SAP General Ledger Accounting Tables

Are you looking for the right table related to SAP General Ledger Accounting Tables to query in an ABAP Program, Class, Function Module and OData API?

There are number of standard tables in SAP S/4HANA system. The data of an application is distributed across several database fields. Finding the right table is important, in this post we'll look at list of all the tables in General Ledger Accounting (FI-GL) module.

Top 10 tables in General Ledger Accounting

FINSC_CT_DELTADelta Currency and Valuation Types
FAGLFLEX03General ledger: SAP additional account assignment
FINAC_IDX_COCDOAIF Index table for Company Code Outbound
FAGL_SCENARIOTScenario for General Ledger Accounting
FAAI_MOVCATTransaction Type Category
FAGLFLEX08General Ledger: Reserve Table 2
FAGL_SPLIT_FIELDCharacteristics for Split
FAGLSKFGeneral Ledger: Statistical Key Figures (Current Values)

List of SAP tables for General Ledger Accounting

FINSC_CT_DELTADelta Currency and Valuation Types
FAGLFLEX03General ledger: SAP additional account assignment
FINAC_IDX_COCDOAIF Index table for Company Code Outbound
FAGL_SCENARIOTScenario for General Ledger Accounting
FAAI_MOVCATTransaction Type Category
FAGLFLEX08General Ledger: Reserve Table 2
FAGL_SPLIT_FIELDCharacteristics for Split
FAGLSKFGeneral Ledger: Statistical Key Figures (Current Values)
FAGL_AB_CInteractive Characteristics for Flexible Balance Display
FAGL_MIG_RPITEMSMigration in New G/L: Objects To Be Posted Subsequently
FAGL_MIG_001Assignment of a Migration Date to a Migration Plan
FAGL_EMP_PROCESSDocument Splitting: Process Adjustment for HR Postings
FAGL_VAL_COCODEAllocation to company code
FAGL_GCDTC_XBRLGCD-Structure: Tuple Abstract Define of Item
FAGL_SPLINFOSplittling Information of Open Items
FAGL_MIG_MP_TText Table for Migration Plans
FAGL_GCDCP_XBRLGCD-Structure: Copyable node Define Table
FAGL_ITAXBUPCommercial Business
FAGL_VAL_PROCESSDocument Splitting: Validation Mode Dependent on Processes
FAGL_LEDGER_SCENActive Scenarios of a Ledger
FDC_D_PP_ITEMItem Table for Parameter Persistence
FAGL_ALE_CNTRPROSingle Doc. and Summary Doc. Transfer: Central Processes
FAGL_011ZC_XBRLFin. Statement Version: Assignment of FS Items to G/L Accts
FINS_CONF_UTILPrograms that can be started with generic utility app
FAGL_DRPROV_METHProvision Method for Provisons for Doubtful Receivables
FINSTS_SLALITTYSubledger-Specific Line Item Types
FAGL_GCDDC_VERGCD Revision: Data Type of Item
UHDT_HATTHierarchy Attribute Text
T8G21Splitting rule: Item categories to be processed
FAGL_SCENARIOScenario for General Ledger Accounting
FDC_D_DFT_AC_DISDraft persistence of AccDocItem
T8G50Permitted Fields To Be Summarized (Before Doc. Splitting)
QISRPCR_TRANSACTTransactions for Adjustment Postings: Adj. Posting Request
FAGL_011SCFin. Statement Struct.: Assignment Fin. Stmnt Item: Setname
FAGL_011PC_TF/S Structure: Texts of 1st Item of F/S Structure
UHDT_HATTRVALSTNode Attribute Value Text
FAGL_011QTFin. Statement Structure: Text for Fin. Statement Items
FAGLFLEX06General ledger: Sender SAP additional account assignment
FAGL_SEGM_CUSTSettings for Segment Maintenance and Derivation
UHDT_CATGTHierarchy Category Text
FAGL_NR_OBJECTSObjects For Which the XPRA Creates a Range in All Clients
UHDT_OB58_NODEHierarchy Node for OB58 Comptaible View
T882GCompany code - ledger assignment
GLPOS_N_CTNew General Ledger: Line Item with Currency Type
FAGL_DRPROV_PERCProvisions for Doubtful Receivables: Percentages
TGCDT_VERGCD Revision Data Names
FAGL_MIG_REV_DOCDocuments from Inverse Postings During the Migration
FAGL_CASHACC_TAXCash Account from Tax on Sales/Purchases Indicator
FAGL_MIG_002Assignment of a Migration Plan to Company Code and Ledger
UHDT_REUSE_SRCReuse source configuration for category
FAGL_DSOURCE_RLDNew General Ledger Accounting: Assign Ledger to DataSource
FINSTS_CMPTS_FCTAll Components in ACDOCA fieldcat
UHDT_HATGPTHierarchy Attribute Group Text
GLPOS_C_DEB_CTGLPOS_C_CT Customer Line Items
FINSC_VALUTYPValuation type
FINSC_CLNT_CNTRLActivate accounting features on client level
FAGL_GCDNC_XBRLGCD-Structure: Technical name for GCD positions
FAGLFLEX02General ledger: Main account assignment
FINSC_AP_CONTROLAccounting Principle Control
FAGL_MIG_TOTALSLog Table for Building Balances in New G/L
UHDT_NATGPTNode Attribute Group Text
FINSC_CMP_VERSNCDet. G/L Ledger and Fields for CO-Version (for CompatViews)
FAGL_GCDQT_VERGCD Revision: Text of GCD table
FDC_D_ACCDOC_TMPTemporary storage of an accounting document
NGLM_ANA_HDAnalysis Run Header
FINSC_LD_CMPCompCode-Dependent Settings for Univ. Journal Entry Ledger
TVAT001Customizing of Tax on Sales/Purchases - Control of Screen
FINSC_SIF_RECONSIF: Fields which have to be aggregated in reconciliation
FAGL_RMIGR_LOG2Report Migration: Log Header
FAGL_TLDGRP_MAPAssignment of Ledgers to Ledger Groups
FAGL_VAL_LOGValidation of Document Splitting: Log
FAGLCOFITRFLDSField Transfers for Real-Time Integration CO->FI
FINSC_CURR_CHNGETask: Add or Remove Currency Types in ACDOCA Table Entries
T8G17Allocation: acct number - item type
FINSC_CURTYPE_CCurrency type
UHDT_NATTNode Attribute Text
T8G02Item categories
FAGL_ORG_INFO_CTNew General Ledger: Configuration Information (Crcy Type)
FINAC_MIDX_PCTRIAIF Multiple Index table for Profit Center Inbound
FINSC_IC_HKONTG/L Accounts for Rounding Differences
FINSC_ACTVE_APPLActive Application and Subapplication in Client
FINSC_SIS_PROJIntrod. of Doc. Split: Project
FAGL_SEGMTMaster Data for Segments
FAGL_RAND_WPMAPRandomization: Assignment of Work Process to Internal Number
FINSTS_FAA_BCFSLALITTYPE Mapping Table for Balance Carryforward
GLPCA_CTProfit Center Documents
UHDT_CATGHierarchy Types
FAGL_MIG_ADJUSTLog Table for Using Divergent Customizing Settings (Migratn)
FAGL_BW_LOG_ITEMFI-GL: Log for BW Extraction: Line Items
FAGL_GCDPC_XBRLGCD-Structure: Element Relationships
BSEG_ADDEntry View of Accounting Document for Additional Ledgers
FAGLSKF_TABTable Names and Structures
FINSC_SIS_SPLVALSIS: Activation of Validation by Document Splitting
FAGL_APPLTOwner application
T8G11Assignment: MM movement type- accounting transaction variant
FINSC_VALSUBTYPTValuation View Subtype Text
UHDT_NODEHierarchy Node
FINAC_IDX_PCTRHOStandard index table
FDC_D_DFT_AC_ITMDraft persistence of AccDocItem.
FAGL_SPLINFO_LOGNew General Ledger Accounting: Log for Nonsplitted Documents
FAGLFLEXT_BCKGeneral Ledger: Totals
FAGL_REPFIELDSExclusion List of Totals Record Chars for Reporting
FDC_D_DFT_AC_TXEDraft persistence of Accounting Document Tax Amount entry an
FAGL_SEG_METHODDerivation Method for Segment
FAGLSKF_APPLAssignment of Application to ID for Statistical Key Figures
FAGL_BELNR_LDDocument Types for Entry View in a Ledger
FAGLSREPACCTPAccess Type for Financial Statements
FAGL_011PCI_XBRLFin. Statement Version: Items (Without Internal Node IDs)
FAGL_MIG_SPLITMigration-Specific Splitting Setting
T001S4HCountry-Specific Parameter Types
T8G22Splitting rule: Additional items
T011_XBRLFin. Statement Vers. from XBRL Taxonomies
FAGL_MIG_001_SMigration Plan Status
FINSC_DRF_SFEC2Custom Field Mapping for Bank Master Data to EmployeeCentral
FINSTS_CHGCP_FCTChangeable Components in ACDOCA fieldcat
FINSC_SYMACCTSymbolic Account
FAGL_011NC_XBRLF/S Version: Technical Names for F/S Items
FAGL_GCDDC_XBRLGCD-Structure: Data Type of Item
UHDT_VRSNHierarchy Version
GLPOS_N_GL_CTNew General Ledger: Line Item with Currency Type
T8G031Business Transaction Variant
UHDT_HIER_TAGTHierarchy Tag Text
FDC_D_DFT_AC_PYDDraft persistence of Accounting Document Payment Difference
FINSC_IC_PROJIC: Customizing
FINSC_DEFSUMDeferred Summarization: Activation and Residence Periods
FINSC_UI_SH_LD_CCreate Ledger for Deviating Fiscal Year Variant
FINSTS_ACDOC_FCTFieldcatalog for table ACDOCA in unified journal entry
FAGLFLEXAGeneral Ledger: Actual Line Items
UHDT_HATGPHierarchy Attribute Group
FAGL_ITAXB_ASSGNMapping PC, Business Area, Segment to Commercial Business
FAGL_MIG_PROCESSDocument-Specific Business Transaction Assignment
FAGL_RMIGR_MAPReport Migration: Mapping of Report Objects
FINSC_LEDGERUniversal Journal Entry Ledger
FINSC_LEDGER_TUnified Journal Entry Ledger
FAGL_GCDPC_VERGCD Revision: Element Relationships
T011T_XBRLNames of Financial Statement Versions
UHDT_CLFD_VALClass Field Value
FINSC_BTTYPE_TBusiness Transaction Type
FAGL_BW_LOG_HEADFI-GL: Log for BW Extraction: Control Data
FAGL_RMIGR_LOG4Report Migration: Log Messages
FAGL_T889ADocument Types with Number Ranges in Planning in Gen. Ledger
FINSSSPUI_LEDGERSet the Leading Ledger
SSCUI_CALLERSSCUI called via fin APIs - do not use otherwise
FINSC_CMP_VRSNCHHistory: Det. G/L Ledger and Fields for CO-Version
FAGL_RAND_RLDNRActivate Totals Record Randomization
FINSC_ACDOC_FCTFieldcatalog for table ACDOCA in unified journal entry
FAGL_LEDGER_INFONew General Ledger: Configuration Information (Ledger)
UHDT_HIERHierarchy Description Table
UHDT_CHG_ITEMChanged items in GAH
T8G01Splitting method
T8G41BValues of constants
TPCRTYPEDocument Types for Posting Correction Request
BKPF_ADDAccounting Document Header
FAGL_SPLIT_VALActivation of Validation by Document Splitting
FAGLSKF_CUSTFLDList of Fields in Customer Includes
T001S4HEXExclude Parameter Types for S4H
FDC_D_DFT_AC_TBCDraft persistence of Accounting Document Item to be cleared:
FAGL_CHECK_SETUPCheck Setup of New General Ledger
FAGL_T8A30General Ledger: Default Profit Center
FINSC_NEW_CURTPAdapt transactional data for new currency types
NGLM_ANA_ITAnalysis Run Items
FAGLCOFIVARCVariants for Real-Time Integration CO->FI
FINSSKFGeneral Ledger: Statistical Key Figures (Current Values)
FINSC_CUSTBTTYPTBusiness Transaction Type
FAGL_DATAC_STRUCCoding of Structure Data
T8G10Assignment: Transaction code- accounting transaction variant
FINSC_LEDGER_REPUnified Journal Entry Ledger (Auxiliary table for Reporting)
FAGL_VAL_HDRValidation Strategy
FAGL_MIG_LINETYPDocument-Specific Item Category Assignment
EWUFI_TRTMEMU Implementation: Treasury documents to be corrected
T8G30BAcct determination for document splitting - accounts
UHDT_HATTRVALSHierarchy Attribute Values
FINAC_MIDX_PCTROAIF Index table for Profit Center Outbound
FINSC_VERSN_LDDetermine G/L Ledger for CO-Version (TP only, no COGM!)
FINSTS_CUSTF_FCTUsage of customer fields in fieldcatalog of table ACDOCA
FINSC_SYMACCTTSymbolic Account
UHDT_NATTRVALSNode Attribute Values
UHDT_CATG_CUSTCustom Hierarchy Category
FAGLCOFICCODECAssignment of Variants for Real-Time Integration for CoCodes
FAGLFLEX07General Ledger: Reserve Table 1
FAGL_BCF_FIELDSSummarization: Balance Carryforward for P&L Accounts
FAGLBSAS_BCKAccounting: Secondary index for G/L accounts (cleared items)
FAGL_FIELD_MOVECConversion Table for Customer Fields of General Ledger
FINSC_VALUSUBTYPValuation View Subtype
FINSC_SIF_PR_TLDSIF: Customizing Assignment Project ID to Target Ledger
FAGLSKF_TRANSAssignment of Field Names in Different Tables
FAGL_MIG_FICHA1Worklist for FI Reassignment Tool
FAGL_GCDVC_XBRLGCD-Structure: Value of Items
GLFLEXTFlexible G/L: Totals
FAGL_MIG_CTRLMigration to New General Ledger: Control Table for Cockpit
FAGLFLEX00General ledger: Transaction attributes
FAGL_OPT_FIELDSFields of the FI/CO Document That Can Be Transferred to G/L
T000GLFlexible general ledger: Customizing check and activation
FINSC_CMP_VERSNDCO-CompatViews - from G/L Ledger to Fields for CO-Version
FAGLFLEXT_BAKGeneral Ledger: Totals
FAGL_DOCNR_LDDocument Types for General Ledger View in a Ledger
FINSC_UI_SH_LEDCreate Ledger for Deviating Fiscal Year Variant
GLPCA_T_CTProfit Center Documents
ACDOCDUniversal Journal: Aged Details
FAGL_SCEN_FIELDSFields of a Scenario for General Ledger Accounting
FINSSSPUI_PERIVSet the Fiscal Year Variant
FAGLCOFIWRKLSTWorklist for Real-Time Integration CO->FI
FAGL_REP_PARAMFAGL Support: Parameters for Scheduler
FINSC_001A_REPCurrencies of company code (Auxiliary table for Reporting)
FINSC_BTTYPEBusiness Transaction Type
FAGLSREPACCTPTAccess Type for Financial Statements
FINSTS_CMPUI_FCTComponents for UI (search help) in ACDOCA fieldcat
FAGL_SPLIT_DEVSYChange Deactivation -> Activation of Split per Company Code
FINS_ACDOC_ACT_HActivation of Unified Journal Entry (History)
UHDT_NOTIFRecords for The Hierarchy to be Updated
UHDT_BETYBusiness Entity
T811DERIVEUniv Alloc: Control Derivation Behavior for Field Value
UHDT_HIER_TAGHierarchy Tag
UHDT_NTXTNode Value Text
FAGL_PRCTR_SETGeneral Ledger Accounting (New): Profit Center Settings
FAGL_ALE_ACTIVTotals Document and Single Document Transfer: Activation
FAGL_MIG_OPITEMSOpen Items from Period 0 (Creation of Split Information)
ACDOCA_CLR_RDIFFRealized foreign currency differences in additional currency
FINS_DEL_IMPRegistry of deletion implementations
FAGL_ACTIVECActivation of New General Ledger
FAGL_011CC_XBRLF/S Version: Calculation Rule for F/S Items
FINSSKF_PNGeneral Ledger: Statistical Key Figures (Posting data)
FLEX_MD_UPLOADTemporary data for master data upload
FINSC_VALUTYPTValuation types
FAGL_GCDVC_VERGCD Revision: Value of Items
T886GFlexible general ledger: Interface information
FAGLBSIS_BAKAccounting: Secondary Index for G/L Accounts
FINSC_CURTYPECurrency type
FAGL_DRPROV_ACCProvisions for Doubtful Receivables: Account Determination
FAGL_ORG_INFOGeneral Ledger: Configuration Information
FINS_TRFR_ST_FCTtransfer status for new components in ACDOCA fieldcat
UHDT_AHISActiviate Information
FINAC_IDX_PCTRHCAIF Index table for Profit Center Hierarchy Inbound Confirma
UHDT_BETY_CLFDClass Field Definition of Business Entity
FAGL_VAL_LOCKSReference to the Data Container Containing the Intervals
FINSC_CUSTBTTYPEBusiness Transaction Type
ACDOCTEMPUniversal Journal: Temporary Data
UHDT_HAVTDefinitions of Acceptable Values Text for HierarchyAttribute
T888SUpdate flexible general ledger: Standard scenarios
FINSC_LD_CMP_APAllowed Combinations Ledger + CompanyCode + AccPrinciple
FAGL_INVSPL_ACTActivation of Invoice Split per Company Code
FAGL_MIGDS_STATESubsequent Implementation of Doc.Splitting: Migration Status
FAGL_ORG_INFG_CTNew GL Account.: Config. Info. (Curr. Type, Glob. SL Table)
FINAC_IDX_PCTRCAIF Index table for Profit Center Inbound Confirmation
UHDT_HATRHierarchy Attribute Definition
FAGL_RAND_RANGETotals Record Randomization: Account Assignment Ranges
T8G30AAcct determination key for doc splitting
FAGL_011PCIFin. Statement Version: Items (Without Internal Node IDs)
FLEX_MASS_GENTemporary data for mass generation
FGL_BCF_PREBalance Carry Forward Preview Data
FAGL_SPLINFO_VALSplitting Information of Open Item Values
FINS_HIE_CON_LISGeneric Configuration List
EWUFI_SPLITEMU Implementation: Table of FAGL_SPLINFO* to Be Corrected
FAGL_RRI_CUSTCustomiz. for Report Interface (NewGL: FI-CO Reconciliation)
FAGL_SCEN_APPLScenario for G/L Accounting - Assignment to Application
FAGL_ORG_INFC_CTClass. General Ledger: Configuration Information (Crcy Type)
FAGL_TLDGRPTLedger Group Texts
FAGL_PRCTR_CONSTProfit Center Constant in Document Split
UHDT_NATGPNode Attribute Group
FAGLSKF_PNGeneral Ledger; Statistical Key Figures (Source Document)
FINSSSPUI_MWAERSet the Group Currency
FINS_GLO_HD_FL_ECountry specific document header field enablement
FDC_D_DFT_AC_WITDraft persistence of Accounting Document Withholding Tax.
GLFLEX00General ledger: Organizational units
FINS_ALLOC_TMPLHOne Allocation Template Header
T8G02TItem categories
FINST_SIF_PACKSAP S/4H Finance: SIF - Packages for Reposting
FDC_D_DFT_AC_TAXDraft persistence of Accounting Document Tax
FAGL_ITAXBUP_TCommercial Business
FAGL_SEGMMaster Data for Segments
FAGLSKF_REPORTDynamic Report Names per Ledger
QISRPCRTYPE_SCENDocument Types with Scenario for Posting Correction Request
FAGL_EXTRDocuments for Summary Document Transfer
FAGL_RMIGR_LOG1Report Migration: Log Status
FAGL_DATAC_CLUSTContent of Data Container
FINAC_IDX_PCTRHIStandard index table
FAGL_SPLIT_ACTCDeactivation of Document Splitting per Company Code
FAGL_MIG_BUKRSActivation of New General Ledger Accounting for Company Code
FINS_HIER_CONFGeneric Configuration
FAGL_TCMAPCustomer Fields in Entry Variants for G/L Account Items
FAGL_INST_STATEInstallation Check: General Ledger
UHDT_NAVTDefinitions of Acceptable Values Text for Node Attribute
FINS_IC_SPLIC: Line item keys of split correction
FINSC_001ACurrency conversion settings for company code
FINS_IC_YEARManage Currencies: Current Fiscal Year
UHDT_NATRNode Attribute Definition
GLFLEX06General ledger: Sender SAP additional account assignment
FDC_D_PP_HDRHeader Table for Parameter Persistence
ACDOCT_BCKDeprecated - dummy table for UNION in view ACDOCT
FAGL_SAP_GENLEVLNew General Ledger Accounting: Generation Status (SAP)
T889GTDocument type texts
FAGL_CUS_GENLEVLNew General Ledger Accounting: Generation Status (Customer)
GLFLEX07General ledger: Transaction attributes
UHDT_CLFD_VALTClass Field Value Text
FAGL_SETTINGSNew General Ledger: Technical Tax Data
FDC_D_DFT_AC_HDRDraft persistence of AccDocHdr
T8G21ASplitting rule: Base item categories
GLFLEXPFlexible G/L: Plan line items
GLFLEX01General ledger: Technical fields
FINS_MAP_TRST_ISManagement Accounting Platform: Trustful certificate issuers
FAGL_CUST_FIELDSCustomer fields for flexible general ledger
FINS_ACDOC_REFMultiple References for ACDOCA line items
UHDT_HATVDefinitions of Acceptable Values for Hierarchy Attributes
GLPOS_C_CTFI Document: Entry View
FLEXHIER_DIRFlexible Hierarchy Directory
GLFLEX03General ledger: SAP additional account assignment
FAGL_T889TDocument type texts
FAGL_MIG_BSE_CLRMigration-Specific Override of BSE_CLR
FDC_D_DFT_HDRHeader Table for drafts
FAGL_QUEUE_LOGLog of Delta Queue for Error Analysis
FINS_CO_DOCT_MAPMapping of CO Business Transactions to FI Document Types
FINS_ALLOC_ASGMTTop Down Distribution Cycle Template Assignment
TGCD_VERGCD Revision Data
ACDOCAUniversal Journal Entry Line Items
T8G03TBusiness transaction
FINS_BELNR_NRReserved document number ranges
FAGL_011GC_XBRLFin. Stmt Vers.: Assignmt of FS Items to Asset Hist.Sht Grps
GLFLEXAFlexible general ledger: Actual line items
FAGLCOFITRACELog of Real-Time Integration CO->FI
FINAC_IDX_PCTROAIF Index table for Profit Center Outbound
T8G03Business transaction
UHDT_NATTRVALSTNode Attribute Value Text
T8G20Splitting Rule: Header Data
FAGL_GCDQT_XBRLGCD-Structure: Text of GCD table
FMPEB_DEFDefine Partly Exempt Organization
GLFLEX04General ledger: Customer additional account assignment
FAGL_ALE_SND_PARTotals Transfer: Technical Parameters
FAGLFLEXPGeneral Ledger: Plan Line Items
FINS_GLO_HD_FL_TCountry specific document header field text
FINS_ALLOC_TMPLIOne Allocation Template Item
FAGL_GCDNC_VERGCD Revision: Technical name for GCD positions
FAGL_SPLIT_FLD_SCharacteristics Permitted for Split
FAGL_VAL_TRIGGERUpdate of Tables for Validation
FAGL_011FCFin. Statement Structure: Assignment FS Item - Funct. Areas
FINS_CO_DOCT_VARVariant for Mapping CO Bus. Transact. to Document Types
FAGL_011FC_XBRLFin. Statement Version: Assignment of FS Items to FunctAreas
FAGL_VAL_GRPSets for the Validation of Account Assignment Combinations
FAGLBSAS_BAKAccounting: Secondary Index for G/L Accounts (Cleared Items)
FINS_MAP_DB_CONNManagement Accounting Platform: Database connections
UHDT_OB58_VRSNuhdt ob58 version
FINS_ALLOC_TMPLVOne Allocation Template: Information for Field Groups
FAGL_VAL_HDRTValidation Strategy (Texts)
FINS_CO_DOCT_VRTDescription: Variant for Mapping CO Transact. to Doc. Types
FDC_D_DFT_AC_COPDraft persistence of AccDocItemCopa
GLFLEX08General ledger: Branches
T8G01TSplitting method
UHDT_CNTNT_HDRContent Whitelist
T8G40Account assignment objects for document splitting
T8G12Classify FI Document Type for Document Splitting
FMPEB_RATE_DEFAssign Input Tax Deduction Rates
FAGLFLEX05General Ledger: Additional Acct Assignment: Customer 2
FINSTS_SLALITTYTDescription of Subledger-Specific Line Item Types
FAGL_HST_T095Old Acct Determin. for Asset Value Adjustment and Portfolio
UHDT_CATG_TAGCategory tag assignment
EWUFI_TRTM_STATEMU Implementation: Conversion of treasury documents status
FAGL_011PCFin. Statement Structure: Items in Fin. Statement Structure
T8G28Item Categories Permitted per Business Transaction Variant
FAGL_FIELD_MOVEConversion Table for Fixed Fields of General Ledger
FMPEB_TAXINDAssign Tax Codes to Exempt Organizations
FAGLSKF_LAY_INFOFields Used in Layouts
FINST_SIF_RP_WLSAP S/4H Finance: SIF - Worklist of Repostings
UHDT_BETYTBusiness Entity Text
T800FConversion Table for New General Ledger Fields
FDC_D_GLITM_DRFTHold Data Persistence for GLITEMS
FAGL_VAL_LEDGRAssignment to Ledger Group
GLFLEX02General ledger: Main account assignment
FMPEB_GLOBALSPartially Exempt Organizations: Basic Settings
FINS_CO_DOCT_CCDefault Values for Postings in Controlling
T888GCustomer fields for flexible general ledger
FAGLFLEX01General ledger: Technical fields
FAGLBSIS_BCKAccounting: Secondary Index for G/L Accounts
FINS_CO_CCCCompany code clearing for CO processes
FINS_GLO_IT_FL_TCountry specific document field fields definition
UHDT_VRSN_TAGHierarchy Version Tag
FAGL_GCDCD_VERGCD Revision Data: Copied Tree Node ref Table
FINS_MAP_CONFIGManagement Accounting Platform: Configuration Table
UHDT_HIER_UPLOADTemporary data for hierarchy upload
FAGL_011PC_XBRLFin. Statement Version: Items in Financial Statement Version
FAGL_BW_LOG_TOTLFI-GL: Log for BW Extraction: Totals Records
FINS_NRIV_CLOGchange log for NRIV conversion
FAAI_MOVCATTDescription of Transaction Type Categories
T889GONumber range for document types
UHDT_NATVDefinitions of Acceptable Values for Node Attributes
FAGL_CARRY_FORWLast Balance Carryforward per Company Code/Ledger
FAGL_ORG_INFGGeneral Ledger: Configuration Information (Global SL Tables)
FINAC_IDX_PCTRIAIF Index table for Profit Center Outbound
T8G16Allocation: internal key - item category (SAP)
FAGL_REL_AIInternal Table for Activating General Ledger (New)
FAGL_RRI_CUST_DDefault Contents for Table FAGL_RRI_CUST
FINS_CSVC_LOCKObject that is locked due to cross system veto check
UHDT_SMTGSemantic Tags
T8G29Item categories permitted for each business transaction
FAGLCOFIVARTTexts for Variants for Real-Time Integration CO->FI
FAGL_RMIGR_LOG3Report Migration: Log Detail
FAGL_011KC_XBRLFin. Statement Version: Assgmt Fin. Stmt Item - Key Figures
FAGL_MIG_SLSOURCFI-SL Source Ledger for Migration
UHDT_REUSE_SRCTReuse source configuration for category
FINS_ACDOC_ACTActivation of Universal Journal Entry
FAGL_011AC_XBRLFin. Stmt Vers.: Assignment of FS Items to Asset Classes
FAGLFLEX04General ledger: Customer additional account assignment
GLFLEX05General ledger: Sender main account assignment
FAGL_CMP_ITAXBTYClassification of Assignment of Attributes to Business
T8G031TBusiness Transaction Variant
FAGL_GCDTC_VERGCD Revision: Tuple Abstract Define of Item
FAGL_011VCFin. Statement Structure: Contra Items
FMPEB_ASSIGN_HAssignment of Org. Units to Partially Exempt Organizations
FINS_GLO_OT_FL_TCountry specific OTC field settings
FINS_GLO_IT_FL_ECountry specific document APAR item field enablement
T8G30ATAccount determination key description for doc splitting
UHDT_NOTIF_HISRecords for The Hierarchy to be Updated
FAGLFLEXDFDelta Table: G/L Totals
FMPEB_ASSIGNAssign Org. Units to Partially Exempt Organizations
FAGL_011TCFin. Statement Structure: Timestamp for Fin. Stmt Items
FAGL_011QT_XBRLFin. Statement Structure: Text for Fin. Statement Items
FIN_HIE_CON_TGeneric Configuration List
FAGL_EXTR_HISTTransfer History for Summary Documents
T889GDocument types for the flexible general ledger
FINS_GLO_HD_FL_MCountry specific document header field mapping
FAGL_APPLOwner application
FAGL_011ZCFin. Statement Structure: Assignment FS Items - G/L Account
FAGL_011VC_XBRLFinanical Statement Version: Contra Items
FAGL_CUST_DETCustomizing Versions: Detailed Information