SAP VDARC_DOC_REC Carryforward Records for Reorganization of Loan Doc. Items Table

Overview

VDARC_DOC_REC is a standard SAP S/4HANA table that stores Carryforward Records for Reorganization of Loan Doc. Items data. There are total 74 fields in the VDARC_DOC_REC table. The following is a list of the fields that make up this table. Key fields are marked in blue.

The table VDARC_DOC_REC belongs to Loans Management (FS-CML) module and is located in the package Loan Reorganization and Archiving (FVVD_ARCHIVE).

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

Techincal Settings of VDARC_DOC_REC

Below are technical details of the table VDARC_DOC_REC

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

List of VDARC_DOC_REC Fields

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

FieldDescriptionData ElementCheck TableData TypeLength
MANDTClientMANDT*CLNT3
BUKRSCompany CodeBUKRS*CHAR4
RANLContract NumberRANLCHAR13
SBEWARTFlow TypeSBEWART*CHAR4
SLFDNRSequence Number (Summarization of Loan Document Data)VVSLFDNRNUMC5
SREORGSTATStatus of a Loan Reorganization FlowTB_SREORGSTATCHAR1
SPLANISTPlan/actual record/record to be released indicatorSPLANISTCHAR1
SREFBEWReference flow typeSREFBEW*CHAR4
SBEWZITIFlow categorySBEWZITI*CHAR4
SREFZITIRefer.flow category in accrual/deferral flow recordsVVSREFZITI*CHAR4
S_SSDREFReference flow category in borrower's note loan flow recordsVVS_SSDREF*CHAR4
SREVALEXCLPrice gains w/o proportionate gains from deferral write-backVVSREVALEXCLCHAR1
SWOHERSource of flow recordSWOHERCHAR1
DGUEL_KKDate Condition Effective fromDGUELDATS8
SKOARTCondition Type (Smallest Subdivision of Condition Records)SKOART*NUMC4
SVORGANGBusiness Operation (Activity)SVORFALLCHAR4
ACENVSource in TR-LO posting areaACENV_LONUMC4
DGUEL_KPCondition Item Valid FromDGUEL_KPDATS8
NSTUFELevel number of condition item for recurring paymentsNSTUFENUMC2
SVORGKZActivity indicator for debit/credit controlVVSVORGKZNUMC2
SSOLHABDebit/credit indicatorVVSSOLHABCHAR1
SBERFIMACalculation category for cash flow calculatorSBEWFIMA*CHAR4
SSTCKKZAccrued interest methodSSTCKKZCHAR1
SZBMETHInterest Calculation MethodSZBMETHCHAR1
STGMETHDaily MethodVVSTGMETHNUMC1
STGBASISBase Days MethodVVSTGBASISCHAR1
ABASTAGENumber of base days in a calculation periodABASTAGENUMC6
PKONDPercentage rate for condition itemsPKONDDEC10
DPKONDFixing Date of Percentage Rate from ConditionVVDPKONDDATS8
SBASISCalculation Base IndicatorSBASIS*CHAR4
JSOFVERRImmediate settlementJSOFVERRCHAR1
DVALUTCalculation DateDVALUTDATS8
SINCLInclusive indicator for beginning and end of a periodVVSINCLNUMC1
SVULTMonth-End Indicator for Value DateVVSVULTCHAR1
DBERVONStart of Calculation PeriodDBERVONDATS8
SEXCLVONExclusive Indicator for the Start of a Calculation PeriodVVSEXCLVONNUMC1
SULTVONMonth-End Indicator for Start of a Calculation PeriodVVSULTVONCHAR1
DBERBISEnd of Calculation PeriodDBERBISDATS8
SINCLBISInclusive Indicator for the End of a Calculation PeriodVVSINCLBISNUMC1
SULTBISMonth-End Indicator for the End of a Calculation PeriodVVSULTBISCHAR1
ATAGENumber of DaysVVATAGENUMC6
DFAELLDue dateDFAELLDATS8
DDISPOPayment DateDDISPODATS8
DEPERIODPeriod EndVVDEPERIODDATS8
SPEINCLInclusive Indicator for End Date of a PeriodTFMSPEINCLNUMC1
SPEULTMonth-End Indicator for End of a PeriodTFMSPEULTCHAR1
DVERRECHSettlement dateVVDVERRECHDATS8
SINCLVERRInclusive Indicator for Clearing DateVVSINCLVERNUMC1
SULTVERRMonth-End Indicator for Clearing DateVVSULTVERRCHAR1
DBUDATPosting Date in the DocumentBUDATDATS8
SNWHRCurrency of nominal amountSNWHR*CUKY5
BNWHRNominal amountBNWHRCURR13
SBWHRPosition Currency (Currency of Position Amount)SBWHR*CUKY5
BBWHRAmount in position currencyBBWHRCURR13
SCWHRSettlement CurrencySCWHR*CUKY5
BCWHRSettlement AmountBCWHRCURR13
SHWHRLocal currencySHWHR*CUKY5
BHWHRAmount in local currencyBHWHRCURR13
BBASISCalculation Base AmountBBASISCURR13
PEFFZINSEffective Interest RatePEFFZINSDEC10
SEFFMETHEffective Interest Method (Financial Mathematics)SEFFMETHNUMC1
KUNNRCustomer NumberKUNNR*CHAR10
RPARTNRBusiness Partner NumberBP_PARTNR_NEW*CHAR10
HDN_KUNNRMain Borrower Customer NumberHDN_KUNNR*CHAR10
RSOLLAccount for debit postingRSOLL*CHAR10
RHABENAccount for credit postingRHABEN*CHAR10
RREFKONTAccount Assignment Reference in Financial Assets ManagementRREFKONT*CHAR8
HKONTGeneral Ledger AccountHKONT*CHAR10
GSBERBusiness AreaGSBER*CHAR4
DTRANSFlow data key: System dateVVDTRANSDATS8
TTRANSTransaction data key: system timeVVTTRANSTIMS6
NTRANSTransaction data key: Consecutive numberVVNTRANSNUMC4
RVZBLGAccounting Document NumberBELNR_DCHAR10
DGJAHRFiscal YearGJAHRNUMC4

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 VDARC_DOC_REC

Other References