I_CshFlwFcstComprnTimeStamp
Cash Flow Comparision By Timestamp
I_CshFlwFcstComprnTimeStamp is a Composite CDS View (Cube) that provides data about "Cash Flow Comparision By Timestamp" in SAP S/4HANA. It reads from 1 data source (P_FCLM_SNAPSHOTCOMPARSION_SS) and exposes 59 fields with key fields sapclient, Language, CashFlow, OriginDocument, BankAccountInternalID. It has 18 associations to related views.
Data Sources (1)
| Source | Alias | Join Type |
|---|---|---|
| P_FCLM_SNAPSHOTCOMPARSION_SS | P_FCLM_SNAPSHOTCOMPARSION_SS | from |
Parameters (10)
| Name | Type | Default |
|---|---|---|
| P_StartDate | sydate | |
| P_EndDate | sydate | |
| P_CashFlowForecastStartDate | sydate | |
| P_CashFlowForecastEndDate | sydate | |
| P_Language | sylangu | |
| P_KeyDate | sydate | |
| P_DisplayCurrency | vdm_v_display_currency | |
| P_ExchangeRateType | kurst_curr | |
| P_CashFlowSnapshotTime1 | syuzeit | |
| P_CashFlowSnapshotTime2 | syuzeit |
Associations (18)
| Cardinality | Target | Alias | Condition |
|---|---|---|---|
| [0..1] | I_BankAccount | _BankAccount | $projection.BankAccountInternalID = _BankAccount.BankAccountInternalID |
| [0..1] | I_BankAccountText | _BankAccountText | $projection.BankAccountInternalID = _BankAccountText.BankAccountInternalID and $projection.Language = _BankAccountText.Language |
| [0..1] | I_BankAccountWithBGN | _BankGroupInfo | $projection.BankAccountInternalID = _BankGroupInfo.BankAccountInternalID |
| [0..1] | I_CompanyCode | _CompanyCode | $projection.CompanyCode = _CompanyCode.CompanyCode |
| [0..1] | I_LiquidityItem | _LiquidityItem | $projection.LiquidityItem = _LiquidityItem.LiquidityItem |
| [0..1] | I_LiquidityItemText | _LiquidityItemText | $projection.LiquidityItem = _LiquidityItemText.LiquidityItem and $projection.Language = _LiquidityItemText.Language |
| [0..1] | I_CashPlanningGroup | _CashPlanningGroup | $projection.CashPlanningGroup = _CashPlanningGroup.CashPlanningGroup |
| [0..1] | I_CashPlanningGroupText | _CashPlanningGroupText | $projection.CashPlanningGroup = _CashPlanningGroupText.CashPlanningGroup and $projection.Language = _CashPlanningGroupText.Language |
| [0..1] | I_PlanningLevel | _PlanningLevel | $projection.PlanningLevel = _PlanningLevel.PlanningLevel |
| [0..1] | I_PlanningLevelText | _PlanningLevelText | $projection.PlanningLevel = _PlanningLevelText.PlanningLevel and $projection.Language = _PlanningLevelText.Language |
| [0..*] | I_ProfitCenter | _ProfitCenter | $projection.ProfitCenter = _ProfitCenter.ProfitCenter |
| [0..1] | I_BusinessArea | _BusinessArea | $projection.BusinessArea = _BusinessArea.BusinessArea |
| [0..1] | I_BusinessAreaText | _BusinessAreaText | $projection.BusinessArea = _BusinessAreaText.BusinessArea and $projection.Language = _BusinessAreaText.Language |
| [0..1] | I_Housebank | _HouseBank | $projection.HouseBank = _HouseBank.HouseBank and $projection.CompanyCode = _HouseBank.CompanyCode |
| [0..1] | I_WeekDay | _WeekDay | $projection.WeekDay = _WeekDay.WeekDay |
| [0..1] | I_CalendarDate | _CalendarDate | $projection.CalendarDate = _CalendarDate.CalendarDate |
| [0..1] | I_Segment | _Segment | $projection.Segment = _Segment.Segment |
| [0..1] | I_GLAccount | _GLAccount | $projection.GLAccount = _GLAccount.GLAccount and $projection.CompanyCode = _GLAccount.CompanyCode |
Annotations (13)
| Name | Value | Level | Field |
|---|---|---|---|
| AbapCatalog.sqlViewName | ISNAPCOMPARESS | view | |
| AccessControl.authorizationCheck | #CHECK | view | |
| AccessControl.personalData.blocking | #NOT_REQUIRED | view | |
| Analytics.dataCategory | #CUBE | view | |
| Analytics.dataExtraction.enabled | true | view | |
| VDM.viewType | #COMPOSITE | view | |
| EndUserText.label | Cash Flow Comparision By Timestamp | view | |
| ClientHandling.algorithm | #SESSION_VARIABLE | view | |
| ObjectModel.usageType.serviceQuality | #D | view | |
| ObjectModel.usageType.sizeCategory | #XL | view | |
| ObjectModel.usageType.dataClass | #MIXED | view | |
| Metadata.ignorePropagatedAnnotations | true | view | |
| Metadata.allowExtensions | true | view |
Fields (59)
| Key | Field | Source Table | Source Field | Description |
|---|---|---|---|---|
| KEY | sapclient | sapclient | Client ID | |
| KEY | Language | Language | Report Text Language | |
| KEY | CashFlow | CashFlow | ||
| KEY | OriginDocument | OriginDocument | ||
| KEY | BankAccountInternalID | bankaccountinternalid | Technical ID | |
| KEY | CashFlowSnapshotDate | snapshotdate | ||
| KEY | CalendarDate | calendardate | Calendar Date | |
| KEY | CalendarDay | calendarday | Occur Day in a Month | |
| KEY | WeekDay | weekday | Weekdays | |
| KEY | TransactionDate | transactiondate | Value Date | |
| Bank | _BankAccount | Bank | Bank Number | |
| BankAccount | _BankAccount | BankAccountNumber | Bank Account | |
| BankAccountType | _BankAccount | BankAccountType | Account Type | |
| BankCountry | _BankAccount | BankCountry | Bank Ctry/Rgn. Key | |
| BankAccountDescription | _BankAccountText | BankAccountDescription | ||
| BankGroup | _BankGroupInfo | BankHeadquarter | ||
| BankGroupName | _BankGroupInfo | BankHeadquarterName | ||
| BankAccountCurrency | bankaccountcurrency | Currency | ||
| BusinessArea | businessarea | Business Area | ||
| BusinessAreaName | _BusinessAreaText | BusinessAreaName | Business Area Name | |
| CertaintyLevel | certaintylevel | |||
| CompanyCode | CompanyCode | Receiver Company Code | ||
| CompanyCodeName | _CompanyCode | CompanyCodeName | Company Name | |
| TransactionCurrency | transactioncurrency | Transaction Currency | ||
| GLAccount | glaccount | General Ledger | ||
| HouseBank | housebank | House Bank | ||
| HouseBankAccount | housebankaccount | House Bank Account | ||
| LiquidityItem | liquidityitem | Liquidity Item | ||
| CashFlowDirection | _LiquidityItem | CashFlowDirection | ||
| LiquidityItemName | _LiquidityItemText | LiquidityItemName | ||
| CashPlanningGroup | planninggroup | |||
| CashPlanningGroupName | _CashPlanningGroupText | CashPlanningGroupName | ||
| PlanningLevel | planninglevel | Planning Level | ||
| PlanningLevelName | _PlanningLevelText | PlanningLevelName | ||
| ProfitCenter | profitcenter | Profit Center | ||
| Segment | segment | Segment number | ||
| TradingPartner | tradingpartner | Trading Partner | ||
| DisplayCurrency | ||||
| AmountInTransactionCurrency1 | amountintransactioncurrency1 | |||
| AmountInTransactionCurrency2 | amountintransactioncurrency2 | |||
| AmountInTransactionCurrency3 | amountintransactioncurrency3 | |||
| _BankAccount | _BankAccount | |||
| _BankAccountText | _BankAccountText | |||
| _BankGroupInfo | _BankGroupInfo | |||
| _CompanyCode | _CompanyCode | |||
| _LiquidityItem | _LiquidityItem | |||
| _LiquidityItemText | _LiquidityItemText | |||
| _CashPlanningGroup | _CashPlanningGroup | |||
| _CashPlanningGroupText | _CashPlanningGroupText | |||
| _PlanningLevel | _PlanningLevel | |||
| _PlanningLevelText | _PlanningLevelText | |||
| _ProfitCenter | _ProfitCenter | |||
| _BusinessArea | _BusinessArea | |||
| _BusinessAreaText | _BusinessAreaText | |||
| _HouseBank | _HouseBank | |||
| _WeekDay | _WeekDay | |||
| _CalendarDate | _CalendarDate | |||
| _Segment | _Segment | |||
| _GLAccount | _GLAccount |
Derived SQL interpretation, reconstructed from the parsed view metadata (data sources, associations, and field mappings). SAP annotations are omitted and the structure is reformulated as SQL — this is a functional approximation, not the verbatim SAP source.
-- Derived SQL interpretation of CDS view I_CshFlwFcstComprnTimeStamp.
-- Reconstructed from parsed metadata (data sources, associations, fields).
-- SAP annotations are omitted and the structure is reformulated as SQL;
-- this is a functional approximation, not the verbatim SAP source. Some join
-- conditions may be unavailable and a few CDS constructs are kept as-is.
-- SQL view name: ISNAPCOMPARESS
-- Parameters: P_StartDate : sydate, P_EndDate : sydate, P_CashFlowForecastStartDate : sydate, P_CashFlowForecastEndDate : sydate, P_Language : sylangu, P_KeyDate : sydate, P_DisplayCurrency : vdm_v_display_currency, P_ExchangeRateType : kurst_curr, P_CashFlowSnapshotTime1 : syuzeit, P_CashFlowSnapshotTime2 : syuzeit
CREATE VIEW I_CshFlwFcstComprnTimeStamp AS
SELECT
sapclient,
Language,
CashFlow,
OriginDocument,
BankAccountInternalID,
snapshotdate AS CashFlowSnapshotDate,
CalendarDate,
CalendarDay,
WeekDay,
TransactionDate,
_BankAccount.Bank AS Bank,
_BankAccount.BankAccountNumber AS BankAccount,
_BankAccount.BankAccountType AS BankAccountType,
_BankAccount.BankCountry AS BankCountry,
_BankAccountText.BankAccountDescription AS BankAccountDescription,
_BankGroupInfo.BankHeadquarter AS BankGroup,
_BankGroupInfo.BankHeadquarterName AS BankGroupName,
BankAccountCurrency,
BusinessArea,
_BusinessAreaText.BusinessAreaName AS BusinessAreaName,
CertaintyLevel,
CompanyCode,
_CompanyCode.CompanyCodeName AS CompanyCodeName,
TransactionCurrency,
GLAccount,
HouseBank,
HouseBankAccount,
LiquidityItem,
_LiquidityItem.CashFlowDirection AS CashFlowDirection,
_LiquidityItemText.LiquidityItemName AS LiquidityItemName,
planninggroup AS CashPlanningGroup,
_CashPlanningGroupText.CashPlanningGroupName AS CashPlanningGroupName,
PlanningLevel,
_PlanningLevelText.PlanningLevelName AS PlanningLevelName,
ProfitCenter,
Segment,
TradingPartner,
$parameters.P_DisplayCurrency AS DisplayCurrency,
AmountInTransactionCurrency1,
AmountInTransactionCurrency2,
AmountInTransactionCurrency3
FROM P_FCLM_SNAPSHOTCOMPARSION_SS
LEFT OUTER JOIN I_BankAccount AS _BankAccount ON BankAccountInternalID = _BankAccount.BankAccountInternalID -- association [0..1]
LEFT OUTER JOIN I_BankAccountText AS _BankAccountText ON BankAccountInternalID = _BankAccountText.BankAccountInternalID AND Language = _BankAccountText.Language -- association [0..1]
LEFT OUTER JOIN I_BankAccountWithBGN AS _BankGroupInfo ON BankAccountInternalID = _BankGroupInfo.BankAccountInternalID -- association [0..1]
LEFT OUTER JOIN I_CompanyCode AS _CompanyCode ON CompanyCode = _CompanyCode.CompanyCode -- association [0..1]
LEFT OUTER JOIN I_LiquidityItem AS _LiquidityItem ON LiquidityItem = _LiquidityItem.LiquidityItem -- association [0..1]
LEFT OUTER JOIN I_LiquidityItemText AS _LiquidityItemText ON LiquidityItem = _LiquidityItemText.LiquidityItem AND Language = _LiquidityItemText.Language -- association [0..1]
LEFT OUTER JOIN I_CashPlanningGroup AS _CashPlanningGroup ON CashPlanningGroup = _CashPlanningGroup.CashPlanningGroup -- association [0..1]
LEFT OUTER JOIN I_CashPlanningGroupText AS _CashPlanningGroupText ON CashPlanningGroup = _CashPlanningGroupText.CashPlanningGroup AND Language = _CashPlanningGroupText.Language -- association [0..1]
LEFT OUTER JOIN I_PlanningLevel AS _PlanningLevel ON PlanningLevel = _PlanningLevel.PlanningLevel -- association [0..1]
LEFT OUTER JOIN I_PlanningLevelText AS _PlanningLevelText ON PlanningLevel = _PlanningLevelText.PlanningLevel AND Language = _PlanningLevelText.Language -- association [0..1]
LEFT OUTER JOIN I_ProfitCenter AS _ProfitCenter ON ProfitCenter = _ProfitCenter.ProfitCenter -- association [0..*]
LEFT OUTER JOIN I_BusinessArea AS _BusinessArea ON BusinessArea = _BusinessArea.BusinessArea -- association [0..1]
LEFT OUTER JOIN I_BusinessAreaText AS _BusinessAreaText ON BusinessArea = _BusinessAreaText.BusinessArea AND Language = _BusinessAreaText.Language -- association [0..1]
LEFT OUTER JOIN I_Housebank AS _HouseBank ON HouseBank = _HouseBank.HouseBank AND CompanyCode = _HouseBank.CompanyCode -- association [0..1]
LEFT OUTER JOIN I_WeekDay AS _WeekDay ON WeekDay = _WeekDay.WeekDay -- association [0..1]
LEFT OUTER JOIN I_CalendarDate AS _CalendarDate ON CalendarDate = _CalendarDate.CalendarDate -- association [0..1]
LEFT OUTER JOIN I_Segment AS _Segment ON Segment = _Segment.Segment -- association [0..1]
LEFT OUTER JOIN I_GLAccount AS _GLAccount ON GLAccount = _GLAccount.GLAccount AND CompanyCode = _GLAccount.CompanyCode -- association [0..1]
;
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