R_NonTechnicalBankAccount
Bank Accounts Technical Account Excluded
R_NonTechnicalBankAccount is a Composite CDS View that provides data about "Bank Accounts Technical Account Excluded" in SAP S/4HANA. It reads from 2 data sources (R_BkAcctContractTypeSetting, R_BankAccount) and exposes 18 fields with key field BankAccountInternalID. It has 1 association to related views. Part of development package FCLM_BAM.
Data Sources (2)
| Source | Alias | Join Type |
|---|---|---|
| R_BkAcctContractTypeSetting | _Setting | cross |
| R_BankAccount | Account | from |
Associations (1)
| Cardinality | Target | Alias | Condition |
|---|---|---|---|
| [0..1] | I_BankHierBankGroupNameMapping | _BankAccountHierarchyNode | $projection.BankCountry = _BankAccountHierarchyNode.BankCountry and $projection.BankInternalID = _BankAccountHierarchyNode.BankInternalID |
Annotations (9)
| Name | Value | Level | Field |
|---|---|---|---|
| AccessControl.authorizationCheck | #MANDATORY | view | |
| EndUserText.label | Bank Accounts Technical Account Excluded | view | |
| Metadata.ignorePropagatedAnnotations | true | view | |
| ObjectModel.usageType.serviceQuality | #X | view | |
| ObjectModel.usageType.sizeCategory | #M | view | |
| ObjectModel.usageType.dataClass | #MIXED | view | |
| VDM.lifecycle.contract.type | #SAP_INTERNAL_API | view | |
| AccessControl.personalData.blocking | #NOT_REQUIRED | view | |
| VDM.viewType | #COMPOSITE | view |
Fields (18)
| Key | Field | Source Table | Source Field | Description |
|---|---|---|---|---|
| KEY | BankAccountInternalID | R_BankAccount | BankAccountInternalID | Technical ID |
| BankAccountRevision | R_BankAccount | BankAccountRevision | Revision Number | |
| BankCountry | R_BankAccount | BankCountry | Bank Ctry/Rgn. Key | |
| BankInternalID | R_BankAccount | BankInternalID | Bank Key | |
| BankNumber | ||||
| BankCategory | ||||
| SWIFTCode | ||||
| BankGroup | ||||
| BankAccountNumber | R_BankAccount | BankAccountNumber | Bank Account | |
| BankAccountCurrency | R_BankAccount | BankAccountCurrency | Currency | |
| BankControlKey | R_BankAccount | BankControlKey | Control Key | |
| BankAccountContractType | R_BankAccount | BankAccountContractType | ||
| CompanyCode | R_BankAccount | CompanyCode | Receiver Company Code | |
| BankAccountInternalType | R_BankAccount | BankAccountInternalType | Account Type | |
| BankAccountCharacteristic | R_BankAccount | BankAccountCharacteristic | ||
| BankAccountStatus | R_BankAccount | BankAccountStatus | Account Status | |
| ValidityStartDate | R_BankAccount | ValidityStartDate | Validity Start Date | |
| ValidityEndDate | R_BankAccount | ValidityEndDate | ValidTo |
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_NonTechnicalBankAccount.
-- 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_NonTechnicalBankAccount AS
SELECT
Account.BankAccountInternalID AS BankAccountInternalID,
Account.BankAccountRevision AS BankAccountRevision,
Account.BankCountry AS BankCountry,
Account.BankInternalID AS BankInternalID,
Account._Bank.Bank AS BankNumber,
Account._Bank.BankCategory AS BankCategory,
Account._Bank.SWIFTCode AS SWIFTCode,
cast ( _BankAccountHierarchyNode.BankGroup as fclm_bank_group preserving type) AS BankGroup,
Account.BankAccountNumber AS BankAccountNumber,
Account.BankAccountCurrency AS BankAccountCurrency,
Account.BankControlKey AS BankControlKey,
Account.BankAccountContractType AS BankAccountContractType,
Account.CompanyCode AS CompanyCode,
Account.BankAccountInternalType AS BankAccountInternalType,
Account.BankAccountCharacteristic AS BankAccountCharacteristic,
Account.BankAccountStatus AS BankAccountStatus,
Account.ValidityStartDate AS ValidityStartDate,
Account.ValidityEndDate AS ValidityEndDate
FROM R_BankAccount AS Account
CROSS JOIN R_BkAcctContractTypeSetting AS _Setting
LEFT OUTER JOIN I_BankHierBankGroupNameMapping AS _BankAccountHierarchyNode ON BankCountry = _BankAccountHierarchyNode.BankCountry AND BankInternalID = _BankAccountHierarchyNode.BankInternalID -- association [0..1]
;
Learn More
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- Understanding Data Lineage in SAP S/4HANA
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- Understanding the SAP S/4HANA Data Model
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- How to Find the Right CDS View for an SAP Table
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