| TZ25T |
Indicator for list selection |
Treasury |
| TZ27 |
Allocation: Valuation area for internal stock indicator |
Treasury |
| TZ28 |
Asset Type According to Regulatory Accounting Requirements |
Treasury |
| TZ28T |
Asset Type in acc. with Reg.Acctng Requirements / Text |
Treasury |
| TZ28_ARCHIV |
Asset Type According to Regulatory Accounting Requirements |
Germany |
| TZ28_ARCHIVT |
Asset Type in acc. with Reg.Acctng Requirements / Text |
Germany |
| TZ29 |
BAV asset group stmt 600 |
Treasury |
| TZ29P |
Check table for indicator SNW600 |
Treasury |
| TZ29T |
BAV asset group stmt 600 / Text |
Treasury |
| TZ30 |
Premium reserve fund list |
Treasury |
| TZ30T |
Premium reserve fund list number / Text |
Treasury |
| TZ31 |
Subsection |
Treasury |
| TZ31T |
Subsection / Text |
Treasury |
| TZ32 |
BAV asset group stmt 102 |
Treasury |
| TZ32T |
BAV asset group stmt 102 / Text |
Treasury |
| TZ34 |
Value Table Credit Type Regulatory Reporting |
Loans Management |
| TZ34T |
Text Table Credit Type Regulatory Reporting |
Loans Management |
| TZ35 |
Value table credit class regulatory reporting |
Loans Management |
| TZ35T |
Text table for credit class regulatory reporting |
Loans Management |
| TZ36 |
Check table for R5/97 appendix 3/4 |
Treasury |