Contract Accounts Receivable and Payable
Analysis Scenarios
Analysis of Contract Accounts Receivable and Payable
Analysis of Receivables and Payables (with delta extraction)
Individual Roles in Contract Accounting
FI-CA: Item Analysis
Queries in Contract Accounting
Invoicing Data Analysis
Cleared Items
Write-offs 30-60-90 (delta method)
Open Items 30-60-90
Open items 30-60-90 (delta method)
Dunned Open Items
Contr. Accts. Rec. and Payable: DSO Analysis; Period Sequence
Dunning Activities
Success Evaluation Dunning
Initial Distribution
Posted Distribution
Dunning Header and Work Items
Interaction and Work Items (Outbound)
InfoCubes in Contract Accounting
Cleared Items
DSO Analysis
Invoicing Data
FI-CA: Open Items (Historical)
Collection Agencies
Open Items
Installment Plan Header and Item Data
Installment Plan Header Data
Dunning Header
Dunning Header and Activities
Revenue Distribution
Dunning Header and Work items
CRM and ERP: Dunning and Work Items
Delta Method
Cleared Items (delta method)
Open Items (Delta Method)
MultiProvider
Cleared Items (delta method)
Invoicing Data
Business Partner Items
Open Items (Delta Method)
Dunning Header and Activities
Dunning header
Revenue Distribution
Dunning Header and Work Items
Interaction and Work Items (Outbound cases)
DSO Objects in Contract Accounts Receivable and Payable
Cleared Items (delta method)
Invoicing Data
FI-CA: Open Items
Open Items (Delta Method)
Case Management
Business Partner Items
Installment Plan Header and Item Data
Installment Plan Header Data
Contract Account - Partner-Dependent Attributes
Contract Account - Partner-Independent Attributes
Dunning Activities
Dunning Items
Dunning Header and Activities
Dunning Header and Items
Dunning History Header
Work Items: Data
Dunning Header and Work Items: Data
Dunning and Work Item Data
Bill Processing by Third Party
Revenue Distribution with Aggregated Key Figures
InfoSources in Contract Accounting
FI-CA: Cleared Items
FI-CA: Open Items
Contract Account: Partner-Based Data
Contract Account: Non-Partner-Based Data
Business Partner Items
Dunning Header
Dunning Items
Dunning Activities
Revenue Distribution
Key Figures in Contract Accounts Receivable and Payable
Number of Confirmed Items
Number of Transferred Documents
Amount in local currency with +/- sign
Amount (Time of Deactivation)
Data Record Counter
FI-CA: Cleared Items
FI-CA: Open Items
Charges Receivable
Amount Collected
Amount Not Collected
Tax portion in local currency of Contract Accounts Receivable an
Tax amount as statistical information in document currency
Payment Amount
Interest Receivable
Amount to Collect
Dunning Balance
Dunning Balance Succesful
Dunning Charge 1
Dunning Charge 2
Dunning Charge 3
Dunning Interest in Transaction Currency
Dunning interest in transaction currency - item
Number of Activities
Number of Dunning Notices
Success Percentage Rate Determined for Dunning
Partial Amount in Transaction Currency
Total Amount in Transaction Currency
Distributed Amount in Transaction Currency with +/- Sign
Number of Initial Distribution
Number of Posted Distribution
Posted Distribution Amount in Transaction Currency +/- Sign
Duration of Processed Work Item, in seconds
Duration of Different Type
Number of Work Items
Characteristics in Contract Accounts Receivable and Payable
Date of Submission to the Collections Agency
Submission Frequency
Submission Status of the Receivable
Activate Budget Billing Procedure
Reconciliation Key
Alternative Correspondence Recipient for Standard Case
Alternative Dunning Recipient
Alternative Bill Recipient
Alternative Payer
Alternative Payee
Collection Specialist
Different Contract Account for Collective Bills
Application Area
Type of statistical line item
Write-Off Reason
Execution Date of the Transaction
Clearing document or print document
Clearing amount in clearing currency
Clearing date
Clearing Reason
Clearing Restriction
Clearing currency
Outsorting Check Group for Invoicing
Bank Details ID for Outgoing Payments
Bank Details ID for Incoming Payments
Start of Invoicing Period
Start Date
Document type
Document Date in Document
Amount in local currency with +/- sign
Amount in transaction currency with +/- sign
Relationship of Business Partner to Contract Account
Posting date in document
Company code
Company Code Group
Posting-Relevant Document Item
Recurring Entry Order
Date of Last Transfer Run to General Ledger
Deactiviation Date
End Date
Invoicing Type
Invoicing Document Type
Invoicing Date
Invoicing Period
Invoicing Process
Invoicing Category
FI-CA: Clearing Reason
FI-CA: Clearing Grid as String
FI-CA: Start of Clearing Period
FI-CA: End of Clearing Period
FI-CA: Run Date of Mass Activity
FI-CA: Identification of Mass Activity
FI-CA: Interval Number
FI-CA: Record Number
FI-CA: Key Date of Analysis
FI-CA: Account Relationship of a Partner
Receivable Sold
Business area
Business partner number
Company ID
Grouping Category Dunning Notices
Expiry Date for Withholding Tax Exemption Certificate
Main Transaction: Defines Posting Procedure with Subtrans.
Main transaction of line item
Local currency
Original Process of Billing Document
Origin key of document
Collections Agency
Installment Plan Category
Account Category
Correspondence Variant
Dunning Block Reason
Dunning Procedure
Due Date for Net Payment
Billing Document Number
Number of Invoiced Source Document
Number of Invoicing Document
Number of reversal document
Number of Contract Accounts and Receivable document
Number of summarized object
Item Number for Contract Accounts Receivable and Payable
Source System
Installment Plan Number
Invoice Form
Reference Data from Contract
Reference Number of Business Partner
G/L Account for G/L Accounting
Segment for segment reporting
Division
Standard Company Code
Tax portion in local currency of Contract Accounts Receivable an
Tax amount as statistical information in document currency
Tax Type
Tax Rate
Maximum Deferment of Payment Date
Subapplication in Contract Accounts Receivable and Payable
Technical Regional Structure Group in Contract Account
Technical Regional Structure Group in Contract Account
Participation in Yearly Advance Payment
Subitem Number
Subitem for a partial clearing in the document
Subtransaction: Defines Posting Procedure with Main Trans.
Subtransaction of line item
Tolerance Group for Contract Account
Transaction Currency
Invoicing Period Category
Category of Source Invoice Document
Category of summarizing object
Tax on Sales/Purchases Code
Dunning Procedure for Move-In/Out
Value date of clearing posting
Settlement Type
Settlement Category
Contract account number
Contract Account of Collector
Contract Account (Partner-Dependent Data)
Contract account (partner-independent data)
Contract Account Category
Transaction Duration
Repetition Item
Repetition item in Contract Accounts Receivable and Payable docu
Payment Card ID for Outgoing Payments
Payment Card ID for Incoming Payments
Payment Method for Incoming Payments
Payment Method for Outgoing Payments
Interest Key
Contract Account of Final Recipient
Revenue Distribution: Correction Record
Revenue Distribution: Application Period
Validation Period
Aggregated Posting of Revenue Distribution
Distribution Period
Distribution Period Reversal
Group for Aggregated Revenue Distribution
Final Recipient Business Partner Number
Final Recipient Contract Account Number
Final Recipient Contract
Final Recipient Subapplication
Reference Document Number
Individual Document Posting for Revenue Distribution
Negative Posting for Revenue Distribution
Category of Revenue Distribution
Day on Which Accounting Document was Entered
Clearing Date
Distribution Document Number
Work item: Identification
Work item: Origin
Work Item: Key of Origin
Work item: Category
Last Changed By
Document Has Been Reversed
Work Item: Mandatory
Ranking
Work Item: Status
Work Item: Substatus
Work Item: Collection Result
Work Item: Assignment Category
Work Item: Assignment Reason
Worklist: Identification
Collections Contact person
Enforcement Work Item
Dunning History: Characteristics
Category of summarizing object
Counter for Several Dunning Notices to a Business Partner
Contract account (partner independant data) - item
Contract Account Group
Contract Group
Date Part of Item Group
Time Part of Item Group
Collection Center
Collection Group
Collection Strategy
Collection Step
Collection Specialist
Creditworthiness
Date of Success Evaluation
Division
Division - item
Dunning Notice Reversed
Dunning notice reversed - item
Dunning Level
Dunning level in a line item of dunning history - item
Dunning Procedure
Dunning procedure - item
Information: Item Not Duefor Dunning
Dunning level category - item
Dunning Level Category
Maximum Deferment of Payment Date
Number of summarized object
Submission to Collection Agency
Activity
Payer for Several Activities
Counter for Several Dunning Notices toBusiness Partner
Date of Issue
Company Code Group
Grouping Field for Dunning
Reference specifications from the contract
Reference specifications from contract - item
Reminding Activity Added or Deleted
Segment for Segmental Reporting
Status of Success Evaluation
Subapplication in Contract Accounts Receivable and Payable
Subapplication - item
Transaction Currency
Type of statistical line item
Sequence Number of DFKKTHI Entry for a Document Item.
Status of Entry
Document Has Been Reversed
Origin of Entry is Reversal
Due Date for Third Party
Document Number of Posting to Service Provider Account
Name of Sender
Recipient
Reference Number Assigned by the Sender
Reference Number Assigned by the Recipient
Internal Reference Number
Reference Number for Aggregated Interim Entries
Payment Method for Convergent Billing
Internal Key of Point of Delivery
Item is Relevant for Posting
Characteristic Value of Grouping for Aggregated Posting
Posting Individual Items
Items from Budget Billing Clearing
Item Belongs to Budget Billing Amount
Aggregated Main Transaction
Aggregated Subtransaction
Grouping Characteristic of Aggregated Contract Account
IDE: Cross Reference Number
Contract Account for Aggregated Bill Posting
Point of Delivery ID
Dummy Reversal/Request for Deregulated Statistical Budget Billin
Print Document Number of Invoicing Document
Aggregated Print Document
End of Billing Period
Process Chain in Contract Accounts Receivable and Payable
Process Chain: Installment Plan Delta Load and Update
Data flow from DS object to InfoCubes for business partner items
Delta Initialization of Business Partner Items with Data
Delta Upload of Business Partner Items
Delta upload for dunning
Delta-init for dunning
Delta Update for Revenue Distribution
Delta Initialization for Revenue Distribution
Delta Initialization for Collections Management
Delta Update for Collections Management
Delta Initialization of Bill Processing by Third Party
Delta Upload of Bill Processing by Third Party
Payments
DataSources
Payments
Text for Source Type
Text for Payment Type
Text for Payment Direction
Text for Reverse Status
Text for Payment Type
Text for Payment Direction
Text for Reverse Status
Cash Journal
DataStore Objects
Payments
InfoCubes
Payments
MultiProviders
Payments
Queries
Payments
KeyFigures
Duration of Clarification Activity
Characteristics
Source Type for Payments
Payment Identifier
Sequence Number
Payment Type for Payments
Payment Direction
Line item included in clarification worklist
Reverse Status
Time Stamp for BI Delta Extraction
Branch in Cash Journal
Cash Desk
Delta Initialization for Payments
Delta Update for Payments
Returns
DataSources
Returns
Text for Return Reason
Text for Return Direction
DataStore Objects
Returns
Returns Lot
InfoCubes
Returns
MultiProviders
Returns
Queries
Returns
KeyFigures
Partial Amount of Return
Return Amount
Charge Amount from Bank 1
Charge Amount from Bank 2
Charge Amount from Bank
Tax Amount: Bank Charge 1
Tax Amount: Bank Charge 2
Return Charge 1
Return Charge 2
Return Charges
Tax Amount: Return Charges 1
Tax Amount: Return Charges 2
Graduated Charge 1
Graduated Charge 2
Graduated Charges
Number of Returns
Characteristics
Number of the Return Document
Returns Lot
Item Number in a Return Lot
Return Reason
Reversal Document Posting Date
Document Has Been Reversed
Return Direction
Number of Reverse/Reset Document
Short Key for a House Bank
ID for Account Details
Delta Initialization for Returns
Delta Update for Returns
Promise to Pay for Contract Accounts Receivable and Payable
DataSources
Promise to Pay Header
Amount Due Per Payment Date
Reason for Promise to Pay
Reason for Withdrawal of a Promise to Pay
Category of Promise to Pay
Status of Promise to Pay
Payment Method
DataStore Objects
Promise to Pay Header
Promise to Pay Header, II
InfoCubes
Promise to Pay Header
MultiProviders
Promise to Pay Header
Queries
Promise to Pay Header
KeyFigures
Payment Amount Promised
Charges for Promise to Pay
Interest on a Promise to Pay
Amount Paid by Today
Amount Cleared by Other Means
Current Level of Fulfillment of Promise to Pay
Number of Payments Comprising the Promise to Pay
Part of Promised Amount Still Open
Promise to Pay Number
Payment Amount Due by Today
Characteristics
Promise to Pay ID
Reason for Promise to Pay
Reason for Withdrawal of Promise to Pay
Promise to Pay Category
Currency for Payment
Created By
Creation Time
Status Determination Date
Promise to Pay Status
Status Was Changed
Promise to Pay Created as Replacement
Individual Installments Agreed
First Due Date of a Promise to Pay
Final Due Date of a Promise to Pay
Promised Payment Date
Payment Method
Various Payment Methods Used Across All Payments