SAP VBSEGD Document Segment for Customer Document Parking Table

Overview

VBSEGD is a standard SAP S/4HANA table that stores Document Segment for Customer Document Parking data. There are total 139 fields in the VBSEGD table. The following is a list of the fields that make up this table. Key fields are marked in blue.

The table VBSEGD belongs to Financial Accounting (FI) module and is located in the package Financial Accounting "Basis" (FBAS).

In addition, following links provide an overview of foreign key relationships, if any, that link VBSEGD to other SAP tables and standard CDS views available based on VBSEGD table in S/4HANA 2020.

Techincal Settings of VBSEGD

Below are technical details of the table VBSEGD

  • Buffering not allowed
  • No buffering
  • Storage type is Column Store

List of VBSEGD Fields

The following table gives you an overview of the fields available in VBSEGD

FieldDescriptionData ElementCheck TableData TypeLength
MANDTClientMANDTT000CLNT3
AUSBKSource Company CodeAUSBKT001CHAR4
BELNRAccounting Document NumberBELNR_DCHAR10
GJAHRFiscal YearGJAHRVBKPFNUMC4
BZKEYNumber of Line Item Within Accounting DocumentBUZEINUMC3
BUKRSCompany CodeBUKRST001CHAR4
BUZEINumber of Line Item Within Accounting DocumentBUZEINUMC3
BSCHLPosting KeyBSCHLCHAR2
UMSKZSpecial G/L IndicatorUMSKZCHAR1
UMSKSSpecial G/L Transaction TypeUMSKSCHAR1
SHKZGDebit/Credit IndicatorSHKZGCHAR1
GSBERBusiness AreaGSBERCHAR4
PARGBTrading partner's business areaPARGBCHAR4
TAX_COUNTRYTax Reporting CountryFOT_TAX_COUNTRYCHAR3
MWSKZTax on sales/purchases codeMWSKZCHAR2
TXDATDate for Determining Tax RatesTXDATDATS8
DMBTRAmount in local currencyDMBTRCURR23
DMBE2Amount in Second Local Currency or General CurrencyDMBE2CURR23
DMBE3Amount in Third Local Currency or First Freely-Def. CurrencyDMBE3CURR23
WRBTRAmount in document currencyWRBTRCURR23
HWMETMethod with Which the Local Currency Amount Was DeterminedHWMETCHAR1
MWSTSTax Amount in Local CurrencyMWSTSCURR23
MWST2Tax Amount in Second Local CurrencyMWST2CURR23
MWST3Tax Amount in Third Local CurrencyMWST3CURR23
WMWSTTax Amount in Document CurrencyWMWSTCURR23
HWBASTax Base Amount in Local CurrencyHWBASCURR23
FWBASTax Base Amount in Document CurrencyFWBASCURR23
MWARTTax TypeMWARTCHAR1
KURSRHedged Exchange RateKURSRDEC9
GBETRHedged Amount in Foreign CurrencyGBETRCURR23
VALUTValue dateVALUTDATS8
ZUONRAssignment numberDZUONRCHAR18
SGTXTItem TextSGTXTCHAR50
ZINKZExempted from Interest CalculationDZINKZCHAR2
FDLEVPlanning LevelFDLEVCHAR2
FDGRPPlanning GroupFDGRPCHAR10
FDWBTPlanned Amount in Document or G/L Account CurrencyFDWBTCURR23
FDTAGPlanning DateFDTAGDATS8
GEBERFundBP_GEBERCHAR10
FISTLFunds CenterFISTLCHAR16
VNAMEJoint ventureJV_NAMECHAR6
EGRUPEquity groupJV_EGROUPCHAR3
BTYPEPayroll TypeJV_BILINDCHAR2
XUMSWIndicator: Sales-Related Item ?XUMSWCHAR1
XCPDDIndicator: Address and Bank Data Set IndividuallyXCPDDCHAR1
XZEMPIndicator: Alternative Payee in Document Allowed?XZEMPCHAR1
HKONTGeneral Ledger AccountHKONTCHAR10
KUNNRCustomer NumberKUNNRCHAR10
FILKDAccount Number of the BranchFILKDCHAR10
HZUONAssignment Number for Special G/L AccountsHZUONCHAR18
ZFBDTBaseline Date for Due Date CalculationDZFBDTDATS8
ZTERMTerms of payment keyDZTERMCHAR4
ZBD1TCash discount days 1DZBD1TDEC3
ZBD2TCash discount days 2DZBD2TDEC3
ZBD3TNet Payment Terms PeriodDZBD3TDEC3
ZBD1PCash discount percentage 1DZBD1PDEC5
ZBD2PCash Discount Percentage 2DZBD2PDEC5
XSKFBIndicator: Calculate Amounts Qualifying for Cash Discount?XSKFBCHAR1
SKFBTAmount Eligible for Cash Discount in Document CurrencySKFBTCURR23
SKNTOCash Discount Amount in Local CurrencySKNTOCURR23
WSKTOCash Discount Amount in Document CurrencyWSKTOCURR23
ZLSCHPayment MethodSCHZW_BSEGCHAR1
ZLSPRPayment Block KeyDZLSPRCHAR1
UZAWEPayment method supplementUZAWECHAR2
HBKIDShort Key for a House BankHBKIDCHAR5
BVTYPPartner bank typeBVTYPCHAR4
REBZGDocument No. of the Invoice to Which the Transaction BelongsREBZGCHAR10
REBZJFiscal Year of the Relevant Invoice (for Credit Memo)REBZJNUMC4
REBZZLine Item in the Relevant InvoiceREBZZNUMC3
REBZTFollow-On Document TypeREBZTCHAR1
LZBKZState Central Bank IndicatorLZBKZCHAR3
LANDLSupplying CountryLANDLCHAR3
DIEKZService Indicator (Foreign Payment)DIEKZCHAR1
VRSKZInsurance IndicatorVRSKZCHAR1
VRSDTInsurance DateVRSDTDATS8
BLNBTBase Amount for Determining the Preference AmountBLNBTCURR23
BLNKZ(Obsolete) Subsidy Ind. for Determining the Reduction RateBLNKZCHAR2
BLNPZPreference Percentage RateBLNPZDEC7
MSCHLDunning KeyMSCHLCHAR1
MANSPDunning BlockMANSPCHAR1
MABERDunning AreaMABERCHAR2
STCEGVAT Registration NumberSTCEGCHAR20
XHKOMIndicator: G/L Account Assigned Manually?XHKOMCHAR1
VERTTContract TypeRANTYPCHAR1
VERTNContract NumberRANLCHAR13
VBEWAFlow TypeSBEWARTCHAR4
XEGDRIndicator: Triangular Deal Within the EUXEGDRCHAR1
FIPOSCommitment ItemFIPOSCHAR14
SWAERCurrency KeyWAERSCUKY5
MADATDate of Last Dunning NoticeMADATDATS8
MANSTDunning LevelMAHNS_DNUMC1
SAMNRInvoice List NumberSAMNRNUMC8
ANFBNDocument Number of the Bill of Exchange Payment RequestANFBNCHAR10
ANFBJFiscal Year of the Bill of Exchange Payment Request DocumentANFBJNUMC4
ANFBUCompany Code in Which Bill of Exch.Payment Request Is PostedANFBUT001CHAR4
ANFAEBill of Exchange Payment Request Due DateANFAEDATS8
EGMLDReporting Country for Delivery of Goods Within the EUEGMLD_BSEZCHAR3
XEGMDEC Reporting Country DeletedXEGMDCHAR1
XREF1Business Partner Reference KeyXREF1CHAR12
XREF2Business Partner Reference KeyXREF2CHAR12
XZANFIndicator: Payment RequestXZANFCHAR1
XFDISIndicator: Cash Management Activated?XFDISCHAR1
RSTGRReason Code for PaymentsRSTGRT053RCHAR3
KKBERCredit control areaKKBERT014CHAR4
XREF3Reference key for line itemXREF3CHAR20
DTWS1Instruction Key 1DTAT16NUMC2
DTWS2Instruction Key 2DTAT17NUMC2
DTWS3Instruction key 3DTAT18NUMC2
DTWS4Instruction key 4DTAT19NUMC2
EMPFBPayee/PayerEMPFBCHAR10
KIDNOPayment ReferenceKIDNOCHAR30
IDXSPInflation IndexJ_1AINDXSPJ_1AINFT20CHAR5
PYCURCurrency for Automatic PaymentPYCURTCURCCUKY5
PYAMTAmount in Payment CurrencyPYAMTCURR23
BUPLABusiness PlaceBUPLACHAR4
SECCOSection CodeSECCOCHAR4
GRANT_NBRGrantGM_GRANT_NBRCHAR20
FKBERFunctional AreaFKBERTFKBCHAR16
GMVKZItem is in ExecutionFM_GMVKZCHAR1
SRTYPEType of Additional ReceivableFM_SRTYPECHAR2
ANBWAAsset Transaction TypeANBWACHAR3
XNEGPIndicator: Negative PostingXNEGPCHAR1
KBLNRDocument number for earmarked fundsKBLNR_FICHAR10
KBLPOSEarmarked Funds: Document ItemKBLPOSNUMC3
ERLKZCompletion indicator for line itemKBLERLKZCHAR1
HKTIDID for Account DetailsHKTIDCHAR5
BEWARTransaction typeRMVCTCHAR3
J_1TPBUPLBranch CodeBCODECHAR5
BUDGET_PDBudget PeriodFM_BUDGET_PERIODCHAR10
NETDTNet Due DateNETDTDATS8
SK1DTDue Date for Cash Discount 1SK1DTDATS8
SK2DTDue Date for Cash Discount 2SK2DTDATS8
KONTTAccount Assignment Category for Industry SolutionKONTT_FICHAR2
KONTLAcct assignment string for industry-specific acct assignmntsKONTL_FICHAR50
GST_PARTGST PartnerJ_1IG_PARTNERCHAR10
PLC_SUPPlace of SupplyJ_1IG_REGIONT005SCHAR3
HSN_SACHSN or SAC CodeJ_1IG_HSN_SACCHAR16
IRNInvoice Reference NumberJ_1IG_IRNCHAR64
CHWRBDocument Parking: Amount not ModifiableCHWRBCHAR1

Foreign Key Relationships

A foreign key field is a table field that is allocated to a check table and becomes part of the table's foreign key. The following table gives you an overview of the foreign keys for VBSEGD

Table NameFieldCardinalityCheck Table
VBSEGDANFBU:T001
VBSEGDAUSBK1: CNT001
VBSEGDBUKRS1: CNT001
VBSEGDFKBER1: CNTFKB
VBSEGDGJAHR1: CNVBKPF
VBSEGDIDXSP1: CNJ_1AINFT20
VBSEGDKKBER1: CNT014
VBSEGDMANDT1: CNT000
VBSEGDPLC_SUP:T005S
VBSEGDPYCUR1: CNTCURC
VBSEGDRSTGRC: CNT053R

Other References