R_MngJrnlEntrPrkdDocumentItem

DDL: R_MNGJRNLENTRPRKDDOCUMENTITEM Type: view_entity COMPOSITE Package: ODATA_MANAGE_JOURNAL_ENTRY_V2

Journal Entry Parked Document Item

R_MngJrnlEntrPrkdDocumentItem is a Composite CDS View that provides data about "Journal Entry Parked Document Item" in SAP S/4HANA. It reads from 1 data source (P_MngJrnlEntrPrkdDocumentItem) and exposes 212 fields with key fields SourceCompanyCode, SourceAccountingDocument, SourceFiscalYear, ParkedAccountingDocumentItem. It has 46 associations to related views. Part of development package ODATA_MANAGE_JOURNAL_ENTRY_V2.

Data Sources (1)

SourceAliasJoin Type
P_MngJrnlEntrPrkdDocumentItem _ParkedItem from

Associations (46)

CardinalityTargetAliasCondition
[0..1] I_GlAccountTextInCompanycode _GLAccountText _ParkedItem.SourceCompanyCode = _GLAccountText.CompanyCode and _ParkedItem.GLAccount = _GLAccountText.GLAccount and _GLAccountText.Language = $session.system_language
[1..1] I_CompanyCode _CompanyCode $projection.CompanyCode = _CompanyCode.CompanyCode
[1..1] I_CompanyCode _SourceCompanyCode $projection.SourceCompanyCode = _SourceCompanyCode.CompanyCode
[0..1] I_ControllingArea _ControllingArea $projection.ControllingArea = _ControllingArea.ControllingArea
[0..1] I_FinancialTransactionTypeT _FinancialTransactionTypeT $projection.FinancialTransactionType = _FinancialTransactionTypeT.FinancialTransactionType and _FinancialTransactionTypeT.Language = $session.system_language
[0..1] I_CostCenterText _CostCenterText $projection.ControllingArea = _CostCenterText.ControllingArea and $projection.CostCenter = _CostCenterText.CostCenter and _CostCenterText.ValidityStartDate <= $session.system_date and _CostCenterText.ValidityEndDate >= $session.system_date and _CostCenterText.Language = $session.system_language
[0..1] I_ProfitCenterText _ProfitCenterText $projection.ControllingArea = _ProfitCenterText.ControllingArea and $projection.ProfitCenter = _ProfitCenterText.ProfitCenter and _ProfitCenterText.ValidityStartDate <= $session.system_date and _ProfitCenterText.ValidityEndDate >= $session.system_date and _ProfitCenterText.Language = $session.system_language
[0..1] I_FunctionalAreaText _FunctionalAreaText $projection.FunctionalArea = _FunctionalAreaText.FunctionalArea and _FunctionalAreaText.Language = $session.system_language
[0..1] I_BusinessAreaText _BusinessAreaText $projection.BusinessArea = _BusinessAreaText.BusinessArea and _BusinessAreaText.Language = $session.system_language
[0..1] I_BusinessAreaText _PartnerBusinessAreaText $projection.PartnerBusinessArea = _PartnerBusinessAreaText.BusinessArea and _PartnerBusinessAreaText.Language = $session.system_language
[0..1] I_SegmentText _SegmentText $projection.Segment = _SegmentText.Segment and _SegmentText.Language = $session.system_language
[0..1] I_SegmentText _PartnerSegmentText $projection.PartnerSegment = _PartnerSegmentText.Segment and _PartnerSegmentText.Language = $session.system_language
[0..1] I_Partnercompany _PartnerCompany $projection.PartnerCompany = _PartnerCompany.PartnerCompany
[0..1] I_PostingKeyText _PostingKeyText $projection.PostingKey = _PostingKeyText.PostingKey and _PostingKeyText.Language = $session.system_language
[0..1] I_Plant _Plant $projection.Plant = _Plant.Plant
[0..1] I_Customer _Customer $projection.Customer = _Customer.Customer
[0..1] I_Supplier _Supplier $projection.Supplier = _Supplier.Supplier
[0..1] I_SpecialGLCodeText _SpecialGLCodeText $projection.FinancialAccountType = _SpecialGLCodeText.FinancialAccountType and $projection.SpecialGLCode = _SpecialGLCodeText.SpecialGLCode and _SpecialGLCodeText.Language = $session.system_language
[0..1] I_MasterFixedAsset _MasterFixedAsset $projection.CompanyCode = _MasterFixedAsset.CompanyCode and $projection.MasterFixedAsset = _MasterFixedAsset.MasterFixedAsset
[0..1] I_FixedAsset _FixedAsset $projection.CompanyCode = _FixedAsset.CompanyCode and $projection.MasterFixedAsset = _FixedAsset.MasterFixedAsset and $projection.FixedAsset = _FixedAsset.FixedAsset
[0..1] I_AssetTransactionTypeText _AssetTransactionTypeText $projection.AssetTransactionType = _AssetTransactionTypeText.AssetTransactionType and _AssetTransactionTypeText.Language = $session.system_language
[0..1] I_CostCenterActivityTypeText _CostCtrActivityTypeT $projection.ControllingArea = _CostCtrActivityTypeT.ControllingArea and $projection.CostCtrActivityType = _CostCtrActivityTypeT.CostCtrActivityType and _CostCtrActivityTypeT.ValidityStartDate <= $session.system_date and _CostCtrActivityTypeT.ValidityEndDate >= $session.system_date and _CostCtrActivityTypeT.Language = $session.system_language
[0..1] I_ProductText _ProductText $projection.Product = _ProductText.Product and _ProductText.Language = $session.system_language
[0..1] I_FundText _FundText $projection.FinancialManagementArea = _FundText.FinancialManagementArea and $projection.Fund = _FundText.Fund and _FundText.Language = $session.system_language
[0..1] I_FundText _PartnerFundText $projection.FinancialManagementArea = _PartnerFundText.FinancialManagementArea and $projection.PartnerFund = _PartnerFundText.Fund and _PartnerFundText.Language = $session.system_language
[0..1] I_GrantText _GrantText $projection.GrantID = _GrantText.GrantID and _GrantText.Language = $session.system_language
[0..1] I_BudgetPeriodText _BudgetPeriodText $projection.BudgetPeriod = _BudgetPeriodText.BudgetPeriod and _BudgetPeriodText.Language = $session.system_language
[0..1] I_GrantText _PartnerGrantText $projection.PartnerGrant = _PartnerGrantText.GrantID and _PartnerGrantText.Language = $session.system_language
[0..1] I_BudgetPeriodText _PartnerBudgetPeriodText $projection.PartnerBudgetPeriod = _PartnerBudgetPeriodText.BudgetPeriod and _PartnerBudgetPeriodText.Language = $session.system_language
[0..1] I_PaymentTermsText _PaymentTermsText $projection.PaymentTerms = _PaymentTermsText.PaymentTerms and _PaymentTermsText.Language = $session.system_language
[0..1] I_PaymentBlockingReasonText _PaymentBlockingReasonText $projection.PaymentBlockingReason = _PaymentBlockingReasonText.PaymentBlockingReason and _PaymentBlockingReasonText.Language = $session.system_language
[0..1] I_DunningAreaText _DunningAreaText $projection.CompanyCode = _DunningAreaText.CompanyCode and $projection.DunningArea = _DunningAreaText.DunningArea and _DunningAreaText.Language = $session.system_language
[0..1] I_ParkedOplAcctgDocument _ParkedOplAcctgDocument $projection.SourceCompanyCode = _ParkedOplAcctgDocument.SourceCompanyCode and $projection.CompanyCode = _ParkedOplAcctgDocument.CompanyCode and $projection.SourceAccountingDocument = _ParkedOplAcctgDocument.SourceAccountingDocument and $projection.SourceFiscalYear = _ParkedOplAcctgDocument.SourceFiscalYear
[0..1] I_CustomerCompany _CustomerCompany $projection.Customer = _CustomerCompany.Customer and $projection.CompanyCode = _CustomerCompany.CompanyCode
[0..1] I_SupplierCompany _SupplierCompany $projection.Supplier = _SupplierCompany.Supplier and $projection.CompanyCode = _SupplierCompany.CompanyCode
[0..1] I_Order _Order $projection.OrderID = _Order.OrderID
[0..1] I_AccountingDocumentType _AccountingDocumentType $projection.AccountingDocumentType = _AccountingDocumentType.AccountingDocumentType
[0..1] I_CostCenter _CurrentCostCenter $projection.ControllingArea = _CurrentCostCenter.ControllingArea and $projection.CostCenter = _CurrentCostCenter.CostCenter and _CurrentCostCenter.ValidityStartDate <= $session.system_date and _CurrentCostCenter.ValidityEndDate >= $session.system_date
[0..1] I_ProfitCenter _CurrentProfitCenter $projection.ControllingArea = _CurrentProfitCenter.ControllingArea and $projection.ProfitCenter = _CurrentProfitCenter.ProfitCenter and _CurrentProfitCenter.ValidityStartDate <= $session.system_date and _CurrentProfitCenter.ValidityEndDate >= $session.system_date
[0..1] I_GLAccountInCompanyCode _GLAccountInCompanyCode $projection.SourceCompanyCode = _GLAccountInCompanyCode.CompanyCode and $projection.GLAccount = _GLAccountInCompanyCode.GLAccount
[0..1] I_Housebank _HouseBank $projection.HouseBank = _HouseBank.HouseBank and $projection.CompanyCode = _HouseBank.CompanyCode
[0..1] I_HouseBankAccountText _HouseBankAccountText $projection.HouseBank = _HouseBankAccountText.HouseBank and $projection.CompanyCode = _HouseBankAccountText.CompanyCode and $projection.HouseBankAccount = _HouseBankAccountText.HouseBankAccount and _HouseBankAccountText.Language = $session.system_language
[0..1] I_CountryText _TaxCountryText $projection.TaxCountry = _TaxCountryText.Country and _TaxCountryText.Language = $session.system_language
[0..1] I_WBSElementBasicData _WBSElementBasicData $projection.WBSElementInternalID = _WBSElementBasicData.WBSElementInternalID
[0..1] I_WorkforcePersonMappings_1 _WorkForcePersonMappings $projection.PersonnelNumber = _WorkForcePersonMappings.WorkAssignment
[0..1] I_PaymentDifferenceReasonT _PaymentDifferenceReasonText $projection.CompanyCode = _PaymentDifferenceReasonText.CompanyCode and $projection.PaymentDifferenceReason = _PaymentDifferenceReasonText.PaymentDifferenceReason and _PaymentDifferenceReasonText.Language = $session.system_language

Annotations (8)

NameValueLevelField
AccessControl.authorizationCheck #MANDATORY view
EndUserText.label Journal Entry Parked Document Item view
Metadata.ignorePropagatedAnnotations true view
ObjectModel.usageType.serviceQuality #X view
ObjectModel.usageType.sizeCategory #M view
ObjectModel.usageType.dataClass #MIXED view
VDM.viewType #COMPOSITE view
VDM.lifecycle.contract.type #SAP_INTERNAL_API view

Fields (212)

KeyFieldSource TableSource FieldDescription
KEY SourceCompanyCode SourceCompanyCode
KEY SourceAccountingDocument SourceAccountingDocument
KEY SourceFiscalYear SourceFiscalYear
KEY ParkedAccountingDocumentItem SourceAccountingDocumentItem
SourceCompanyCodeName _SourceCompanyCode CompanyCodeName Company Name
AmountInCompanyCodeCurrency AmountInCompanyCodeCurrency Local Crcy Amt
CreditAmountInCoCodeCrcy CreditAmountInCoCodeCrcy Credit Amount in Company Code Currency
DebitAmountInCoCodeCrcy DebitAmountInCoCodeCrcy Debit Amount in Company Code Currency
CompanyCodeCurrency CompanyCodeCurrency Local Currency
AmountInTransactionCurrency AmountInTransactionCurrency Pt Crcy Amt
CreditAmountInTransCrcy CreditAmountInTransCrcy Credit Amt in DC
DebitAmountInTransCrcy DebitAmountInTransCrcy Debit Amt in DC
TransactionCurrency TransactionCurrency Transaction Currency
GLAccount GLAccount General Ledger
GLAccountName _GLAccountText GLAccountName Short Text
DebitCreditCode DebitCreditCode Single-Character Flag
SourceAccountingDocumentItem SourceAccountingDocumentItem
CompanyCode CompanyCode Receiver Company Code
WithholdingTaxAmount
WithholdingTaxBaseAmount
WithholdingTaxExemptionAmt
Supplier Supplier Supplier
FixedCashDiscount FixedCashDiscount Fixed Cash Discount
Customer Customer Sold-to Party
SpecialGLCode SpecialGLCode Special G/L Ind
SpecialGLTransactionType SpecialGLTransactionType Transact.Type
TaxCountry TaxCountry Tax Ctry/Reg.
FinancialTransactionType FinancialTransactionType Transact. Type
ChartOfAccounts _CompanyCode ChartOfAccounts Node Class
BranchAccount BranchAccount Branch Account No.
PaymentTerms PaymentTerms Pyt Terms
CashDiscount1Days CashDiscount1Days Days from Baseline Date for Payment
CashDiscount2Days CashDiscount2Days Days from Baseline Date for Payment
NetPaymentDays NetPaymentDays Net Pmt Terms Period
CashDiscount1Percent CashDiscount1Percent Disc. Percent 1
CashDiscount2Percent CashDiscount2Percent Disc. Percent 2
PaymentMethod PaymentMethod Pymt Meth.
PaymentBlockingReason PaymentBlockingReason Pmnt block
InvoiceReference InvoiceReference Invoice Reference
InvoiceReferenceFiscalYear InvoiceReferenceFiscalYear Invoice Reference Fiscal Year
InvoiceItemReference InvoiceItemReference Item
FollowOnDocumentType FollowOnDocumentType Follow-On Document Type
InvoiceList InvoiceList Invoice List
DunningKey DunningKey Dunning Key
DunningBlockingReason DunningBlockingReason Set Dunning Block
LastDunningDate LastDunningDate Last Dunned
DunningLevel DunningLevel Dunning Level
DunningArea DunningArea Dunning Area
CreditControlArea CreditControlArea Credit Control Area
DataExchangeInstruction1 DataExchangeInstruction1 Instruction 1
DataExchangeInstruction2 DataExchangeInstruction2 Instruction 2
DataExchangeInstruction3 DataExchangeInstruction3 Instruction 3
DataExchangeInstruction4 DataExchangeInstruction4 Instruction 4
AlternativePayeePayer AlternativePayeePayer Alternative Payee/Payer
PaymentReference PaymentReference Payment Reference
TaxSection TaxSection Tax Section
CashDiscount1DueDate CashDiscount1DueDate Cash Discount 1
CashDiscount2DueDate CashDiscount2DueDate Cash Discount 2
BranchCode BranchCode Branch Code
BPBankAccountInternalID BPBankAccountInternalID BP Bank Account
PaymentCurrency PaymentCurrency Payment Currency
TaxAmountInCoCodeCrcy
TaxAmount
TaxAmountInAdditionalCurrency1 TaxAmountInAdditionalCurrency1 LC 2 Tax
TaxAmountInAdditionalCurrency2 TaxAmountInAdditionalCurrency2 LC 3 Tax
AmountInPaymentCurrency
CashDiscountBaseAmount
CashDiscountAmtInCoCodeCrcy
CashDiscountAmount
AccountingDocumentType AccountingDocumentType Journal Entry Type
ControllingArea ControllingArea Controlling Area
PostingKey PostingKey Posting Key
FinancialAccountType FinancialAccountType Fin. Account Type
BusinessArea BusinessArea Business Area
PartnerBusinessArea PartnerBusinessArea Trdg Part.BA
TaxCode TaxCode Tax Code
TaxType TaxType Tax Type
ValueDate ValueDate Value Date
AssignmentReference AssignmentReference Assignment Reference
DocumentItemText DocumentItemText Text
PartnerCompany PartnerCompany Trading Partner
PlanningLevel PlanningLevel Planning Level
CostCenter CostCenter Cost Center
OrderID OrderID Order ID
MasterFixedAsset MasterFixedAsset Fixed Asset
FixedAsset FixedAsset Sub-number
AssetTransactionType AssetTransactionType Trans.Type
PersonnelNumber PersonnelNumber Personnel No.
IsSalesRelated IsSalesRelated Is Sales Related
SpecialGLAccountAssignment SpecialGLAccountAssignment Special G/L Assignmt
DueCalculationBaseDate DueCalculationBaseDate Due Calculation Base Date
SupplyingCountry SupplyingCountry Supplying Ctry/Reg.
Product Product Product Sold
Plant Plant Valuation Area
PurchasingDocument PurchasingDocument Purchasing Document
PurchasingDocumentItem PurchasingDocumentItem Purchasing Doc. Item
AccountAssignmentNumber AccountAssignmentNumber Account Assgmt No.
MaterialPriceControl MaterialPriceControl Price Control
MaterialPriceUnitQty MaterialPriceUnitQty Price unit
ValuationArea ValuationArea Valuation Area
InventoryValuationType InventoryValuationType Valuation Type
VATRegistration VATRegistration VAT Registration No.
PaymentDifferenceReason PaymentDifferenceReason Reason Code
ProfitCenter ProfitCenter Profit Center
JointVenture JointVenture Joint venture
JointVentureCostRecoveryCode JointVentureCostRecoveryCode Recovery Ind.
JointVentureEquityGroup JointVentureEquityGroup Joint Venture Equity Group
TreasuryContractType TreasuryContractType Treasury Contract Type
AssetContract AssetContract Asset Contract
CashFlowType CashFlowType Flow Type
TaxJurisdiction TaxJurisdiction Tax Jurisdiction
REInternalFinNumber REInternalFinNumber Real Estate Key
SettlementReferenceDate SettlementReferenceDate Reference date
CommitmentItemShortID CommitmentItemShortID Commitment Item Short ID
CostObject CostObject Cost Object
ProjectNetwork ProjectNetwork Order
ProfitabilitySegment ProfitabilitySegment Profitability Segment
JointVentureEquityType JointVentureEquityType Joint Venture Equity Type
CostOriginGroup CostOriginGroup Origin Group
PaymentMethodSupplement PaymentMethodSupplement Pmnt Meth. Sup.
FundsCenter FundsCenter Funds Center
Fund Fund Sender Fund
FinancialManagementArea _CompanyCode FinancialManagementArea FM Area
Reference1IDByBusinessPartner Reference1IDByBusinessPartner Reference Key 1
Reference2IDByBusinessPartner Reference2IDByBusinessPartner Reference Key 2
IsNegativePosting IsNegativePosting Negative Posting
PaymentCardPaymentSettlement PaymentCardPaymentSettlement Payment Card Payment Settlement
Reference3IDByBusinessPartner Reference3IDByBusinessPartner Reference Key 3
Region Region Venue Region
BusinessPlace BusinessPlace Business place
CostCtrActivityType CostCtrActivityType Activity Type
WBSElementInternalID WBSElementInternalID WBS Internal ID
WBSElementExternalID _WBSElementBasicData WBSElementExternalID WBS Element External ID
WBSDescription _WBSElementBasicData WBSDescription WBS Element Name
GrantID GrantID Sender Grant
Segment Segment Segment number
PartnerSegment PartnerSegment Partner Segment
NetDueDate NetDueDate Net Due Date
PartnerFund PartnerFund Receiver Fund
PartnerGrant PartnerGrant Receiver Grant
BudgetPeriod BudgetPeriod Budget Period
PartnerBudgetPeriod PartnerBudgetPeriod Partner Budget Period
HouseBank HouseBank House Bank
HouseBankAccount HouseBankAccount House Bank Account
AdditionalCurrency1 AdditionalCurrency1 Local curr. 2
AdditionalCurrency2 AdditionalCurrency2 Local curr. 3
AmountInAdditionalCurrency1
CreditAmountInAddlCrcy1 CreditAmountInAddlCrcy1 Amount in Additional Currency 1
DebitAmountInAddlCrcy1 DebitAmountInAddlCrcy1 Amount in Additional Currency 1
AmountInAdditionalCurrency2 AmountInAdditionalCurrency2 LC2 Amount
CreditAmountInAddlCrcy2 CreditAmountInAddlCrcy2 Amount in Additional Currency 2
DebitAmountInAddlCrcy2 DebitAmountInAddlCrcy2 Amount in Additional Currency 2
TaxBaseAmountInCoCodeCrcy
TaxBaseAmountInTransCrcy
InvoiceAmtInCoCodeCrcy InvoiceAmtInCoCodeCrcy
PlannedAmtInTransactionCrcy PlannedAmtInTransactionCrcy Plnd Amt Trans. Crcy
InvoiceAmountInFrgnCurrency InvoiceAmountInFrgnCurrency Invc. Amt Frgn Crcy
BaseUnit BaseUnit Unit of Measure
Quantity Quantity Value
AssetValueDate AssetValueDate Reference date
CompanyCodeCurrencyDetnMethod CompanyCodeCurrencyDetnMethod Co Crcy Detn Meth
FunctionalArea FunctionalArea Sendr Fctl Area
FundedProgram FundedProgram Funded Program
StateCentralBankPaymentReason StateCentralBankPaymentReason SCB Ind.
OrderInternalBillOfOperations OrderInternalBillOfOperations Order Internal Bill of Operations
IsEUTriangularDeal IsEUTriangularDeal Is EU Triangular Deal
IsNotCashDiscountLiable IsNotCashDiscountLiable W/o CashDsc.
DatabaseTable DatabaseTable Table Name
_CustomerCompany _CustomerCompany
_SupplierCompany _SupplierCompany
_ParkedOplAcctgDocument _ParkedOplAcctgDocument
_Order _Order
_AccountingDocumentType _AccountingDocumentType
_CurrentCostCenter _CurrentCostCenter
_CurrentProfitCenter _CurrentProfitCenter
_GLAccountInCompanyCode _GLAccountInCompanyCode
_CompanyCode _CompanyCode
_ControllingArea _ControllingArea
_FinancialTransactionTypeT _FinancialTransactionTypeT
_GLAccountText _GLAccountText
_CostCenterText _CostCenterText
_ProfitCenterText _ProfitCenterText
_FunctionalAreaText _FunctionalAreaText
_BusinessAreaText _BusinessAreaText
_PartnerBusinessAreaText _PartnerBusinessAreaText
_SegmentText _SegmentText
_PartnerSegmentText _PartnerSegmentText
_PartnerCompany _PartnerCompany
_PostingKeyText _PostingKeyText
_Plant _Plant
_Customer _Customer
_Supplier _Supplier
_SpecialGLCodeText _SpecialGLCodeText
_MasterFixedAsset _MasterFixedAsset
_FixedAsset _FixedAsset
_AssetTransactionTypeText _AssetTransactionTypeText
_CostCtrActivityTypeT _CostCtrActivityTypeT
_ProductText _ProductText
_FundText _FundText
_GrantText _GrantText
_BudgetPeriodText _BudgetPeriodText
_PartnerFundText _PartnerFundText
_PartnerGrantText _PartnerGrantText
_PartnerBudgetPeriodText _PartnerBudgetPeriodText
_PaymentTermsText _PaymentTermsText
_PaymentBlockingReasonText _PaymentBlockingReasonText
_DunningAreaText _DunningAreaText
_HouseBank _HouseBank
_HouseBankAccountText _HouseBankAccountText
_TaxCountryText _TaxCountryText
_WorkForcePersonMappings _WorkForcePersonMappings
_PaymentDifferenceReasonText _PaymentDifferenceReasonText

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_MngJrnlEntrPrkdDocumentItem.
-- 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_MngJrnlEntrPrkdDocumentItem AS
SELECT
  SourceCompanyCode,
  SourceAccountingDocument,
  SourceFiscalYear,
  SourceAccountingDocumentItem AS ParkedAccountingDocumentItem,
  _SourceCompanyCode.CompanyCodeName AS SourceCompanyCodeName,
  AmountInCompanyCodeCurrency,
  CreditAmountInCoCodeCrcy,
  DebitAmountInCoCodeCrcy,
  CompanyCodeCurrency,
  AmountInTransactionCurrency,
  CreditAmountInTransCrcy,
  DebitAmountInTransCrcy,
  TransactionCurrency,
  GLAccount,
  _GLAccountText.GLAccountName AS GLAccountName,
  DebitCreditCode,
  SourceAccountingDocumentItem,
  CompanyCode,
  abs( WithholdingTaxAmount ) AS WithholdingTaxAmount,
  abs( WithholdingTaxBaseAmount ) AS WithholdingTaxBaseAmount,
  abs( WithholdingTaxExemptionAmt ) AS WithholdingTaxExemptionAmt,
  Supplier,
  FixedCashDiscount,
  Customer,
  SpecialGLCode,
  SpecialGLTransactionType,
  TaxCountry,
  FinancialTransactionType,
  _CompanyCode.ChartOfAccounts AS ChartOfAccounts,
  BranchAccount,
  PaymentTerms,
  CashDiscount1Days,
  CashDiscount2Days,
  NetPaymentDays,
  CashDiscount1Percent,
  CashDiscount2Percent,
  PaymentMethod,
  PaymentBlockingReason,
  InvoiceReference,
  InvoiceReferenceFiscalYear,
  InvoiceItemReference,
  FollowOnDocumentType,
  InvoiceList,
  DunningKey,
  DunningBlockingReason,
  LastDunningDate,
  DunningLevel,
  DunningArea,
  CreditControlArea,
  DataExchangeInstruction1,
  DataExchangeInstruction2,
  DataExchangeInstruction3,
  DataExchangeInstruction4,
  AlternativePayeePayer,
  PaymentReference,
  TaxSection,
  CashDiscount1DueDate,
  CashDiscount2DueDate,
  BranchCode,
  BPBankAccountInternalID,
  PaymentCurrency,
  abs( TaxAmountInCoCodeCrcy ) AS TaxAmountInCoCodeCrcy,
  abs( TaxAmount ) AS TaxAmount,
  TaxAmountInAdditionalCurrency1,
  TaxAmountInAdditionalCurrency2,
  abs( AmountInPaymentCurrency ) AS AmountInPaymentCurrency,
  abs( CashDiscountBaseAmount ) AS CashDiscountBaseAmount,
  abs( CashDiscountAmtInCoCodeCrcy ) AS CashDiscountAmtInCoCodeCrcy,
  abs( CashDiscountAmount ) AS CashDiscountAmount,
  AccountingDocumentType,
  ControllingArea,
  PostingKey,
  FinancialAccountType,
  BusinessArea,
  PartnerBusinessArea,
  TaxCode,
  TaxType,
  ValueDate,
  AssignmentReference,
  DocumentItemText,
  PartnerCompany,
  PlanningLevel,
  CostCenter,
  OrderID,
  MasterFixedAsset,
  FixedAsset,
  AssetTransactionType,
  PersonnelNumber,
  IsSalesRelated,
  SpecialGLAccountAssignment,
  DueCalculationBaseDate,
  SupplyingCountry,
  Product,
  Plant,
  PurchasingDocument,
  PurchasingDocumentItem,
  AccountAssignmentNumber,
  MaterialPriceControl,
  MaterialPriceUnitQty,
  ValuationArea,
  InventoryValuationType,
  VATRegistration,
  PaymentDifferenceReason,
  ProfitCenter,
  JointVenture,
  JointVentureCostRecoveryCode,
  JointVentureEquityGroup,
  TreasuryContractType,
  AssetContract,
  CashFlowType,
  TaxJurisdiction,
  REInternalFinNumber,
  SettlementReferenceDate,
  CommitmentItemShortID,
  CostObject,
  ProjectNetwork,
  ProfitabilitySegment,
  JointVentureEquityType,
  CostOriginGroup,
  PaymentMethodSupplement,
  FundsCenter,
  Fund,
  _CompanyCode.FinancialManagementArea AS FinancialManagementArea,
  Reference1IDByBusinessPartner,
  Reference2IDByBusinessPartner,
  IsNegativePosting,
  PaymentCardPaymentSettlement,
  Reference3IDByBusinessPartner,
  Region,
  BusinessPlace,
  CostCtrActivityType,
  WBSElementInternalID,
  _WBSElementBasicData.WBSElementExternalID AS WBSElementExternalID,
  _WBSElementBasicData.WBSDescription AS WBSDescription,
  GrantID,
  Segment,
  PartnerSegment,
  NetDueDate,
  PartnerFund,
  PartnerGrant,
  BudgetPeriod,
  PartnerBudgetPeriod,
  HouseBank,
  HouseBankAccount,
  AdditionalCurrency1,
  AdditionalCurrency2,
  abs( AmountInAdditionalCurrency1 ) AS AmountInAdditionalCurrency1,
  CreditAmountInAddlCrcy1,
  DebitAmountInAddlCrcy1,
  AmountInAdditionalCurrency2,
  CreditAmountInAddlCrcy2,
  DebitAmountInAddlCrcy2,
  abs( TaxBaseAmountInCoCodeCrcy ) AS TaxBaseAmountInCoCodeCrcy,
  abs( TaxBaseAmountInTransCrcy ) AS TaxBaseAmountInTransCrcy,
  InvoiceAmtInCoCodeCrcy,
  PlannedAmtInTransactionCrcy,
  InvoiceAmountInFrgnCurrency,
  BaseUnit,
  Quantity,
  AssetValueDate,
  CompanyCodeCurrencyDetnMethod,
  FunctionalArea,
  FundedProgram,
  StateCentralBankPaymentReason,
  OrderInternalBillOfOperations,
  IsEUTriangularDeal,
  IsNotCashDiscountLiable,
  DatabaseTable
FROM P_MngJrnlEntrPrkdDocumentItem AS _ParkedItem
LEFT OUTER JOIN I_GlAccountTextInCompanycode AS _GLAccountText ON _ParkedItem.SourceCompanyCode = _GLAccountText.CompanyCode AND _ParkedItem.GLAccount = _GLAccountText.GLAccount AND _GLAccountText.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_CompanyCode AS _CompanyCode ON CompanyCode = _CompanyCode.CompanyCode  -- association [1..1]
LEFT OUTER JOIN I_CompanyCode AS _SourceCompanyCode ON SourceCompanyCode = _SourceCompanyCode.CompanyCode  -- association [1..1]
LEFT OUTER JOIN I_ControllingArea AS _ControllingArea ON ControllingArea = _ControllingArea.ControllingArea  -- association [0..1]
LEFT OUTER JOIN I_FinancialTransactionTypeT AS _FinancialTransactionTypeT ON FinancialTransactionType = _FinancialTransactionTypeT.FinancialTransactionType AND _FinancialTransactionTypeT.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_CostCenterText AS _CostCenterText ON ControllingArea = _CostCenterText.ControllingArea AND CostCenter = _CostCenterText.CostCenter AND _CostCenterText.ValidityStartDate <= $session.system_date AND _CostCenterText.ValidityEndDate >= $session.system_date AND _CostCenterText.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_ProfitCenterText AS _ProfitCenterText ON ControllingArea = _ProfitCenterText.ControllingArea AND ProfitCenter = _ProfitCenterText.ProfitCenter AND _ProfitCenterText.ValidityStartDate <= $session.system_date AND _ProfitCenterText.ValidityEndDate >= $session.system_date AND _ProfitCenterText.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_FunctionalAreaText AS _FunctionalAreaText ON FunctionalArea = _FunctionalAreaText.FunctionalArea AND _FunctionalAreaText.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_BusinessAreaText AS _BusinessAreaText ON BusinessArea = _BusinessAreaText.BusinessArea AND _BusinessAreaText.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_BusinessAreaText AS _PartnerBusinessAreaText ON PartnerBusinessArea = _PartnerBusinessAreaText.BusinessArea AND _PartnerBusinessAreaText.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_SegmentText AS _SegmentText ON Segment = _SegmentText.Segment AND _SegmentText.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_SegmentText AS _PartnerSegmentText ON PartnerSegment = _PartnerSegmentText.Segment AND _PartnerSegmentText.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_Partnercompany AS _PartnerCompany ON PartnerCompany = _PartnerCompany.PartnerCompany  -- association [0..1]
LEFT OUTER JOIN I_PostingKeyText AS _PostingKeyText ON PostingKey = _PostingKeyText.PostingKey AND _PostingKeyText.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_Plant AS _Plant ON Plant = _Plant.Plant  -- association [0..1]
LEFT OUTER JOIN I_Customer AS _Customer ON Customer = _Customer.Customer  -- association [0..1]
LEFT OUTER JOIN I_Supplier AS _Supplier ON Supplier = _Supplier.Supplier  -- association [0..1]
LEFT OUTER JOIN I_SpecialGLCodeText AS _SpecialGLCodeText ON FinancialAccountType = _SpecialGLCodeText.FinancialAccountType AND SpecialGLCode = _SpecialGLCodeText.SpecialGLCode AND _SpecialGLCodeText.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_MasterFixedAsset AS _MasterFixedAsset ON CompanyCode = _MasterFixedAsset.CompanyCode AND MasterFixedAsset = _MasterFixedAsset.MasterFixedAsset  -- association [0..1]
LEFT OUTER JOIN I_FixedAsset AS _FixedAsset ON CompanyCode = _FixedAsset.CompanyCode AND MasterFixedAsset = _FixedAsset.MasterFixedAsset AND FixedAsset = _FixedAsset.FixedAsset  -- association [0..1]
LEFT OUTER JOIN I_AssetTransactionTypeText AS _AssetTransactionTypeText ON AssetTransactionType = _AssetTransactionTypeText.AssetTransactionType AND _AssetTransactionTypeText.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_CostCenterActivityTypeText AS _CostCtrActivityTypeT ON ControllingArea = _CostCtrActivityTypeT.ControllingArea AND CostCtrActivityType = _CostCtrActivityTypeT.CostCtrActivityType AND _CostCtrActivityTypeT.ValidityStartDate <= $session.system_date AND _CostCtrActivityTypeT.ValidityEndDate >= $session.system_date AND _CostCtrActivityTypeT.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_ProductText AS _ProductText ON Product = _ProductText.Product AND _ProductText.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_FundText AS _FundText ON FinancialManagementArea = _FundText.FinancialManagementArea AND Fund = _FundText.Fund AND _FundText.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_FundText AS _PartnerFundText ON FinancialManagementArea = _PartnerFundText.FinancialManagementArea AND PartnerFund = _PartnerFundText.Fund AND _PartnerFundText.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_GrantText AS _GrantText ON GrantID = _GrantText.GrantID AND _GrantText.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_BudgetPeriodText AS _BudgetPeriodText ON BudgetPeriod = _BudgetPeriodText.BudgetPeriod AND _BudgetPeriodText.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_GrantText AS _PartnerGrantText ON PartnerGrant = _PartnerGrantText.GrantID AND _PartnerGrantText.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_BudgetPeriodText AS _PartnerBudgetPeriodText ON PartnerBudgetPeriod = _PartnerBudgetPeriodText.BudgetPeriod AND _PartnerBudgetPeriodText.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_PaymentTermsText AS _PaymentTermsText ON PaymentTerms = _PaymentTermsText.PaymentTerms AND _PaymentTermsText.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_PaymentBlockingReasonText AS _PaymentBlockingReasonText ON PaymentBlockingReason = _PaymentBlockingReasonText.PaymentBlockingReason AND _PaymentBlockingReasonText.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_DunningAreaText AS _DunningAreaText ON CompanyCode = _DunningAreaText.CompanyCode AND DunningArea = _DunningAreaText.DunningArea AND _DunningAreaText.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_ParkedOplAcctgDocument AS _ParkedOplAcctgDocument ON SourceCompanyCode = _ParkedOplAcctgDocument.SourceCompanyCode AND CompanyCode = _ParkedOplAcctgDocument.CompanyCode AND SourceAccountingDocument = _ParkedOplAcctgDocument.SourceAccountingDocument AND SourceFiscalYear = _ParkedOplAcctgDocument.SourceFiscalYear  -- association [0..1]
LEFT OUTER JOIN I_CustomerCompany AS _CustomerCompany ON Customer = _CustomerCompany.Customer AND CompanyCode = _CustomerCompany.CompanyCode  -- association [0..1]
LEFT OUTER JOIN I_SupplierCompany AS _SupplierCompany ON Supplier = _SupplierCompany.Supplier AND CompanyCode = _SupplierCompany.CompanyCode  -- association [0..1]
LEFT OUTER JOIN I_Order AS _Order ON OrderID = _Order.OrderID  -- association [0..1]
LEFT OUTER JOIN I_AccountingDocumentType AS _AccountingDocumentType ON AccountingDocumentType = _AccountingDocumentType.AccountingDocumentType  -- association [0..1]
LEFT OUTER JOIN I_CostCenter AS _CurrentCostCenter ON ControllingArea = _CurrentCostCenter.ControllingArea AND CostCenter = _CurrentCostCenter.CostCenter AND _CurrentCostCenter.ValidityStartDate <= $session.system_date AND _CurrentCostCenter.ValidityEndDate >= $session.system_date  -- association [0..1]
LEFT OUTER JOIN I_ProfitCenter AS _CurrentProfitCenter ON ControllingArea = _CurrentProfitCenter.ControllingArea AND ProfitCenter = _CurrentProfitCenter.ProfitCenter AND _CurrentProfitCenter.ValidityStartDate <= $session.system_date AND _CurrentProfitCenter.ValidityEndDate >= $session.system_date  -- association [0..1]
LEFT OUTER JOIN I_GLAccountInCompanyCode AS _GLAccountInCompanyCode ON SourceCompanyCode = _GLAccountInCompanyCode.CompanyCode AND GLAccount = _GLAccountInCompanyCode.GLAccount  -- association [0..1]
LEFT OUTER JOIN I_Housebank AS _HouseBank ON HouseBank = _HouseBank.HouseBank AND CompanyCode = _HouseBank.CompanyCode  -- association [0..1]
LEFT OUTER JOIN I_HouseBankAccountText AS _HouseBankAccountText ON HouseBank = _HouseBankAccountText.HouseBank AND CompanyCode = _HouseBankAccountText.CompanyCode AND HouseBankAccount = _HouseBankAccountText.HouseBankAccount AND _HouseBankAccountText.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_CountryText AS _TaxCountryText ON TaxCountry = _TaxCountryText.Country AND _TaxCountryText.Language = $session.system_language  -- association [0..1]
LEFT OUTER JOIN I_WBSElementBasicData AS _WBSElementBasicData ON WBSElementInternalID = _WBSElementBasicData.WBSElementInternalID  -- association [0..1]
LEFT OUTER JOIN I_WorkforcePersonMappings_1 AS _WorkForcePersonMappings ON PersonnelNumber = _WorkForcePersonMappings.WorkAssignment  -- association [0..1]
LEFT OUTER JOIN I_PaymentDifferenceReasonT AS _PaymentDifferenceReasonText ON CompanyCode = _PaymentDifferenceReasonText.CompanyCode AND PaymentDifferenceReason = _PaymentDifferenceReasonText.PaymentDifferenceReason AND _PaymentDifferenceReasonText.Language = $session.system_language  -- association [0..1]
;