secondary
index for G/L accounts
BVOR : ( Category : FI-GL-GL ) Intercompany posting
procedures
EBKPF : ( Category : FI-GL-GL ) [Link] [Link]
(of docs from [Link])
EBSEG : ( Category : FI-GL-GL ) [Link] of
[Link] external documents
FRUN : ( Category : FI-GL-GL ) Run date of a program
KLPA : ( Category : FI-GL-GL ) Customer/vendor linking
KMKPF : ( Category : FI-GL-GL ) FI: Account assignment
model header information
KMZEI : ( Category : FI-GL-GL ) FI: Account assignment
model item information
KNAS : ( Category : FI-GL-GL ) Customer master (VAT
registration numbers general section)
KNB1 : ( Category : FI-GL-GL ) Customer master
(company code)
KNB4 : ( Category : FI-GL-GL ) Customer payment
history
KNB5 : ( Category : FI-GL-GL ) Customer master
(dunning data)
KNBK : ( Category : FI-GL-GL ) Customer master (bank
details)
KNC1 : ( Category : FI-GL-GL ) Customer master
(transaction figures)
KNC3 : ( Category : FI-GL-GL ) Customer master
(special G/L transaction figures)
KNZA : ( Category : FI-GL-GL ) Permitted alternative
payer
KOCLU : ( Category : FI-GL-GL
LFA1 : ( Category : FI-GL-GL ) Vendor master (general
section)
LFAS : ( Category : FI-GL-GL ) Vendor master (VAT
registration numbers general section)
LFB1 : ( Category : FI-GL-GL ) Vendor master (company
code)
LFB5 : ( Category : FI-GL-GL ) Vendor master (dunning
data)
LFBK : ( Category : FI-GL-GL ) Vendor master (bank
details)
LFC1 : ( Category : FI-GL-GL ) Vendor master
(transaction figures)
LFC3 : ( Category : FI-GL-GL ) Vendor master (special
G/L transaction figures)
LFM1 : ( Category : FI-GL-GL ) Vendor master record
purchasing organization data
LFZA : ( Category : FI-GL-GL ) Permitted alternative
payee
MAHNV : ( Category : FI-GL-GL ) Management records
for the dunning program
MLDZ4 : ( Category : FI-GL-GL ) Reporting data for Z4
which was not reported by DME
NBNK : ( Category : FI-GL-GL ) Number range for banks
NKUK : ( Category : FI-GL-GL ) Number range for
change documents
PARCT : ( Category : FI-GL-GL ) Receipt log table
(Japan)
RF048 : ( Category : FI-GL-GL ) [Link]/PC
adjustmnt: Index/distributn vector (calculate)
RF180 : ( Category : FI-GL-GL ) Subsequent BA/PC
adjustment: Posting runs
RFBLG : ( Category : FI-GL-GL
RFDT : ( Category : FI-GL-GL ) Accounting data (INDX
structure)
RFMHN : ( Category : FI-GL-GL
SKA1 : ( Category : FI-GL-GL ) G/L accounts master
(chart of accounts)
SKAS : ( Category : FI-GL-GL ) G/L account master
(chart of accounts: key word list)
SKAT : ( Category : FI-GL-GL ) G/L account master
record (chart of accounts: description)
SKB1 : ( Category : FI-GL-GL ) G/L account master
(company code)
SKM1 : ( Category : FI-GL-GL ) Sample G/L accounts
SKMT : ( Category : FI-GL-GL ) Sample account names
T000F : ( Category : FI-GL-GL ) Cross-client FI settings
T001A : ( Category : FI-GL-GL ) Additional local
currencies control for company code
T001B : ( Category : FI-GL-GL ) Posting periods allowed
T001D : ( Category : FI-GL-GL ) Validation of
accounting documents
T001E : ( Category : FI-GL-GL ) Company code-
dependent address data
T001F : ( Category : FI-GL-GL ) Company code-
dependent form selection
T001G : ( Category : FI-GL-GL ) Company code-
dependent standard texts
T001N : ( Category : FI-GL-GL ) Company code - VAT
registration nos. / notifications
T001O : ( Category : FI-GL-GL ) Cross-system company
codes
T001Q : ( Category : FI-GL-GL ) Substitution in
accounting documents
T001R : ( Category : FI-GL-GL ) Rounding-off rules for
company code and currency
T001S : ( Category : FI-GL-GL ) Accounting clerks
T001U : ( Category : FI-GL-GL ) Clearing between
company codes
T001X : ( Category : FI-GL-GL ) Configuration of
external receiving [Link]
T001Z : ( Category : FI-GL-GL ) Additional
specifications for company code
T003 : ( Category : FI-GL-GL ) Document types
T003A : ( Category : FI-GL-GL ) Document types for
posting with clearing
T003B : ( Category : FI-GL-GL ) Object types for early
entry in Financial Acctng
T003T : ( Category : FI-GL-GL ) Document type texts
T004 : ( Category : FI-GL-GL ) List of charts of accounts
T004G : ( Category : FI-GL-GL ) Field status definition
group texts
T004M : ( Category : FI-GL-GL ) Rules for sample
accounts
T004R : ( Category : FI-GL-GL ) Rules index for sample
accounts
T004S : ( Category : FI-GL-GL ) Texts for sample
account rules
T004T : ( Category : FI-GL-GL ) Chart of account names
T004V : ( Category : FI-GL-GL ) Field status variant
T004W : ( Category : FI-GL-GL ) Text table for T004V
T005P : ( Category : FI-GL-GL ) Validation of tax keys
T005Q : ( Category : FI-GL-GL ) Country keys for
withholding tax calculation
T005R : ( Category : FI-GL-GL ) Country keys for the
withholding tax: Names
T007A : ( Category : FI-GL-GL ) Tax keys
T007B : ( Category : FI-GL-GL ) Tax Processing in
Accounting
T007F : ( Category : FI-GL-GL ) Taxes on
sales/purchases groups
T007I : ( Category : FI-GL-GL ) Tax advance return, tax
group and calendar year group nos
T007V : ( Category : FI-GL-GL ) Tax codes to be
transported
T008 : ( Category : FI-GL-GL ) Blocking reasons for
automatic payment transcations
T008T : ( Category : FI-GL-GL ) Blocking reason names
in automatic payment trans.
T009 : ( Category : FI-GL-GL ) Fiscal year variants
T009B : ( Category : FI-GL-GL ) Fiscal year variant
periods
T009C : ( Category : FI-GL-GL ) Period names
T009T : ( Category : FI-GL-GL ) Fiscal year variant
names
T010O : ( Category : FI-GL-GL ) Posting period variants
T010P : ( Category : FI-GL-GL ) Posting period variant
names
T011 : ( Category : FI-GL-GL ) Financial Statement
Versions
T011P : ( Category : FI-GL-GL ) Table no longer in use
T011Q : ( Category : FI-GL-GL ) Table no longer in use
T011T : ( Category : FI-GL-GL ) Financial statement
version names
T011Z : ( Category : FI-GL-GL ) Table no longer in use
T012 : ( Category : FI-GL-GL ) House banks
T012K : ( Category : FI-GL-GL ) House bank accounts
T012T : ( Category : FI-GL-GL ) House bank account
names
T015L : ( Category : FI-GL-GL ) SCB ratios
T016 : ( Category : FI-GL-GL ) Industries
T016T : ( Category : FI-GL-GL ) Industry names
T018P : ( Category : FI-GL-GL ) Post office bank
branches
T020R : ( Category : FI-GL-GL ) Program selection with
transactions
T021 : ( Category : FI-GL-GL ) Fields for line item and
document line layout
T021A : ( Category : FI-GL-GL ) Forms for additional
information
T021B : ( Category : FI-GL-GL ) Line item total variants
T021C : ( Category : FI-GL-GL ) Summary variant short
names
T021M : ( Category : FI-GL-GL ) Sort variants
T021N : ( Category : FI-GL-GL ) Description of sort
variants
T021R : ( Category : FI-GL-GL ) Field selection for
[Link] (list displays)
T021T : ( Category : FI-GL-GL ) Line layout variant texts
T021V : ( Category : FI-GL-GL ) Default values for
display variants
T021Z : ( Category : FI-GL-GL ) Line layout variants
T028V : ( Category : FI-GL-GL ) Transaction types
T028W : ( Category : FI-GL-GL ) Transaction types:
Names
T030 : ( Category : FI-GL-GL ) Standard accounts table
T030B : ( Category : FI-GL-GL ) Standard posting keys
T030D : ( Category : FI-GL-GL ) Acct [Link] open
item [Link] differences
T030E : ( Category : FI-GL-GL ) Acct [Link] open
item [Link] differences
T030F : ( Category : FI-GL-GL ) Provision method for
doubtful receivables
T030G : ( Category : FI-GL-GL ) Standard accounts
table - business area breakdown
T030H : ( Category : FI-GL-GL ) Acct [Link] open
item [Link] differences
T030I : ( Category : FI-GL-GL ) Acct determination for
intercompany cost flow (CE ledger)
T030K : ( Category : FI-GL-GL ) Tax accounts
determination
T030Q : ( Category : FI-GL-GL ) Clearing accounts for
distributed systems
T030R : ( Category : FI-GL-GL ) Rules for standard
accounts determination
T030S : ( Category : FI-GL-GL ) Accts for foreign
currency assets exchange rate differences
T030U : ( Category : FI-GL-GL ) Account [Link]
balance sheet transfer postings
T030V : ( Category : FI-GL-GL ) Account conversion
tables for distributed systems
T031 : ( Category : FI-GL-GL ) Bill discount note
T031S : ( Category : FI-GL-GL ) Bill of exchange status
T031T : ( Category : FI-GL-GL ) Name of bill of
exchange status
T033 : ( Category : FI-GL-GL ) FI depreciation area
T033E : ( Category : FI-GL-GL ) Account determination:
Control data
T033F : ( Category : FI-GL-GL ) Account determination:
Posting rules
T033G : ( Category : FI-GL-GL ) Acct determination:
Replacing the account symbols
T033I : ( Category : FI-GL-GL ) Acct determination:
Account symbols
T033J : ( Category : FI-GL-GL ) Acct determination:
Account symbol descriptions
T033T : ( Category : FI-GL-GL ) FI depreciation area
T033U : ( Category : FI-GL-GL ) Account [Link]
balance sheet transfer postings
T041A : ( Category : FI-GL-GL ) Clearing procedures
T041B : ( Category : FI-GL-GL ) Company codes for
manual payments
T041C : ( Category : FI-GL-GL ) Reasons for reverse
posting
T041CT : ( Category : FI-GL-GL ) Reasons for reverse
posting (description)
T041T : ( Category : FI-GL-GL ) Clearing procedure
names
T042E : ( Category : FI-GL-GL ) Company code-specific
[Link] payment methods
T042T : ( Category : FI-GL-GL ) Text modules for
payment forms
T042Z : ( Category : FI-GL-GL ) Payment methods for
automatic payment
T043 : ( Category : FI-GL-GL ) Assign accounting clerks
T043G : ( Category : FI-GL-GL ) Tolerances for groups
of customers/vendors
T043GT : ( Category : FI-GL-GL ) Name of business
partner's tolerance groups
T043K : ( Category : FI-GL-GL ) Control of payment
notices to customers/vendors
T043T : ( Category : FI-GL-GL ) FI tolerance groups for
employees
T044A : ( Category : FI-GL-GL ) Foreign currency
valuation methods
T044B : ( Category : FI-GL-GL ) Valuation method
names
T044Z : ( Category : FI-GL-GL ) Open item accounts
with changed [Link]
T045E : ( Category : FI-GL-GL ) Presentation to bank
T045W : ( Category : FI-GL-GL ) Bank subaccounts for
bill of exchange usage
T046 : ( Category : FI-GL-GL ) Bill of exchange tax
T046T : ( Category : FI-GL-GL ) Bill of exchange tax
code names
T047 : ( Category : FI-GL-GL ) Company code dunning
control
T047A : ( Category : FI-GL-GL ) Account level dunning
control
T048B : ( Category : FI-GL-GL ) Report allocation for
automatic correspondence
T048I : ( Category : FI-GL-GL ) Correspondence type
properties
T048K : ( Category : FI-GL-GL ) Indicator for periodic
account statements
T048L : ( Category : FI-GL-GL ) Indicator for periodic
statements texts
T048V : ( Category : FI-GL-GL ) Correspondence
procedures
T048W : ( Category : FI-GL-GL ) Name of
correspondence procedure
T049L : ( Category : FI-GL-GL ) Lockboxes at our house
banks
T050T : ( Category : FI-GL-GL ) General texts
T051A : ( Category : FI-GL-GL ) Account balances for
statutory reporting
T052 : ( Category : FI-GL-GL ) Terms of payment
T052A : ( Category : FI-GL-GL ) Known/negotiated
leave
T052R : ( Category : FI-GL-GL ) Rules for issuing
invoices
T052S : ( Category : FI-GL-GL ) Terms of payment for
holdback/retainage
T052T : ( Category : FI-GL-GL ) Negotiated leave
description
T052U : ( Category : FI-GL-GL ) Own explanations for
terms of payment
T053 : ( Category : FI-GL-GL ) Line item texts
T053A : ( Category : FI-GL-GL ) Selection rules for
payment advices
T053B : ( Category : FI-GL-GL ) Selection rules for
payment advices (texts)
T053C : ( Category : FI-GL-GL ) Selection sequence for
payment advices
T053D : ( Category : FI-GL-GL ) Reason codes assigned
as fixed for clearing [Link] pmnt adv.
T053E : ( Category : FI-GL-GL ) Reason code conversion
T053G : ( Category : FI-GL-GL ) Payment advice types
T053R : ( Category : FI-GL-GL ) Classification of
payment differences
T053S : ( Category : FI-GL-GL ) Classification of
payment differences (texts)
T053V : ( Category : FI-GL-GL ) Reason code conversion
version
T053W : ( Category : FI-GL-GL ) Reason code
conversion version names
T054 : ( Category : FI-GL-GL ) Run plan for recurring
documents
T054A : ( Category : FI-GL-GL ) Settlement data for
recurring entry plans
T054T : ( Category : FI-GL-GL ) Description of execution
plans for recurring documents
T055 : ( Category : FI-GL-GL ) Field group fields
(master data)
T055G : ( Category : FI-GL-GL ) Field groups (master
data)
T055T : ( Category : FI-GL-GL ) Field group names
T056Z : ( Category : FI-GL-GL ) Interest rates
T057 : ( Category : FI-GL-GL ) Subsidy indicators
T057T : ( Category : FI-GL-GL ) Subsidy indicator
names
T058A : ( Category : FI-GL-GL ) Japanese stamp tax
T058B : ( Category : FI-GL-GL ) Number range
assignment for receipts
T058T : ( Category : FI-GL-GL ) Group receipt names
T059A : ( Category : FI-GL-GL ) Type of recipient for
vendors
T059B : ( Category : FI-GL-GL ) Withholding tax
categories for vendors: Names
T059E : ( Category : FI-GL-GL ) Income types
T059F : ( Category : FI-GL-GL ) Formulas for calculating
withholding tax
T059G : ( Category : FI-GL-GL ) Income types: Names
T059M : ( Category : FI-GL-GL ) Minority indicators
T059Q : ( Category : FI-GL-GL ) Withholding tax
T059R : ( Category : FI-GL-GL ) Recipient code
T059T : ( Category : FI-GL-GL ) Texts for minority
indicators
T060K : ( Category : FI-GL-GL ) FI constants
T060L : ( Category : FI-GL-GL ) FI constant name
T060M : ( Category : FI-GL-GL ) FI constant values
T070 : ( Category : FI-GL-GL ) FI document archiving -
document lives
T071 : ( Category : FI-GL-GL ) FI document archiving -
account lives
T074 : ( Category : FI-GL-GL ) Special G/L accounts
T074A : ( Category : FI-GL-GL ) Special G/L transaction
type names
T074T : ( Category : FI-GL-GL ) Special G/L indicator
names
T074U : ( Category : FI-GL-GL ) Special G/L indicator
properties
T076B : ( Category : FI-GL-GL ) EDI: Assign name in the
invoice <-> company code
T076I : ( Category : FI-GL-GL ) : ( Category : FI-EDI:
G/L accounts
T076K : ( Category : FI-GL-GL ) : ( Category : FI-EDI:
Additional account assignments
T076M : ( Category : FI-GL-GL ) EDI: Conversion of
external tax rate <-> tax code
T076S : ( Category : FI-GL-GL ) EDI-INVOIC: Program
parameters
T077S : ( Category : FI-GL-GL ) G/L account groups
T077T : ( Category : FI-GL-GL ) Table no longer in use
T077X : ( Category : FI-GL-GL ) Account group names
(table T077D)
T077Y : ( Category : FI-GL-GL ) Account group names
(table T077K)
T077Z : ( Category : FI-GL-GL ) Account group names
(table T077S)
T078S : ( Category : FI-GL-GL ) Action type screen
[Link] G/L acct master data
T100C : ( Category : FI-GL-GL ) Control of messages by
the user
TAKOF : ( Category : FI-GL-GL ) Reconciliation accounts
with exception handling
TBAER : ( Category : FI-GL-GL ) Rules for changing
document information
TBERG : ( Category : FI-GL-GL ) Authorization check in
DDIC
TBSLT : ( Category : FI-GL-GL ) Posting key names
TCURD : ( Category : FI-GL-GL ) [Link]
differences for postings in foreign currency
TF123 : ( Category : FI-GL-GL ) Additional rules for
running program SAPF124 (clearing)
TFAGM : ( Category : FI-GL-GL ) Allocate Clients and
Account Type to Clearing Rule
TFAV : ( Category : FI-GL-GL ) FI: Work lists
TFAVA : ( Category : FI-GL-GL ) FI: Details of
automatically generated work lists
TFAVT : ( Category : FI-GL-GL ) Work list names
TFAVW : ( Category : FI-GL-GL ) FI: Work list values
TFBUF : ( Category : FI-GL-GL ) Table for FI data
puffers
TGSB : ( Category : FI-GL-GL ) Business Areas
TGSBG : ( Category : FI-GL-GL ) Cross-system business
areas
TGSBH : ( Category : FI-GL-GL ) Texts for table TGSBG
TGSBT : ( Category : FI-GL-GL ) Business area names
THKON : ( Category : FI-GL-GL ) Permitted alternative
G/L accounts
TR01T : ( Category : FI-GL-GL ) Base table
reorganization: Texts
TRAS : ( Category : FI-GL-GL ) Interval for days in
arrears
TRAST : ( Category : FI-GL-GL ) Interval names for days
in arrears
TSAKR : ( Category : FI-GL-GL ) Create G/L account
with reference
TSTOR : ( Category : FI-GL-GL ) Accounting documents
with reverse posting date
TTABS : ( Category : FI-GL-GL ) Tables with special
maintenance
TTXC : ( Category : FI-GL-GL ) Assignment of external
system to logical destination
TTXD : ( Category : FI-GL-GL ) Description of tax
jurisdiction code structure
TTXDT : ( Category : FI-GL-GL ) Tax jurisdiction code
structure name
TTXF1 : ( Category : FI-GL-GL ) Word processing:
Linking of texts with document types
TTXI : ( Category : FI-GL-GL ) External tax interface:
index file
TTXJ : ( Category : FI-GL-GL ) Check table for tax
jurisdiction
TTXJT : ( Category : FI-GL-GL ) Text table for tax
jurisdiction
TTXP : ( Category : FI-GL-GL ) Product codes (external
tax interface)
TTXPT : ( Category : FI-GL-GL ) Product code
description (external interface)
TTXU : ( Category : FI-GL-GL ) External tax interface:
Audit file update information
TTXY : ( Category : FI-GL-GL ) External tax interface:
tax information
TTYPV : ( Category : FI-GL-GL ) FI summarization
dependent on the object type
UKSD : ( Category : FI-GL-GL ) User control totals
(online)
UKSV : ( Category : FI-GL-GL ) User control totals
(update)
VBKPF : ( Category : FI-GL-GL ) Document header for
preliminary posting
VBSEC : ( Category : FI-GL-GL ) Preliminary posting
one-time data [Link]
VBSEGA : ( Category : FI-GL-GL ) Preliminary posting
[Link] for assets
VBSEGD : ( Category : FI-GL-GL ) Document segment
for customer preliminary posting
VBSEGK : ( Category : FI-GL-GL ) Preliminary posting
[Link] for vendors
VBSEGS : ( Category : FI-GL-GL ) Preliminary posting
[Link] for G/L accts
VBSET : ( Category : FI-GL-GL ) Preliminary posting
[Link] for taxes
VBWF01 : ( Category : FI-GL-GL ) Company code-
dependent release data
VBWF02 : ( Category : FI-GL-GL ) Workflow procedure
VBWF03 : ( Category : FI-GL-GL ) Release Approval
Paths
VBWF05 : ( Category : FI-GL-GL ) Determination of
authorization path
VBWF06 : ( Category : FI-GL-GL ) Subworkflow
determination
VBWF07 : ( Category : FI-GL-GL ) Release Approval
Groups
VBWF08 : ( Category : FI-GL-GL ) Release Approval
Groups
VBWF09 : ( Category : FI-GL-GL ) People with release
authorizatn for [Link]
VBWF10 : ( Category : FI-GL-GL ) Authorization paths
(texts)
VBWF11 : ( Category : FI-GL-GL ) Objects for full
release
VBWF12 : ( Category : FI-GL-GL ) Objects for full
release (texts)
VBWF15 : ( Category : FI-GL-GL ) People with release
authorizatn for [Link]
VBWF16 : ( Category : FI-GL-GL ) Relevant document
types for releasing payments
QSTRE : ( Category : FI-GL-IS FI/HR withholding tax
report for Spain
REGUT : ( Category : FI-GL-IS TemSe - administration
data
T001M : ( Category : FI-GL-IS Data on Z5A Foreign
Trade Regulations Report, Germany
T007G : ( Category : FI-GL-IS Table no longer used ->
T007K/L
T007H : ( Category : FI-GL-IS Table no longer used ->
T007K/L
T007J : ( Category : FI-GL-IS Tax advnce pmt per taxes
on sls/[Link] and [Link]
T007K : ( Category : FI-GL-IS Table for grouping tax
basis balances
T007L : ( Category : FI-GL-IS Table for grouping tax
balances
T007R : ( Category : FI-GL-IS External group number for
tax amounts
T007X : ( Category : FI-GL-IS Text for grouping tax
amounts
T030HB : ( Category : FI-GL-IS Acct [Link] open
item [Link] differences
T042X : ( Category : FI-GL-IS Company codes blocked
by the payment program
T044D : ( Category : FI-GL-IS Work files for the extract
of the [Link] audit trail
T044E : ( Category : FI-GL-IS Foreign currency
valuation: items with special cover
T044G : ( Category : FI-GL-IS Valuation adjustment key
T049A : ( Category : FI-GL-IS Posting data for autocash
with lockbox
T049B : ( Category : FI-GL-IS Control parameters for
autocash
T049C : ( Category : FI-GL-IS Evaluation of the autocash
tapes
T049E : ( Category : FI-GL-IS Control data for Swiss POR
procedure
T049F : ( Category : FI-GL-IS Cashed checks control
table
TABKT : ( Category : FI-GL-IS Automatic accounts for
end-year closing/opening postings ITA
TBKOW : ( Category : FI-GL-IS Valuation difference
temporary storage
TBUVTX : ( Category : FI-GL-IS Transfer Posting of Tax
in a Cross-Company Code Transaction
TEURB : ( Category : FI-GL-IS Altern. local currency and
[Link] type for a company code
TFE05 : ( Category : FI-GL-IS BDF: State CB indic.
TFE18 : ( Category : FI-GL-IS BDF: Identif. of offsett.
accounts
TFE19 : ( Category : FI-GL-IS BDF: Accts subj. to report.
TLSEP : ( Category : FI-GL-IS Control table for list
separation
TRVOR : ( Category : FI-GL-IS Control statements
UMSV : ( Category : FI-GL-IS Tax balances per
[Link], tax code and [Link]
UMSVZ : ( Category : FI-GL-IS Advance return for tax on
sls/[Link]