| 1 | MANDT | Client | MANDT | T000 | CLNT | 000003 | 000000 | |
| 2 | RUN_ID | Number of Costing Runs for Material Ledger | CKML_RUN_ID | | NUMC | 000012 | 000000 | |
| 3 | RUN_TYPE | Costing Run in Actual Costing | CKML_RUN_TYPE | | CHAR | 000008 | 000000 | |
| 4 | LAST_DAY | Last day of period | CKML_RUN_LAST_DAY_OF_PERIOD | | DATS | 000008 | 000000 | |
| 5 | GJAHR | Fiscal Year | CKML_RUN_GJAHR | | NUMC | 000004 | 000000 | |
| 6 | POPER | Posting period | CKML_RUN_POPER | | NUMC | 000003 | 000000 | |
| 7 | XSHIFTED | Non-calendar fiscal year determined | CKML_XSHIFTED_GJAHR | | CHAR | 000001 | 000000 | |
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| 8 | LOEKZ | Deletion indicator for the ML costing run | CKML_RUN_LOEKZ | | CHAR | 000001 | 000000 | |
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| 9 | USNAM | User Name | USNAM | | CHAR | 000012 | 000000 | |
| 10 | RCTIME | Time of creation or time of last change | CKML_RUN_RC_TIME | | TIMS | 000006 | 000000 | |
| 11 | RCDATE | Creation date or date of last change | CKML_RUN_RC_DATE | | DATS | 000008 | 000000 | |
| 12 | MGTYP | Quantity Structure Type | CKML_MGTYP | CKMLMV006 | CHAR | 000005 | 000000 | |
| 13 | APPL | Material Ledger Costing Run Application | CKML_RUN_APPL | | CHAR | 000004 | 000000 | |
| Possible Values CUM | Alternative Valuation | ACRU | Actual Costing |
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| 14 | UNTPER | Value Structure Type | CK_UNTPER | | NUMC | 000003 | 000000 | |
| 15 | FIRST_DAY | First day of period | CKML_RUN_FIRST_DAY_OF_PERIOD | | DATS | 000008 | 000000 | |
| 16 | FROM_POPER | Initial Period in a Cumulation | CKML_RUN_POPER_BEGINNING | | NUMC | 000003 | 000000 | |
| 17 | FROM_GJAHR | Initial Fiscal Year of a Cumulation | CKML_RUN_GJAHR_BEGINNING | | NUMC | 000004 | 000000 | |
| 18 | MGTYPZ | Additional Quantity Structure Type | CKML_MGTYPZ | | CHAR | 000005 | 000000 | |
| 19 | KTEXT | Long Name of a Costing Run | CKML_RUN_TEXT | | CHAR | 000080 | 000000 | |
| 20 | VERSN0 | Version for Price for Cumulation in Legal Valuation | CKML_VERSN_LEGAL | | CHAR | 000003 | 000000 | |
| 21 | VERSN1 | Version for Activity Price for Cumulation in Group Valuation | CKML_VERSN_GROUP | | CHAR | 000003 | 000000 | |
| 22 | VERSN2 | Version for Price for Cumulation in Profit Center Valuation | CKML_VERSN_PC | | CHAR | 000003 | 000000 | |
| 23 | PREV_RUN_ID | Run Previous to the Current Run | CKML_PREV_RUN | | NUMC | 000012 | 000000 | |
| 24 | PRKZG | Price Name for Ending Inventory/Balance Sheet Valuation | CK_PRICE_KZG | TCKMLPR_EB | CHAR | 000003 | 000000 | |
| 25 | BWSTRAT | Price for Activity Valuation | CK_BWSTRAT | | CHAR | 000001 | 000000 | |
| Possible Values 6 | Most up-to-date plan price | 2 | Plan price as average of all fiscal year periods | 9 | Frozen price (material ledger) | 8 | External actual price | 7 | Actual price for the period | 5 | Most up-to-date actual price in the past | 3 | Plan price as average of remaining periods of fiscal year | 1 | Plan price for the period | 4 | Actual price of prior period |
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| 26 | ERDIFF | Cumulation of Exchange Rate Differences | CKML_ER_DIFF | | CHAR | 000001 | 000000 | |
| Possible Values 1 | Show Non-Inventory Relevant Exchange Rate Differences | | Cumulate Exchange Rate Differences Normally | 2 | Hide All Exchange Rate Differences |
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| 27 | XPOSTING | Indicator: Valuation Relevant Run | CK_AVR_POSTING | | CHAR | 000001 | 000000 | |
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| 28 | XCREDITCC | Indicator: Credit Cost Center using Closing Entry | CK_AVR_CREDITCC | | CHAR | 000001 | 000000 | |
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| 29 | CURTP | Currency type and valuation view | CURTP | | CHAR | 000002 | 000000 | |
| Possible Values 60 | Global company currency | 71 | Controlling object currency, group valuation | 72 | Controlling object currency, profit center valuation | 82 | Ledger currency, profit center valuation | 50 | Index-based currency | B0 | Operating concern currency | 11 | Company code currency, group valuation | 80 | Ledger currency | 31 | Group currency, group valuation | C0 | Consolidation unit currency | A0 | Financial management area currency | 81 | Ledger currency, group valuation | 00 | Document currency | 10 | Company code currency | 30 | Group currency | C1 | Consolidation unit currency, group valuation | B2 | Operating concern currency, profit center valuation | 70 | Controlling object currency | 90 | Profit center invoice currency | 32 | Group currency, profit center valuation | 20 | Controlling area currency | 40 | Hard currency | C2 | Consolidation unit currency, profit center valuation | 12 | Company code currency, profit center valuation | 92 | Profit center accounting currency, profit center valuation |
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| 30 | AGGREGATION | Aggregation was completed | CK_AGGREGATION | | CHAR | 000001 | 000000 | |
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| 31 | KOMOK | Account Modification | KOMOK | | CHAR | 000003 | 000000 | |
| 32 | REVAL_CONS | Run Relevant for Revaluation of Consumption | CKMLAVR_REVAL_CONS | | CHAR | 000001 | 000000 | |
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| 33 | XPCP | Relevant for Costing | CKMLAVR_PCP | | CHAR | 000001 | 000000 | |
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| 34 | ACC_PRINCIPLE | Accounting Principle | ACCOUNTING_PRINCIPLE | TACC_PRINCIPLE | CHAR | 000004 | 000000 | |
| 35 | PST_NO_DELTA | AVR Posting Logic | CKMLAVR_NO_DELTA_POSTING | | CHAR | 000001 | 000000 | |
| Possible Values D | Delta Posting Logic (Conventional AVR Posting Logic) | P | Posting Logic Analogous to Periodic Closing Entry |
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| 36 | PRELIMPRICE | Origin of Provisional Price for the Cumulation of the AVRs | CKMLAVR_PRELIMPRICE | | CHAR | 000003 | 000000 | |
| Possible Values E | Price for the first cumulation period | L | Price for the last cumulation period |
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| 37 | WITH_SUCC_RUN | Posting Connecting Run Exists | CKMLAVR_POSTING_SUCCESSOR_RUN | | CHAR | 000001 | 000000 | |
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| 38 | WRITE_RUNSCALE | Update of Price Differences in CKMLRUNSCALE | CKMLAVR_WRITE_RUNSCALE | | CHAR | 000001 | 000000 | |
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| 39 | XCOGM_RUN | Indicator: Run for Parallel Cost of Goods Manufactured | CKMLAVR_COGM_RUN | | CHAR | 000001 | 000000 | |
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| 40 | VALUTYP | Valuation View | CKML_VALUTYP | | CHAR | 000001 | 000000 | |
| Possible Values 2 | Profit Center Valuation | 0 | Legal Valuation | 1 | Group Valuation | | All Valuation Views |
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| 41 | VALUSUBTYP | Subtype of Valuation View (for Transfer Prices) | FINS_VALUSUBTYP | | CHAR | 000002 | 000000 | |
| 42 | RUN_REFERENCE | Run Reference for Alternative Valuation Run | CKML_RUN_REFERENCE | | CHAR | 000008 | 000000 | |
| 43 | REF_TYPE | Run Reference Type for Alternative Valuation Run | CKML_RUN_REFERENCE_TYPE | | CHAR | 000001 | 000000 | |
| Possible Values Y | Year-To-Date Run | V | VCR Run | C | Run for Parallel COGM | S | Single Period Run | R | Rolling Run |
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| 44 | REF_RUN_ID | Number of Costing Runs for Material Ledger | CKML_RUN_ID | | NUMC | 000012 | 000000 | |
| 45 | RLDNR | Relevant Ledger | ML4H_LEDGER | | CHAR | 000002 | 000000 | |
| 46 | LDGRP | Ledger Group | FAGL_LDGRP | | CHAR | 000004 | 000000 | |
| 47 | XREVAL | Revaluate Material | ML4H_XREVAL | | CHAR | 000001 | 000000 | |
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| 48 | XCOACC | Set CO Account Assignment | ML4H_XCOACC | | CHAR | 000001 | 000000 | |
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| 49 | XSIMBADI | Costing run includes program FCML4H_MODIFY_VALUES | CKML_XSIMBADI | | CHAR | 000001 | 000000 | |
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| 50 | CATEGORY | Plan Category | FCOM_CATEGORY | | CHAR | 000010 | 000000 | |
| 51 | VERSION | Reference to the Plants of a Costing Run | ML4H_VERSION | | NUMC | 000003 | 000000 | |
| 52 | TMPL_ID | Number of Costing Runs for Material Ledger | CKML_RUN_ID | | NUMC | 000012 | 000000 | |
| 53 | DATE_FROM | Valid From | ML4H_DATE_FROM | | DATS | 000008 | 000000 | |