SAP Table - KLSI03_BAK
SAP Table | KLSI03_BAK |
Description | Backup for Euro Changeover for Collateral Agreements (Items) |
Table Type | TRANSP |
Delivery Class | A |
Main Category | Bank Components |
SAP Bank Components Tables
Table | Description | Module |
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TBKKIHB5 | Payt Method Determination HQ FI for Payment In-House Bank | IS-B |
TBCA_US_DEA_ADDT | Escheat Property Addition Codes Description | IS-B |
KLPREHLOG | Persistent Error Handling | IS-B |
BKK95 | Account Specific Amount Limits for Graduated Conditions | IS-B |
JBRAMOUNT | RM: Account Balance Summarization in Base Portfolio | IS-B |
JBRCFART | Cash flow type | IS-B |
KLSI02_BAK | Backup for Euro Changeover for Collateral Agreements | IS-B |
JBRVBRDEF | RM: Default Setting for Summarization (with Valuation Rule) | IS-B |
JBRLZBT | Maturity Band - Texts | IS-B |
JBRVREGT | Texts for Summarization Rule | IS-B |
Full List of SAP Bank Components Tables