R_FinTransIntrstRateInstrTP

DDL: R_FINTRANSINTRSTRATEINSTRTP Type: view_entity TRANSACTIONAL Package: FTTR_CORE

Interface View Interest Rate Instrument

R_FinTransIntrstRateInstrTP is a Transactional CDS View that provides data about "Interface View Interest Rate Instrument" in SAP S/4HANA. It reads from 1 data source (I_FinTransIntrstRateInstr) and exposes 46 fields with key fields CompanyCode, FinancialTransaction. Part of development package FTTR_CORE.

Data Sources (1)

SourceAliasJoin Type
I_FinTransIntrstRateInstr I_FinTransIntrstRateInstr from

Annotations (8)

NameValueLevelField
AccessControl.authorizationCheck #CHECK view
VDM.viewType #TRANSACTIONAL view
ObjectModel.usageType.sizeCategory #L view
ObjectModel.usageType.serviceQuality #C view
ObjectModel.usageType.dataClass #TRANSACTIONAL view
ObjectModel.sapObjectNodeType.name FinTransIntrstRateInstr view
VDM.lifecycle.contract.type #SAP_INTERNAL_API view
EndUserText.label Interface View Interest Rate Instrument view

Fields (46)

KeyFieldSource TableSource FieldDescription
KEY CompanyCode CompanyCode Receiver Company Code
KEY FinancialTransaction FinancialTransaction Transaction
TreasuryFinancialObject TreasuryFinancialObject
CreatedByUser CreatedByUser User Name
FinTransCreationDate FinTransCreationDate
FinTransCreationTime FinTransCreationTime
LastChangedByUser LastChangedByUser User Name
LastChangeDate LastChangeDate Time Stamp
FinInstrumentLastChangedTime FinInstrumentLastChangedTime
TreasuryContractType TreasuryContractType Treasury Contract Type
FinancialInstrProductCategory FinancialInstrProductCategory
FinancialInstrumentProductType FinancialInstrumentProductType
FinInstrTransactionCategory FinInstrTransactionCategory
FinancialInstrTransactionType FinancialInstrTransactionType
FinTransProcessingCategory FinTransProcessingCategory
TermStartDate TermStartDate
TermStartDateIsInclusive TermStartDateIsInclusive
FinTransNoticePeriod FinTransNoticePeriod
FinTransNoticePeriodUnit FinTransNoticePeriodUnit
FinTransFactoryCalendar1 FinTransFactoryCalendar1
FinTransFactoryCalendar2 FinTransFactoryCalendar2
Counterparty Counterparty Supplier
FinancialInstrumentGuarantor FinancialInstrumentGuarantor
Portfolio Portfolio Portfolio
TreasuryFinanceProject TreasuryFinanceProject
FinancialInstrumentAssignment FinancialInstrumentAssignment
FinancialInstrumentReference FinancialInstrumentReference
FinancialInstrCharacteristic FinancialInstrCharacteristic Characteristics
TreasuryValuationClass TreasuryValuationClass
BusinessArea BusinessArea Business Area
CostCenter CostCenter Cost Center
HedgingClassification HedgingClassification
ProfitCenter ProfitCenter Profit Center
WBSElementInternalID WBSElementInternalID WBS Internal ID
TreasuryFacilityCompanyCode TreasuryFacilityCompanyCode
TreasuryFacility TreasuryFacility
FinancialInstrumentStatus FinancialInstrumentStatus
FinTransReleaseStatus FinTransReleaseStatus
TransactionCurrency TransactionCurrency Transaction Currency
FinInstrLastActiveActivity FinInstrLastActiveActivity
FinTransIsRiskMitigating FinTransIsRiskMitigating
TermEndDate TermEndDate
ClassificationOfFinInstr ClassificationOfFinInstr
FinTransIntrstHndlgAtRollover FinTransIntrstHndlgAtRollover
RolloverDfrrdIntrstPyoutDte RolloverDfrrdIntrstPyoutDte
_FinTransCondition _FinTransCondition

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 R_FinTransIntrstRateInstrTP.
-- 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 R_FinTransIntrstRateInstrTP AS
SELECT
  CompanyCode,
  FinancialTransaction,
  TreasuryFinancialObject,
  CreatedByUser,
  FinTransCreationDate,
  FinTransCreationTime,
  LastChangedByUser,
  LastChangeDate,
  FinInstrumentLastChangedTime,
  TreasuryContractType,
  FinancialInstrProductCategory,
  FinancialInstrumentProductType,
  FinInstrTransactionCategory,
  FinancialInstrTransactionType,
  FinTransProcessingCategory,
  TermStartDate,
  TermStartDateIsInclusive,
  FinTransNoticePeriod,
  FinTransNoticePeriodUnit,
  FinTransFactoryCalendar1,
  FinTransFactoryCalendar2,
  Counterparty,
  FinancialInstrumentGuarantor,
  Portfolio,
  TreasuryFinanceProject,
  FinancialInstrumentAssignment,
  FinancialInstrumentReference,
  FinancialInstrCharacteristic,
  TreasuryValuationClass,
  BusinessArea,
  CostCenter,
  HedgingClassification,
  ProfitCenter,
  WBSElementInternalID,
  TreasuryFacilityCompanyCode,
  TreasuryFacility,
  FinancialInstrumentStatus,
  FinTransReleaseStatus,
  TransactionCurrency,
  FinInstrLastActiveActivity,
  FinTransIsRiskMitigating,
  TermEndDate,
  ClassificationOfFinInstr,
  FinTransIntrstHndlgAtRollover,
  RolloverDfrrdIntrstPyoutDte
FROM I_FinTransIntrstRateInstr
;