SAP Asset Accounting (FI-AA) Tables

ANARAsset TypesFI-AA
ANATAsset type textFI-AA
ANEAAsset Line Items for Proportional ValuesFI-AA
ANEKDocument Header Asset PostingFI-AA
ANEPAsset Line ItemsFI-AA
ANEVAsset downpymt settlementFI-AA
ANGAAsset catalog general dataFI-AA
ANGBAsset catalog deprec. areaFI-AA
ANGTAsset catalog text tableFI-AA
ANKAAsset classes: general dataFI-AA
ANKBAsset class: depreciation areaFI-AA
ANKLGeneration table for generating asset classes from accountsFI-AA
ANKPAsset classes: Fld Cont Dpndnt on Chart of DepreciationFI-AA
ANKTAsset classes: DescriptionFI-AA
ANKVAsset classes: insurance typesFI-AA
ANLAAsset Master Record SegmentFI-AA
ANLBDepreciation termsFI-AA
ANLCAsset Value FieldsFI-AA
ANLHMain asset numberFI-AA
ANLPAsset Periodic ValuesFI-AA
ANLQPeriod values from dep. posting run per posting levelFI-AA
ANLTAsset TextsFI-AA
ANLUAsset Master Record: User FieldsFI-AA
ANLVInsurance dataFI-AA
ANLWInsurable values (year dependent)FI-AA
ANLXAsset Master Record SegmentFI-AA
ANLZTime-Dependent Asset AllocationsFI-AA
T082Field group authorization assetsFI-AA
T084Incorrect assetsFI-AA
T085Investment support measuresFI-AA
T086Sort version ReportingFI-AA
T087Evaluation groupsFI-AA
T088Selection Table for Italian Asset RegisterFI-AA
T089One-Time Revaluation on Key DateFI-AA
T090Depreciation calculation keysFI-AA
T091Cut-off value keyFI-AA
T092Property classification keyFI-AA
T093Real and derived depreciation areasFI-AA
T094Index Figures for Replacement ValuesFI-AA
T095Balance sheet accounts for depreciation areasFI-AA
T096Chart of depreciationFI-AA
T097Property indicatorFI-AA
T098Basis manual property evaluationFI-AA
T099Insurance typesFI-AA
TA1MLine Item SchemaFI-AA
TABADepreciation posting documentsFI-AA
TABWAsset transaction typesFI-AA
ANKAZAsset class: extension for technical fieldsFI-AA
T080AStructure definition work list suffixFI-AA
T082AField string asset master record maintenanceFI-AA
T082BField groups assets definitionFI-AA
T082EDescription asset viewsFI-AA
T082FField groups asset dataFI-AA
T082GField strings for screen selection asset master data.FI-AA
T082HField string name: Asset master data maintenanceFI-AA
T082ICreate takeover rules from transfer for master dataFI-AA
T082JCreate takeover rules from transfer for master data: areasFI-AA
T082LSummary of logical field groupsFI-AA
T082MDescription for logical field groupsFI-AA
T082SDynpro control of the viewsFI-AA
T082TNames For Field GroupsFI-AA
T083LLeasing typesFI-AA
T083SLeasing types-DescriptionFI-AA
T083TDescription of leasing cycleFI-AA
T084ARestart information for legacy asset data transferFI-AA
T085PInvestment support: Default and check tableFI-AA
T085SDescription of individual investment support measuresFI-AA
T085ZCapital investment grants with time-dependent percentagesFI-AA
T086ACall up of AM reports per transaction functionFI-AA
T086TNames for Reporting Sort VersionsFI-AA
T087GEvaluation group 8 placesFI-AA
T087IReason for investmentFI-AA
T087KReason for investment protecting the environmentFI-AA
T087LText table for reasons for environmental investmentsFI-AA
T087STest table for evaluation group 8 placesFI-AA
T087TDescription of Evaluation GroupsFI-AA
T087UAsset group number / asset groupFI-AA
T087VText table asset group number / asset groupFI-AA
T089TText table for T089 (appreciations)FI-AA
T090APeriod control dep. calculationFI-AA
T090CExternal depreciation keysFI-AA
T090IDepreciation simulation (Reporting)FI-AA
T090LUnit-of-production method of depreciationFI-AA
T090MTable for maximum depreciation amountsFI-AA
T090PDep. calc. key percentage recordsFI-AA
T090RPeriod control rules for transactionsFI-AA
T090SNames For Internal Calculation KeysFI-AA
T090TNames For External Depreciation KeysFI-AA
T090UTexts on depreciation simulation versionsFI-AA
T090VName for period control in transactionsFI-AA
T090WShort Texts for Depreciation TraceFI-AA
T090XSimulation VersionsFI-AA
T090YWeighting of depreciation periodsFI-AA
T090ZPeriod control for transactionsFI-AA
T091CTranslation methods for Asset AccountingFI-AA
T091PCut-off val. percent. ratesFI-AA
T091SText for translation methodsFI-AA
T091TNames for Cut-Off Value KeysFI-AA
T092TDescription of the Property Classification KeyFI-AA
T093AReal depreciation areaFI-AA
T093BCompany code-related depreciation area specificationsFI-AA
T093CCompany codes in Asset AccountingFI-AA
T093DControl dep. postingFI-AA
T093FCheck rules dep. calc. (not used!)FI-AA
T093GCross-System Depreciation AreasFI-AA
T093HAssignment of FI-AA Line Item SchemaFI-AA
T093NNumber assignment alloc. AAFI-AA
T093RControl Table for Archiving in Asset AccountingFI-AA
T093SValue Field Names for Depreciation AreasFI-AA
T093TNames for real and derived depreciation areasFI-AA
T093UOptions for asset legacy data transferFI-AA
T093VValidation for Asset Management / Company CodeFI-AA
T093YShortened fiscal yearFI-AA
T094AIndex series for replacement valuesFI-AA
T094BAllowed base years per index seriesFI-AA
T094CIndex ClassFI-AA
T094PIndex Figures for Replacement ValuesFI-AA
T094SNames for Index ClassesFI-AA
T094TIndex series namesFI-AA
T095AAccount allocationFI-AA
T095BG/L accounts value adjustmentFI-AA
T095CFI-AA Standard Account DeterminationFI-AA
T095PReconcil.accts. derived dep. areasFI-AA
T095TName for account groupsFI-AA
T096TChart of depreciation textsFI-AA
T097TDescription of the Property IndicatorFI-AA
T098TDescription of the reasons for manual property valuesFI-AA
T099AInsurance companiesFI-AA
T099BInsurance premiumsFI-AA
T099TDescription of Insurance TypesFI-AA
T099UInsurance Companies DescriptionFI-AA
T099VInsurance Tariff DescriptionFI-AA
TA1MTText Table for Line Item SchemaFI-AA
TA1MZLine Item SchemaFI-AA
TA1TVAsset Transfer VariantFI-AA
TABASLogging of periodic posting runs in FI-AAFI-AA
TABBRRules for determining asset value dateFI-AA
TABBTNames of the rules for determining the asset value dateFI-AA
TABVAVariants for determining asset value dateFI-AA
TABVODetermine asset value date in Asset Accounting transactionsFI-AA
TABWATransaction types/dep. areasFI-AA
TABWBTransaction types AuC (no longer used)FI-AA
TABWDDefault transaction types for FI-AA posting transactionsFI-AA
TABWGTransaction type groupsFI-AA
TABWHName for asset transaction type groupsFI-AA
TABWIAllowed asset classes per transaction type groupFI-AA
TABWKTrans. types for posting prop. values and depreciationFI-AA
TABWMAsgnmt. hist. sheet (sub)groups to asset history sheet itemFI-AA
TABWNItem Titles in the Asset History SheetFI-AA
TABWONames for the asset history sheet versionsFI-AA
TABWPEntity table for asset history sheet versionsFI-AA
TABWQAsset hist. sheet groupFI-AA
TABWRName of asset hist. sheet groupFI-AA
TABWTAsset transaction types textsFI-AA
TABWUSpecial Treatment of RetirementsFI-AA
TABWVDefault transaction typesFI-AA
TCREPCATT-Test Reporting - Check of logical databasesFI-AA
ANKLAYAsset class: Assignment of tab layoutsFI-AA
ANLBZATime-Dependent Depreciation TermsFI-AA
ANLBZWAsset-specific base valuesFI-AA
SMFIAASpec. FI-AA Data in Monitor (see Schedman_specific_fiaa)FI-AA
T090NADepreciation KeysFI-AA
T090NDDeclining-Balance MethodFI-AA
T090NHMaximum Amount MethodFI-AA
T090NPPeriod Control MethodFI-AA
T090NRBase MethodFI-AA
T090NSMultilevel MethodFI-AA
T093GTTexts for Cross-System Depreciation AreasFI-AA
T093SBSubstitution for Asset Management / Company CodeFI-AA
T097JPFI-AA: Percentage rates for property valuation JapanFI-AA
TA1TVBDetermination of the Asset Transfer MethodFI-AA
TA1TVTAsset Transfer VariantFI-AA
TAAPM1Assignment for Field Link between FI-AA and PMFI-AA
TAAPM2Link from FI-AA to PM: Assignment of FieldsFI-AA
TABVATNames of variants for determining asset value dateFI-AA
ANKLAYPAsset class: Assignment of tab layoutsFI-AA
J_1AAA1Definition of revaluationFI-AA
J_1AAA2Revaluation KeyFI-AA
J_1AAA5Transaction types excluded from revaluationFI-AA
T090MIGFI-AA: Calculation Methods Were MigratedFI-AA
T090NATNames of Depreciation KeysFI-AA
T090NAZDepreciation Keys - Method AssignmentFI-AA
T090NDTName for Declining-Balance MethodFI-AA
T090NHTName for Maximum Amount MethodFI-AA
T090NPTName of Period Control MethodFI-AA
T090NRTBase MethodFI-AA
T090NSGMulti-Level Method - Start of ValidityFI-AA
T090NSKMultilevel MethodFI-AA
T090NSTName of Multi-Level MethodsFI-AA
TAAPM1TAssignment for Field Link between FI-AA and PMFI-AA
TAMLAY0Tab pages in master data: Tab layoutsFI-AA
TAMLAY1Tab pages in master data: Tab titles of layoutFI-AA
TAMLAY2Tab pages in master data: Assignment of group boxesFI-AA
TAMLAYATabs in master data: ApplicationsFI-AA
TAMLAYBTab pages in master data: Group boxesFI-AA
IDPT_A09Checks for Asset Reports - Reference TableFI-AA
J_1AAA2MMethods fore period control of transactionsFI-AA
J_1AAA2TInflation Adjustment AA - Revaluation Key TextFI-AA
J_1AAA5ATransaction Types exluded from RV-adjustmentFI-AA
T095_ACITechnical Clearing Account for Integrated Asset AcquisitionFI-AA
TAMLAY0TTab pages in master data: Tab layout descriptionsFI-AA
TAMLAY1TTabs in Master Data: Tab Index TitlesFI-AA
TAMLAYATTab pages in master data: Descript. of master data objectsFI-AA
TAMLAYBTTab pages in master data: Descriptions of group boxesFI-AA
AAACC_OBJAccount Assignment Settings in Asset AccountingFI-AA
IDPT_A011Revaluation Areas for Asset ReportsFI-AA
IDPT_A021Revaluation Classes/ExceptionsFI-AA
IDPT_A031Manual Entries for Form 32.1FI-AA
IDPT_A041Currency Revaluation CoefficientsFI-AA
IDPT_A051Transaction Types for Asset RetirementsFI-AA
IDPT_A061Depreciation ForegoneFI-AA
IDPT_A071Limit for assets which use Electric/ non-electric energyFI-AA
IDPT_A099Checks for Asset ReportsFI-AA
J_1AAA2MTPeriod control methods descriptionFI-AA
J_1AAT089Revaluation area assignmentFI-AA
J_1GAM2GRRule Table for Fixed Asset RevaluationFI-AA
J_1GAMAFATax free reductionsFI-AA
J_1GAMASNAsset Super Number Objective ValuesFI-AA
J_1GAMREGCustomizing table for Asset RegisterFI-AA
J_1GAMREPCustomizing line-size / line-countFI-AA
J_3RAOKOFOKOF classifier of RussiaFI-AA
T093B_RSLCompany Code-Related Depreciation Area Specifications"FI-AA
T093C_RSLDefault Values for Depreciation Key in Company CodeFI-AA
T095A_MAPCustomizing Table for Account Maintenance (Instead of T095)FI-AA
TABWD_FTCFields Used for Table Controls on Asset PostingsFI-AA
TABWD_VIDEntity Table for Table TABWDFI-AA
AAACC_EXCLException Table for Account Assignment Settings in FI-AAFI-AA
APERB_PROTLog Table for Periodic PostingFI-AA
FAAASSETIDAssignment Table - Asset Key to Asset GUIDFI-AA
J_1AAFORMPAssignment of document Form to movement reason AA waybillsFI-AA
J_1AAOLDTAInflation Adjustment AA - Historic transact. period BalancesFI-AA
J_1AAWAYBLWay Bills for asset movementsFI-AA
J_1APROLOGLog table for Inflation Adjustment ProgramsFI-AA
J_3RAOKOFTOKOF description classifier of RussiaFI-AA
T082AVIEW0Entity Table for Asset ViewsFI-AA
T082AVIEW1View Authorization for Asset Master Data FieldsFI-AA
T082AVIEW2View Authorization for Asset Depreciation Area FieldsFI-AA
T082AVIEWBView Authorization for Depreciation AreasFI-AA
TFAA_PC_PSAssignment Process -> SubprocessFI-AA
TFAA_PC_PTProcess NamesFI-AA
TFAA_PC_SMAssignment of Subprocess to Processing Methods/ModulesFI-AA
TFAA_PC_STSubprocess NamesFI-AA
APERB_ITEMSLog Table for Dep. Areas Posted Directly to FIFI-AA
IDCN_GA_DEPParameters for Asset Depreciation (Golden Audit)FI-AA
T082AVIEW0TText Tables for Asset ViewsFI-AA
T090NH_METHMaximum Amount MethodFI-AA
T093_ACCOBJAccount Assignment Objects in Asset AccountingFI-AA
GLOFAAJPT093FI-AA: Japan / Additional attribute for Depreciation AreasFI-AA
IDCN_GA_ANLNGA China: Asset depreciation ratio and costcenterFI-AA
T093_ACCOBJTTexts for Account Assignment Objects in Asset AccountingFI-AA
T093_MAP_ACCMapping Table for Alternative Company CodesFI-AA
TFAAC_ACI_DTDetermine document type from operational documentFI-AA
TFAA_PC_STEPProcess Steps (Entity Table)FI-AA
AAACC_OBJ_ERRTypes of Error During Check of Acct Assignment in FI-AAFI-AA
IDCN_GA_ANLKLGA China: Specify Asset ClassesFI-AA
IDCN_GA_BWASLAsset Transaction Types (Golden Audit)FI-AA
IDCN_GA_ORDNRAsset Evaluation Group (Golden Audit)FI-AA
T093_BSN_FUNCERP Business Function for FI-AAFI-AA
TFAA_PC_STEPTProcess Steps (Text Table)FI-AA
FAA_TENV_TCMGTManagement Table for Test CasesFI-AA
GLOFAAJPAX16ACFI-AA: Japan / Asset class selection for Annex16FI-AA
GLOFAAJPTSICHKAnnex16: Chk tab for the convination of Type-Structure-ItemFI-AA
GLOFAAJPTSIDEFAnnex16: Default Value for Structure & Item in CSMDFI-AA
IDFIAA_JP_TAX1Japanese Tax Report - Areas and Transaction TypesFI-AA
IDFIAA_JP_TAX2Japanese Tax Report - Transaction Types Intra-City TransferFI-AA
TFAAD_BSN_FUNCValidation of Business Function Switches for FI-AAFI-AA
TFAA_PC_P_STEPAssignment of Processes -> Process StepsFI-AA
BWFIAA_AEDAT_ABFIAA-BW: Modified Valuation Area Data for Delta UploadFI-AA
BWFIAA_AEDAT_ASFIAA-BW: New and Modified Master Records for Delta UploadFI-AA
BWFIAA_AEDAT_TRFIAA-BW: New and Modified Transactions for Delta UploadFI-AA
IDFIAA_JP_COND1Selection Criteria for Stored ReportsFI-AA
T082AVIEWTRANSGAssignment of Transaction Group to Asset ViewFI-AA
FIAAPTD_COL16VALResidual amounts to be reported in col16 for remaining yearsFI-AA
FIAAPTD_COL16_MTMovement Types for unplanned depreciation for column 16FI-AA
IDFIAA_JP_RESULTResults of Property Tax Report (Japan)FI-AA
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