SAP Global Trade in LO (LO-GT) Tables Full list

Here is a list of important 326 SAP standard tables used with SAP Global Trade in LO component (SAP LO-GT) coming under SAP LO (Logistics) Module. You will get more technical details of these SAP LO-GT tables by clicking on the respective table name link.

Number/Material

TrCont.no.

TrCont.no./Item no.

store UUID of confirmation to test asynchronous services

Item Relevancy Determination based on Portfolio Management

Text: Item Relevancy Determination based on PM

Portfolio Determination – Data Part

Responsiblities for Material Groups

Material: Position Relevance determination

Master Table for Portfolio Determination

Storage: BW Setup for MC46Gtaso

Storage: BW Setup for MC46GTBITSETUP

Storage: BW Setup for MC46GTCFM

Storage: BW Setup for MC46Gtaso

Storage: BW Setup for MC46GT0HDR

Storage: BW Setup for MC46Gt0HED

Storage: BW Setup for MC46GT0ITM

Storage: BW Setup or MC46GT0SCL

Portfolio Processing: Portfolio Types

WCB: Assignment of Chargeback Relevance to Cond. Type Group

Condition Contract: Allowed Condition Types/Tables per Group

Association Mngt: Special Treatment at Business Process Lvl

Association Management: Associated Process Step Assignment

Global Trade: Association Group

Global Trade: Association Group Description

Global Trade Association Management: Define Lock Reason

Global Trade Association Management: Lock Reason Description

Global Trade Association Management: Lock Group

Global Trade Association Management: Lock Group Description

Association Management: Lock Group – Defined Lock Reasons

Global Trade: Association Types N:M Processing

Global Trade: Association Type Description

Configurability of Item Categories in Trading Contract

Configuration in TC: Fields That Can Be Changed Manually

Global Trade: Define Additional Data for Object Categories

Batch Search Procedure: Determination in Trading contracts

Trading Contract: Copy Control

Trading Contract: Matching Group assignment for Copy

Trading Contract: Contract Settlement control

Trading Contract: Matching Group assignment to Contract type

GT: purchase organization company code assignment

Price change group

Price Change Group: Permitted Structures

Price Change Group: Possible Fields

Price change group

Price Change Group Description

Trading Contract: Replication Fields (Not Ready for Input)

Trading Contract: Replication Group

Trading Contract: Text Table, Incompleteness Group

Trading Contract: Schema for Fields to be Checked

Trading Contract: Text Table for TB2BV

Trading Contract: Schema for Fields to be Checked

Definition of Commodities

Assignment of Material Number to Commodity

Commodity Description

Assign Condition Type to Condition Purpose

Classes That Perform Subsequent Action

Assignment of Action Class to Several Document Types

Classes That Perform Subsequent Action

Application

Application: Text

Classes That Perform Checks By Association

Texts: Classes that Perform Checks by Association

TEW: STEP Business Status

TEW: STEP Business Status Description

Classes that Perform Checks

Texts: Classes that Perform Checks

Default Business Process Step

Mapping from Document Category to Data Type

Classes for Data Enhancement

Classes for Data Enhancement

Classes That Filter Out Documents Before Display

Classes That Filter Documents Out Of Display: Texts

Grouping of Business Process Steps

Grouping of Business Process Steps

Mode of the Step of a Business Process

Mode of the Step of a Business Process: Texts

Assignment of Association Check Classes

Assignment of Check Classes

Assignment to Classes that Perform Enhancement

Assignment of Classes that Perform Filtering

Business Scenario

Business Scenario: Text

Initial Step in Data Selection

Business Process Step

Assignment to Classes that Perform Action

Enhancement Class for Step

Filter Class for Step

Classification of an Operation

Classification of an Operation

Parameters for Action

Grouping of Business Process Steps

Step of the Business Process: Texts

Initial Step of Data Selection for Target Documents

Trading Contract Groups

Trading Contract Groups

Trading Execution Workbench Type

Trading Exection Workbench Type: Texts

Variant Transactions of an Action Class

Variant Transactions of an Action Class

Condition Types with Special Properties in GTM

Association Management: Logical Association Units

Association Management: Name Of Logical Association Units

Portfolio: Define Responsibility

Portfolio: Responsibility Description

Responsibility Group

Responsibility Group

Responsibilitiy Group, Responsibility Definition

Portfolio Determination: Control Table

Portfolio Determination: Control Table

Trading Contract:

Text Table for Profit Simulation Group

Profit Simulation Type

Profit Simulation Type 2 Definition

Profit Simulation Type 2 Definition Text

Define Simulated Exchange Rate Index (Profit Simulation)

Text Table For TPROFIT_POPUP (Profit Simulation)

Define Index Simulation in Profit Simulation

Text Table For TPROFIT_POPUP2T

Trading Contract:

Trading Contract:

Trading Contract: Table of Status Fields

Trading Contract: Table of Status Fields

Text Table For TSTATUS_SCENARIO

Define The Scenario To Calculate Open Order/Delivery

Trading Contract: Text Table Status Information

Trading Contract: Text Table Status Information

Trading Contract: Text Table Status Information

Trading Contract: Table of Status Fields

Assignment Table for Profit Simulation in Trading Contract

Trading Contract: Table of Status Fields

Trading Contract: Table of Status Fields

Trading Contract: Table of Status Fields

Trading Contract: Table of Status Fields

WB2C: Assignment of Trading Contract Type – Hedging Type

Text copy control: from Trading Contract to Purchase order

GT: Copying methods on business data level

GT: Copying methods on business data level

GT: Copy Control for Difference Calculation Corrections

GT: Copy Group for Creation of Diff. Calculation Correction

GT: Copy Group for Creation of Diff. Calculation Correction

GT: Copying methods on header level

GT: Copying methods on header level (Text)

GT: Copy Requirements on header level

GT: Copy Requirements on header level (Text)

WB2C: Hedging Types

Hedge for Each Currency

Business Partner for Each Company Code

WB2C: Description of Hedging Types

GT: Copying methods on item level

GT: Copying methods on item level (Text)

GT: Copy Requirements on item level

GT: Copy Requirements on item level (Text)

Trading Contract: Matching Field Definition

Trading Contract: Matching Group Definition

Trading Contract: Matching Group Definition

Trading Contract: Matching key structure name definition

Trading Contract: Matching Source table definition

Trading Contract: Matching Type Definition

Trading Contract: Matching Type assignment to Matching Group

Trading Contract: Matching Type Definition text

GT: Copying methods on header level

GT: Copying methods on header level

Trading Expense: Accounting Type

Trading Expense: Accounting Type

Trading Expenses: Assignments to Expense Classes

Trading Expenses: Classification

Grouping of Expense Class

Grouping of Expense Class

Trading Expenses: Classification

Trading Expenses: Expense Type

Assignment of TEW Step to Expense Document Type

Trading Expenses: Posting Type

Trading Expenses: Posting Type

Assignment Of Posting Type To Posting Type Group

Trading Expenses: Posting Type Group

Trading Expenses: Posting Type Group

Trading Expense:Vendor Billing Document Determination Method

Condition Contract Category

Text Condition Contract Category

Field Chain

Assignment of Check Classes for Customer Checks on Chains

Assignment of Check Classes for Standard Chain Checks

Assign check category to reuse key

Reuse: Standard Chain Checks Check Classes

Assgnmt o. Chck Classes f. Cust. Chcks on Cust. Flds in Chns

Fields in a Field Chain

Define reuse key for chain checks

Define reuse key for chain checks

Field Chain Texts

Checking Group

Checking Group Texts

Condition Contract Type

Condition Contract Type – local customizing

Condition Contract Type Texts

WCB: Copy Control for Condition Types

WCB: Copy Control Group

WCB: Assignment of Billing Type to Copy Group

WCB: Copy Control Group – Texts

WCB: Copy Control Pricing Procedure

WCB: Purchasing-Side Copy Control

Condition Contract: Control Table

Define reuse key for field checks

Define reuse key for field checks

Field Status Group

Fields for Field Status Group

Text Field Status Group

Assgnmnt of Check Classes f. Customer Checks on Table Fields

Assignmnt of Check Classes f. Standard Check on Table Fields

Reuse: Table Field Check Classes

Assignmnt of Check Classes f. Customer Check on Cndtn Fields

Pricing Settings

Default Data for Proxy Call

Classes That Determine Restrictions (with Category)

Classes That Determine Restrictions

Text Determination Procedure

Text Types in Determination Procedure

Text Determination Procedure

Global Trade Management: Control Table

GT: Text Group

GT: Text Group

Rebates: Accruals Group

Rebates: Accruals Group – Texts

Rebates: Accruals : Settlement conditon types

Profile for BOM Items

Profile description for Risk Items

Rebates: Business Volume Base – Field Combination

Rebates: Business Volume Base – Field Combination – Fields

Rebates: Business Volume Base – Field Combination – Texts

Rebates: Business Volume Base Type

Rebates: Business Volume Base Type – Text

Rebates: Assignment Fieldcombinations to BusVolBase Type

Rebates: Business Volume Tables

Rebates: Business Volume Tables – additional tables

Rebates: Additional Business Volume Tables – remove columns

Rebates: Business Volume Amount Fields

Rebates: Business Volume – Split Critera for Settlement

Rebates: Business Volume Tables – Text

Announcement of Procedure

assignment of commodity item category to TC item category

assignment of pricing categories to comm. item cat.

Global Customizing Condition Contract Settlement

commodity item category

commodity item category

Assignment of a class per condition type

Announcement of Condition Types

Condition Transformation

Condition Transformation

Customizing Header Table for Expense

Expense Document Mapping table

Group of frozen fields

frozen fields

Header: Group of frozen fields

Group of frozen fields

Portfolio Determin. for Position Relevance: Control Table

Portfolio Determin. for Position Relevance: Control Table

Action code definition for Processing of Follow-on document

Action code description for Processing of Follow-on document

Pre-Check group definition for Processing

Pre-Check order in CheckGrp for Processing of Follow-on doc.

Pre-Check group description for Processing

Pre-Check class definition for Processing

Pre-Check class description for Processing

Execution and Check class definition for Processing

Execution and Check class description for Processing

Method definition for Processing of Follow-on document

Execution order in Method for Processing of Follow-on doc.

Execution Paramter in Method for Processing of Follow-on doc

Method description for Processing of Follow-on document

Processing of Follow-on document type assignment to TC type

Type & Action definition for Processing of Follow-on doc.

Type definition for Processing of Follow-on document

Type description for Processing of Follow-on document

CCS: Settings PMR inbound for Condition Contract

Copy Control Purchase Order to Trading Contract

Item Copy Control Purchase Order to Trading Contract

pricing aspect

text table for pricing aspects

Trading Contract: Changeable Field Group

Trading Contract: Risk Group Fields (Ready for Input)

Adjustment Group description

Copy Control Sales Order to Trading Contract

Item Copy Control Sales Order to Trading Contract

Condition consolidation: Control table

Assignment distributions

Assignments

Rebates: Business Volume

Rebates: Business Volume Base for Condition Contract

CCS: Snapshot Business Volume Base Data used for settlement

Trading Contract: commodity sub items

Trading Contract: pricing aspects

Rebates: Settlement Calendar

Shadow Items

Pricing aspects of shadow items

Logistical string,circle and washout

Header: Logistical string,circle and washout

Testdata information

GT: Generation Status for Field Mapping

Trading Contract: Mapping of Fields to Follow-On Documents

Hedging Index

Data Transfer Global Trade

Global Trade: Association Table

CPM Calc Types per Status Type (for Item)

CPM Calculation Type for Quantity

CPM Calculation Type for Quantity (Description)

CPM Status Calculation Class

CPM Status Calculation Class Description

CPM Calc Types per Status Type (for Header)

CPM Status Type Description

CPM Status (of an item in the Status List)

CPM Status Description

CPM Calculation Type for Status

CPM Calculation Type for Status (Description)

CPM Definition of View Types

CPM Status Types per View Type

CPM View Type Description

CPM Calculation Type for Value

CPM Calculation Type for Value (Description)

Global Trade: Aggregation Table

Global Trade: Generic Document Information

Association Item at Step Level

Mapping from GUID to Billing Document Number

Condition Contract: Document Flow Data

Condition Contract: Header

Condition Contract: Eligible Partner

Condition Contract: Partner Assignment