C_FinancialTransactionSitn

DDL: C_FINANCIALTRANSACTIONSITN SQL: CFINTRANSSITN Type: view CONSUMPTION

Situation for Financial Transactions

C_FinancialTransactionSitn (Consumption)

Package: Explore, extend and adapt the SAP S/4HANA Cloud Private Edition with built-in and side-by-side extension capabilities.

Financial Operations

C_FinancialTransactionSitn is a Consumption CDS View that provides data about "Situation for Financial Transactions" in SAP S/4HANA. It reads from 1 data source (I_FinancialTransactionManage) and exposes 34 fields with key field FinTransWithCompanyCode.

SAP Help Documentation

CategoryCDS Views for Transactional Data
Purpose
This CDS view is required for situation handling for financial transactions for Treasury and Risk Management . This way, business users can be notified if financial transactions enter a specific status that requires further action. For example, if a foreign exchange option (product type 76A ) expires today and needs to be exercised, a notification will be sent. Several channels are available, such as the notification area on the SAP Fiori launchpad or e-mail. This CDS view provides the following information: Pro-actively informs users about issues requiring their attention Provides data required for informed decisions Proposes actions to solve the situation Track actions and analyze situations from alert to solution Collect situation-related data for advanced analytics To help you decide which CDS view to use for your purposes, SAP has introduced the annotation ObjectModel.supportedCapabilities that indicates the most appropriate use cases for each CDS view. To find out what use cases are best supported by this CDS view, access the entry of the CDS view in the View Browser app and find the values for this annotation under the Annotation tab. For more information, see Supported Capabilities for CDS Views .

Prerequisites
Authorizations The following business catalog needs to be assigned to a user to be able to use this CDS view: SAP_FIN_BC_TRM_MFT_PC The following business roles are used for this CDS view: SAP_BR_TREASURY_SPECIALIST_FOE SAP_BR_TREASURY_SPECIALIST_BOE

Structure
Further Important Fields Important fields in this view include the following: Field Name Description CompanyCode Company Code Counterparty Counterparty FinancialInstrumentProductType Product Type FinancialInstrTransactionType Transaction Type FinTransActyConclusionDate Contract Date TermEndDate Term End TermStartDate Term Start TransactionCurrency Transaction Currency FinTransGenActivityCategory Activity Category FinTransCreationDate Created On LastChangeDate Change On Portfolio Portfolio TreasuryAdvisingBank Advising Bank TreasuryApplicant Applicant BankGuaranteeType Bank Guarantee Type TreasuryBeneficiary Beneficiary TreasuryContractType Contract Type CurrencyPair Currency Pair FinTransExerciseDate Exercise Date OptionExpirationDate Expiration Date FinTransFixingDate Fixing Date TreasuryIssuingBank Issuing Bank FinTransFlowPaymentDate Payment Date FinTransPositionValueDate Position Value Date FinTransPremiumPaymentDate Premium Payment Date FinancialInstrProductCategory Product Category SecurityAccount Security Account SecurityClass Security Class ForeignExchangeValueDate Value Date

Constraints
In-app notifications in the Manage Financial Transactions app are currently not supported.

View on SAP Help Portal →

SAP API Hub

StateC1
Line of BusinessFinancial Operations
Application ComponentFIN-FSCM-TRM
CapabilitiesSituation Handling: Anchor Object, Situation Handling: Trigger Object
PackageFinancial Operations for SAP S/4HANA Cloud Private Edition
Description <p>This CDS view is required for situation handling for financial transactions for Treasury and Risk Management. This way, business users can be notified if financial transactions enter a specific status that requires further action. For example, if a foreign exchange option (product type 76A) expires today and needs to be exercised, a notification will be sent. Several channels are available, such as the notification area on the SAP Fiori launchpad or e-mail.</p> This CDS view provides the following information:<ul> <li><p>Pro-actively informs users about issues requiring their attention</p></li> <li><p>Provides data required for informed decisions</p></li> <li><p>Proposes actions to solve the situation</p></li> <li><p>Track actions and analyze situations from alert to solution</p></li> <li><p>Collect situation-related data for advanced analytics</p></li> </ul> <p>To help you decide which CDS view to use for your purposes, SAP has introduced the annotation ObjectModel.supportedCapabilities that indicates the most appropriate use cases for each CDS view. To find out what use cases are best supported by this CDS view, access the entry of the CDS view in the View Browser app and find the values for this annotation under the Annotation tab. For more information, see Supported Capabilities for CDS Views.</p>

Documentation

Data Sources (1)

SourceAliasJoin Type
I_FinancialTransactionManage I_FinancialTransactionManage from

Annotations (13)

NameValueLevelField
AbapCatalog.compiler.compareFilter true view
AbapCatalog.sqlViewName CFINTRANSSITN view
AbapCatalog.preserveKey true view
Metadata.ignorePropagatedAnnotations true view
ClientHandling.algorithm #SESSION_VARIABLE view
VDM.viewType #CONSUMPTION view
VDM.lifecycle.contract.type #PUBLIC_LOCAL_API view
AccessControl.authorizationCheck #CHECK view
EndUserText.label Situation for Financial Transactions view
ObjectModel.usageType.sizeCategory #XL view
ObjectModel.usageType.serviceQuality #D view
ObjectModel.usageType.dataClass #MIXED view
ObjectModel.modelingPattern #SITUATION_TRIGGER view

Fields (34)

KeyFieldSource TableSource FieldDescription
KEY FinTransWithCompanyCode FinTransWithCompanyCode Financial Transaction Number With Company Code
CompanyCode CompanyCode Receiver Company Code
FinancialTransaction Financial Transaction
LetterOfCredit LetterOfCredit Letter of Credit Number
BankGuaranteeNumber BankGuaranteeNumber Bank Guarantee Number
Counterparty Counterparty Number
FinancialInstrumentProductType FinancialInstrumentProductType Product Type
FinancialInstrTransactionType FinancialInstrTransactionType Financial Instrument Transaction Type
FinTransActyConclusionDate FinTransActyConclusionDate Conclusion Date of a Financial Transaction Activity
TermEndDate TermEndDate Term End
TermStartDate TermStartDate Term Start
TransactionCurrency TransactionCurrency Transaction Currency
FinTransGenActivityCategory FinTransGenActivityCategory General Activity Category
FinancialInstrActivityCategory FinancialInstrActivityCategory Transaction Activity Category
FinTransCreationDate FinTransCreationDate Entered On
LastChangeDate LastChangeDate Time Stamp
Portfolio Portfolio Portfolio
TreasuryAdvisingBank Advising Bank
TreasuryApplicant Applicant
BankGuaranteeType BankGuaranteeType Bank Guarantee Type
TreasuryBeneficiary Beneficiary
TreasuryContractType TreasuryContractType Treasury Contract Type
CurrencyPair CurrencyPair Currency Pair
FinTransExerciseDate FinTransExerciseDate Exercise Date
OptionExpirationDate OptionExpirationDate Expiration Date
FinTransFixingDate FinTransFixingDate Fixing Date
TreasuryIssuingBank Issuing Bank
FinTransFlowPaymentDate FinTransFlowPaymentDate Flow Payment Date
FinTransPositionValueDate FinTransPositionValueDate Position Value Date
FinancialInstrProductCategory FinancialInstrProductCategory Financial Instrument Product Category
SecurityAccount SecurityAccount Security Account
SecurityClass SecurityClass Security Class
ForeignExchangeValueDate ForeignExchangeValueDate Foreign Exchange Value Date
FinTransPremiumPaymentDate FinTransPremiumPaymentDate Premium Payment Date

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 C_FinancialTransactionSitn.
-- 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: CFINTRANSSITN

CREATE VIEW C_FinancialTransactionSitn AS
SELECT
  FinTransWithCompanyCode,
  CompanyCode,
  cast( LTRIM( FinancialTransaction, '0' ) as tb_rfha ) AS FinancialTransaction,
  LetterOfCredit,
  BankGuaranteeNumber,
  cast( LTRIM( Counterparty, '0' ) as rkontrah_new ) AS Counterparty,
  FinancialInstrumentProductType,
  FinancialInstrTransactionType,
  FinTransActyConclusionDate,
  TermEndDate,
  TermStartDate,
  TransactionCurrency,
  FinTransGenActivityCategory,
  FinancialInstrActivityCategory,
  FinTransCreationDate,
  LastChangeDate,
  Portfolio,
  cast( LTRIM( TreasuryAdvisingBank, '0' ) as ftr_advising_bank ) AS TreasuryAdvisingBank,
  cast( LTRIM( TreasuryApplicant, '0' ) as ftr_applicant ) AS TreasuryApplicant,
  BankGuaranteeType,
  cast( LTRIM( TreasuryBeneficiary, '0' ) as ftr_beneficiary ) AS TreasuryBeneficiary,
  TreasuryContractType,
  CurrencyPair,
  FinTransExerciseDate,
  OptionExpirationDate,
  FinTransFixingDate,
  cast( LTRIM( TreasuryIssuingBank, '0' ) as ftr_issue_bank ) AS TreasuryIssuingBank,
  FinTransFlowPaymentDate,
  FinTransPositionValueDate,
  FinancialInstrProductCategory,
  SecurityAccount,
  SecurityClass,
  ForeignExchangeValueDate,
  FinTransPremiumPaymentDate
FROM I_FinancialTransactionManage
;