Basic Functions (FI-AA-AA)

ID: HLA0006110
Table Description
SMFIAA Spec. FI-AA Data in Monitor (see Schedman_specific_fiaa)
ANEK view Document Header Asset Posting
ANLP view Asset Periodic Values
ANEP view Asset Line Items
ANLQ Period values from dep. posting run per posting level
ANLH Main asset number
ANLA Asset Master Record Segment
ANKA Asset classes: general data
ANLZ Time-Dependent Asset Allocations
FAAT_CMP Fixed Asset Company Code
TABW Asset transaction types
T091C Translation methods for Asset Accounting
T093B Company code-related depreciation area specifications
T093 Real and derived depreciation areas
T093C view Company codes in Asset Accounting
T090NH_METH Maximum Amount Method
T090NR Base Method
ANGT Asset catalog text table
ANLU Asset Master Record: User Fields
T087 Evaluation groups
T087K Reason for investment protecting the environment
T087U Asset group number / asset group
T093G Cross-System Depreciation Areas
T099A Insurance companies
TA1M Line Item Schema
TABWD_VID Entity Table for Table TABWD
TABBR Rules for determining asset value date
TABVA Variants for determining asset value date
ANLBZA Time-Dependent Depreciation Terms
T092 Property classification key
T097 Property indicator
T098 Basis manual property evaluation
T099B Insurance premiums
FAAC_ACCTDET0 Definition of Account Determination
FAAC_ACLS0 Asset Class: General Settings
FAAC_AMOUNT0 FIAA: Amount Specification
FAAC_LAYOUT0 Master Data Layout
FAAC_VALVIEW0 Valuation Views: Definition
FAAI_FIELD0 Layout Fields
T095 Balance sheet accounts for depreciation areas
FAAT_CMP_LEDGER FAA Company Code: Ledger Settings
FAAC_CMP_DA0 Assign Depr. Area to company code
T087G Evaluation group 8 places
T087I Reason for investment
T099 Insurance types
T082B Field groups assets definition
T090C External depreciation keys
T094A Index series for replacement values
T085 Investment support measures
T090 Depreciation calculation keys
T090R Period control rules for transactions
T096 Chart of depreciation
T091 Cut-off value key
T095A Account allocation
T095B G/L accounts value adjustment
T094C Index Class
FAAASSETID Assignment Table - Asset Key to Asset GUID
ANKP Asset classes: Fld Cont Dpndnt on Chart of Depreciation
TABWG Transaction type groups
FAAC_ACCTASN0 Settings for Account Assignment Objects in Asset Accounting
TABA Depreciation posting documents
T083L Leasing types
T090NA Depreciation Keys
T095_ACI Technical Clearing Account for Integrated Asset Acquisition
ANLB Depreciation terms
T087L Text table for reasons for environmental investments
T087V Text table asset group number / asset group
T095T Name for account groups
T092T Description of the Property Classification Key
ANKT Asset classes: Description
T083S Leasing types-Description
T087J Text
T087S Test table for evaluation group 8 places
T097T Description of the Property Indicator
T098T Description of the reasons for manual property values
T099T Description of Insurance Types
T099U Insurance Companies Description
T099V Insurance Tariff Description
T096T Chart of depreciation texts
ANKL Generation table for generating asset classes from accounts
ANKLAYP Asset class: Assignment of tab layouts
T082AVIEW1 View Authorization for Asset Master Data Fields
T082AVIEW2 View Authorization for Asset Depreciation Area Fields
T082AVIEWB View Authorization for Depreciation Areas
T090NAZ Depreciation Keys - Method Assignment
T093B_RSL Company Code-Related Depreciation Area Specifications
T093C_RSL Default Values for Depreciation Key in Company Code
ANKLAY Asset class: Assignment of tab layouts
T093H Assignment of FI-AA Line Item Schema
T097JP FI-AA: Percentage rates for property valuation Japan
TAAPM1T Assignment for Field Link between FI-AA and PM
TAAPM2 Link from FI-AA to PM: Assignment of Fields
ANLX Asset Master Record Segment
TABVO Determine asset value date in Asset Accounting transactions
TABWD Default transaction types for FI-AA posting transactions
T093N view Number assignment alloc. AA
TA1MZ Line Item Schema
TFAA_PC_PS Assignment Process -> Subprocess
TFAA_PC_SM Assignment of Subprocess to Processing Methods/Modules
FAAC_ACCTASN1A Account Assignment Settings in AA for accounting principle
FAAC_ACCTASN1C Account Assignment Settings in AA for Company Code
FAAC_ACLS1A Asset Class: Default Settings for Valuation View
FAAC_ACLS1C Asset Class: Default Settings for Company Code
FAAC_ACLS2CY Asset Class: Assignment of Tab Layout for company code
FAAC_CMP0 AA specific settings for company code
FAAC_LAYOUT1F Master Data Layout
FAAC_VALVIEW2AS Specify source valuation view for calculated valuation view
FAAI_FIELD1P Technical Fields and Position
FAAI_SLALIT0 Slalittype Metadata
FAAI_SLALIT1M Allowed Slalittype Movcat Combinations
ANKAZ Asset class: extension for technical fields
ANKV Asset classes: insurance types
ANLV Insurance data
T082F Field groups asset data
T082S Dynpro control of the views
T085P Investment support: Default and check table
T093A Real depreciation area
T093D Control dep. posting
T093U Options for asset legacy data transfer
T082 Field group authorization assets
T093SB Substitution for Asset Management / Company Code
T093V Validation for Asset Management / Company Code
T093Y Shortened fiscal year
TABWV Default transaction types
ANKB Asset class: depreciation area