Data Element list used by SAP ABAP View V_T869 (Consolidation methods)
SAP ABAP View
V_T869 (Consolidation methods) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | BGWAM | Start of goodwill amortization with step acquisition | ||
| 2 | CRDAT | Creation date | ||
| 3 | CRNAM | Created By | ||
| 4 | DEPLG | Goodwill amortization: Duration in years | ||
| 5 | DEPLG_PERI | Goodwill amortization: Duration in months | ||
| 6 | DEPRT | Depreciation method | ||
| 7 | DEP_NGW | Amortization of new goodwill over remaining life | ||
| 8 | EQ_ORDER | Seqiemce of consolidation of investments activities | ||
| 9 | GWB | Handling of goodwill | ||
| 10 | HDRES | Reverse hidden reserves (fair value adjustments) | ||
| 11 | KAP_PRF | Method is activated | ||
| 12 | KK_TYPE | Consolidation of investments method | ||
| 13 | KK_VARI | Valuation basis | ||
| 14 | KMTEXT1 | Description of the method type for cons. of investments | ||
| 15 | KMTEXT2 | Description of the method variant for cons. of investments | ||
| 16 | KZVALDBO | Indicator: Always read values from database | ||
| 17 | KZ_EQNEG | Indicator: negative NBV of investment | ||
| 18 | KZ_NOGVW | Indicator: No posting to appropriation of retained earnings | ||
| 19 | MANDT | Client | ||
| 20 | METH | Consolidation method | ||
| 21 | MVT5A | TTy: Acquisition of hidden reserves/debts | ||
| 22 | MVT5B | Transaction type: Amortization of hidden reserves/debts | ||
| 23 | MVT5C | Transaction type: Write-up of hidden reserves/debts | ||
| 24 | MVT6A | Transaction type: Proporational elimination | ||
| 25 | MVTSET_EQ1 | Equity: Transaction type set for subsequent consolidation | ||
| 26 | MVTSET_EQ2 | Equity: Transaction type set for first consolidation | ||
| 27 | RITEM_DC | Differential: Credit item | ||
| 28 | RITEM_DCPB | Write-up item | ||
| 29 | RITEM_DCPG | Amortization item | ||
| 30 | RITEM_DD | Differential: Debit item | ||
| 31 | RITEM_DPGW | Financial statement item for amortization of goodwill | ||
| 32 | RLEVL_KK | Posting level for inclusion in consolidation of investments | ||
| 33 | RMVCT_BWC | Transaction type: Credit difference | ||
| 34 | RMVCT_DCPC | Transaction type: Amortization | ||
| 35 | RMVCT_DCPD | Transaction type: Write-ups | ||
| 36 | RMVCT_EQC | Transaction type: Equity on credits side | ||
| 37 | RMVCT_EQD | Transaction type: Equity on debits side | ||
| 38 | RMVCT_GWD | Transaction type: Debit difference | ||
| 39 | RMVCT_INVC | Transaction type: Investments on credits side | ||
| 40 | RMVCT_INVD | Transaction type: Investments on debits side | ||
| 41 | SETNR_EQ | Equity: FS item set for subsequent consolidation | ||
| 42 | SETNR_EQ2 | Equity: FS item set for first consolidation | ||
| 43 | SETNR_INV | Set ID for investment items | ||
| 44 | UMR_PRF | Check indicator |