FAAT_D_PV_VALUES

Temporary table for calulated plan values of an asset | #fiori | Component: Fiori UI for Asset Accounting
Column Name Description
MANDT Client
DB_KEY null
Column Name Description
HSL Amount in Company Code Currency
KSL Amount in Global Currency
OSL Amount in Freely Defined Currency 1
VSL Amount in Freely Defined Currency 2
BSL Amount in Freely Defined Currency 3
CSL Amount in Freely Defined Currency 4
DSL Amount in Freely Defined Currency 5
ESL Amount in Freely Defined Currency 6
FSL Amount in Freely Defined Currency 7
GSL Amount in Freely Defined Currency 8
Column Name Description
Column Name Description
Column Name Description
FAA_USE_VAL_TY Value Type for Asset Reporting & Aging Report Show values
XANLGR Indicator: Asset is a group asset Show values
XUNULL Indicator: Post to Below-Zero Account Show values
XPOST To Be Posted Show values
MIG_SOURCE Source of a migrated journal entry item Show values
Column Name Description Domain name
ROOT_KEY null
BUKRS Company Code BUKRS
ANLN1 Main Asset Number ANLN1
ANLN2 Asset Subnumber ANLN2
GJAHR Fiscal Year GJAHR
AFABE Real depreciation area AFABE
LEDGER Ledger in General Ledger Accounting FINS_LEDGER
POPER Posting period POPER
SLALITTYPE Subledger-Specific Line Item Type SLALITTYPE
LDGRP Ledger Group FAGL_LDGRP
ANLGR Group Asset ANLN1
ANLGR2 Subnumber of Group Asset ANLN2
MOVCAT Transaction Type Category FAA_MOVCAT
ANLKL Asset Class ANLKL
KTOGR Account Determination KTOGR
POPER_SHIFTED Non-Calendar Posting Period POPER
RECID Recovery Indicator JV_RECIND