I_FinTransInterestAdjmtCndn

DDL: I_FINTRANSINTERESTADJMTCNDN SQL: IINTRSTADJMTCNDN Type: view COMPOSITE

FinTrans Interest Adjustment Condition

I_FinTransInterestAdjmtCndn is a Composite CDS View that provides data about "FinTrans Interest Adjustment Condition" in SAP S/4HANA. It reads from 1 data source (I_FinTransCondition) and exposes 48 fields with key fields CompanyCode, FinancialTransaction, FinancialInstrumentActivity, FinancialTransactionDirection, FinConditionItem. It has 1 association to related views.

Data Sources (1)

SourceAliasJoin Type
I_FinTransCondition I_FinTransCondition from

Associations (1)

CardinalityTargetAliasCondition
[0..*] I_IntrstAdjmtCndnSingleDate _AdjustmentSingleDate $projection.CompanyCode = _AdjustmentSingleDate.CompanyCode and $projection.FinancialTransaction = _AdjustmentSingleDate.FinancialTransaction and $projection.FinancialInstrumentActivity = _AdjustmentSingleDate.FinancialInstrumentActivity and $projection.FinancialTransactionDirection = _AdjustmentSingleDate.FinancialTransactionDirection and $projection.FinConditionItem = _AdjustmentSingleDate.FinConditionItem and $projection.ConditionItemValidityStartDate = _AdjustmentSingleDate.ConditionItemValidityStartDate

Annotations (13)

NameValueLevelField
AbapCatalog.sqlViewName IINTRSTADJMTCNDN view
AbapCatalog.compiler.compareFilter true view
AbapCatalog.buffering.status #NOT_ALLOWED view
AccessControl.authorizationCheck #MANDATORY view
AccessControl.personalData.blocking #NOT_REQUIRED view
ClientHandling.algorithm #SESSION_VARIABLE view
EndUserText.label FinTrans Interest Adjustment Condition view
ObjectModel.usageType.dataClass #TRANSACTIONAL view
ObjectModel.usageType.serviceQuality #C view
ObjectModel.usageType.sizeCategory #L view
Metadata.allowExtensions false view
Metadata.ignorePropagatedAnnotations true view
VDM.viewType #COMPOSITE view

Fields (48)

KeyFieldSource TableSource FieldDescription
KEY CompanyCode CompanyCode Receiver Company Code
KEY FinancialTransaction FinancialTransaction Transaction
KEY FinancialInstrumentActivity FinancialInstrumentActivity
KEY FinancialTransactionDirection FinancialTransactionDirection
KEY FinConditionItem FinConditionItem
KEY ConditionItemValidityStartDate ConditionItemValidityStartDate
FinancialInstrProductCategory _FinTrans FinancialInstrProductCategory
FinConditionConditionCategory FinConditionConditionCategory
FinConditionConditionType FinConditionConditionType
TreasuryContractType TreasuryContractType Treasury Contract Type
FinInstrConditionLogicGroup FinInstrConditionLogicGroup
FinConditionFactoryCalendar1 FinConditionFactoryCalendar1
FinConditionFactoryCalendar2 FinConditionFactoryCalendar2
FinConditionFactoryCalendar3 FinConditionFactoryCalendar3
FinConditionFactoryCalendar4 FinConditionFactoryCalendar4
FinConditionFactoryCalendar5 FinConditionFactoryCalendar5
InterestRateAdjustmentDateRule InterestRateAdjustmentDateRule
InterestRateAdjustmentFrqcy InterestRateAdjustmentFrqcy
InterestRateAdjmtFrqcyUnit InterestRateAdjmtFrqcyUnit
InterestRateAdjustmentDate InterestRateAdjustmentDate
IntrstRateAdjmtDateIsMonthEnd IntrstRateAdjmtDateIsMonthEnd
IntrstRateAdjmtDteIsExclusive IntrstRateAdjmtDteIsExclusive
IntrstRateAdjmtDateWrkgDayShft IntrstRateAdjmtDateWrkgDayShft
FinCndnAdjmtDteShftDrctn FinCndnAdjmtDteShftDrctn
IntrstRateAdjmtShftNrOfDays IntrstRateAdjmtShftNrOfDays
InterestRateFixingDateRule InterestRateFixingDateRule
InterestRateFixingFrqcy InterestRateFixingFrqcy
InterestRateFixingFrqcyUnit InterestRateFixingFrqcyUnit
InterestRateFixingDate InterestRateFixingDate
IntrstRateFixingDateIsMonthEnd IntrstRateFixingDateIsMonthEnd
FinCndnFixingDteShftDrctn FinCndnFixingDteShftDrctn
InterestRateFixingShftNrOfDays InterestRateFixingShftNrOfDays
IntrstRateFixDteShftIsModifd IntrstRateFixDteShftIsModifd
InterestRateFixingDateRef InterestRateFixingDateRef
FinCndnRateFixingLockoutPeriod FinCndnRateFixingLockoutPeriod
_CompanyCode _CompanyCode
_FinTrans _FinTrans
_Activity _Activity
_Direction _Direction
_ConditionCategory _ConditionCategory
_ContractType _ContractType
_ConditionType _ConditionType
_Calendar1 _Calendar1
_Calendar2 _Calendar2
_Calendar3 _Calendar3
_Calendar4 _Calendar4
_Calendar5 _Calendar5
_AdjustmentSingleDate _AdjustmentSingleDate

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_FinTransInterestAdjmtCndn.
-- 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: IINTRSTADJMTCNDN

CREATE VIEW I_FinTransInterestAdjmtCndn AS
SELECT
  CompanyCode,
  FinancialTransaction,
  FinancialInstrumentActivity,
  FinancialTransactionDirection,
  FinConditionItem,
  ConditionItemValidityStartDate,
  _FinTrans.FinancialInstrProductCategory AS FinancialInstrProductCategory,
  FinConditionConditionCategory,
  FinConditionConditionType,
  TreasuryContractType,
  FinInstrConditionLogicGroup,
  FinConditionFactoryCalendar1,
  FinConditionFactoryCalendar2,
  FinConditionFactoryCalendar3,
  FinConditionFactoryCalendar4,
  FinConditionFactoryCalendar5,
  InterestRateAdjustmentDateRule,
  InterestRateAdjustmentFrqcy,
  InterestRateAdjmtFrqcyUnit,
  InterestRateAdjustmentDate,
  IntrstRateAdjmtDateIsMonthEnd,
  IntrstRateAdjmtDteIsExclusive,
  IntrstRateAdjmtDateWrkgDayShft,
  FinCndnAdjmtDteShftDrctn,
  IntrstRateAdjmtShftNrOfDays,
  InterestRateFixingDateRule,
  InterestRateFixingFrqcy,
  InterestRateFixingFrqcyUnit,
  InterestRateFixingDate,
  IntrstRateFixingDateIsMonthEnd,
  FinCndnFixingDteShftDrctn,
  InterestRateFixingShftNrOfDays,
  IntrstRateFixDteShftIsModifd,
  InterestRateFixingDateRef,
  FinCndnRateFixingLockoutPeriod
FROM I_FinTransCondition
LEFT OUTER JOIN I_IntrstAdjmtCndnSingleDate AS _AdjustmentSingleDate ON CompanyCode = _AdjustmentSingleDate.CompanyCode AND FinancialTransaction = _AdjustmentSingleDate.FinancialTransaction AND FinancialInstrumentActivity = _AdjustmentSingleDate.FinancialInstrumentActivity AND FinancialTransactionDirection = _AdjustmentSingleDate.FinancialTransactionDirection AND FinConditionItem = _AdjustmentSingleDate.FinConditionItem AND ConditionItemValidityStartDate = _AdjustmentSingleDate.ConditionItemValidityStartDate  -- association [0..*]
;