C_BkAcctRevBkAcctSnapshotTP

DDL: C_BKACCTREVBKACCTSNAPSHOTTP Type: view_entity CONSUMPTION Package: FCLM_BAR_IMPL

Bank Account Snapshot

C_BkAcctRevBkAcctSnapshotTP is a Consumption CDS View that provides data about "Bank Account Snapshot" in SAP S/4HANA. It reads from 1 data source (R_BkAcctRevBkAcctSnapshotTP) and exposes 32 fields with key fields BankAccountReviewUUID, BankAccountReviewAreaUUID, BkAcctRevBkAcctSnapshotUUID. It is exposed through 2 OData services (ASQL_F7510, UI_BANKACCOUNTREVIEW_MNG). It is used in 1 Fiori application: Manage Bank Account Reviews. Part of development package FCLM_BAR_IMPL.

Data Sources (1)

SourceAliasJoin Type
R_BkAcctRevBkAcctSnapshotTP R_BkAcctRevBkAcctSnapshotTP projection

Annotations (9)

NameValueLevelField
EndUserText.label Bank Account Snapshot view
AccessControl.authorizationCheck #MANDATORY view
Metadata.allowExtensions true view
Metadata.ignorePropagatedAnnotations true view
ObjectModel.usageType.serviceQuality #C view
ObjectModel.usageType.sizeCategory #S view
ObjectModel.usageType.dataClass #MASTER view
VDM.viewType #CONSUMPTION view
Search.searchable true view

OData Services (2)

ServiceBindingVersionContractRelease
ASQL_F7510 ASQL_F7510 C2 NOT_RELEASED
UI_BANKACCOUNTREVIEW_MNG UI_BANKACCOUNTREVIEW_MNG V2 C1 NOT_RELEASED

Fiori Apps (1)

App IDApp NameTypeDescription
F7510 Manage Bank Account Reviews Transactional With this app, you can create, start and monitor the bank account review process.

Manage Bank Account Reviews

Business Role: Cash Management Specialist

With this app, you can initiate, monitor, and control your (periodic) bank account reviews to ensure the correctness and completeness of bank account master data. You split the review of the bank accounts for a specific reference date into different review areas tailored to the responsible reviewers. For each review area, you take a snapshot of the bank account master data to be reviewed. This snapshot of bank account data is stored in the app and used during the review. When you start the review for a review area in this app, a workflow assists reviewers in conducting the bank account review for the review area. The reviewers perform the check in their My Inbox - All Items app, but you can monitor the progress of bank account review for the review areas in the Manage Bank Account Reviews app to ensure timely completion and troubleshooting during the review process. When the bank account review is complete, you can set the bank account review to Completed. For more information, see also Advanced Bank Account Review Process.

Key Features: Creation of bank account reviews and the review areas you require. In the review areas, you define the bank account selections and assign the reviewers. For more information, see also Initiate Bank Account Review. Copy bank account reviews Instead of creating a bank account review from scratch, you can also create a bank account review by copying an existing bank account review. The data of the existing bank account review, such as the review areas including the bank account selections and reviewers, are copied. In this way, you only need to enter the header data of the review, such as the review ID, the review description, and the reference date. When the bank account review is created, you can make any necessary changes to the copied data of the bank account review and the review areas. Take a snapshot of the bank account master data to be reviewed for a review area. The snapshot can be deleted all the while the review hasn't been started. Note The snapshot is stored and displayed on the Bank Account Snapshot tab of the review area in the Manage Bank Account Reviews app. When the review is started, the snapshot data is also available in the workflow task of the reviewers in the My Inbox - All Items app (F0862). When the bank account review is completed, the reviewed data is still available, for example, for external auditors. Start and monitor the reviews of the review areas. Note It is possible to stop the review as long as the first reviewer has not yet approved or rejected the bank account data in the My Inbox - All Items app. Set the bank account reviews to Completed when all bank accounts have successfully passed the review process. In this case, the correctness and completeness of the bank account master data is confirmed and the review is completed. Note If reviewers find errors in the master data, they must reject the snapshot data during the review. The review process is stopped, and the review area fails the review. In this case, the errors in the master data need to be corrected. Afterwards, within the bank account review, a new review area is created for these bank accounts, a new snapshot of the corrected bank account master data is taken, and the review process is started again. Overview table of existing bank account reviews SAP delivers a default workflow for the workflow scenario WS48000097 for execution of bank account reviews. The default workflow allows up to five reviewers to be assigned to each review area. The Manage Bank Account Reviews app is updated automatically with the review results, and the Workflow tab in the app allows the initiator to navigate to the status information of the workflow task. The change document object FCLM_BAR is used to log changes to the reviewers in the bank account review areas. The data destruction object allows you to destroy the data of completed bank account reviews after the retention period.

Fields (32)

KeyFieldSource TableSource FieldDescription
KEY BankAccountReviewUUID BankAccountReviewUUID
KEY BankAccountReviewAreaUUID BankAccountReviewAreaUUID
KEY BkAcctRevBkAcctSnapshotUUID BkAcctRevBkAcctSnapshotUUID
BankAccountInternalID BankAccountInternalID Technical ID
BankCountry BankCountry Bank Country/Region
CountryNameasBankCountryNamelocalized
Bank Bank Bank Number
BankAccountNumber BankAccountNumber Bank Account
BankAccountType BankAccountType Account Type
ValidityStartDate ValidityStartDate Validity Start Date
ValidityEndDate ValidityEndDate ValidTo
IBAN IBAN IBAN House Bank
BankAccountStatus BankAccountStatus Account Status
CompanyCodeName _CompanyCode CompanyCodeName Company Name
CompanyCode CompanyCode Receiver Company Code
BankAccountHolderName BankAccountHolderName Account Holder
BankControlKey BankControlKey Control Key
IBANValidityStartDate IBANValidityStartDate IBAN Valid From
BankAccountCurrency BankAccountCurrency Currency
BankAccountContractTypeName
BankAccountContractType BankAccountContractType
CreatedByUser CreatedByUser User Name
CreationDateTime CreationDateTime Timestamp
LastChangedByUser LastChangedByUser User Name
LocalLastChangeDateTime LocalLastChangeDateTime Time Stamp
SWIFTCode _Bank SWIFTCode SWIFT/BIC
BankBranch _Bank BankBranch
Region _Bank Region Venue Region
ShortStreetName _Bank ShortStreetName
ShortCityName _Bank ShortCityName
_BankAccountText _BankAccountText
_Bank _Bank

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_BkAcctRevBkAcctSnapshotTP.
-- 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.

CREATE VIEW C_BkAcctRevBkAcctSnapshotTP AS
SELECT
  BankAccountReviewUUID,
  BankAccountReviewAreaUUID,
  BkAcctRevBkAcctSnapshotUUID,
  BankAccountInternalID,
  BankCountry,
  _BankAccountBasicData._BankCountry._Text.CountryName as BankCountryName : localized AS CountryNameasBankCountryNamelocalized,
  Bank,
  BankAccountNumber,
  BankAccountType,
  ValidityStartDate,
  ValidityEndDate,
  IBAN,
  BankAccountStatus,
  _CompanyCode.CompanyCodeName AS CompanyCodeName,
  CompanyCode,
  BankAccountHolderName,
  BankControlKey,
  IBANValidityStartDate,
  BankAccountCurrency,
  _BankAccountBasicData._ContractType.BankAccountContractTypeName AS BankAccountContractTypeName,
  BankAccountContractType,
  CreatedByUser,
  CreationDateTime,
  LastChangedByUser,
  LocalLastChangeDateTime,
  _Bank.SWIFTCode AS SWIFTCode,
  _Bank.BankBranch AS BankBranch,
  _Bank.Region AS Region,
  _Bank.ShortStreetName AS ShortStreetName,
  _Bank.ShortCityName AS ShortCityName
FROM R_BkAcctRevBkAcctSnapshotTP
;