SAP Bank Accounting (FI-BL) Tables

TableDescriptionModule
PAYRPayment Medium FileFI-BL
T012House BanksFI-BL
PCECPrenumbered ChecksFI-BL
FDZACash Management line items in payment requestsFI-BL
TVOITCheck void reason code textsFI-BL
T012THouse Bank Account NamesFI-BL
T015LSCB RatiosFI-BL
T015VApplication Area for Instructions in Payment TransactionsFI-BL
T015WInstruction keysFI-BL
T018VAcct Transfer: Determine Receiving Bank's Clearing AccountFI-BL
T036RPayment Request LevelsFI-BL
T042BDetails on the company codes that must payFI-BL
T042ECompany Code-Specific Specifications for Payment MethodsFI-BL
REGUTTemSe - Administration DataFI-BL
TCCRCPayment Cards: Check ResultsFI-BL
TCCFIPayment cards: Central FI settingsFI-BL
PAYRQPayment RequestsFI-BL
T012DParameters for DMEs and foreign pmnt transactionsFI-BL
T012EEDI-compatible house banks and payment methodsFI-BL
TBKDCDay Difference betw. House Bank and Beneficiary Value DatesFI-BL
TBKFKFactory Calendar Identification Using CurrencyFI-BL
TBKPVTime Between Payment Run and Value Date at House BankFI-BL
TCCAAPayment cards: Clearing account/external functionsFI-BL
T042YAccount Determination for Bank to Bank PaymentsFI-BL
T042FPayment method supplementsFI-BL
T042HText table for additional payment methodsFI-BL
T042QPermitted Destination Lands for Payment MethodFI-BL
FEBIPPosting Parameters for PostprocessingFI-BL
TCCLGPayment Cards: Settlement Run LogFI-BL
F111GGlobal Settings: Payment Program for Payment RequestsFI-BL
T042ZPayment Methods for Automatic PaymentFI-BL
CCENQPayment cards: Primary table for lock object EFCCENQFI-BL
TVOIDCheck void reason codesFI-BL
BSEGCDocument: Data on Payment Card PaymentsFI-BL
T042WPermitted currency keys for payment methodFI-BL
T012KHouse Bank AccountsFI-BL
T042TText modules for payment formsFI-BL
T042ZAAdditional specifications for payment methodFI-BL
TCCRCTPayment cards: Results of checks (texts)FI-BL
T042ZTTexts of Payment Methods for Automatic PaymentFI-BL
SMFIBLSpec. FI-BL Data in MonitorFI-BL
T042EAPayment method capability for ALE distributionFI-BL
REGUVMPayment Data for Cross-Payment Run Payment MediumFI-BL
REGUHMPayment Data for Cross-Payment Run Payment MediumFI-BL
DFPAYVPayment Medium: Selection VariantsFI-BL
TPRQPBPayment Block when using Payment RequestsFI-BL
DFPAYGPayment date: GroupingFI-BL
PAYRQPPAYRQ Enhancement (Cross-Country Bank Account Transfers)FI-BL
PAYRQTReference Texts for Payment RequestFI-BL
REGUTAPaying Company Codes for DME FilesFI-BL
FIEBREFIEB: Instances of RelationshipsFI-BL
T042YPAccount Determination for HR PaymentsFI-BL
T015WTExplanation of Instruction KeyFI-BL
T015W1InstructionsFI-BL
T015VTLong text for application areasFI-BL
T015W0Allocate application areas to instruction fieldsFI-BL
TCCLGTPayment cards: Settlement run log (texts)FI-BL
DFPAYHTNote to Payee and Payment Advice Note TextsFI-BL
FIEBPHFFIEB: Physical document filesFI-BL
T042ECTLetter for Payment Correspondence (PDF)FI-BL
FEB_ACTAcct Assignment TemplatesFI-BL
T015W1TInstructions (explanatory text)FI-BL
TFPM042FPayment medium formats: General attributesFI-BL
TBCHAIN0Definition bank chainsFI-BL
FIEBCHKFFIEB: File Name of Last Check-OutFI-BL
FIEBCHKOFIEB: Check-Out Data on a Physical DocumentFI-BL
TBCHAIN1Bank chainsFI-BL
FIEBLOIOFIEB: Instances of Logical DocumentsFI-BL
TFIBLHBGGroup of House Bank AccountsFI-BL
FIEBPHPRFIEB: Physical document attributesFI-BL
FIEBPHREFIEB: Outgoing Relationships of Physical DocumentsFI-BL
FIEBPHRIFIEB: Incoming Relationships of Physical DocumentsFI-BL
FIEBPHIOFIEB: Instances of Physical DocumentsFI-BL
FIEBREPRFIEB: Attributes of RelationshipsFI-BL
FEB_ACTTDescriptions of Account Assignment TemplatesFI-BL
FIEBPHHRFIEB: Outgoing Hyperlinks From Physical DocumentsFI-BL
TBCHAIN2Bank Chains per Business Partner AccountFI-BL
FIEBLORIFIEB: Incoming Relationships of Physical DocumentsFI-BL
FIEBLOREFIEB: Outgoing Relationships of Logical DocumentsFI-BL
FIEBLOPRFIEB: Attribute Values of Logical DocumentsFI-BL
FIEBPHNMFIEB: Use of Target Anchors in Physical DocumentsFI-BL
TBCHAINC0Assign Scenario for Bank Chain Determination to ClientFI-BL
TBCHAIN21Bank chains per business partner account (allocation)FI-BL
TFPM042FGPayment medium formats: Level of detail of payment mediumFI-BL
TBCHAINE0Definition of the scenarios for bank chain determinationFI-BL
TFPM042FFPayment medium formats: Format parametersFI-BL
FIEBCONT1FIEB: Table for Document Contents (Import/Export)FI-BL
TFPM042FMPayment medium formats: Reqd fields for format parametersFI-BL
TFPM042FTPayment medium formats: TextsFI-BL
TFPM042FVPayment medium formats: Note to payee fieldsFI-BL
TFPM042FZPayment medium formats: SupplementsFI-BL
TFPM042VAPayment medium: Note to payeeFI-BL
TFPM042VIPayment medium: Note to payee contentsFI-BL
TFPM042VJPayment Media: Content of Note to Payee Lang. IndependentFI-BL
DFPM_AUTHPayment medium: Authorization Check Origin ActiveFI-BL
FEB_TATYPTransactionFI-BL
TFPM042FDPayment Medium Formats: Preassignment of Format ParametersFI-BL
TFIBLHBGTName of the House Bank GroupsFI-BL
TFIBLHBG1Group of House Bank Accounts: DetailsFI-BL
TFIBLOPAYOrigin of Online PaymentsFI-BL
FIEBLOIOTFIEB: Descriptions of Logical DocumentsFI-BL
FPS_BLOCKPayment and Dunning Block for Each Payment Service ProviderFI-BL
TBCHAINE1Character. value of scenarios for determining bank chainFI-BL
TFPM042FBPayment medium formats: EventsFI-BL
TFPM042FZTPayment medium formats: Supplement textFI-BL
TBCHAINE0TDefinition of scenarios for bank chain determination (texts)FI-BL
TFPM042FDCPayt Medium Formats: Cust. Preassignm. of Format ParametersFI-BL
TFIBLMPVAROnline Payment: VariantsFI-BL
TFPM042FSBPayment Medium Formats: Modules for Writing/Sending FilesFI-BL
TFPM042FPBPayment Medium Formats: Modules for Payment Doc. ValidationFI-BL
TFPM042FMCPayment medium formats: Cust. reqd. fields for format para.FI-BL
TFPM042FGCPayt. medium formats: Cust. level of det. of payment mediumsFI-BL
TFPM042VATPayment medium: Note to payee textsFI-BL
TFIBLOPVAROnline Payment: Administration of VariantsFI-BL
TFPM042FBCPayment medium formats: Customer eventsFI-BL
TFPM042FFCPayment medium formats: Customer format parametersFI-BL
ACRELATIONRelationships in AccountingFI-BL
REGUP_COREProcessed Items from Payment ProgramFI-BL
FEBRE_ORIGOriginal Ref. Record for an Elec. Bank Statement Line ItemFI-BL
TCJ_BALANCEFI Cash Journal: Totals RecordsFI-BL
FEB_TATYP_CTransaction - Customer AdjustmentFI-BL
FEB_TATYP_TTransaction TextFI-BL
FIEB_BUSPROBusiness Processes in ApplicationsFI-BL
TFIBLSCREENControl of Output of Screen FieldsFI-BL
FIBL_RPCODEMaster Data for Repetitive CodeFI-BL
FIEB_STATUSFIEB: Status Management, Save StatusFI-BL
TFIBLORIGINOrigin IndicatorFI-BL
TFIBLFFPVAROnline Payment: VariantsFI-BL
TFIBLORIGINCOrigin SettingsFI-BL
TFIBLORIGINTMeaning of an Origin IndicatorFI-BL
FEB_FILEPATHClient-Dependent Definition of Logical File PathsFI-BL
TFIBLSCREEN0Register Programs for Screen ControlFI-BL
TFIBLSCREEN1Define Contents of Screen GroupsFI-BL
FEB_IMP_POSTPosting Parameters for Electronic Bank StatementFI-BL
FIEB_BUSPROTNames of Application Business ProcessesFI-BL
FEB_TATYP_TCTransaction Text - Customer AdjustmentFI-BL
TFIBLORIGINDAssignment of Origin to Overriding OriginFI-BL
FIEB_STATUSVStatus Values for Internet MessagesFI-BL
TFIBLSCREEN1TDefine Contents of Screen GroupsFI-BL
FEB_FILEPATHTDescription of Logical File PathsFI-BL
FEB_IMP_TRANSTransfer of Logical Bank Statement FilesFI-BL
FEB_AVIR_EXTDAdvice Note Subitem Enhancement (Bank Statement Postproc.)FI-BL
FEB_ITEM_SAVESaving of Posting Items for Postprocessing (On Account)FI-BL
FIEB_STATUSVTNames of Status Values for Internet MessagesFI-BL
FIEB_PASSWORDPasswords (stored in encrypted form)FI-BL
TFIBLAPARPVAROnline Payment: VariantsFI-BL
FIEB_OID_LOCKUsed to Lock any Given Objects Using Their OIDFI-BL
TFIBLOPAYSTEPOnline Payments: Determine Process StepsFI-BL
FEB_IMP_SOURCEInformation about Import for Electronic Bank StatementFI-BL
FEB_PARMT_POSTPosting Parameters for PostprocessingFI-BL
TFIBLOPDOCTYPEDocument Types for Online PaymentsFI-BL
FEB_ACCNT_SAVESaving of Posting Lines for Postprocessing (Account Assign.)FI-BL
FEBKO_TRANSFERTransferred Bank StatementsFI-BL
FEB_IMP_SELOPTSelection Options of Posting ParametersFI-BL
FEB_IMP_FORMATBank Statement Formats for Automatic ImportFI-BL
TFIBLMPAYBLOCKReservation for Cross-Payment Run Payment MediaFI-BL
FEB_IMP_STRUCTFormat-Specific Parameter StructuresFI-BL
GENERAL_EB_FIEBGeneral Customizing Table for Electronic BankingFI-BL
FEB_IMP_FORMATTFormat DescriptionFI-BL
F111PARAM_MODIFYNote whether RF_F111_PARAMETERS_MODIFY_ONCE has already runFI-BL
OFX_LA_MSGS_FIEBMessage Sets per Business ProcessFI-BL
DFPAYMENT_KEY_IDContains ID for Payment Data KeyFI-BL
BUSPROC_FCT_FIEBFIEB: Function Modules for Business ProcessFI-BL
OFX_BP_MSGS_FIEBCustomizing of OFX Message Sets for Business ProcessesFI-BL
OFX_VERSION_FIEBAttributes for a DTD Version of OFXFI-BL
LOGADR_PHAD_FIEBPhysical Address for a Logical AddressFI-BL
FIBL_RPCODE_GRTXGroup Names of Repetitive CodeFI-BL
TFIBLMPAYBLOCKIDRun Identification for Cross-Payment Run Payment MediumFI-BL
FIBL_RPCODE_GRELAssign Repetitive Codes/GroupsFI-BL
FIBL_RPCODE_TDEFDefault Values for Repetitive CodesFI-BL
LOGADR_ATTR_FIEBAttributes of Logical AddressesFI-BL
FIEB_STATUS_LOCKDummy to Block Status According to Non-Primary Key FieldsFI-BL
FEB_IMP_TRANPATHTransfer Paths for Logical Bank Statement FilesFI-BL
HBNK_LOGADR_FIEBAssignment of House Bank to Logical AddressFI-BL
FIBL_RPCODE_GROUGroups of Repetitive CodesFI-BL
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