CNV_40305_SIM_PD - Values to be reposted for a given asset

Values to be reposted for a given asset information is stored in SAP table CNV_40305_SIM_PD.
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_SIM_PD

Field Name
Description
Is Key
Data Element
Data Type
Length
Check Table
MANDTClientXMANDTCLNT6*
PACKIDConversion: Conversion package numberXCNV_PACKCHAR10*
EXEC_NUMCounters For Execution of Specified ActivityXCNV_MBT_EXEC_NUMNUMC8
.INCLUDEXCNV_40305_S_POST_D_KEY0
BUKRSCompany CodeXBUKRSCHAR8*
ANLN1Main Asset NumberXANLN1CHAR24*
ANLN2Asset SubnumberXANLN2CHAR8*
AFABEDepreciation areaXCNV_40305_AFABENUMC4
AFABE_SRCDepreciation areaXCNV_40305_AFABENUMC4
TYPEBalance sheet accounts considered in repostingXCNV_40305_TYPECHAR12
.INCLUDECNV_40305_S_POST_D_NONKEY0
ANLKLAsset classCNV_40300_ANLKLCHAR16
KTOGRAccount determinationCNV_40301_KTOGRCHAR16
SAKNRG/L Account NumberSAKNRCHAR20*
AMOUNTamount to be repostedCNV_40305_AMOUNTCURR12
WAERSCurrency KeyWAERSCUKY10*
PRCTRProfit CenterPRCTRCHAR20*
GSBERBusiness AreaGSBERCHAR8*
SEGMENTSegment for Segmental ReportingCNVMBTASF_SEGMENTCHAR20*
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