CNV_40305_ANLA_B - Assets with semantically changing account determination

Assets with semantically changing account determination information is stored in SAP table CNV_40305_ANLA_B.
It is part of development package CNV_40305 in software component CA-DT-CNV. This development package consists of objects that can be grouped under "Asset transfer postings due to a change of account determ.".

Fields for table CNV_40305_ANLA_B

Field Name
Description
Is Key
Data Element
Data Type
Length
Check Table
MANDTClientXMANDTCLNT6*
PACKIDConversion: Conversion package numberXCNV_PACKCHAR10*
BUKRSCompany CodeXBUKRSCHAR8*
ANLN1Main Asset NumberXANLN1CHAR24*
ANLN2Asset SubnumberXANLN2CHAR8*
ANLKLAsset classCNV_40300_ANLKLCHAR16
ANLARAsset typesCNV_40305_ANLARCHAR10
XLOEVInd.: Asset class marked for deletionCNV_40305_XLOEVCHAR2
XSPEBIndicator: Asset Locked to Acquisition PostingsCNV_40305_XSPEBCHAR2
FELEIScreen layout for Asset AccountingCNV_40300_FELEICHAR8
KTOGRAccount determinationCNV_40305_KTOGRCHAR16
XAKTIVIndicator: Capitalize fixed assetCNV_40305_XAKTIVCHAR2
POSNRWBS element investment projectCNV_40305_POSNRNUMC16*
XANLGRIndicator: asset class managed as group assetCNV_40305_XANLGRCHAR2
XINVMAsset under Construction for Investment MeasuresCNV_40300_IM_XINVMCHAR2
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