Table list used by SAP ABAP Class CL_CNV_40305 (Transfer postings due to a change of account det.)
SAP ABAP Class CL_CNV_40305 (Transfer postings due to a change of account det.) is using
# | Object Type | Object Name | Object Description | Note |
---|---|---|---|---|
1 | Table | ACCCR | Accounting Interface: Currency Information | |
2 | Table | ACCDN | FI/CO Interface: Assigning FI Document to FI/CO Document | |
3 | Table | ACCHD | Interface to Accounting: Header Information | |
4 | Table | ACCIT | Accounting Interface: Item Information | |
5 | Table | ANLA | Asset Master Record Segment | |
6 | Table | ANLB | Depreciation terms | |
7 | Table | ANLC | Asset Value Fields | |
8 | Table | ANLZ | Time-Dependent Asset Allocations | |
9 | Table | BALM | Application log: log message | |
10 | Table | BALM | Application log: log message | |
11 | Table | BALM | Application log: log message | |
12 | Table | BALM | Application log: log message | |
13 | Table | BAL_S_MSG | Application Log: Message Data | |
14 | Table | BAL_S_MSG | Application Log: Message Data | |
15 | Table | BAPIRET2 | Return Parameter | |
16 | Table | CNV_40300_S_ANLKL_ANLN_MAPPING | Asset classes for single assets (in ME) | |
17 | Table | CNV_40300_S_ANLKL_MAPPING | Line of a Mapping table for asset classes (ANLKL) | |
18 | Table | CNV_40305_S_ACCOBJ | Accounting objects for transfer postings | |
19 | Table | CNV_40305_S_POST_A | Aggregated amount to be reposted | |
20 | Table | CNV_40305_S_POST_A | Aggregated amount to be reposted | |
21 | Table | CNV_40305_S_POST_A | Aggregated amount to be reposted | |
22 | Table | CNV_40305_S_POST_D | Values to be reposted for a given asset | |
23 | Table | CNV_40305_S_TRANSFER | FI-AA field names of accounts for which transfer takes place | |
24 | Table | CNV_40305_TCUST | Document type per company code (for transfer postings) | |
25 | Table | CNV_MBT_ME_SIM_S_FIELDCAT | Specifies a field of a structure and the corresponding map. | |
26 | Table | CSKS | Cost Center Master Data | |
27 | Table | PAREA | Parallel depreciation areas | |
28 | Table | PAREA | Parallel depreciation areas | |
29 | Table | T001 | Company Codes | |
30 | Table | T001 | Company Codes | |
31 | Table | T093 | Real and derived depreciation areas | |
32 | Table | T093 | Real and derived depreciation areas | |
33 | Table | T093A | Real depreciation area | |
34 | Table | T093B | Company code-related depreciation area specifications | |
35 | Table | T093C | Company codes in Asset Accounting | |
36 | Table | T093C | Company codes in Asset Accounting | |
37 | Table | T093C | Company codes in Asset Accounting | |
38 | Table | T095 | Balance sheet accounts for depreciation areas | |
39 | Table | T095 | Balance sheet accounts for depreciation areas | |
40 | Table | T095B | G/L accounts value adjustment | |
41 | Table | T095B | G/L accounts value adjustment | |
42 | Table | T095P | Reconcil.accts. derived dep. areas | |
43 | Table | T095P | Reconcil.accts. derived dep. areas | |
44 | Table | TKA00 | Control parameters for controlling areas | |
45 | Table | TKA00 | Control parameters for controlling areas | |
46 | Table | X001 | Derived Company Code Additional Data | |
47 | Table | X001 | Derived Company Code Additional Data | |
48 | Table | XSAKO | G/L Account Fields |