Table of Contents

RFD - Receivable Finance

Module RFD

Description


Datafields

Name Description Data Type Len Dec. View lines View type Inst. Visible Codetable
INR Internal Unique ID of Contract Text 8 1 Edit Yes Public
OWNREF Our Reference Text 16 1 Edit Yes Public
NAM Externally Displayed Name to Identify the Contract Text 80 1 Edit Yes Public
OPNTRNINR Contract Opening Transaction INR Text 8 1 Edit Yes Public
CREDAT Date of Creation Date 12 0 Date Yes Public
OPNDAT Open Date Date 12 0 Date Yes Public
CLSDAT Close Date Date 12 0 Date Yes Public
MATDAT Maturity Date Date 12 0 Date Yes Public
INTUNT Interest until Date 12 0 Date Yes Public
OWNUSR Responsible User Text 8 1 Edit Yes Public <fixed-length>
VER Version Counter Text 4 1 Edit Yes Public
INTRAT Margin (Spread) applied to Interest Rate Numeric 14 6 Edit Yes Public
INTDAY Interest Days Numeric 4 0 Edit Yes Public
FINTYP Type of Finance Text 1 1 Edit Yes Public Embedded
INTIRT Rate Definition Text 6 1 Edit Yes Public IRTTXT
RESFLG Reserved Contract Text 1 1 Edit Yes Public Embedded
FINRECFLG Recourse Flag Text 1 1 Edit Yes Public
BEGINTDAT Interest Start Date Date 12 0 Date Yes Public
ENDINTDAT Interest Due Date Date 12 0 Date Yes Public
ROLOVRFLG Roll-Over Financing Text 1 1 Edit Yes Public
CSHRAT Cash Base Numeric 14 6 Edit Yes Public
LQDRAT Liquidity Costs Numeric 14 6 Edit Yes Public
OWNRAT Our Share of Interest Numeric 14 6 Edit Yes Public
GRADAY Grace Days Numeric 2 0 Edit Yes Public
BILMAXPRC Percent per Bill Numeric 5 2 Edit Yes Public
OFFDAT Offer Valid Until Date Date 12 0 Date Yes Public
PFPINR INR of related finance program Text 8 1 Edit Yes Public
OWNAMT Financing Flat Fee Amount Numeric 18 3 Edit Yes Public
OWNCUR Document Currency Text 3 1 Edit Yes Public
OWNRATFLG Financing Flat Fee Text 1 1 Edit Yes Public
XSAEXTKEY Ext Key of XS Account Text 34 1 Edit Yes Public
BACUSADAT Bill/usance start date Date 12 0 Date Yes Public
FINAMT Financed Amount (BA) Numeric 18 3 Edit Yes Public
FINCUR Currency of Financed Amount Text 3 1 Edit Yes Public
TARFINDAT Intended Finance Date Date 12 0 Date Yes Public
ESDPRC Early Settlement Discount Percent Numeric 5 2 Edit Yes Public
ESDAMT Early Settlement Amount Numeric 18 3 Edit Yes Public
ESDAMTCUR ESD Amount Currency Text 3 1 Edit Yes Public
CHATO Own Charges Born By Text 3 1 Edit Yes Public Embedded
ETYEXTKEY Entity holding Contract Text 8 1 Edit Yes Public

Indices

Name Fields Properties
RFD_ETYEXTKEY ETYEXTKEY
RFD_INR INR Unique
RFD_NAM NAM
RFD_OWNREF OWNREF

/


Lock

INR

Datafield Description and Properties


Datafield INR Internal Unique ID

Description

Unique internal ID of a record within the table. The INR is a text field, which is created by retrieving the next valid entry from the counter RFD. The field INR is used to enable links from other tables to this table. It also links the two tables RFD and RFT as associated entries hold the same INR.

Helpinformation

Unique internal ID of a record within the table. The INR is a text field, which is created by retrieving the next valid entry from the counter of this table. The field INR is used to enable links from other tables to this table.

For contractdata the INR also links the two tables xxD and xxT as associated entries hold the same INR.


Datafield OWNREF Our Reference

Description

This field contains the reference number of the financing.

Helpinformation

This field contains the reference number of the financing.


Datafield NAM Externally Displayed Name to Identify the Contract

Description

This field holds the displayed descriptive name used in the application to describe the contract and to search for a contract. Within the default configuration this field is set by a default rule based on contract amount and main party and cannot be modified by the user.

Helpinformation

This field holds the displayed descriptive name used in the application to describe the contract and to search for a contract. Within the default configuration this field is set by a default rule based on contract amount and main party and cannot be modified by the user.


Datafield OPNTRNINR TRNINR which opened contract

Description

This field holds the INR of the transaction which opened the contract.

Helpinformation

This field holds the INR of the transaction which opened/issued the contract.


Datafield CREDAT Date Created

Description

This date field holds the date when the entry was physically added to the database. This may happen when opening the contract, when reserving the reference number or when, for other reasons, a contract is added to the database.

Helpinformation

This date field identifies the date the entry was physically added to the database.


Datafield OPNDAT Opening Date

Description

The field holds the opening/issuing date of a contract. If this field is set, the contract has been legally established and it might be used for business transactions. This date describes the point in time when this contract became legally binding. This might be a date prior to the creation date, when the contract was legally binding before it was stored in the database.

Helpinformation

The field holds the opening/issuing date of the contract. If this field is set, the contract has been legally established and it might be used for business transactions. This date describes the point in time when this contract became legally binding. This might be a date prior to the creation date, when the contract was legally binding before it was stored in the database.


Datafield CLSDAT Date Closed

Description

This fields holds the closing date of a contract. If this field is set, the contract is closed and may no longer be used for transaction processing of business transactions. The date specifies the date when the closing took place.

Helpinformation

This fields indicates the closing date of a contract. If an entry has been made, the contract is closed and may no longer be used to process business transactions except special transactions like Settling Charges or Common Messages.


Datafield MATDAT Maturity Date

Description

This field contains the maturity date of the documents.

Helpinformation

This field contains the maturity date of the documents.


Datafield INTUNT Interest until

Description

This field holds the date until interest has already been calculated.

Helpinformation

This field holds the date until interest has already been calculated.


Datafield OWNUSR Responsible User

Description

This field holds the user ID of the person who is responsible for handling this contract. This field is an optional field. Within MyModelbank it is initially filled with the user ID of the user creating/opening the contract.

Helpinformation

This field holds the user ID of the person who is responsible for handling this contract. This field is an optional field. Within MyModelbank it is initially filled with the user ID of the user creating/opening the contract.


Datafield VER Version

Description

This field holds the version counter to keep track of the version history of a RFD entry. The individual versions are controlled by entries in the SLG table.

Helpinformation

This field holds the version counter used to keep track of the history of an entry of this table. The individual versions are managed by entries in the SLG table.


Datafield INTRAT Margin (Spread) applied to Interest Rate

Description

This field holds the margin applied to an Receivable Finance.

Helpinformation

This field holds the margin applied to an Receivable Finance.


Datafield INTDAY Interest Days

Description

This field holds the number of days for which interest are to be calculated.

Helpinformation

This field holds the number of days for which interest are to be calculated.


Datafield FINTYP Type of Finance

Description

This field holds the type of the financing.

Helpinformation

This field holds the type of the financing.

Codetable
Code Text
P PO Financing
R Invoice Financing

Datafield INTIRT Rate Definition

Description

This field holds the rate definition used for the calculation of the interest of the selected finance contract.

Helpinformation

This field holds the rate definition used for the calculation of the interest of the selected finance contract.


Datafield RESFLG Reserved Contract

Description

Contract status flag. If not empty, contract is reserved. That means, only a few basic fields have to be filled in. Visible on IATP in IATPOP and INFIAD. Invisible in all other transactions.

Helpinformation

Contract status flag. If not empty, contract is reserved. That means, only a few basic fields have to be filled in. Visible on IATP in IATPOP and INFIAD. Invisible in all other transactions.

Codetable
Code Text
Normal Contract
X Reserved Contract

Datafield FINRECFLG Recourse

Description

This field specifies whether recourse can be claimed from the receivable finance party.

Helpinformation

This flag when set, enables the functionality to reclaim the financed amount from the Supplier, when the buyer does not pay for the invoices.


Datafield BEGINTDAT Interest Start Date

Description

This field holds the current begin date for interest calculation

Helpinformation

This field holds the current begin date for interest calculation


Datafield ENDINTDAT Interest Due Date

Description

This field holds the current end date for interest calculation

Helpinformation

This field holds the current end date for interest calculation


Datafield ROLOVRFLG Roll-Over Financing

Description

If, checked, the current RF is a roll over RF. That means, that the interest rate is adjusted from time to time.

Helpinformation

If, checked, the current RF is a roll over RF. That means, that the interest rate is adjusted from time to time.


Datafield CSHRAT Cash Base

Description

Costs for refinanzing in the market

Helpinformation

Costs for refinanzing in the market


Datafield LQDRAT Liquidity Costs

Description

Costs for keeping liquidity

Helpinformation

Costs for keeping liquidity


Datafield OWNRAT Our Share of Interest

Description

Our Share of Interest

Helpinformation

Our Share of Interest


Datafield GRADAY Grace Days

Description

Additional days for interest calculation

Helpinformation

Additional days for interest calculation


Datafield BILMAXPRC Maximum Finance %

Description

This field holds the maximum allowed percentage per bill.

Helpinformation

Maximum percentage of the net invoice value for which finance could be offered. This value is maintained in static data system (DBxPSB) per pairing and will be loaded here once the buyer and supplier information is filled.


Datafield OFFDAT Offer Valid Until Date

Description

Holds the date until which the offer is valid.

Helpinformation

Holds the date until which the offer is valid.


Description

This is an optional field to specify a programm of table PFP to be used to determine the fitting PSB.

Helpinformation

This is an optional field to specify a programm of table PFP to be used to determine the fitting PSB.


Datafield OWNAMT Financing Flat Fee Amount

Description

Flat fee amount for the complete financing period. Only relevant if OWNRATFLG is set

Helpinformation

Flat fee amount for the complete financing period. Only relevant if OWNRATFLG is set


Datafield OWNCUR Document Currency

Description

Currency of Flat fee amount. Only relevant if OWNRATFLG is set

Helpinformation

Currency of Flat fee amount. Only relevant if OWNRATFLG is set


Datafield OWNRATFLG Financing Flat Fee

Description

If not empty the fee for the complete period is defined by the amount OWNAMT instead of the rate OWNRAT.

Helpinformation

If not empty the fee for the complete period is defined by the amount OWNAMT instead of the rate OWNRAT.


Datafield XSAEXTKEY External Supplier Account

Description

Ext Key of the XS account for this contract

Helpinformation

External supplier account is an account that has been set up in cases when the supplier does not have direct accounting relationship with the bank and uses the external account instead.


Datafield ETYEXTKEY Entity

Description

This table is defined on entity level with separate entries for each entity. This field holds the EXTKEY of the owning entity to identify the logical owner of this entry. This field is filled automatically during insert and is used as filter when accessing the database. Without special implementation only entries of the currently active entity are visible to the user.

Helpinformation

This field holds the external key of the owning entity to identify the logical owner of this entry.

This field is filled automatically during insert and is used as filter when accessing the database. Without special implementation only entries of the currently active entity are visible to the user.


Datafield BACUSADAT Bill/usance start date

Description

This is the earliest date on supporting documents (bill of exchange or invoice) for bill under credit / usance terms.

Helpinformation

This is the earliest date on supporting documents (bill of exchange or invoice) for bill under credit / usance terms.


Datafield FINAMT Financed Amount (BA)

Description

Holds the financed amount

Helpinformation

Holds the financed amount


Datafield FINCUR Currency of Financed Amount

Description

Currency of the converted amount. This currency is usually set from SYSCUR. This field is an optional field and may be empty, if no converted amount of the specific balance is known.

Helpinformation

Currency of the converted amount. This currency is usually set from SYSCUR. This field is an optional field and may be empty, if no converted amount of the specific balance is known.


Datafield TARFINDAT Intended Finance Date

Description

Intended Finance date is used at OFFER stage to calculate the Discount due if the Finance were to be made on that day.

This is because the Offer is usually made some days before the Finance, and we do not know when the Finance actually will be opened.

Helpinformation

Intended Finance date is used at OFFER stage to calculate the Discount due if the Finance were to be made on that day.

This is because the Offer is usually made some days before the Finance, and we do not know when the Finance actually will be opened.


Datafield ESDPRC Early Settlement Discount Percent

Description

Early Settlement Discount offerred by the Supplier. If set, will reduce the Finance amount. ESD amount = Net Invoice sum * ESD % Finance Amount = Net Invoice sum - ESD Amount

Helpinformation

Early Settlement Discount Percent is the percentage of Total Document Amount. Early Settlement Discount is offerred by the Supplier. If set, will reduce the Finance amount. ESD amount = Total Document Amount * ESD % Finance Amount = (Total Document Amount - ESD Amount) * Maximum Finance %


Datafield ESDAMT Early Settlement Discount Amount

Description

Sometimes ESD % gives rounding errors. Use ESD Amount for an actual amount

Helpinformation

Early Settlement Discount is offerred by the Supplier. If set, will reduce the Finance amount by the ESD%. ESD amount = Total Document Amount * ESD % Finance Amount = (Total Document Amount - ESD Amount) * Maximum Finance %


Datafield ESDAMTCUR ESD Amount Currency

Description

Currency for the ESD Amount, will be same as CBS\MAX\CUR

Helpinformation

Currency for the ESD Amount, will be same as CBS\MAX\CUR


Datafield CHATO Charges Condition

Helpinformation

This field defines to which role the charges must be debited to.

Codetable
Code Text
BUY Correspondent
SUP Our Client
Defaulted by FEE condition