Table | Description | Module |
---|
TA1M | Line Item Schema | FI-AA |
T086 | Sort version Reporting | FI-AA |
ANLZ | Time-Dependent Asset Allocations | FI-AA |
ANLX | Asset Master Record Segment | FI-AA |
ANLW | Insurable values (year dependent) | FI-AA |
ANLV | Insurance data | FI-AA |
ANLU | Asset Master Record: User Fields | FI-AA |
ANLT | Asset Texts | FI-AA |
ANLQ | Period values from dep. posting run per posting level | FI-AA |
ANLP | Asset Periodic Values | FI-AA |
TABA | Depreciation posting documents | FI-AA |
T088 | Selection Table for Italian Asset Register | FI-AA |
T094 | Index Figures for Replacement Values | FI-AA |
T096 | Chart of depreciation | FI-AA |
T089 | One-Time Revaluation on Key Date | FI-AA |
T082 | Field group authorization assets | FI-AA |
T090 | Depreciation calculation keys | FI-AA |
T093 | Real and derived depreciation areas | FI-AA |
T092 | Property classification key | FI-AA |
T084 | Incorrect assets | FI-AA |
TABW | Asset transaction types | FI-AA |
T091 | Cut-off value key | FI-AA |
T097 | Property indicator | FI-AA |
T087 | Evaluation groups | FI-AA |
ANLC | Asset Value Fields | FI-AA |
T098 | Basis manual property evaluation | FI-AA |
ANGT | Asset catalog text table | FI-AA |
ANGB | Asset catalog deprec. area | FI-AA |
ANGA | Asset catalog general data | FI-AA |
ANEV | Asset downpymt settlement | FI-AA |
ANEP | Asset Line Items | FI-AA |
ANEK | Document Header Asset Posting | FI-AA |
ANEA | Asset Line Items for Proportional Values | FI-AA |
ANAT | Asset type text | FI-AA |
ANAR | Asset Types | FI-AA |
ANKA | Asset classes: general data | FI-AA |
T099 | Insurance types | FI-AA |
ANLH | Main asset number | FI-AA |
ANLA | Asset Master Record Segment | FI-AA |
ANKV | Asset classes: insurance types | FI-AA |
ANKT | Asset classes: Description | FI-AA |
ANKP | Asset classes: Fld Cont Dpndnt on Chart of Depreciation | FI-AA |
T095 | Balance sheet accounts for depreciation areas | FI-AA |
T085 | Investment support measures | FI-AA |
ANKL | Generation table for generating asset classes from accounts | FI-AA |
ANKB | Asset class: depreciation area | FI-AA |
ANLB | Depreciation terms | FI-AA |
T090S | Names For Internal Calculation Keys | FI-AA |
T090R | Period control rules for transactions | FI-AA |
T090P | Dep. calc. key percentage records | FI-AA |
T090A | Period control dep. calculation | FI-AA |
T090I | Depreciation simulation (Reporting) | FI-AA |
T090L | Unit-of-production method of depreciation | FI-AA |
T090M | Table for maximum depreciation amounts | FI-AA |
T098T | Description of the reasons for manual property values | FI-AA |
T089T | Text table for T089 (appreciations) | FI-AA |
T084A | Restart information for legacy asset data transfer | FI-AA |
T085P | Investment support: Default and check table | FI-AA |
T085S | Description of individual investment support measures | FI-AA |
T085Z | Capital investment grants with time-dependent percentages | FI-AA |
T086A | Call up of AM reports per transaction function | FI-AA |
T086T | Names for Reporting Sort Versions | FI-AA |
T087G | Evaluation group 8 places | FI-AA |
T087I | Reason for investment | FI-AA |
T087J | Text | FI-AA |
T095T | Name for account groups | FI-AA |
T087K | Reason for investment protecting the environment | FI-AA |
T087L | Text table for reasons for environmental investments | FI-AA |
T087S | Test table for evaluation group 8 places | FI-AA |
T087T | Description of Evaluation Groups | FI-AA |
T087U | Asset group number / asset group | FI-AA |
T087V | Text table asset group number / asset group | FI-AA |
T090C | External depreciation keys | FI-AA |
T090T | Names For External Depreciation Keys | FI-AA |
T093N | Number assignment alloc. AA | FI-AA |
T093R | Control Table for Archiving in Asset Accounting | FI-AA |
T093S | Value Field Names for Depreciation Areas | FI-AA |
T093T | Names for real and derived depreciation areas | FI-AA |
T093U | Options for asset legacy data transfer | FI-AA |
T093V | Validation for Asset Management / Company Code | FI-AA |
T093Y | Shortened fiscal year | FI-AA |
T096T | Chart of depreciation texts | FI-AA |
T094A | Index series for replacement values | FI-AA |
T094B | Allowed base years per index series | FI-AA |
T094C | Index Class | FI-AA |
T094P | Index Figures for Replacement Values | FI-AA |
T094S | Names for Index Classes | FI-AA |
T094T | Index series names | FI-AA |
T095A | Account allocation | FI-AA |
T095B | G/L accounts value adjustment | FI-AA |
T093H | Assignment of FI-AA Line Item Schema | FI-AA |
T095P | Reconcil.accts. derived dep. areas | FI-AA |
T093G | Cross-System Depreciation Areas | FI-AA |
T090U | Texts on depreciation simulation versions | FI-AA |
T090V | Name for period control in transactions | FI-AA |
T090W | Short Texts for Depreciation Trace | FI-AA |
T090X | Simulation Versions | FI-AA |
T090Y | Weighting of depreciation periods | FI-AA |
T090Z | Period control for transactions | FI-AA |
T091C | Translation methods for Asset Accounting | FI-AA |
T091P | Cut-off val. percent. rates | FI-AA |
T091S | Text for translation methods | FI-AA |
T091T | Names for Cut-Off Value Keys | FI-AA |
T092T | Description of the Property Classification Key | FI-AA |
T093A | Real depreciation area | FI-AA |
T097T | Description of the Property Indicator | FI-AA |
T093C | Company codes in Asset Accounting | FI-AA |
T093D | Control dep. posting | FI-AA |
T093F | Check rules dep. calc. (not used!) | FI-AA |
T095C | FI-AA Standard Account Determination | FI-AA |
T083T | Description of leasing cycle | FI-AA |
ANKAZ | Asset class: extension for technical fields | FI-AA |
TABWI | Allowed asset classes per transaction type group | FI-AA |
TABWH | Name for asset transaction type groups | FI-AA |
TABWD | Default transaction types for FI-AA posting transactions | FI-AA |
TABWB | Transaction types AuC (no longer used) | FI-AA |
TABWA | Transaction types/dep. areas | FI-AA |
TABVO | Determine asset value date in Asset Accounting transactions | FI-AA |
TABVA | Variants for determining asset value date | FI-AA |
TABBT | Names of the rules for determining the asset value date | FI-AA |
TABBR | Rules for determining asset value date | FI-AA |
TABWG | Transaction type groups | FI-AA |
TABWK | Trans. types for posting prop. values and depreciation | FI-AA |
TABWM | Asgnmt. hist. sheet (sub)groups to asset history sheet item | FI-AA |
TABWO | Names for the asset history sheet versions | FI-AA |
T093B | Company code-related depreciation area specifications | FI-AA |
TCREP | CATT-Test Reporting - Check of logical databases | FI-AA |
TABWV | Default transaction types | FI-AA |
TABWU | Special Treatment of Retirements | FI-AA |
TABWT | Asset transaction types texts | FI-AA |
TABWR | Name of asset hist. sheet group | FI-AA |
TABWQ | Asset hist. sheet group | FI-AA |
TABWP | Entity table for asset history sheet versions | FI-AA |
TABWN | Item Titles in the Asset History Sheet | FI-AA |
TABAS | Logging of periodic posting runs in FI-AA | FI-AA |
TA1TV | Asset Transfer Variant | FI-AA |
T083S | Leasing types-Description | FI-AA |
T082H | Field string name: Asset master data maintenance | FI-AA |
T082F | Field groups asset data | FI-AA |
T082E | Description asset views | FI-AA |
T082B | Field groups assets definition | FI-AA |
T099A | Insurance companies | FI-AA |
T099B | Insurance premiums | FI-AA |
T080A | Structure definition work list suffix | FI-AA |
T099T | Description of Insurance Types | FI-AA |
T099U | Insurance Companies Description | FI-AA |
T082G | Field strings for screen selection asset master data. | FI-AA |
T099V | Insurance Tariff Description | FI-AA |
T082I | Create takeover rules from transfer for master data | FI-AA |
T082J | Create takeover rules from transfer for master data: areas | FI-AA |
TA1MT | Text Table for Line Item Schema | FI-AA |
T083L | Leasing types | FI-AA |
T082S | Dynpro control of the views | FI-AA |
T082A | Field string asset master record maintenance | FI-AA |
T082T | Names For Field Groups | FI-AA |
T082L | Summary of logical field groups | FI-AA |
T082M | Description for logical field groups | FI-AA |
TA1MZ | Line Item Schema | FI-AA |
ANKLAY | Asset class: Assignment of tab layouts | FI-AA |
ANLBZA | Time-Dependent Depreciation Terms | FI-AA |
ANLBZW | Asset-specific base values | FI-AA |
T093SB | Substitution for Asset Management / Company Code | FI-AA |
T090NP | Period Control Method | FI-AA |
T097JP | FI-AA: Percentage rates for property valuation Japan | FI-AA |
T090NA | Depreciation Keys | FI-AA |
T093GT | Texts for Cross-System Depreciation Areas | FI-AA |
T090NH | Maximum Amount Method | FI-AA |
T090ND | Declining-Balance Method | FI-AA |
SMFIAA | Spec. FI-AA Data in Monitor (see Schedman_specific_fiaa) | FI-AA |
T090NR | Base Method | FI-AA |
T090NS | Multilevel Method | FI-AA |
TAAPM1 | Assignment for Field Link between FI-AA and PM | FI-AA |
TA1TVT | Asset Transfer Variant | FI-AA |
TAAPM2 | Link from FI-AA to PM: Assignment of Fields | FI-AA |
TA1TVB | Determination of the Asset Transfer Method | FI-AA |
TABVAT | Names of variants for determining asset value date | FI-AA |
TAMLAY0 | Tab pages in master data: Tab layouts | FI-AA |
TAMLAY2 | Tab pages in master data: Assignment of group boxes | FI-AA |
T090NDT | Name for Declining-Balance Method | FI-AA |
TAMLAYA | Tabs in master data: Applications | FI-AA |
T090NAZ | Depreciation Keys - Method Assignment | FI-AA |
T090NAT | Names of Depreciation Keys | FI-AA |
TAMLAY1 | Tab pages in master data: Tab titles of layout | FI-AA |
TAAPM1T | Assignment for Field Link between FI-AA and PM | FI-AA |
T090MIG | FI-AA: Calculation Methods Were Migrated | FI-AA |
TAMLAYB | Tab pages in master data: Group boxes | FI-AA |
T090NHT | Name for Maximum Amount Method | FI-AA |
J_1AAA2 | Revaluation Key | FI-AA |
ANKLAYP | Asset class: Assignment of tab layouts | FI-AA |
J_1AAA5 | Transaction types excluded from revaluation | FI-AA |
T090NST | Name of Multi-Level Methods | FI-AA |
T090NSK | Multilevel Method | FI-AA |
T090NSG | Multi-Level Method - Start of Validity | FI-AA |
T090NPT | Name of Period Control Method | FI-AA |
T090NRT | Base Method | FI-AA |
J_1AAA1 | Definition of revaluation | FI-AA |
J_1AAA2M | Methods fore period control of transactions | FI-AA |
IDPT_A09 | Checks for Asset Reports - Reference Table | FI-AA |
J_1AAA2T | Inflation Adjustment AA - Revaluation Key Text | FI-AA |
TAMLAY0T | Tab pages in master data: Tab layout descriptions | FI-AA |
J_1AAA5A | Transaction Types exluded from RV-adjustment | FI-AA |
TAMLAY1T | Tabs in Master Data: Tab Index Titles | FI-AA |
T095_ACI | Technical Clearing Account for Integrated Asset Acquisition | FI-AA |
TAMLAYAT | Tab pages in master data: Descript. of master data objects | FI-AA |
TAMLAYBT | Tab pages in master data: Descriptions of group boxes | FI-AA |
TABWD_VIT | Text Table for Table TABWD_VID | FI-AA |
TABWD_FTC | Fields Used for Table Controls on Asset Postings | FI-AA |
TFAA_PC_P | Processes | FI-AA |
TFAA_PC_S | Subprocesses | FI-AA |
T095A_MAP | Customizing Table for Account Maintenance (Instead of T095) | FI-AA |
IDPT_A031 | Manual Entries for Form 32.1 | FI-AA |
J_3RAOKOF | OKOF classifier of Russia | FI-AA |
J_1GAMREP | Customizing line-size / line-count | FI-AA |
IDPT_A041 | Currency Revaluation Coefficients | FI-AA |
J_1GAMASN | Asset Super Number Objective Values | FI-AA |
J_1GAMAFA | Tax free reductions | FI-AA |
J_1GAM2GR | Rule Table for Fixed Asset Revaluation | FI-AA |
IDPT_A051 | Transaction Types for Asset Retirements | FI-AA |
IDPT_A061 | Depreciation Foregone | FI-AA |
J_1AAT089 | Revaluation area assignment | FI-AA |
IDPT_A071 | Limit for assets which use Electric/ non-electric energy | FI-AA |
IDPT_A099 | Checks for Asset Reports | FI-AA |
IDPT_A021 | Revaluation Classes/Exceptions | FI-AA |
J_1AAA2MT | Period control methods description | FI-AA |
AAACC_OBJ | Account Assignment Settings in Asset Accounting | FI-AA |
T093C_RSL | Default Values for Depreciation Key in Company Code | FI-AA |
T093B_RSL | Company Code-Related Depreciation Area Specifications" | FI-AA |
TABWD_VID | Entity Table for Table TABWD | FI-AA |
J_1GAMREG | Customizing table for Asset Register | FI-AA |
IDPT_A011 | Revaluation Areas for Asset Reports | FI-AA |
TFAA_PC_PS | Assignment Process -> Subprocess | FI-AA |
APERB_PROT | Log Table for Periodic Posting | FI-AA |
FAAASSETID | Assignment Table - Asset Key to Asset GUID | FI-AA |
TFAA_PC_PT | Process Names | FI-AA |
TFAA_PC_SM | Assignment of Subprocess to Processing Methods/Modules | FI-AA |
TFAA_PC_ST | Subprocess Names | FI-AA |
AAACC_EXCL | Exception Table for Account Assignment Settings in FI-AA | FI-AA |
T082AVIEW2 | View Authorization for Asset Depreciation Area Fields | FI-AA |
T082AVIEW1 | View Authorization for Asset Master Data Fields | FI-AA |
T082AVIEW0 | Entity Table for Asset Views | FI-AA |
J_3RAOKOFT | OKOF description classifier of Russia | FI-AA |
T082AVIEWB | View Authorization for Depreciation Areas | FI-AA |
J_1APROLOG | Log table for Inflation Adjustment Programs | FI-AA |
J_1AAWAYBL | Way Bills for asset movements | FI-AA |
J_1AAOLDTA | Inflation Adjustment AA - Historic transact. period Balances | FI-AA |
J_1AAFORMP | Assignment of document Form to movement reason AA waybills | FI-AA |
T090NH_METH | Maximum Amount Method | FI-AA |
T093_ACCOBJ | Account Assignment Objects in Asset Accounting | FI-AA |
IDCN_GA_DEP | Parameters for Asset Depreciation (Golden Audit) | FI-AA |
APERB_ITEMS | Log Table for Dep. Areas Posted Directly to FI | FI-AA |
T082AVIEW0T | Text Tables for Asset Views | FI-AA |
T093_ACCOBJT | Texts for Account Assignment Objects in Asset Accounting | FI-AA |
TFAAC_ACI_DT | Determine document type from operational document | FI-AA |
TFAA_PC_STEP | Process Steps (Entity Table) | FI-AA |
IDCN_GA_ANLN | GA China: Asset depreciation ratio and costcenter | FI-AA |
GLOFAAJPT093 | FI-AA: Japan / Additional attribute for Depreciation Areas | FI-AA |
T093_MAP_ACC | Mapping Table for Alternative Company Codes | FI-AA |
IDCN_GA_ANLKL | GA China: Specify Asset Classes | FI-AA |
IDCN_GA_ORDNR | Asset Evaluation Group (Golden Audit) | FI-AA |
AAACC_OBJ_ERR | Types of Error During Check of Acct Assignment in FI-AA | FI-AA |
IDCN_GA_BWASL | Asset Transaction Types (Golden Audit) | FI-AA |
T093_BSN_FUNC | ERP Business Function for FI-AA | FI-AA |
TFAA_PC_STEPT | Process Steps (Text Table) | FI-AA |
TFAAD_BSN_FUNC | Validation of Business Function Switches for FI-AA | FI-AA |
TFAA_PC_P_STEP | Assignment of Processes -> Process Steps | FI-AA |
GLOFAAJPTSICHK | Annex16: Chk tab for the convination of Type-Structure-Item | FI-AA |
GLOFAAJPTSIDEF | Annex16: Default Value for Structure & Item in CSMD | FI-AA |
IDFIAA_JP_TAX2 | Japanese Tax Report - Transaction Types Intra-City Transfer | FI-AA |
IDFIAA_UK_SORP | Activate SORP/MCHA Functions | FI-AA |
GLOFAAJPAX16AC | FI-AA: Japan / Asset class selection for Annex16 | FI-AA |
FAA_TENV_TCMGT | Management Table for Test Cases | FI-AA |
IDFIAA_JP_TAX1 | Japanese Tax Report - Areas and Transaction Types | FI-AA |
T082AVIEWTRANSG | Assignment of Transaction Group to Asset View | FI-AA |
BWFIAA_AEDAT_AB | FIAA-BW: Modified Valuation Area Data for Delta Upload | FI-AA |
BWFIAA_AEDAT_AS | FIAA-BW: New and Modified Master Records for Delta Upload | FI-AA |
BWFIAA_AEDAT_TR | FIAA-BW: New and Modified Transactions for Delta Upload | FI-AA |
IDFIAA_JP_COND1 | Selection Criteria for Stored Reports | FI-AA |
IDFIAA_JP_RESULT | Results of Property Tax Report (Japan) | FI-AA |
FAA_TENV_PATHMGT | Obsolete | FI-AA |
FIAAPTD_COL16_MT | Movement Types for unplanned depreciation for column 16 | FI-AA |
FIAAPTD_COL16VAL | Residual amounts to be reported in col16 for remaining years | FI-AA |