SAP BKK92 Table – Account Balancing (Interest and Charges)

The BKK92 table in SAP ERP or S/4HANA stores Account Balancing (Interest and Charges) data. There are total 46 fields in BKK92 table. The Account Balancing (Interest and Charges) table is available in all major SAP S/4HANA versions, is implemented as a Column Store table within the SAP HANA database. Additionally we provide an overview of the structure and fields of BKK92 table. It is in Bank Customer Accounts: Conditions (FKBC) ABAP package and is part of the Condition (IS-B-BCA-MD-CD) module.

SAP BKK92 Table Fields

Following is the list of fields that are available in SAP BKK92 table. The primary key fields of the table are MANDT (Client), BKKRS (Bank Area), ACNUM_INT (Internal Account Number for Current Account), CLOS_TYP (Function), CLOS_YEAR (Year of the closing period), CLOS_NR (Number of Balancing Period), CLOS_NRADD (Addition to Balancing Period Number), TURNOVER_CLASS (Turnover Class).

Field Description Data Element Check Table Data Type
MANDT Client MANDT T000 CLNT (3)
BKKRS Bank Area BKK_BKKRS TBKK01 CHAR (4)
ACNUM_INT Internal Account Number for Current Account BKK_ACCNT BKK40 CHAR (10)
CLOS_TYP Function BKK_CLSTYP TBKKG2 CHAR (4)
CLOS_YEAR Year of the closing period BKK_CLYEAR NUMC (4)
CLOS_NR Number of Balancing Period BKK_CLNR NUMC (3)
CLOS_NRADD Addition to Balancing Period Number BKK_CLNRAD NUMC (3)
TURNOVER_CLASS Turnover Class BKK_TURNOVERCLASS CHAR (4)
CURR Account Currency BKK_ACUR * CUKY (5)
START_DATE Start date of period BKK_STDATE DATS (8)
END_DATE End Date of Period BKK_EDATE DATS (8)
END_DATE_I End Date of Interest Calculation BKK_IDATE DATS (8)
DATE_VALUE Value date BKK_VALDAT DATS (8)
DATE_POST Posting date BKK_PSTDAT DATS (8)
DEBITS_INT Amount Debit Interest BKK_DEBINT CURR (17)
CREDIT_INT Amount Credit Interest BKK_CREINT CURR (17)
OVERDR_INT Amount Overdraft Interest BKK_OVEINT CURR (17)
SUPPLY_INT Loan Committment Interest Amount BKK_SUPINT CURR (17)
CREDIT_INT_NEG Amount Negative Credit Interest BKK_CREINT_NEG CURR (17)
DEBIT_INT_NEG Amount Negative Debit Interest BKK_DEBINT_NEG CURR (17)
ADVANC_INT Amount of Interest Penalty BKK_ADVINT CURR (17)
BONUS_INT Bonus Amount BKK_BONINT CURR (17)
ITEM_FEE Amount Item Charge BKK_ITECHA CURR (17)
FORW_COST Amount Dispatch Expenses BKK_FRWCHA CURR (17)
ACCONT_FEE Amount Account Maintenance Charge BKK_ACCHA CURR (17)
PERIOD_FEE Amount Periodic Charge BKK_PERCHA CURR (17)
CSTMR_AMT Amount from Customer BKK_CSTAMT CURR (17)
BALANCE Balance BKK_BAL CURR (23)
WHTAX_AMT Tax BKK_TAX CURR (17)
LCUR Local Currency BKK_LCUR * CUKY (5)
WHTAX_LAMT Tax in Local Currency BKK_LTAX CURR (17)
INTRATE_AV Average Interest Rate for Credit Interest BKK_INTAV DEC (10)
XCONDEXCHANG Exchange Conditions During Account Balancing BKK_XCONDEXCHANG CHAR (1)
XACCLO Flag: Balancing on Reference Account BKK_XACCLO CHAR (1)
PROGN Name of the Program/Report on an Application Process BKK_PROGN * CHAR (40)
PROGDATE Run Date of Program BKK_PRGDAT DATS (8)
PROGNO Sequential Number of the Program Run BKK_PRGNO NUMC (3)
JOBNO Number of jobs BKK_JOBNO INT2 (5)
CLOS_DATE Balancing date BKK_CLDATE DATS (8)
CLOS_TIME Completion Time BKK_CLTIME TIMS (6)
NCUR Reporting Account Currency BKK_NACUR * CUKY (5)
NBALANCE Balance Share in Reporting Currency BKK_NBAL CURR (23)
XNOPOST Flag: Balancing not Posted BKK_XNOPST CHAR (1)
CSTMR_AMT1 Amount from Customer BKK_CSTAMT CURR (17)
CSTMR_AMT2 Amount from Customer BKK_CSTAMT CURR (17)
CSTMR_AMT3 Amount from Customer BKK_CSTAMT CURR (17)