I_FINTRANSFLOW
Financial Transaction Flow
I_FINTRANSFLOW is a CDS View in S/4HANA. Financial Transaction Flow. It contains 38 fields. 5 CDS views read from this table.
CDS Views using this table (5)
| View | Type | Join | VDM | Description |
|---|---|---|---|---|
| I_FinTransAdditionalFlow | view | from | COMPOSITE | Financial Transaction Additional Flow |
| I_FinTransFeeFlow | view | from | COMPOSITE | Fin Trans Flows Relevant For Fee |
| I_FinTransMainFlow | view | from | COMPOSITE | Financial Transaction Main Flow |
| I_FinTransNominal | view | from | COMPOSITE | Fin Trans Nominal Amount |
| P_FinTransOpenFlowBusVol | view | inner | COMPOSITE |
Fields (38)
| Key | Field | CDS Fields | Used in Views |
|---|---|---|---|
| KEY | CompanyCode | CompanyCode | 5 |
| KEY | FinancialInstrumentActivity | FinancialInstrumentActivity | 4 |
| KEY | FinancialTransaction | FinancialTransaction | 5 |
| KEY | FinancialTransactionDirection | FinancialTransactionDirection | 4 |
| KEY | FinTransFlowCreationDate | FinTransFlowCreationDate | 4 |
| KEY | FinTransFlowCreationTime | FinTransFlowCreationTime | 4 |
| KEY | FinTransFlowNumber | FinTransFlowNumber | 4 |
| AssignmentReference | AssignmentReference | 2 | |
| CalcPeriodEndDateIsInclusive | CalcPeriodEndDateIsInclusive | 1 | |
| CalcPeriodEndDateIsMonthEnd | CalcPeriodEndDateIsMonthEnd | 1 | |
| CalcPeriodStartDateIsInclusive | CalcPeriodStartDateIsInclusive | 1 | |
| CalcPeriodStartDateIsMonthEnd | CalcPeriodStartDateIsMonthEnd | 1 | |
| CalculationPeriodEndDate | CalculationPeriodEndDate | 1 | |
| CalculationPeriodStartDate | CalculationPeriodStartDate | 1 | |
| ConditionPercentageRate | ConditionPercentageRate | 1 | |
| FinTransFlowCalcBaseAmount | FinTransFlowCalcBaseAmount | 1 | |
| FinTransFlowCalcBaseAmountCrcy | FinTransFlowCalcBaseAmountCrcy | 1 | |
| FinTransFlowCalculationDate | FinTransFlowCalculationDate | 1 | |
| FinTransFlowCategory | FinTransFlowCategory | 1 | |
| FinTransFlowInLoclCrcyPaytAmt | FinTransFlowInLoclCrcyPaytAmt | 2 | |
| FinTransFlowLoclCrcyCnvrsnRate | FinTransFlowLoclCrcyCnvrsnRate | 2 | |
| FinTransFlowNomAmt | FinTransFlowNomAmt | 2 | |
| FinTransFlowNomAmtCrcy | FinTransFlowNomAmtCrcy | 3 | |
| FinTransFlowPaymentDate | FinTransFlowPaymentDate | 4 | |
| FinTransFlowPaytAmt | FinTransFlowPaytAmt | 4 | |
| FinTransFlowPaytAmtCrcy | FinTransFlowPaytAmtCrcy | 4 | |
| FinTransFlowPaytAmtDirection | FinTransFlowPaytAmtDirection | 3 | |
| FinTransFlowPostingStatus | FinTransFlowPostingStatus | 1 | |
| FinTransFlowType | FinTransFlowType | 3 | |
| FinTransFlwLoclCrcyAmtCalcType | FinTransFlwLoclCrcyAmtCalcType | 2 | |
| FinTransPaytRateInPercent | FinTransPaytRateInPercent | 1 | |
| FlowCalcDateIsExclusive | FlowCalcDateIsExclusive | 1 | |
| FlowCalcDateIsMonthEnd | FlowCalcDateIsMonthEnd | 1 | |
| InterestCalculationMethod | InterestCalculationMethod | 1 | |
| InterestCalculationType | InterestCalculationType | 1 | |
| IntrstCalcMethFactoryCalendar | IntrstCalcMethFactoryCalendar | 1 | |
| LocalCurrency | LocalCurrency | 2 | |
| TreasuryContractType | TreasuryContractType | 3 |
@AbapCatalog.sqlViewName: 'IFINTRANSFLOW'
@AbapCatalog.compiler.compareFilter: true
@AbapCatalog.preserveKey: true
@AbapCatalog.buffering.status: #NOT_ALLOWED
@AccessControl.authorizationCheck: #CHECK
@AccessControl.personalData.blocking: #NOT_REQUIRED
@ClientHandling.algorithm: #SESSION_VARIABLE
@EndUserText.label: 'Financial Transaction Flow'
@ObjectModel.usageType.dataClass: #MIXED
@ObjectModel.usageType.serviceQuality: #D
@ObjectModel.usageType.sizeCategory: #XL
@Metadata.allowExtensions:false
@Metadata.ignorePropagatedAnnotations: true // For C1-Release
@VDM.viewType: #COMPOSITE
@ObjectModel.supportedCapabilities: [ #CDS_MODELING_ASSOCIATION_TARGET, #SQL_DATA_SOURCE, #CDS_MODELING_DATA_SOURCE ]
//view shall provide flow as it is visible in FTR_EDIT on cash flow tab
//therefor flows from several cash flow activities have to be provided
define view I_FinTransFlow
//all activities containing flows
as select from R_FinTransCashFlowActivity as Activity
//all flows of these activities (within where-condition they are restricted)
inner join R_FinTransFlow as Flow on Activity.CompanyCode = Flow.CompanyCode
and Activity.FinancialTransaction = Flow.FinancialTransaction
and Activity.FinancialInstrumentActivity = Flow.FinancialInstrumentActivity
and (
(
not(
Flow.FinTransFlowCategory = '12'
and(
Activity.FinancialInstrProductCategory = '850'
or Activity.FinancialInstrProductCategory = '860'
)
) //repayment
)
or(
(
Activity.FinancialInstrProductCategory = '850'
or Activity.FinancialInstrProductCategory = '860'
)
and Flow.FinTransFlowCategory = '12'
and Flow.FinancialInstrumentActivity = Activity.FinInstrLastActiveActivity
)
)
// dimensions, containing for example text fields
association [0..1] to I_CompanyCode as _CompanyCode on $projection.CompanyCode = _CompanyCode.CompanyCode
association [0..1] to I_FinancialTransaction as _FinTrans on $projection.CompanyCode = _FinTrans.CompanyCode
and $projection.FinancialTransaction = _FinTrans.FinancialTransaction
association [0..1] to I_FinTransActivity as _Activity on $projection.CompanyCode = _Activity.CompanyCode
and $projection.FinancialTransaction = _Activity.FinancialTransaction
and $projection.FinancialInstrumentActivity = _Activity.FinancialInstrumentActivity
association [0..1] to I_TreasuryContractType as _ContractType on $projection.TreasuryContractType = _ContractType.TreasuryContractType
association [0..1] to I_FinTransFlowCategory as _FlowCategory on $projection.FinTransFlowCategory = _FlowCategory.FinTransFlowCategory
association [0..1] to I_FinTransFlowType as _FlowType on $projection.TreasuryContractType = _FlowType.TreasuryContractType
and $projection.FinTransFlowType = _FlowType.FinTransFlowType
association [0..1] to I_Currency as _PaymentCurrency on $projection.FinTransFlowPaytAmtCrcy = _PaymentCurrency.Currency
association [0..1] to I_Currency as _NominalCurrency on $projection.FinTransFlowNomAmtCrcy = _NominalCurrency.Currency
association [0..1] to I_Currency as _LocalCurrency on $projection.LocalCurrency = _LocalCurrency.Currency
association [0..1] to I_Currency as _BaseAmtCurrency on $projection.FinTransFlowCalcBaseAmountCrcy = _BaseAmtCurrency.Currency
association [0..1] to I_FinTransFlowPostgStatus as _PostingStatus on $projection.FinTransFlowPostingStatus = _PostingStatus.FinTransFlowPostingStatus
association [0..1] to I_FinTransFlowPostgBlkgRsn as _PostingBlkgRsn on $projection.FinTransFlowPostingBlkgReason = _PostingBlkgRsn.FinTransFlowPostingBlkgReason
association [0..1] to I_FinIntrstRateAdjmtStatus as _AdjmtStatus on $projection.FinInterestRateAdjmtStatus = _AdjmtStatus.FinInterestRateAdjmtStatus
association [0..1] to I_Housebank as _HouseBank on $projection.CompanyCode = _HouseBank.CompanyCode
and $projection.HouseBank = _HouseBank.HouseBank
association [0..1] to I_HouseBankAccount as _HouseBankAccount on $projection.CompanyCode = _HouseBankAccount.CompanyCode
and $projection.HouseBank = _HouseBankAccount.HouseBank
and $projection.HouseBankAccount = _HouseBankAccount.HouseBankAccount
association [0..1] to I_BusinessPartner as _PayerPayee on $projection.PayerPayee = _PayerPayee.BusinessPartner
association [0..1] to I_Country as _Country on $projection.Country = _Country.Country
association [0..1] to I_PaymentMethod as _PaymentMethod on $projection.PaymentMethod = _PaymentMethod.PaymentMethod
and $projection.Country = _PaymentMethod.Country
association [0..1] to I_Paymentmethodsupplement as _PaymentMethodSupp on $projection.PaymentMethodSupplement = _PaymentMethodSupp.PaymentMethodSupplement
association [0..1] to I_PaymentRequest as _PaymentRequest on $projection.PaymentRequest = _PaymentRequest.PaymentRequest
association [0..1] to I_FinTransactionDirection as _Direction on $projection.FinancialTransactionDirection = _Direction.FinancialTransactionDirection
{
//exposed fields
@ObjectModel.foreignKey.association: '_CompanyCode'
key Flow.CompanyCode as CompanyCode,
@ObjectModel.foreignKey.association: '_FinTrans'
key Flow.FinancialTransaction as FinancialTransaction,
@ObjectModel.foreignKey.association: '_Activity'
key Flow.FinancialInstrumentActivity as FinancialInstrumentActivity,
key Flow.FinTransFlowCreationDate as FinTransFlowCreationDate,
key Flow.FinTransFlowCreationTime as FinTransFlowCreationTime,
key Flow.FinTransFlowNumber as FinTransFlowNumber,
@ObjectModel.foreignKey.association: '_ContractType'
Flow.TreasuryContractType as TreasuryContractType,
@ObjectModel.foreignKey.association: '_FlowCategory'
Flow.FinTransFlowCategory as FinTransFlowCategory,
@ObjectModel.foreignKey.association: '_FlowType'
Flow.FinTransFlowType as FinTransFlowType,
@Semantics.amount.currencyCode: 'FinTransFlowPaytAmtCrcy'
Flow.FinTransFlowPaytAmt as FinTransFlowPaytAmt,
@ObjectModel.foreignKey.association: '_PaymentCurrency'
@Semantics.currencyCode: true
Flow.FinTransFlowPaytAmtCrcy as FinTransFlowPaytAmtCrcy,
@EndUserText.label: 'Payment Amount Direction'
@EndUserText.quickInfo: 'Payment Amount Direction'
Flow.FinTransFlowPaytAmtDirection as FinTransFlowPaytAmtDirection,
@Semantics.amount.currencyCode: 'FinTransFlowNomAmtCrcy'
@EndUserText.label: 'Nominal Amount'
@EndUserText.quickInfo: 'Nominal Amount'
Flow.FinTransFlowNomAmt as FinTransFlowNomAmt,
@ObjectModel.foreignKey.association: '_NominalCurrency'
@EndUserText.label: 'Nominal Amount Currency'
@EndUserText.quickInfo: 'Nominal Amount Currency'
Flow.FinTransFlowNomAmtCrcy as FinTransFlowNomAmtCrcy,
@Semantics.amount.currencyCode: 'LocalCurrency'
Flow.FinTransFlowInLoclCrcyPaytAmt as FinTransFlowInLoclCrcyPaytAmt,
@ObjectModel.foreignKey.association: '_LocalCurrency'
_CompanyCode.Currency as LocalCurrency,
Flow.FinTransFlowLoclCrcyCnvrsnRate as FinTransFlowLoclCrcyCnvrsnRate,
Flow.FinTransFlowPaymentDate as FinTransFlowPaymentDate,
Flow.FinTransFlowPaymentDueDate as FinTransFlowPaymentDueDate,
Flow.FinTransFlowPostingDate as FinTransFlowPostingDate,
Flow.FinTransFlowIntrstRateFixDate as FinTransFlowIntrstRateFixDate,
Flow.CalculationPeriodStartDate as CalculationPeriodStartDate,
@Semantics.booleanIndicator: true
Flow.CalcPeriodStartDateIsMonthEnd as CalcPeriodStartDateIsMonthEnd,
Flow.CalculationPeriodEndDate as CalculationPeriodEndDate,
@Semantics.booleanIndicator: true
Flow.CalcPeriodEndDateIsMonthEnd as CalcPeriodEndDateIsMonthEnd,
Flow.NumberOfCalculationDays as NumberOfCalculationDays,
Flow.InterestCalculationMethod as InterestCalculationMethod,
@Semantics.amount.currencyCode: 'FinTransFlowCalcBaseAmountCrcy'
Flow.FinTransFlowCalcBaseAmount as FinTransFlowCalcBaseAmount,
@ObjectModel.foreignKey.association: '_BaseAmtCurrency'
Flow.FinTransFlowCalcBaseAmountCrcy as FinTransFlowCalcBaseAmountCrcy,
Flow.ConditionPercentageRate as ConditionPercentageRate,
Flow.FinTransPresentationItemID as FinTransPresentationItemID,
@ObjectModel.foreignKey.association: '_PostingStatus'
Flow.FinTransFlowPostingStatus as FinTransFlowPostingStatus,
@ObjectModel.foreignKey.association: '_PostingBlkgRsn'
Flow.FinTransFlowPostingBlkgReason as FinTransFlowPostingBlkgReason,
Flow.FinTransFlowPostingRelease as FinTransFlowPostingRelease,
@ObjectModel.foreignKey.association: '_AdjmtStatus'
Flow.FinInterestRateAdjmtStatus as FinInterestRateAdjmtStatus,
//@ObjectModel.foreignKey.association: not possible to I_RepetitiveCode as it is not released
@API.element.releaseState: #DEPRECATED
@API.element.successor: 'PaymentRepetitiveCode'
cast( Flow.RepetitiveCode as rpcode ) as RepetitiveCode,
cast( Flow.RepetitiveCode as farp_repetitive_code ) as PaymentRepetitiveCode,
@ObjectModel.foreignKey.association: '_HouseBank'
Flow.HouseBank as HouseBank,
@ObjectModel.foreignKey.association: '_HouseBankAccount'
Flow.HouseBankAccount as HouseBankAccount,
@ObjectModel.foreignKey.association: '_PayerPayee'
Flow.PayerPayee as PayerPayee,
Flow.PayerPayeeBankDetail as PayerPayeeBankDetail,
@ObjectModel.foreignKey.association: '_Country'
_CompanyCode.Country as Country,
@ObjectModel.foreignKey.association: '_PaymentMethod'
Flow.PaymentMethod as PaymentMethod,
Flow.PaymentMethodsList as PaymentMethodsList,
@ObjectModel.foreignKey.association: '_PaymentMethodSupp'
Flow.PaymentMethodSupplement as PaymentMethodSupplement,
Flow.TreasuryIndividualPayment as TreasuryIndividualPayment,
Flow.TrsyPaytGroupingSameDrctnIsRqd as TrsyPaytGroupingSameDrctnIsRqd,
Flow.TreasuryPaymentRequestGrouping as TreasuryPaymentRequestGrouping,
Flow.TreasuryIntGrpgForPaytValue as TreasuryIntGrpgForPaytValue,
//@ObjectModel.foreignKey.association: '_PaymentRequest' - not possible as target view has no representative key
Flow.PaymentRequest as PaymentRequest,
@ObjectModel.foreignKey.association: '_Direction'
Flow.FinancialTransactionDirection as FinancialTransactionDirection,
Flow.FinInstrConditionLogicGroup as FinInstrConditionLogicGroup,
Flow.AssignmentReference as AssignmentReference,
Flow.FinTransFlwLoclCrcyAmtCalcType as FinTransFlwLoclCrcyAmtCalcType,
Flow.FinTransFlowCalculationDate as FinTransFlowCalculationDate,
Flow.FlowCalcDateIsExclusive as FlowCalcDateIsExclusive,
Flow.FlowCalcDateIsMonthEnd as FlowCalcDateIsMonthEnd,
Flow.IntrstCalcMethFactoryCalendar as IntrstCalcMethFactoryCalendar,
Flow.InterestCalculationType as InterestCalculationType,
Flow.CalcPeriodStartDateIsInclusive as CalcPeriodStartDateIsInclusive,
Flow.CalcPeriodEndDateIsInclusive as CalcPeriodEndDateIsInclusive,
Flow.FinTransFlwDerivationProcedure as FinTransFlwDerivationProcedure,
cast(Flow.PremiumPriceQuotedInPercent as tb_pwkurs) as FinTransPaytRateInPercent,
Flow.PaymentReason as PaymentReason,
//exposed dimensions, containing for example text fields
_CompanyCode,
_FinTrans,
_Activity,
_ContractType,
_FlowCategory,
_FlowType,
_PaymentCurrency,
_NominalCurrency,
_LocalCurrency,
_BaseAmtCurrency,
_PostingStatus,
_PostingBlkgRsn,
_AdjmtStatus,
_HouseBank,
_HouseBankAccount,
_PayerPayee,
_Country,
_PaymentMethod,
_PaymentMethodSupp,
_PaymentRequest,
_Direction
}
//restrict to flows, which are not blocked for specific reasons
where
Flow.FinTransFlowPostingBlkgReason <> '2'
and Flow.FinTransFlowPostingBlkgReason <> '4'
and Flow.FinTransFlowPostingBlkgReason <> '5'
and Flow.FinTransFlowPostingBlkgReason <> '6'
//variable unfixed flows are stored in own database tables - these flows have to be added
union all select from R_FinTransCashFlowActivity as Activity
inner join R_FinTransUnfixedFlow as Flow_Unfixed on Activity.CompanyCode = Flow_Unfixed.CompanyCode
and Activity.FinancialTransaction = Flow_Unfixed.FinancialTransaction
and Activity.FinancialInstrumentActivity = Flow_Unfixed.FinancialInstrumentActivity
// dimensions, containing for example text fields
association [0..1] to I_CompanyCode as _CompanyCode on $projection.CompanyCode = _CompanyCode.CompanyCode
association [0..1] to I_FinancialTransaction as _FinTrans on $projection.CompanyCode = _FinTrans.CompanyCode
and $projection.FinancialTransaction = _FinTrans.FinancialTransaction
association [0..1] to I_FinTransActivity as _Activity on $projection.CompanyCode = _Activity.CompanyCode
and $projection.FinancialTransaction = _Activity.FinancialTransaction
and $projection.FinancialInstrumentActivity = _Activity.FinancialInstrumentActivity
association [0..1] to I_TreasuryContractType as _ContractType on $projection.TreasuryContractType = _ContractType.TreasuryContractType
association [0..1] to I_FinTransFlowCategory as _FlowCategory on $projection.FinTransFlowCategory = _FlowCategory.FinTransFlowCategory
association [0..1] to I_FinTransFlowType as _FlowType on $projection.TreasuryContractType = _FlowType.TreasuryContractType
and $projection.FinTransFlowType = _FlowType.FinTransFlowType
association [0..1] to I_Currency as _PaymentCurrency on $projection.FinTransFlowPaytAmtCrcy = _PaymentCurrency.Currency
association [0..1] to I_Currency as _NominalCurrency on $projection.FinTransFlowNomAmtCrcy = _NominalCurrency.Currency
association [0..1] to I_Currency as _LocalCurrency on $projection.LocalCurrency = _LocalCurrency.Currency
association [0..1] to I_Currency as _BaseAmtCurrency on $projection.FinTransFlowCalcBaseAmountCrcy = _BaseAmtCurrency.Currency
association [0..1] to I_FinTransFlowPostgStatus as _PostingStatus on $projection.FinTransFlowPostingStatus = _PostingStatus.FinTransFlowPostingStatus
association [0..1] to I_FinTransFlowPostgBlkgRsn as _PostingBlkgRsn on $projection.FinTransFlowPostingBlkgReason = _PostingBlkgRsn.FinTransFlowPostingBlkgReason
association [0..1] to I_FinIntrstRateAdjmtStatus as _AdjmtStatus on $projection.FinInterestRateAdjmtStatus = _AdjmtStatus.FinInterestRateAdjmtStatus
association [0..1] to I_Housebank as _HouseBank on $projection.CompanyCode = _HouseBank.CompanyCode
and $projection.HouseBank = _HouseBank.HouseBank
association [0..1] to I_HouseBankAccount as _HouseBankAccount on $projection.CompanyCode = _HouseBankAccount.CompanyCode
and $projection.HouseBank = _HouseBankAccount.HouseBank
and $projection.HouseBankAccount = _HouseBankAccount.HouseBankAccount
association [0..1] to I_BusinessPartner as _PayerPayee on $projection.PayerPayee = _PayerPayee.BusinessPartner
association [0..1] to I_Country as _Country on $projection.Country = _Country.Country
association [0..1] to I_PaymentMethod as _PaymentMethod on $projection.PaymentMethod = _PaymentMethod.PaymentMethod
and $projection.Country = _PaymentMethod.Country
association [0..1] to I_Paymentmethodsupplement as _PaymentMethodSupp on $projection.PaymentMethodSupplement = _PaymentMethodSupp.PaymentMethodSupplement
association [0..1] to I_PaymentRequest as _PaymentRequest on $projection.PaymentRequest = _PaymentRequest.PaymentRequest
association [0..1] to I_FinTransactionDirection as _Direction on $projection.FinancialTransactionDirection = _Direction.FinancialTransactionDirection
{
@ObjectModel.foreignKey.association: '_CompanyCode'
key Flow_Unfixed.CompanyCode as CompanyCode,
@ObjectModel.foreignKey.association: '_FinTrans'
key Flow_Unfixed.FinancialTransaction as FinancialTransaction,
@ObjectModel.foreignKey.association: '_Activity'
key Flow_Unfixed.FinancialInstrumentActivity as FinancialInstrumentActivity,
key Flow_Unfixed.FinTransFlowCreationDate as FinTransFlowCreationDate,
key Flow_Unfixed.FinTransFlowCreationTime as FinTransFlowCreationTime,
key Flow_Unfixed.FinTransFlowNumber as FinTransFlowNumber,
@ObjectModel.foreignKey.association: '_ContractType'
Flow_Unfixed.TreasuryContractType as TreasuryContractType,
@ObjectModel.foreignKey.association: '_FlowCategory'
Flow_Unfixed.FinTransFlowCategory as FinTransFlowCategory,
@ObjectModel.foreignKey.association: '_FlowType'
Flow_Unfixed.FinTransFlowType as FinTransFlowType,
@Semantics.amount.currencyCode: 'FinTransFlowPaytAmtCrcy'
Flow_Unfixed.FinTransFlowPaytAmt as FinTransFlowPaytAmt,
@ObjectModel.foreignKey.association: '_PaymentCurrency'
@Semantics.currencyCode: true
Flow_Unfixed.FinTransFlowPaytAmtCrcy as FinTransFlowPaytAmtCrcy,
@EndUserText.label: 'Payment Amount Direction'
@EndUserText.quickInfo: 'Payment Amount Direction'
Flow_Unfixed.FinTransFlowPaytAmtDirection as FinTransFlowPaytAmtDirection,
@Semantics.amount.currencyCode: 'FinTransFlowNomAmtCrcy'
@EndUserText.label: 'Nominal Amount'
@EndUserText.quickInfo: 'Nominal Amount'
Flow_Unfixed.FinTransFlowNomAmt as FinTransFlowNomAmt,
@ObjectModel.foreignKey.association: '_NominalCurrency'
@EndUserText.label: 'Nominal Amount Currency'
@EndUserText.quickInfo: 'Nominal Amount Currency'
Flow_Unfixed.FinTransFlowNomAmtCrcy as FinTransFlowNomAmtCrcy,
@Semantics.amount.currencyCode: 'LocalCurrency'
Flow_Unfixed.FinTransFlowInLoclCrcyPaytAmt as FinTransFlowInLoclCrcyPaytAmt,
@ObjectModel.foreignKey.association: '_LocalCurrency'
Flow_Unfixed.LocalCurrency as LocalCurrency,
Flow_Unfixed.FinTransFlowLoclCrcyCnvrsnRate as FinTransFlowLoclCrcyCnvrsnRate,
Flow_Unfixed.FinTransFlowPaymentDate as FinTransFlowPaymentDate,
Flow_Unfixed.FinTransFlowPaymentDueDate as FinTransFlowPaymentDueDate,
Flow_Unfixed.FinTransFlowPostingDate as FinTransFlowPostingDate,
Flow_Unfixed.FinTransFlowIntrstRateFixDate as FinTransFlowIntrstRateFixDate,
Flow_Unfixed.CalculationPeriodStartDate as CalculationPeriodStartDate,
@Semantics.booleanIndicator: true
Flow_Unfixed.CalcPeriodStartDateIsMonthEnd as CalcPeriodStartDateIsMonthEnd,
Flow_Unfixed.CalculationPeriodEndDate as CalculationPeriodEndDate,
@Semantics.booleanIndicator: true
Flow_Unfixed.CalcPeriodEndDateIsMonthEnd as CalcPeriodEndDateIsMonthEnd,
Flow_Unfixed.NumberOfCalculationDays as NumberOfCalculationDays,
Flow_Unfixed.InterestCalculationMethod as InterestCalculationMethod,
@Semantics.amount.currencyCode: 'FinTransFlowCalcBaseAmountCrcy'
Flow_Unfixed.FinTransFlowCalcBaseAmount as FinTransFlowCalcBaseAmount,
@ObjectModel.foreignKey.association: '_BaseAmtCurrency'
Flow_Unfixed.FinTransFlowCalcBaseAmountCrcy as FinTransFlowCalcBaseAmountCrcy,
Flow_Unfixed.ConditionPercentageRate as ConditionPercentageRate,
Flow_Unfixed.FinTransPresentationItemID as FinTransPresentationItemID,
@ObjectModel.foreignKey.association: '_PostingStatus'
Flow_Unfixed.FinTransFlowPostingStatus as FinTransFlowPostingStatus,
@ObjectModel.foreignKey.association: '_PostingBlkgRsn'
Flow_Unfixed.FinTransFlowPostingBlkgReason as FinTransFlowPostingBlkgReason,
Flow_Unfixed.FinTransFlowPostingRelease as FinTransFlowPostingRelease,
@ObjectModel.foreignKey.association: '_AdjmtStatus'
Flow_Unfixed.FinInterestRateAdjmtStatus as FinInterestRateAdjmtStatus,
@API.element.releaseState: #DEPRECATED
@API.element.successor: 'PaymentRepetitiveCode'
Flow_Unfixed.RepetitiveCode as RepetitiveCode,
cast( Flow_Unfixed.RepetitiveCode as farp_repetitive_code ) as PaymentRepetitiveCode,
@ObjectModel.foreignKey.association: '_HouseBank'
Flow_Unfixed.HouseBank as HouseBank,
@ObjectModel.foreignKey.association: '_HouseBankAccount'
Flow_Unfixed.HouseBankAccount as HouseBankAccount,
@ObjectModel.foreignKey.association: '_PayerPayee'
Flow_Unfixed.PayerPayee as PayerPayee,
Flow_Unfixed.PayerPayeeBankDetail as PayerPayeeBankDetail,
@ObjectModel.foreignKey.association: '_Country'
Flow_Unfixed.Country as Country,
@ObjectModel.foreignKey.association: '_PaymentMethod'
Flow_Unfixed.PaymentMethod as PaymentMethod,
Flow_Unfixed.PaymentMethodsList as PaymentMethodsList,
@ObjectModel.foreignKey.association: '_PaymentMethodSupp'
Flow_Unfixed.PaymentMethodSupplement as PaymentMethodSupplement,
Flow_Unfixed.TreasuryIndividualPayment as TreasuryIndividualPayment,
Flow_Unfixed.TrsyPaytGroupingSameDrctnIsRqd as TrsyPaytGroupingSameDrctnIsRqd,
Flow_Unfixed.TreasuryPaymentRequestGrouping as TreasuryPaymentRequestGrouping,
Flow_Unfixed.TreasuryIntGrpgForPaytValue as TreasuryIntGrpgForPaytValue,
//@ObjectModel.foreignKey.association: '_PaymentRequest' - not possible as target view has no representative key
Flow_Unfixed.PaymentRequest as PaymentRequest,
@ObjectModel.foreignKey.association: '_Direction'
Flow_Unfixed.FinancialTransactionDirection as FinancialTransactionDirection,
Flow_Unfixed.FinInstrConditionLogicGroup as FinInstrConditionLogicGroup,
Flow_Unfixed.AssignmentReference as AssignmentReference,
Flow_Unfixed.FinTransFlwLoclCrcyAmtCalcType as FinTransFlwLoclCrcyAmtCalcType,
Flow_Unfixed.FinTransFlowCalculationDate as FinTransFlowCalculationDate,
Flow_Unfixed.FlowCalcDateIsExclusive as FlowCalcDateIsExclusive,
Flow_Unfixed.FlowCalcDateIsMonthEnd as FlowCalcDateIsMonthEnd,
Flow_Unfixed.IntrstCalcMethFactoryCalendar as IntrstCalcMethFactoryCalendar,
Flow_Unfixed.InterestCalculationType as InterestCalculationType,
Flow_Unfixed.CalcPeriodStartDateIsInclusive as CalcPeriodStartDateIsInclusive,
Flow_Unfixed.CalcPeriodEndDateIsInclusive as CalcPeriodEndDateIsInclusive,
Flow_Unfixed.FinTransFlwDerivationProcedure as FinTransFlwDerivationProcedure,
Flow_Unfixed.FinTransPaytRateInPercent as FinTransPaytRateInPercent,
Flow_Unfixed.PaymentReason as PaymentReason,
//exposed dimensions, containing for example text fields
_CompanyCode,
_FinTrans,
_Activity,
_ContractType,
_FlowCategory,
_FlowType,
_PaymentCurrency,
_NominalCurrency,
_LocalCurrency,
_BaseAmtCurrency,
_PostingStatus,
_PostingBlkgRsn,
_AdjmtStatus,
_HouseBank,
_HouseBankAccount,
_PayerPayee,
_Country,
_PaymentMethod,
_PaymentMethodSupp,
_PaymentRequest,
_Direction
}
//restrict to flows, which are not blocked for specific reasons
where
Flow_Unfixed.FinTransFlowPostingBlkgReason <> '2'
and Flow_Unfixed.FinTransFlowPostingBlkgReason <> '4'
and Flow_Unfixed.FinTransFlowPostingBlkgReason <> '5'
and Flow_Unfixed.FinTransFlowPostingBlkgReason <> '6'