ABAP Select data from SAP table ISTCPBALANCE into internal table
Get Example source ABAP code based on a different SAP table
Below is a number of ABAP code snippets to demonstrate how to select data from SAP ISTCPBALANCE table and store it within an internal table, including using the newer @DATA inline declaration methods. It also shows you various ways to process this data using ABAP work area, inline declaration or field symbols including executing all the relevant CONVERSION_EXIT routines specific to ISTCPBALANCE. See here for more generic Select statement tips.
Sometimes data within SAP is stored within the database table in a different format to what it is displayed to the user. These input/output conversation FM routines are what translates the data between the two formats.
There is also a full declaration of the ISTCPBALANCE table where each field has a char/string type for you to simply copy and paste. This allows you to use processing that is only available to these field types such as the CONCATENATE statement.
DATA: IT_ISTCPBALANCE TYPE STANDARD TABLE OF ISTCPBALANCE, WA_ISTCPBALANCE TYPE ISTCPBALANCE, GD_STR TYPE STRING. DATA: lo_typedescr type REF TO cl_abap_typedescr. DATA: lv_fieldname type fieldname. FIELD-SYMBOLS: <FIELD> TYPE any. FIELD-SYMBOLS: <ISTCPBALANCE> TYPE ISTCPBALANCE. *Process all fields in table header/work area as string values PERFORM process_as_string_field_values CHANGING wa_ISTCPBALANCE. SELECT * *restrict ABAP select to first 10 rows UP TO 10 ROWS FROM ISTCPBALANCE INTO TABLE IT_ISTCPBALANCE. *Select data and declare internal table using in-line method @DATA *SELECT * * FROM ISTCPBALANCE * INTO TABLE @DATA(IT_ISTCPBALANCE2). *--Further methods of using ABAP code to select data from SAP database tables *You can also declare the header/work area using the in-line DATA declaration method READ TABLE IT_ISTCPBALANCE INDEX 1 INTO DATA(WA_ISTCPBALANCE2). *Demonstrate how to loop at an internal table and update values using a FIELD-SYMBOL LOOP AT IT_ISTCPBALANCE ASSIGNING <ISTCPBALANCE>.*To update a field value using a field symbol simply change the value via the field symbol pointer
<ISTCPBALANCE>-MANDT = 1.
<ISTCPBALANCE>-BANKACCOUNTINTERNALID = 1.
<ISTCPBALANCE>-CASHBALANCETYPE = 1.
<ISTCPBALANCE>-COMPANYCODE = 1.
<ISTCPBALANCE>-CASHBALANCEAMOUNT = 1.
ENDLOOP. LOOP AT IT_ISTCPBALANCE INTO WA_ISTCPBALANCE. *Write horizonal line to screen report. WRITE:/ sy-uline. *Write selected data to screen/report before conversion. WRITE:/ sy-vline, WA_ISTCPBALANCE-CASHBALANCECURRENCY, sy-vline,
WA_ISTCPBALANCE-CASHBALANCEDATE, sy-vline,
WA_ISTCPBALANCE-CASHBALANCECHANNEL, sy-vline,
WA_ISTCPBALANCE-BANKSTATEMENTSHORTID, sy-vline,
WA_ISTCPBALANCE-BANKSTATEMENT, sy-vline,
WA_ISTCPBALANCE-CREATEDBYUSER, sy-vline.
ENDLOOP. *Add any further fields from structure WA_ISTCPBALANCE you want to display... WRITE:/ sy-uline. * Aternatively use generic code to Write field values (and NAME) to screen report DO. ASSIGN COMPONENT sy-index OF STRUCTURE wa_ISTCPBALANCE TO <field>. IF sy-subrc <> 0. EXIT. ENDIF. WRITE:/ 'Field Value', <field>, sy-vline. gd_str = <field> . lo_typedescr ?= CL_ABAP_DATADESCR=>DESCRIBE_BY_DATA( <field> ). lv_fieldname = lo_typedescr->GET_RELATIVE_NAME( ). WRITE:/ 'Field Name', lv_fieldname. ENDDO. *Redo loop but convert all fields from internal to out value LOOP AT IT_ISTCPBALANCE INTO WA_ISTCPBALANCE. *Write horizonal line to screen report. WRITE:/ sy-uline. *Convert all fields to display/output versions using conversion routines PERFORM convert_all_field_values CHANGING wa_EKKO. ENDLOOP. *&---------------------------------------------------------------------* *& Form convert_all_field_values *&---------------------------------------------------------------------* FORM convert_all_field_values CHANGING p_EKKO LIKE wa_EKKO. DATA: ld_input(1000) TYPE c, ld_output(1000) TYPE C.
*Conversion exit ALPHA, internal->external for field BANKSTATEMENTSHORTID CALL FUNCTION 'CONVERSION_EXIT_ALPHA_OUTPUT' EXPORTING input = WA_ISTCPBALANCE-BANKSTATEMENTSHORTID IMPORTING output = ld_input.
WRITE:/ 'Org Value:', WA_ISTCPBALANCE-BANKSTATEMENTSHORTID.
WRITE:/ 'New Value:', ld_input.
*Conversion exit ALPHA, internal->external for field BANKSTATEMENT CALL FUNCTION 'CONVERSION_EXIT_ALPHA_OUTPUT' EXPORTING input = WA_ISTCPBALANCE-BANKSTATEMENT IMPORTING output = ld_input.
WRITE:/ 'Org Value:', WA_ISTCPBALANCE-BANKSTATEMENT.
WRITE:/ 'New Value:', ld_input.
ENDFORM. *&---------------------------------------------------------------------* *& Form process_as_string_field_values *&---------------------------------------------------------------------* FORM process_as_string_field_values CHANGING p_EKKO LIKE wa_EKKO. TYPES: BEGIN OF T_ISTCPBALANCE_STR,
MANDT TYPE STRING,
BANKACCOUNTINTERNALID TYPE STRING,
CASHBALANCETYPE TYPE STRING,
COMPANYCODE TYPE STRING,
CASHBALANCEAMOUNT TYPE STRING,
CASHBALANCECURRENCY TYPE STRING,
CASHBALANCEDATE TYPE STRING,
CASHBALANCECHANNEL TYPE STRING,
BANKSTATEMENTSHORTID TYPE STRING,
BANKSTATEMENT TYPE STRING,
CREATEDBYUSER TYPE STRING,
CASHBALANCECREATEDATDATETIME TYPE STRING,END OF T_EKKO_STR. DATA: WA_ISTCPBALANCE_STR type T_EKKO_STR. DATA: ld_text TYPE string. LOOP AT IT_EKKO INTO WA_EKKO. MOVE-CORRESPONDING wa_EKKO TO WA_EKKO_STR. CONCATENATE: sy-vline
WA_ISTCPBALANCE_STR-MANDT sy-vline
WA_ISTCPBALANCE_STR-BANKACCOUNTINTERNALID sy-vline
WA_ISTCPBALANCE_STR-CASHBALANCETYPE sy-vline
WA_ISTCPBALANCE_STR-COMPANYCODE sy-vline
WA_ISTCPBALANCE_STR-CASHBALANCEAMOUNT sy-vline
WA_ISTCPBALANCE_STR-CASHBALANCECURRENCY sy-vline
WA_ISTCPBALANCE_STR-CASHBALANCEDATE sy-vline
WA_ISTCPBALANCE_STR-CASHBALANCECHANNEL sy-vline
WA_ISTCPBALANCE_STR-BANKSTATEMENTSHORTID sy-vline
WA_ISTCPBALANCE_STR-BANKSTATEMENT sy-vline
WA_ISTCPBALANCE_STR-CREATEDBYUSER sy-vline
WA_ISTCPBALANCE_STR-CASHBALANCECREATEDATDATETIME sy-vline INTO ld_text SEPARATED BY SPACE. *Add any further fields from structure WA_EKKO_STR you want to CONCATENATE... ENDLOOP. ENDFORM.