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Check it out on amazon.com →The package AA (Assets: Master Data) is a standard package in SAP ERP. It belongs to the parent package APPL.
Package | AA |
Short Text | Assets: Master Data |
Parent Package | APPL |
SAP Package AA contains 67 function groups.
1022 | BAPIs for BUS1022 (Fixed asset) |
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0A09 | Extended Table Maintenance (Generated) |
0AB1 | Extended Table Maintenance (Generated) |
0AB2 | Extended Table Maintenance (Generated) |
0AB3 | Extended Table Maintenance (Generated) |
0ABW | Extended Table Maintenance (Generated) |
0ABX | Extended Table Maintenance (Generated) |
0AKL | Extended Table Maintenance (Generated) |
0AO0 | FI-AA: Customizing org. units |
0AR0 | Extended Table Maintenance (Generated) |
0AUA | Extended Table Maintenance (Generated) |
A_HISTORY | Generation of a History List |
A01M | Update program for asset class maint. |
A01S | Update asset master record online |
A02S | Update prog. asset master data maint. |
AA1M | CHDO ANKA => Gen. by RSSCD000 |
AA1S | CHDO ANLA => Gen. by RSSCD000 |
AAPM | Interface PM - FI-AA |
AASM | AA-Spec. Coding for Schedule Manager |
AAWF | Integration FI-AA/PM per Workflow + CATT |
ABLR | AM: Read routines by block |
ABUC | FM in Deprec. Posting Environment |
ACAP | Capital leasing |
ADVS | Link Between Assets and DMS |
AFAB | Func.module espec. for dep. posting |
AFAS | AFAR-related function modules |
AICT | CATT modules in IM |
AISA | FI-AA Master Data Update |
AISB | Asset Accounting: Worklists |
AISBAUFBAU | Asset master: Scrn layout and tab layout |
AISC | Check and read modules for master data |
AISCCC | Module for Cost Center Change Workflow |
AISCO | Check and Read Modules for Legacy Data |
AISHISTORY | Assets in History List |
AIST | Asset master data maintenance |
AIST_SUPP | Additions to Asset Master Data Maint. |
AM_F4 | Asset Accounting Search Help |
AMDP | Asset Accounting Dialog for Posting |
AMDP_OLD | Old Code for SAPLAMDP, as Fallback |
AMDS | Dialog Services (Popups...) |
ANA0 | FIAA-TAB: General tables |
ANA1 | Table accesses FIAA - part 1 |
ANA2 | Table accesses - part 2 |
ANA3 | Table accesses FIAA - part 3 |
ANA4 | Table accesses FIAA - part 4 |
ANA5 | Table accesses FIAA - part 5 |
ANA6 | Table accesses FIAA - transaction types |
ANA7 | Account allocations |
ANA8 | FIAA-Tab: Transfer variants |
ANA9 | FIAA: Depreciation keys, etc. |
ANAA | FIAA-TAB: Revaluation measure I? |
ANAB | FIAA-TAB: read FI tables |
ANAC | FIAA-TAB: Determin. of asset val. date |
ANAD | FIAA-TAB: History sheet groups |
ANAE | FIAA-TAB: Line item schema |
ANAF | FIAA: Trace |
ANAMETAB | Read modules - Nametab |
APFS | CUA Status Management in FI-AA |
AREP | Function module from asset reporting |
ARF1 | FI-AA: RFC for recalculating depr. |
AS01 | Fast entry of asset master record |
ASEL | Selection Tool for Asset Master Record |
AT01 | Tools for asset legacy data transfer |
AUPD | AM table updates |
AWFL | FIAA Tools im Workflow Environment |
FAA_API_CHDOC_DISPLAY | API: Display Change Documents |
FIAA_BAUFBAU | Screen Layout and Views |
SAP Package AA contains 157 transactions.
AAVN | Recalculate base insurable value |
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AFAB | Post depreciation |
AFAF | Assets with errors |
AFAR | Recalculate Depreciation |
AFBD | Recreate Dep. Batch Input Session |
AFBN | Include New Depreciation Area |
AFBP | Create depreciation posting log |
AJAB | Year-End Closing |
AJRW | Fiscal Year Change |
ANKA | Directory of asset classes |
AOBK | Depreciation areas/Reduction rules |
AOCO | Cost center check (across co.codes) |
AR09 | Call Up Property List |
AR10 | Call Up Insurance List |
AR12 | Call Up Asset Directory |
AR15 | Changes to Master Record |
AR16 | Changes to Asset Classes |
AR17 | Call Up Leasing Liability List |
AR23 | Italy: Asset register |
AR24 | Italy: Assets at 3rd party |
AR25 | Depreciation posted |
AR29 | Re- and New Valuation of Assets |
AR31 | Edit Worklist |
ARMO | Schedule Monitor: Asset Accounting |
AS01 | Create Asset Master Record |
AS02 | Change Asset Master Record |
AS03 | Display Asset Master Record |
AS04 | Asset Changes |
AS05 | Block Asset Master Record |
AS06 | Delete Asset Record/Mark for Delet. |
AS08 | Number Ranges:Asset Number |
AS11 | Create Asset Subnumber |
AS21 | Create Group Asset |
AS22 | Change Group Asset |
AS23 | Display Group Asset |
AS24 | Create Group Asset Subnumber |
AS25 | Block group asset |
AS26 | Mark group asset for deletion |
AS81 | Create Old Group Assets Data |
AS82 | Change old group asset |
AS83 | Display old group asset |
AS84 | Create legacy group asset subnumber |
AS91 | Create Old Asset |
AS92 | Change Old Asset |
AS93 | Display Old Asset |
AS94 | Create Legacy Asset Subnumber |
ASCC | Assets on My Cost Center - GUI Vers. |
ASCC_GUI | Assets on My Cost Center |
ASEM | My assets |
ASEM_GUI | My Assets - GUI Version |
ASIM | Simulation of asset posting |
ASKB | Periodic Asset Postings |
ASMN | Asset Master Menu |
AT01 | Create Asset Master Record (old) |
AT02 | Change Asset Master Record (old) |
AT03 | Display Asset Master Record (old) |
AT11 | Create Asset Subnumber (Old) |
AT21 | Create Group Asset (old) |
AT22 | Change Group Asset (old) |
AT23 | Display Group Asset (old) |
AT24 | Create Group Asset Sub-Number (old) |
AT81 | Create Old Group Asset (old) |
AT82 | Change Old Group Asset (old) |
AT83 | Display Old Group Asset (old) |
AT84 | Display Old Group Asset Sub-No.(old) |
AT91 | Create Old Asset (old) |
AT92 | Change Old Asset (old) |
AT93 | Display Old Asset (old) |
AT94 | Create Old Asset Sub-Number (old) |
AUN0 | FI-AA Asset Summary |
AUN1 | FI-AA Asset Summary |
AUN10 | FI-AA Asset Summary |
AUN11 | FI-AA Asset Summary |
AUN2 | FI-AA Asset Summary |
AUN3 | FI-AA Asset Summary |
AUN4 | FI-AA Asset Summary |
AUN5 | FI-AA Asset Summary |
AUN6 | FI-AA Asset Summary |
AUN7 | FI-AA Asset Summary |
AUN8 | FI-AA Asset Summary |
AUN9 | FI-AA Asset Summary |
AUVA | FI-AA Incomplete Assets |
AW01 | Asset Explorer |
AW01_OLD | Asset Master Rec: Display Val.Fields |
AW01N | Asset Explorer |
OA01 | Gain/loss substitution -Fixed assets |
OA08 | FI-AA: Maintain Country Table |
OA1X | Asset Data Transfer |
OAAQ | Take back FI-AA year-end closing |
OAAR | C AM Year-end closing by area |
OAAW | FI-AA: Memo value for asset class |
OAAX | FI-AA: Asst class for grp asset only |
OAAY | FI-AA: Hist. layout set-asset class |
OAAZ | FI-AA: Settlement profile |
OABC | Depreciation areas/value transfer |
OABD | Depreciation areas/param. transfer |
OABE | Deprec. areas/gross transfer |
OABK | Delete asset class |
OABM | Depreciation areas/Transfer of resvs |
OABN | Depreciation areas/ordinary deprec. |
OABR | Maint. of rules for delivery costs |
OABS | Depreciation areas/Special deprec. |
OABT | Deprec. areas/parallel currencies |
OABU | Depreciation areas/Unplanned deprec. |
OABW | Depreciation areas/Replacement vals |
OABX | Deppreciation areas/Investmt support |
OABZ | Depreciation areas / Interest |
OACB | Customer name for evaluation group 1 |
OACC | Customer name for evaluation group 1 |
OACD | Customer name for evaluation group 1 |
OACE | Customer name for evaluation group 1 |
OACF | Customer name for evaluation group 1 |
OADC | Depreciation Areas: Area type |
OAI5 | C FIAA Time-dependent inv. support |
OAKA | Standart texts in asset class |
OAKB | Define asset for gain/loss |
OAOA | FI-AA: Define asset classes |
OAOB | FI-AA: Assign company codes |
OAP4 | FI-AA: Description of chart of dep. |
OARP | Call up of AM report overview |
OAV5 | Index figures |
OAV8 | FI-AA C Def. Eval. Group, 8 places |
OAW3 | Translation method |
OAXF | Define Transaction Type |
OAXG | Define Transaction Type |
OAXH | Deprec. areas for transaction types |
OAXI | Deprec. areas for transaction types |
OAXJ | Deprec. areas for transaction types |
OAY1 | Special handling of transfer posting |
OAY2 | Asset class: Low value asset check |
OAYA | Deprec. areas for transaction types |
OAYB | Limiting transaction type groups |
OAYC | Legacy data transfer: Depr. terms |
OAYD | Legacy data transfer: Man. entry FC |
OAYE | Legacy data transfer: Sequence |
OAYF | Legacy Data Transfer: Accumul. Depr. |
OAYG | Legacy data transfer: Calc.repl.val. |
OAYH | Depreciation area currency |
OAYI | Memo value of area |
OAYJ | Net book value is changeover amount |
OAYK | Low-value assets |
OAYL | Individual period weighting |
OAYM | Permit group asset for area |
OAYN | Assign bal.sheet/inc.stmt to area |
OAYO | Rounding specific. for deprec. area |
OAYP | Shortening rules for shortened FY |
OAYQ | Gross/net resrvs.for special deprec. |
OAYR | Posting rules for depreciation |
OAYS | Special treatment of retirement |
OAYT | Transact.type for proportional vals |
OAYU | Capitaliztn of dwn-paymnts (transfr) |
OAYZ | Asset class: Depreciation areas |
OAZ2 | Substitution for trans.type group |
S_AL0_96000020 | IMG Activity: CMMENUORFA_MITKO1 |
S_KI4_38000341 | IMG Activity: CMMENUORFA_MITKO2 |
S_KI4_38000352 | IMG Activity: CMMENUORFA_MITKO3 |
S_P99_41000192 | SAP Standard Variant |
SAP Package AA contains 92 database tables.
ANGT | Asset catalog text table |
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ANKA | Asset classes: general data |
ANKAZ | Asset class: extension for technical fields |
ANKLAY | Asset class: Assignment of tab layouts |
ANKP | Asset classes: Fld Cont Dpndnt on Chart of Depreciation |
ANKT | Asset classes: Description |
ANKV | Asset classes: insurance types |
ANLA | Asset Master Record Segment |
ANLB | Depreciation terms |
ANLBZW | Asset-specific base values |
ANLQ | Period values from dep. posting run per posting level |
ANLT | Asset Texts |
ANLU | Asset Master Record: User Fields |
ANLV | Insurance data |
ANLW | Insurable values (year dependent) |
ANLX | Asset Master Record Segment |
ANLZ | Time-Dependent Asset Allocations |
SMFIAA | Spec. FI-AA Data in Monitor (see Schedman_specific_fiaa) |
T080A | Structure definition work list suffix |
T082A | Field string asset master record maintenance |
T082F | Field groups asset data |
T082H | Field string name: Asset master data maintenance |
T082S | Dynpro control of the views |
T083L | Leasing types |
T083S | Leasing types-Description |
T083T | Description of leasing cycle |
T085P | Investment support: Default and check table |
T085S | Description of individual investment support measures |
T085Z | Capital investment grants with time-dependent percentages |
T086T | Names for Reporting Sort Versions |
T087 | Evaluation groups |
T087G | Evaluation group 8 places |
T087I | Reason for investment |
T087J | Text |
T087K | Reason for investment protecting the environment |
T087L | Text table for reasons for environmental investments |
T087S | Test table for evaluation group 8 places |
T087T | Description of Evaluation Groups |
T087U | Asset group number / asset group |
T087V | Text table asset group number / asset group |
T089T | Text table for T089 (appreciations) |
T090A | Period control dep. calculation |
T090I | Depreciation simulation (Reporting) |
T090M | Table for maximum depreciation amounts |
T090Y | Weighting of depreciation periods |
T091C | Translation methods for Asset Accounting |
T091S | Text for translation methods |
T092 | Property classification key |
T092T | Description of the Property Classification Key |
T093A | Real depreciation area |
T093B | Company code-related depreciation area specifications |
T093D | Control dep. posting |
T093G | Cross-System Depreciation Areas |
T093GT | Texts for Cross-System Depreciation Areas |
T093H | Assignment of FI-AA Line Item Schema |
T093N | Number assignment alloc. AA |
T093S | Value Field Names for Depreciation Areas |
T093U | Options for asset legacy data transfer |
T095C | FI-AA Standard Account Determination |
T097 | Property indicator |
T097JP | FI-AA: Percentage rates for property valuation Japan |
T097T | Description of the Property Indicator |
T098 | Basis manual property evaluation |
T098T | Description of the reasons for manual property values |
T099 | Insurance types |
T099A | Insurance companies |
T099B | Insurance premiums |
T099T | Description of Insurance Types |
T099U | Insurance Companies Description |
T099V | Insurance Tariff Description |
TA1M | Line Item Schema |
TA1MT | Text Table for Line Item Schema |
TA1MZ | Line Item Schema |
TA1TV | Asset Transfer Variant |
TA1TVB | Determination of the Asset Transfer Method |
TA1TVT | Asset Transfer Variant |
TAAPM1 | Assignment for Field Link between FI-AA and PM |
TAAPM1T | Assignment for Field Link between FI-AA and PM |
TAAPM2 | Link from FI-AA to PM: Assignment of Fields |
TABAS | Logging of periodic posting runs in FI-AA |
TABWA | Transaction types/dep. areas |
TABWD_FTC | Fields Used for Table Controls on Asset Postings |
TABWD_VID | Entity Table for Table TABWD |
TABWD_VIT | Text Table for Table TABWD_VID |
TABWG | Transaction type groups |
TABWI | Allowed asset classes per transaction type group |
TABWK | Trans. types for posting prop. values and depreciation |
TABWO | Names for the asset history sheet versions |
TABWP | Entity table for asset history sheet versions |
TABWT | Asset transaction types texts |
TABWU | Special Treatment of Retirements |
TCREP | CATT-Test Reporting - Check of logical databases |
SAP Package AA contains 147 views.
AM_AI_VIEW | Worklists |
---|---|
H_T082A | Generated helpview for check table T082A |
H_T082E | Help view for views |
H_T085 | Investment support measures |
H_T086 | Help View for Sort Versions in AA Reporting |
H_T087 | Help View for Table T087 |
H_T087G | Help View for 8 Character Evaluation Groups |
H_T087I | Reason for investment |
H_T090C | External Depreciation Keys |
H_T092 | Property classification key |
H_T093 | Depreciation areas T093 |
H_T093A | Real Depreciation Areas T093A |
H_T096 | Help view for charts of depreciation |
H_T099 | Insurance types |
H_TABWG | Generated Help View for Check Table TABWG |
M_AANLA | Generated view for matchcode ID AANL-A |
M_AANLC | Generated view for matchcode ID AANL-C |
M_AANLI | Generated view for matchcode ID AANL-I |
M_AANLM | Generated view for matchcode ID AANL-M |
M_AANLP | Generated view for matchcode ID AANL-P |
M_AANLR | Generated view for matchcode ID AANL-R |
M_ANLKA | Generated View for Matchcode ID SH_ANLKA |
M_ANLKB | Generated View for Matchcode ID SH_ANLKB |
M_ANLKC | Generated View for Matchcode ID SH_ANLKC |
M_ANLKD | Generated View for Matchcode ID SH_ANLKC |
M_ANLKE | Generated View for Matchcode ID SH_ANLKD |
M_ANLKF | Generated View for Matchcode ID SH_ANLKF |
V_AFAB_1 | View of ANLA, ANLZ and ANLC for dep. posting |
V_AFABE | Features of depreciation area |
V_AFABE_01 | Features of depreciation area |
V_ANEPK | Asset line items with line item header information |
V_ANKA_00 | Asset classes |
V_ANKA_02 | Asset class: 'Complete customer fields' |
V_ANKA_04 | FI-AA: User fields for asset class |
V_ANKA_05 | Asset class: Assignment of form for history |
V_ANKA_06 | Asset class: Link to SAP Real Estate Management |
V_ANKA_07 | Asset class: Indicator for group assets only |
V_ANKA_08 | Asset class: Ignore memo value |
V_ANKA_CL | Asset Class: Select Class |
V_ANKAZ | Asset class long text templates |
V_ANKAZ_01 | Asset class retirement asset |
V_ANKAZ_02 | Asset class: Link to equipment category |
V_ANKAZ_03 | Link frm Equip.Category and Obj.Type to Asset Class(INACTIVE |
V_ANKB_00 | Asset Class: Specifications for Depreciation Areas |
V_ANKB_01 | Asset class: Low value asset check |
V_ANKB_02 | Asset class: Low value asset check |
V_ANKBV | Dep. Areas with Assets and Text |
V_ANKP_01 | Asset class data dependent on chart of depreciation |
V_ANLA_1 | Projected View of Table ANLA (without Asset Text) |
V_ANLA_2 | Projection View for Table ANLA (w/ Asset Text) |
V_ANLA_VB1 | Projection view of ANLA for updating asset transactions |
V_ANLAB | Asset Master Records with Transactions in Curr. FYear |
V_ANLAK | Asset Master Record at Given Date (ANLZ and ANLA) |
V_ANLAVS | Insurance Data for Asset |
V_ANLAZ | Asset Master Record at Given Date (ANLZ and ANLA) |
V_ANLB_VB1 | Projection view ANLB for updating asset transactions |
V_ANLBAZ | View of ANLB, ANLZ, and ANLA (Simplified Access) |
V_ANLBZW_10 | Asset-specific base value percentages |
V_ANLC_1 | ANLC without Posted Fields |
V_ANLC_2 | ANLC Posted Fields Only |
V_ANLHZ | Asset Main Numbers |
V_ANLP_BLN | View of document number |
V_ANLQ_BLN | Document number from ANLQ |
V_ANLSUM_1 | View of ANLA, ANLZ, ANLB and ANLC |
V_ANLSUM_2 | View of ANLA, ANLZ, ANLB and ANEP |
V_ANLSUM_3 | View of ANLA, ANLZ, ANLB and ANEP with ANEA |
V_ANLV_UPD | View of ANLV for Update of Insurance Values |
V_T005A | Asset Accounting: Country information |
V_T082A | FI-AA: Screen layout |
V_T082A_01 | Asset Accounting: Screen layout for master record |
V_T083L | Leasing Types |
V_T085P_01 | Investment support: Specifications for checks and proposals |
V_T087G | Evaluation Group 8 places |
V_T087U | Asset group number / asset group |
V_T090M | Maximum base value |
V_T090X | Substitutions for simulation version |
V_T090Y | Asset Accounting: Weighting of periods |
V_T093_00 | Asset Accounting: Define depreciation area |
V_T093_02 | Specify depreciation areas for ordinary depreciation |
V_T093_03 | Specify depreciation areas for special depreciation |
V_T093_04 | Asset Accounting: Define if unplanned deprec. pos/neg |
V_T093_05 | Asset Accounting: Define if transfer of reserves pos/neg |
V_T093_06 | Asset Accounting: Define management of interest |
V_T093_07 | Asset Accounting: Management of investment support |
V_T093_08 | Asset Accounting: Management of replacement values |
V_T093_09 | Asset Accounting: View authorization |
V_T093A_01 | Actual depreciation areas: area type |
V_T093A_02 | Depreciation area: currency type |
V_T093A_03 | Depreciation areas: Rules for value takeover |
V_T093A_04 | Depreciation areas: Rules for takeover of deprec. terms |
V_T093A_05 | Depreciaton areas: Gross asset transfer (betw. affil. co.) |
V_T093A_06 | Depreciation areas: Calculation sequence for depreciation |
V_T093B_01 | Reverse year-end closing for deprec. area |
V_T093B_02 | Remove Year-End Closing for Company Code |
V_T093B_04 | FIAA: Change closed fiscal year |
V_T093B_05 | FI-AA: Specify the currency of the depreciation area |
V_T093B_06 | FI-AA: Determine memo value |
V_T093B_07 | FI-AA: Specify changeover amount |
V_T093B_08 | FI-AA: Amount for low value assets |
V_T093B_09 | FI-AA: Individual weighting of periods (4-4-5 rule) |
V_T093B_10 | FI-AA: Allow group assets for depreciation area |
V_T093B_11 | FI-AA: Assign versions for balance sheet/P&L to area |
V_T093B_12 | FI-AA: Rounding rules for depreciation area |
V_T093B_13 | FI-AA: Capitalization of down payments |
V_T093C_00 | Maintain company code in Asset Accounting |
V_T093C_06 | FI-AA: Fiscal year version for company code |
V_T093C_07 | FI-AA: Half-monthly data for company code |
V_T093C_08 | FI-AA: Date of Legacy Data Transfer |
V_T093C_09 | FI-AA: Set status of the company code |
V_T093C_11 | FI-AA: Legacy data transfer, entry of net book value |
V_T093C_12 | FI-AA: Legacy data transf., recalculate base insurable value |
V_T093C_13 | FI-AA: Settlement profile |
V_T093C_14 | Cost center check across company codes |
V_T093D_00 | Depreciation posting rules |
V_T093D_03 | Post special reserves net/gross |
V_T093S | Value field text for depreciation areas |
V_T093SB_1 | Asset Retirement Substitution |
V_T093U_01 | Transfer of legacy assets data: Date depreciation was posted |
V_T093U_02 | Legacy data transfer: entry of foreign currency area |
V_T093U_03 | Legacy data transfer: Depreciation area sequence |
V_T093U_04 | Legacy data transfer: calculate accumulated depreciation |
V_T093U_05 | Legacy data transfer: calculate replacement value |
V_T093Y_01 | FI-AA: Rules for reduction in shortened fiscal year |
V_T095A_01 | FI-AA: Account determination |
V_T096_00 | Chart of depreciation: Specify name |
V_TAAPM2 | Field Assignment between FI-AA and PM |
V_TABW_00 | FI-AA: Transaction types |
V_TABW_02 | Selection of trans.types for retmt./ret.transfer(INACTIVE!) |
V_TABW_04 | Transaction type |
V_TABW_05 | Transaction type: Selection for retmt. and ret. transfer |
V_TABW_06 | Transaction type: Selection for transfers |
V_TABWA | Limit transaction types for depreciation areas |
V_TABWD_VID | Maintenance View Default Transaction Types |
V_TABWG_01 | Transaction type group limited to asset class |
V_TABWG_S | View of subsitution of TABWG |
V_TABWG_V | Validation of Posting (Asset Accounting) |
V_TABWI | Limitation of transaction type group - asset class |
V_TABWK | Transaction types for proportional values |
V_TABWU_00 | FI-AA: Special treatment of retirement |
V_TABWU_01 | FI-AA: Special treatment of transfers |
V_TABWV | Default transaction types |
V_TABWV_02 | Default transaction types for retirement |
V_TABWV_03 | Default transaction types for posting depreciation |
V_TABWV_04 | Default trans. types for capitalization of AuC |
VSH_T093C | View for Search Help for Asset Company Code |
VT082E | Asset views |
VV_T093SB_1_03 | Asset Retirement Substitution |
SAP Package AA contains 239 structures.
AAPM_AA_EQUI_DAT | AA/PM Equip. Data for Managing Equipment in FI-AA |
---|---|
AAPM_SYNC_DATA | PM/AA: Transfer Field Contents Relevant for Synchronization |
AASEL1 | Selection Table with Block Size and Field Name |
ABUZ_KONTO | Accounts for Accounting line items |
ABUZ_VALUE | Posting amounts for Accounting line items |
ACCHD_AMDS | Interface to Accounting: Header information |
ACCIT_AMCO | CO account assgnmt elements from FIAA for Acctng line items |
ACCIT_AMDS | Accounting Interface: Item Information |
AFAB1_STR | Structure via V_AFAB_1 for dep. posting |
ALLOCATIONS | Allocations |
ALTD | Asset Accounting: Interface for Legacy Data Transfer |
AMDS_CURTP | Choose currencies for display |
AMSSF | Asset Management Selected Screen Fields (internal use only) |
AMTABFIELDS | Names of table fields (reduced Nametab) |
AMTABFIELDS_AFABE | Names of Table Fields with Preceding Depreciation Areas |
ANEA_KEY | ANEA Key Fields |
ANEK_KEY | ANEK Key Fields |
ANEP_KEY | ANEP Key Fields |
ANEV_KEY | ANEV Key Fields |
ANEX | Additional Information for Acqusition Transfer |
ANLA_ERR | Assets with errors, including the errors |
ANLA_KEY | ANLA Key |
ANLA0 | Intro. Table Logical Database ADA |
ANLATXT | Asset Text |
ANLAV | Asset Reporting: ANLA Fields Plus Cost Center... |
ANLAV_ADDR | Address Data for Asset on the Report Date |
ANLAX | Asset master data segement - Update flags |
ANLB_KEY | ANLB Keys |
ANLBX | Depreciation terms - Update flags |
ANLC_KEY | ANLC Key Fields |
ANLCV | Asset Reporting: ANLC Fields Plus Various Totals |
ANLH_KEY | ANLH Key Fields |
ANLI_KEY | ANLI Key Fields |
ANLIX | Link table inv.measure -> AuC - Update flags |
ANLK_KEY | Key fields of ANLK |
ANLP_KEY | ANLP Key Fields |
ANLT_KEY | ANLT Key Fields |
ANLU_KEY | Key of Table ANLU (--> Effects on ANLU) |
ANLU_USERFELDER | User Fields in ANLU |
ANLV_KEY | ANLV Key Fields |
ANLVX | Insurance data - Update flags |
ANLW_E | Expanded Structure for Table ANLW |
ANLW_KEY | ANLW Key Fields |
ANLZ_KEY | ANLZ Key Fields |
ANLZ_ORG | Oraniz. units for automatic document creation / transfer |
ANLZX | Asset allocations with validity date - Update flags |
ARF_EXT | Changes in asset values |
ARF_FEHL | Error table |
ARF_STAT1 | Statistics |
ARF_STAT2 | Statistics for fiscal year change |
ASSET_CT | Structure-count master records |
AW01_DEP_PAR | Output Values of Depreciation Terms in Asset Explorer |
BALTB | Interface legacy assets data transf. RA (Transact.) |
BALTD | Interface for Legacy Data Transfer - Asset Accounting |
BALTE | Data transfer of FI-AA historical year segments |
BALTF | Data transfer of FI-AA historical transactions |
BAPI_TE_ANLU | BAPI Interface for Customer Enhancements Using Table ANLU |
BAPI1022_3_APPEND | Foreign Key Check for Business Area |
BAPI1022_CUMVAL | Logical Field Group CUMVAL: Cumulative Values Transferred |
BAPI1022_CUMVALX | Logical Field Group CUMVAL: Cumulative Values Transferred |
BAPI1022_DEP_AREAS | Depreciation areas (all logical field groups) |
BAPI1022_DEP_AREAS_PID | Depreciation areas (all logical field groups) |
BAPI1022_DEP_AREASX | Depreciation areas (all logical field groups) |
BAPI1022_FEGLG001 | Logical field group 001 - General data |
BAPI1022_FEGLG001_PID | Logical field group 001 - General data |
BAPI1022_FEGLG001X | Logical field group 001 - General data |
BAPI1022_FEGLG002 | Logical field group 002 - Posting information |
BAPI1022_FEGLG002_PID | Logical field group 002 - Posting information |
BAPI1022_FEGLG002X | Logical field group 002 - Posting information |
BAPI1022_FEGLG003 | Logical field group 003 - Time-dependent data |
BAPI1022_FEGLG003_PID | Logical field group 003 - Time-dependent data |
BAPI1022_FEGLG003X | Logical field group 003 - Time-dependent data |
BAPI1022_FEGLG004 | Logical field group 004 - Allocations |
BAPI1022_FEGLG004_PID | Logical field group 004 - Allocations |
BAPI1022_FEGLG004X | Logical field group 004 - Allocations |
BAPI1022_FEGLG005 | Logical field group 005 - Leasing |
BAPI1022_FEGLG005_PID | Logical field group 005 - Leasing |
BAPI1022_FEGLG005X | Logical field group 005 - Leasing |
BAPI1022_FEGLG006 | Logical field group 006 - Net worth valuation |
BAPI1022_FEGLG006_PID | Logical field group 006 - Net worth valuation |
BAPI1022_FEGLG006X | Logical field group 006 - Net worth valuation |
BAPI1022_FEGLG007 | Logical field group 007 - Real estate and similar rights |
BAPI1022_FEGLG007_PID | Logical field group 007 - Real estate and similar rights |
BAPI1022_FEGLG007X | Logical field group 007 - Real estate and similar rights |
BAPI1022_FEGLG008 | Logical field group 008 - Insurance |
BAPI1022_FEGLG008_PID | Logical field group 008 - Insurance |
BAPI1022_FEGLG008X | Logical field group 008 - Insurance |
BAPI1022_FEGLG009 | Logical field group 009 - Origin |
BAPI1022_FEGLG009_PID | Logical field group 009 - Origin |
BAPI1022_FEGLG009X | Logical field group 009 - Origin |
BAPI1022_FEGLG010 | Logical field group 010 - Investment account assignment |
BAPI1022_FEGLG010_PID | Logical field group 010 - Investment account assignment |
BAPI1022_FEGLG010X | Logical field group 010 - Investment account assignment |
BAPI1022_FEGLG011 | Logical field group 011 - Inventory |
BAPI1022_FEGLG011_PID | Logical field group 011 - Inventory |
BAPI1022_FEGLG011X | Logical field group 011 - Inventory |
BAPI1022_IDENT | Identifier for master data parameters of GETLIST |
BAPI1022_INV_SUPPORT | Investment Support Key |
BAPI1022_INV_SUPPORT_PID | Investment Support Measures |
BAPI1022_KEY | Key Fields for Create |
BAPI1022_MISC | BUS1022 (Fixed asset): Composite struct. for individ. fields |
BAPI1022_POSTVAL | Logical Field Group POSTVAL: Posted Transfer Values |
BAPI1022_POSTVALX | Logical Field Group POSTVAL: Posted Transfer Values? |
BAPI1022_REFERENCE | Reference asset for creating |
BAPI1022_REQUESTEDTABLESX | Specification of the data to be returned by GETLIST |
BAPI1022_SELECTIONCRITERIA | Selections for GETLIST |
BAPI1022_VALUES | Depreciation areas - selected values |
BUS1022_T1 | Interface BUS1022 T1 |
E1BP1022_CUMVAL | Logical Field Group CUMVAL: Cumulative Values Transferred |
E1BP1022_DEP_AREAS | Depreciation areas (all logical field groups) |
E1BP1022_DEP_AREASX | Depreciation areas (all logical field groups) |
E1BP1022_FEGLG001 | Logical field group 001 - General data |
E1BP1022_FEGLG001X | Logical field group 001 - General data |
E1BP1022_FEGLG002 | Logical field group 002 - Posting information |
E1BP1022_FEGLG002X | Logical field group 002 - Posting information |
E1BP1022_FEGLG003 | Logical field group 003 - Time-dependent data |
E1BP1022_FEGLG003X | Logical field group 003 - Time-dependent data |
E1BP1022_FEGLG004 | Logical field group 004 - Allocations |
E1BP1022_FEGLG004X | Logical field group 004 - Allocations |
E1BP1022_FEGLG005 | Logical field group 005 - Leasing |
E1BP1022_FEGLG005X | Logical field group 005 - Leasing |
E1BP1022_FEGLG006 | Logical field group 006 - Net worth valuation |
E1BP1022_FEGLG006X | Logical field group 006 - Net worth valuation |
E1BP1022_FEGLG007 | Logical field group 007 - Real estate and similar rights |
E1BP1022_FEGLG007X | Logical field group 007 - Real estate and similar rights |
E1BP1022_FEGLG008 | Logical field group 008 - Insurance |
E1BP1022_FEGLG008X | Logical field group 008 - Insurance |
E1BP1022_FEGLG009 | Logical field group 009 - Origin |
E1BP1022_FEGLG009X | Logical field group 009 - Origin |
E1BP1022_FEGLG010 | Logical field group 010 - Investment account assignment |
E1BP1022_FEGLG010X | Logical field group 010 - Investment account assignment |
E1BP1022_FEGLG011 | Logical field group 011 - Inventory |
E1BP1022_FEGLG011X | Logical field group 011 - Inventory |
E1BP1022_INV_SUPPORT | Investment Support Key |
E1BP1022_KEY | Key Fields for Create |
E1BP1022_POSTVAL | Logical Field Group POSTVAL: Posted Transfer Values |
E1BP1022_PROPVAL | Values of an Asset Retired before Legacy Data Transfer |
E1BP1022_REFERENCE | Reference asset for creating |
E1BP1022_TRTYPE | Transactions of Legacy Asset during Transfer during Year |
E1FIXEDASSET_CHANGE | Header segment |
E1FIXEDASSET_CREATE | Header segment |
E1FIXEDASSET_CREATEFROMDATA | Header Segment |
E1FIXEDASSET_CREATEINCLVALU | Header Segment |
FIAA_1022_GETL | Allowed parameters for dynamic selections GET_LIST 1022 |
FIAA_ACQ_BM | Parameters for BOR Meth. for Asset Acquis. |
FIAA_ACQ_WF | Parameters- Asset Aquis. Deprec. WF Task |
FIAA_ACQUISITION | Parameters for Asset Acquisition in BOR (Fast Entry) |
FIAA_ALE_OBJECTS | Asset Accounting: Input Fields Create New Asset on Posting |
FIAA_BUS1022_BM | Help Structure for Asset Line Item |
FIAA_BUS1022_WF | Parameters for Asset Transactions in BOR (Fast Entry) |
FIAA_DOC_KEY | Key Fields Business Object BUS2043 (Generic Object Services) |
FIAA_DPOST | Structure for Display of Posted Values |
FIAA_HEADTX | Document header text: Periodic posting by Asset Accounting |
FIAA_INZU | Output fields: Investment support |
FIAA_RET_BM | Parameters for Asset Acquisition in BOR (Fast Entry) |
FIAA_RET_WF | Parameters for Asset Retirement w/ Worklist (Fast Entry) |
FIAA_SALVTAB_RAUSMQ | Output Table for RAUSMQ10 |
FIAA_TRANS_PARA | Parameters for intercomp. asset transfer in BOR |
FIAA_WI_DEF | Help Structure for Selection of Workflow Task |
FIAA_WUO_BM | Parameters- BOR Method Write-Up of Ord. Depreciation |
FIAA_WUO_WF | Parameters- Write-Up of Ord. Deprec. WF Task |
FIAA_WUS_BM | Parameters- BOR Method Write-Up of Spec. Depreciation |
FIAA_WUS_WF | Parameters- Write-Up of Spec. Deprec. WF Task |
FIAA_WUU_BM | Parameters- BOR Method Write-Up of Unpl. Depreciation |
FIAA_WUU_WF | Parameters- Write-Up of Unpl. Depreciation WF Task |
GENERALDATA | General data BAPI Get_list |
INVENTORY | Inventory data |
INVESTACCTASSIGNMNT | Investments |
KTVAR_AA | General Ledger Accounts from Asset Accounting |
LEASING | Leasing |
MANANSWRT | Indicator for Manual Entry of Acquisition Value |
NETWORTHVALUATION | Real Estate |
PAREA | Parallel depreciation areas |
POSTINGINFORMATION | Posting information |
R02ST | Long text selection from asset master record |
RA01A | Work fields for SAPMA01A/SAPMA01M |
RA01B | Help fields dynpros SAPMA01B |
RA01G | Help fields VDU screen module pool SAPMA01G |
RA01M | Help fields screens module pool SAPMA01M |
RA02S | Master data assets |
RA03W | Asset value fields |
RA04C | Module pool table asset Customizing |
RA05C | Help fields maint. field status grps |
RA06C | Fields for maintenance dynpro tables TABWM and TABWN |
RA086 | Help tables for displaying field names in T086 |
RABEWTAB | Transfer Structure for Transaction Values from Trace |
RAC00 | Customizing work fields |
RACSEGMENT | Transfer Structure for Asset Values from Trace |
RAEREIGNIS | Contains the indicator for events to be triggered |
RAFABE | Table with Depreciation Areas |
RAHEADTXT | Text for Headers for Output of Trace using ALV |
RAIFP1 | Asset Accounting: Input Fields for Posting Header |
RAIFP2 | Asset Accounting: Input Fields for Posting |
RAIFP3 | Asset Accounting: Input Fields for Posting |
RAIFP4 | Asset Accounting: Input Fields Create New Asset on Posting |
RAIST_AREA | Structure for Transferring Depreciation Areas to FELEI-FB |
RAIST_SUPP | Fields for Dialog in Function Group AIST_SUPP |
RAIST05 | Structure for sel.buttons for choose refernce w/create asset |
RAIST06 | Transfer of temporary asset no. to database asset number |
RAISTBAB | Structure for storing screen layout information |
RAISTBAB_AREA | Storage of Screen Layout Info for a Depreciation Area |
RAISTFIELDS | Structure for transfer of fields to be changed |
RALLG | AM: General internal tables |
RANEK | Structure of Change Document: Generated by RSSCD000 |
RANEP | Structure of Change Document: Generated by RSSCD000 |
RANKB | Structure of Change Document: Generated by RSSCD000 |
RANKV | Structure of Change Document: Generated by RSSCD000 |
RANLB | Structure of Change Document: Generated by RSSCD000 |
RANLBZW | Structure ANLBZW with update indicators |
RANLC | Structure of Change Document: Generated by RSSCD000 |
RANLI | ANLI with Update Indicator |
RANLK | Structure for update of ANLK for old data changes |
RANLT | ANLT with Update Indicator |
RANLU | Structure ANLU with update indicators |
RANLV | Structure of Change Document: Generated by RSSCD000 |
RANLZ | Change Document Structure, Generated by RSSCD000 |
RAPAR | Parameter table for reports |
RAREP | RA reporting: Dictionary fields for SO, PA, WRITE. |
RAROUTINES | Routines for Trace |
RAROUTINEVAL | Deprec. Trace: Field Names and Values per Routine |
RASPECDAT | Transfer Structure: Parameters (Special Data) from Trace |
RASPECDAT_LIST | 'Special Data' Texts and Values for Lists from Trace |
RATRACETAB | TRACETAB |
RAWORKHELP | Aux. Structure Whose Fields BOR Method Parameters Reference |
RAWORKLF | Choose Workflow task |
RBADA | Internal tables for logical data base ADA |
REALESTATE | Real Estate |
RLAMNA | Asset Accounting: Input Fields Create New Asset on Posting |
RT093 | Internal Table for Tables 093, 093A 093B and 093T |
RTABWI | Change document structure |
SAAPM_WF | Integration FI-AA/PM: Structure for Event Linkage |
SAAPM1 | Integration FI-AA/PM: Structure of Asset Fields |
SAAPM2 | Integration FI-AA/PM: Structure of Plant Maintenance |
SCHEDMAN_SPECIFIC_FIAA | Allowed FI-AA-Specific Fields for the Monitor |
T097_0612 | Decl.-Balance Dep. Japan % for First and Second Half-Year |
TIMEDEPENDENTDATA | Time-dependent allocations |
VORGID_STRUC | Structure of Key Field VORGID from Table TABWD_VID |
W001 | External currency field for ANLA change docs. |
W093B | External currency field for ANLB/C change docs. |
SAP Package AA contains 76 programs.
AW01N | Asset Explorer |
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ITS_XSRF_PARAM_FIAA_ALL | Report ITS_XSRF_PARAM_FIAA_ALL |
MA01AANL | Changes to Asset Master Data |
RAAEND02 | Changes to the asset class |
RAALTD01 | Legacy Data Transfer Program - Asset Accounting |
RAALTD11 | Direct Data Import - Asset Accounting |
RAALTD11_NONUNICODE | Direct Data Import - Asset Accounting |
RAALTD11_UNICODE | Direct Data Import - Asset Accounting &6............ |
RAALTDBDBR | Report for generating test data from existing asset master records |
RAALTE00 | Takeover program for historical year segments |
RAANEACR | Transfer prop. values and posting amount per RAAFbNEW |
RAANLA01 | Directory of Unposted Assets |
RAANLH01 | Aux. program Enter last assigned number in ANLH |
RAANLZ01 | Analysis Program for ANLZ |
RABIKA01 | Depreciation Comparison |
RABUCDEL | Reset Data From a Company Code in Asset Accounting |
RABUCH00 | Depreciation Posting Run |
RABUCH30 | Recreation of the log for a depreciation posting run |
RACATT01 | Test FM for determining asset value date |
RACLSDEL | Delete Asset Classes |
RACORR01 | Correction program for different LVA check of areas |
RACORR02 | Check program ANEP and ANEA consistent |
RACORR03 | Reset the date of the last retirement |
RACORR04 | Total of 'posted depreciation' per account group and business area |
RACORR05 | Create line items/correction of amount in line items (=RAANEPCR) |
RACORR05A | Generate Line Items/Adjustment Amount in Line Items (= RAANEPCR) |
RACORR06 | Change posting line in line items |
RACORR07 | Delete ANEK/ANEP/ANEA with certain current numbers |
RACORR08 | Find incorrect TABWA entries |
RACORR09 | Correction program of ANEK - posting period at reversal |
RACORR10 | Correction program: Later allowance of half-periods |
RACORR11 | Deletion of derived areas in T093A |
RACORR12 | Correction to ANEK-BUDAT -BLDAT and -MONAT for AB08 documents |
RACORR13 | Correction program: Cleanup of FI-AA Number Ranges |
RACORR14 | Maintainance of Texts in T093S |
RACORR59_INSERT | As in RACORR59, Carry Forward Inactive Assets and Insert, Not Update |
RACORR95 | Comparison ANLB-LGJAN and ANLC-GJAHR ( ANLB-LGJAN > ANLC-GJAHR ) |
RACORR96 | Comparison of ANLB-LGJAN and ANLC-GJAHR |
RAEIS001 | Data Collection for EIS aspect of asset investments: Assets/equipment |
RAFABNEW | Automatic Opening of a New Depreciation Area |
RAINZU10 | Investment support |
RAITAR01 | Asset Register (Italy) |
RAITAR02 | Asset Register by Third Party Locations (IT) |
RAJAWE00 | Asset fiscal year change |
RAKAFA01 | Depreciation and Interest |
RAKOMP02 | Balances for Individual Assets, Including Components of Group Assets |
RALEAS01 | Liabilities from Leasing Agreements |
RALEAS01_NACC | Liabilities from Leasing Agreements |
RALNRAN0 | Program for checking the line item nos. assigned at ret./transfer |
RALNRAN2 | Line items per asset |
RAMODWRD | Call RSMODWRD with parameters set |
RAMUST03 | Display Asset Classes per Chart of Depreciation |
RAPERB00 | Periodic Asset Postings |
RAPOST00 | Depreciation Posting Run (Special Program for Improved Performance) |
RAPOST20 | Create BDC session for a depreciation posting run |
RARUECK1 | Deferral/write-off of deferred special depreciation for France |
RARUNMONI | Report RARUNMONI |
RAT08400 | Assets to be followed up |
RAT090L1 | Load program for transfer of production for the period |
RAT090L2 | Load program for transfer of production for the period |
RAT090LR | Repair program for table T090L due to upgrade 3.0C -> 3.0D |
RATAMLAY2 | Copy/Change/Delete Tab Layout Definitions |
RAUMFE00 | Analysis of an asset and its environment: Data collection |
RAUMFE20 | Analysis of an asset and its environment: Data collect. and analysis |
RAUNVA00 | Incomplete Assets - Detail List |
RAUSMQ10 | Asset Acquisitions(Mid-Quarter-Convention) |
RAUSMQ10_NACC | Asset Acquisitions (Mid-Quarter-Convention) |
RAVCLUST | FI-AA: Call of view clusters |
RAVERM01 | Net Worth Valuation |
RAVERS01 | Insurance Values |
RAVRSN00 | Recalculate Base Insurable Value |
RAWFCU | Assign workflow tasks |
RAXPRA01 | XPRA for completion of all field status groups around field group 81 |
RAXPRA06 | Combination of two transaction type indicators in TABW |
SAPMA01A | ?... |
SAPMA03W | RA Module Pool:Display Value Field |
SAP Package AA contains 51 search helps.
AANL | Asset accounting master data |
---|---|
AANLA | Names and classes |
AANLC | Cost center |
AANLI | Inventory number |
AANLM | Investment Orders |
AANLP | Investment Projects |
AANLR | Group assets |
AAPM_AA | Integration of FI-AA and PM: Field Names FI-AA |
AAPM_PM | Integration of FI-AA and PM: Field Names in Plant Mgmt |
AMAI | FI-AA Work List |
BAPI1022_ASSETCLASS | Asset class |
BAPI1022_ASSETSUPNO | Asset super number |
BAPI1022_CLASS_KEY | Property classification key |
BAPI1022_ENVIR_INVEST | Reason for environmental investment |
BAPI1022_EVALGROUP1 | First four-character evaluation group |
BAPI1022_EVALGROUP2 | Second four-character evaluation group |
BAPI1022_EVALGROUP3 | Third four-character evaluation group |
BAPI1022_EVALGROUP4 | Fourth four-character evaluation group |
BAPI1022_EVALGROUP5 | Eight-character evaluation group |
BAPI1022_INV_REASON | Reason for investment |
BAPI1022_PROP_IND | Property indicator |
BAPI1022_PROP_IND_VAL_REASON | Reason for manual valuation of net assets |
COBL_EX_AANL_APPEND | Append for Assets on the Coding Block |
FIAA_1022_GETL | Search help - Parameters for dynamic selections |
H_T082A | Generated helpview for check table T082A |
H_T082E | Help View for Views |
H_T085 | Investment Support Measures |
H_T086 | Help View for Sort Versions in AA Reporting |
H_T087 | Help View for Table T087 |
H_T087G | Help View for 8 Character Evaluation Groups |
H_T087I | Investment reason |
H_T087U | Asset Super Number |
H_T090C | External Depreciation Keys |
H_T092 | Property Classification Key |
H_T093 | Depreciation Areas T093 |
H_T093A | Real Depreciation Areas T093A |
H_T096 | Help View for Charts of Depreciation |
H_T099 | Insurance Types |
H_TABW_ABG | Retirement transaction types |
H_TABWG | Generated Help View for Check Table TABWG |
SH_ANLK | Collective Search Help: Asset Class |
SH_ANLKA | Company Code and Classes |
SH_ANLKB | Account Assignment / Screen Layout |
SH_ANLKC | Asset under Construction |
SH_ANLKD | Investment Measure |
SH_ANLKE | Real Estate |
SH_ANLKF | Group Assets |
SH_T093C | Search Help for Asset Company Code |
SYMKTO_00 | Account Determination in Asset Accounting |
SYMKTO_01 | Accounts for Asset Accounting |
SYMKTO_02 | Standard accounts in Asset Accounting |
SAP Package AA contains 13 message classes.
A0 | |
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A3 | Nachrichten aus Funktionsbausteinen Anlagenbuchhaltung |
AAPM | Integration PM zu FI-AA |
AB | |
AISBAUFBAU | |
AISC | Nachrichten aus Funktionsgruppe AISC (AnlagenstammsatzCheck) |
AISCO | Prüf- und Lesebausteine für Altdaten |
AIST | Meldungen des Anlagenstammsatzes |
AMOC | Anlagenbuchhaltung - Änderung der Organisationszuordnung |
ASEL | Nachrichtenklsse zur Funktgruppe ASEL in der Entw.klasse AA |
AU | Fehlermeldungen zu Anlagen-Utility-Programmen |
AX | Nachrichten für XPRA's aus der Anlagenbuchhaltung |
BAPI1022 | Nachrichten aus FIXEDASSET-Bapis |
SAP Package AA contains 3 authorization objects.
A_C_AFAPL | Asset Customizing: Chart of Depreciation |
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A_S_ANLGR | Group Asset |
A_S_KOSTL | Asset Master Record Maintenance: Company Code/Cost Center |