Summary Tables for Asset Master?

I need to create an asset/insurance data report, using SAP Query, which shows the asset master record balances only (acquisition and posted depre'n) as at report selection date. 
Are there any summary tables for fixed assets that are equivalent to GLT0, KNC1 and LFC1 for GL, Customer and Vendor? 
Thanks in advance for any assistance.
Best regards,

I am not sure about ANEP or know how to use it.  It only has data records for the fiscal year when there is posting to acquisition values field u201CAmount postedu201D for the asset. No data records for other years with posted depreciation.

Similar Messages

  • Table for asset master layout

    Hi
    In asset master layout setting, we tell system which all fields needs to be made mandatory at the time of creating asset master. This setting we do at screen layout and this screen layout is assigned to asset class.
    I want to know table where i can see these fields and i can see which all fields are madfe mandatory, optional, etc.

    Hi
    I do not know how to check asset segment record. So I used T082A. I gave screen layout in the input parameter and i pressed 'execute'
    But it showed screen layout and its description. But it didn't show setting of every field (like madatory, display, optional, supress).
    I also tried T082B. But i am not getting how to view.
    Is there separate table for it?
    Edited by: Deepak Agrawal on Feb 29, 2012 1:59 PM

  • Table name for Asset master

    hi folks,
    can u share the TABLE NAME FOR ASSET MASTER
    Thanks in Adv
    Regards,
    Varma

    hi Prasad,
    ANLA                           Asset Master Record Segment              
    ANLB                           Depreciation terms                       
    ANLBZW                         Asset-specific base values               
    ANLC                           Asset Value Fields                       
    ANLE                           Asset Origin by Line Item                
    ANLH                           Main asset number                        
    ANLI                           Link table for investment measure -> AuC 
    ANLK                           Asset Origin by Cost Element             
    ANLP                           Asset Periodic Values                    
    ANLQ                           Period values from dep. posting run per po
    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         
    hope this helps
    ec

  • Table for asset no.

    Hello,
    i want table for asset no which are created by t-code As01. i want to display asset no in po printing for the transaction ME23N. so which table is suitable for this. also one thing is that that table must contain po no. so it is easy for me to join.
    can anybody tell me how can i display asset no for me23n?

    Hi Anuradha,
    Please do search in SAP -- (SE11 F4 Help) & SCN 
    ANAR                           Asset Types
    ANAT                           Asset type text
    ANEA                           Asset Line Items for Proportional Values
    ANEK                           Document Header Asset Posting
    ANEP                           Asset Line Items
    ANEV                           Asset downpymt settlement
    ANGA                           Asset catalog general data
    ANGB                           Asset catalog deprec. area
    ANGT                           Asset catalog text table
    ANKA                           Asset classes:  general data
    ANKAZ                          Asset class: extension for technica
    ANKB                           Asset class: depreciation area
    ANKLAY                         Asset class: Assignment of tab layo
    ANKLAYP                        Asset class: Assignment of tab layo
    ANKP                           Asset classes: Fld Cont Dpndnt on C
    ANKT                           Asset classes: Description
    ANKV                           Asset classes: insurance types
    ANLA                           Asset Master Record Segment
    ANLBZW                         Asset-specific base values
    ANLC                           Asset Value Fields
    ANLE                           Asset Origin by Line Item
    ANLK                           Asset Origin by Cost Element
    ANLP                           Asset Periodic Values
    ANLT                           Asset Texts
    ANLU                           Asset Master Record: User Fields
    ANLX                           Asset Master Record Segment
    ANLZ                           Time-Dependent Asset Allocations
    These are the Asset tables.
    Thanks & regards,
    Dileep .C

  • Change/ Add screen in Group Box specify tab layout for Asset master Record

    Hi All,
    I need to add or change group box in specify tab layout for Asset Master Record. Please advice where i can change or create new Group Box.
    Thanks & Regards,
    Pankaj

    Hi,
    Try at below path:
    Financial Accounting (New)>>Asset Accounting>>Master Data>>Screen Layout>>Define Screen Layout for Asset Master Data.
    here you can change the layout for the same.
    Kind Regards,
    Mehul

  • Error when creating a bdc for asset master upload

    I am getting a warning message (AA186), when changing the depreciation start date to capitalization date. It says,
    "Different Order Dep. start date in depreciation area 01. Check"
    This error is a problem in creating the BDC for asset master upload. We have only one depreciaton area 01 (book dep).
    Please help.

    This is normal message you get when you try to change depn start date. I think this should not be a problem for BDC posting. This message can always be bypassed.

  • What is maintanence level in  screen layout for asset master record

    hi everyboby,
    can anyone explian this
    when I'm defining screen layout for asset master record to  make business area as required entry it was throwing msg like select maintanance level. what could be the reason?can anyone help me on this.
    thanks
    siri

    hi..
    thanks for reply again.
    If i select  business area as optional (main no,sub no)and supress for all fileds (only selected main no) ,I'm able to save screen layout.If i set BA as required select mainno,sub no check box and save it shows the same  error msg.Anyway  i can create asset master now.thanks
    regards
    siri

  • Query ---  to find all child tables for a master table

    Suppose i have a table master .
    I want to know all tables which are child tables for this master table .
    In other words i want to know all those table names which have foreign key constraint for the master table .
    regards
    shubha

    You may want to join on the owner in case you have multiple schemas with same table names and same primary key names
    SELECT c.table_nameFROM all_constraints c, all_constraints p
    WHERE c.constraint_type = 'R'
    AND c.r_constraint_name = p.constraint_name
    AND p.constraint_type = 'P'
    AND c.owner = p.owner
    AND p.table_name = '&YOUR_MASTER_TABLE'

  • Group Asset for Asset Master

    Hiii gurus
    We are uploading data from April ' 07 till now..while uploading data i have entered the closing balances of assets and for group assets..
    Now in the month of April & May ' 07 , in Asset master template i forgot to enter Group Asset no. in Asset master data ( AS01 ). And the assets also capitalised in  the relevant months.Now i have to give ( Assign ) Group Asset no. in Main Asset  , but the field Group Asset in Main Asset is Suppressed.
    Plsss tell me how to make link between Group Asset and Main Asset after the acquisition ???
    Thanks & Regards
    Ramki

    Hi,
    Try at below path:
    Financial Accounting (New)>>Asset Accounting>>Master Data>>Screen Layout>>Define Screen Layout for Asset Master Data.
    here you can change the layout for the same.
    Kind Regards,
    Mehul

  • Screen Layout for Asset Master Data

    Hi all,
    we are using SAP ECC 6.0 with a base component 700 Level 15 and the Logistics and Accounting component 600 Level 12.
    I hope you can help me with the following tasks. It should be said that I am not an expert FI-AA, so you must bear with me.
    It is desired, that the Screen Layout for asset master data, should have an additional field "customer order" as a required field.
    So I go to the Customizing
    --> Financial Accounting --> Asset Accounting > Master Data> Screen Layout--> Define Screen Layout for Asset Master Data --> Define Screen Layout for Asset Master Data
    --> and then into the third level of navigation in the u201Cfield group rulesu201D (rule for R & D development costs and then logical field group time-dependent data)
    So there I should be deposited the "customer order" as a required field.
    But:
    1. The "customer order" is not available in any field group. How is it possible that I add the u201Ccustomer orderu201D to a field group?
    2.  I am not able to add any field, in the above transaction?
    I am very grateful for any help.
    greetings

    Dear all,
    I want to come back to my problem listed above.
    In the APC Values Posting  (Transaction ASKP) the costs have been assigned to a WBS element. Now, it should not be assigned to a WBS element, but to a customer order.
    For that I created in the asset master a new customer's own field "Customer Order".
    For this I have implemented the customer enhancement AIST0002 (Customer fields in asset master).
    The new field "Customer Order" is now available in the asset master as desired.
    So far so good.
    Now, the new field "Customer Order" must be specified and activate as an Account Assignment Object.
    Is this possible and how can I add my new field to an Account Assignment Object?
    Thanks in advance for any help.
    greetings
    Martin Buthmann

  • Table for asset management

    Hi
    Can anybody please tell me the table for assest like we have table BSID for customers and table BSIK for vendors.
    Regards
    Ankit

    Hi,
    This is asset accounting tables
    FI-AA-AA (AA)    Asset Accounting: Basic Functions – Master Data
    ANKA             Asset Classes: General Data             ANLKL
    ANKP             Asset Classes: Fld Cont Dpndnt on Chart ANLKL / AFAPL
                     of Depreciation
    ANKT             Asset Classes: Description              SPRAS / ANLKL
    ANKV             Asset Classes: Insurance Types          ANLKL / VRSLFD
    ANLA             Asset Master Record Segment             BUKRS / ANLN1 / ANLN2
    ANLB             Depreciation Terms                      BUKRS / ANLN1 / ANLN2 / AFABE
                                                             / BDATU
    ANLT             Asset Texts                             SPRAS / BUKRS / ANLN1 / ANLN2
    ANLU             Asset Master Record User Fields         .INCLUDE /  BUKRS / ANLN1 /  ANLN2
    ANLW             Insurable Values (Year Dependent)       BUKRS / ANLN1 / ANLN2 / VRSLFD /
                                                             GJAHR
    ANLX             Asset Master Record Segment             BUKRS / ANLN1 / ANLN2
    ANLZ             Time Dependent Asset Allocations        BUKRS / ANLN1 / ANLN2 / BDATU
    FI-AA-AA (AA2)   Asset Accounting: Basic Functions – Master Data 2.0
    ANAR             Asset Types                             ANLAR
    ANAT             Asset Type Text                         SPRAS / ANLAR
    FI-AA-AA (AB)    Asset Accounting: Basic Functions –
                     Asset Accounting
    ANEK             Document Header Asset Posting           BUKRS / ANLN1 / ANLN2 / GJAHR /
                                                             LNRAN
    ANEP             Asset Line Items                        BUKRS / ANLN1 / ANLN2 / GJAHR /
                                                             LNRAN / AFABE
    ANEV             Asset Downpymt Settlement               BUKRS / ANLN1 / ANLN2 / GJAHR /
                                                             LNRANS
    ANKB             Asset Class: Depreciation Area          ANLKL / AFAPL / AFABE / BDATU
    ANLC             Asset value Fields                      BUKRS / ANLN1 / ANLN2 / GJAHR /
                                                             AFABE
    ANLH             Main Asset Number                       BUKRS / ANLN1
    ANLP             Asset Periodic Values                   BUKRS / GJAHR / PERAF / AFBNR /
                                                             ANLN1 / ANLN2 / AFABER
    it is useful assign points
    Thanks
    gvr

  • Substitution exit for asset master is not getting triggered.

    Hi
    I have created a substitution exit program ZGGBS000 having exit U215 and U216. If the Asset affirm value is initial , then WBS elemnt value will copied to asset affirm value field in the table ANLA.But it is not getting tiggered, when i am trying i save the asset in AS01 tcode. Kindly help.
    Thanks
    Subha

    Hi,
    Please try thes exits:
    Enhancement     AIST0001     Exchange number range in master data maintenance                    
    Here we can export both   ANLA-ANLN1  ANLA-ANLN2 and Import  VALUE(I_ANLA) LIKE  ANLA STRUCTURE  ANLA
    AIST0002  Customer fields in asset master
    Alternative exits:
    AFAR0003 External changeover method
    AINT0005 Dummy for extended syntax check. Do not use.
    AISA0001 Assign Inventory Number
    TRAN0001 User exit for asset transfer
    AAPM0001 Integration of asset accounting and plant maintenance
    AIST0002 Customer fields in asset master
    AMSP0002 Determine relationship type for two company codes
    AIST0001 Exchange number range in master data maintenance
    AFAR0004 Determination of proportional values for retirement
    AINT0004 Change amount posted for certain areas
    I hope this may helpfull.
    Thank  you,
    Thanks,
    AMS

  • Tab layout for asset master

    hi kings
    I am unable to find the tabs in assets accounting.  Because at the time of asset master creation i am getting only 4 tabs. So i want to add some more tabs in the asset master. So how it is possiable to maintained the laout tab in the asset master.
    regards
    ram

    hi EC
    I am explain the problem :
    At the time of  asset master creation i can found it only 4 tabs i.e general,time-dependent,Allication,Depreciation areas.
    But i want some more tabs like Origin,Insurance,Networth tax. in Asset master records.
    As per my knowledge i am maintained the one layout and in that layout cantains the all the tabs in asset accounting. That layout has been assign to respective asset class.
    Eventhough i am not gettting the all the tabs in asset master. So i do for the my issue.
    regards
    ram

  • Tables for Assets & Liabilities in Profit Center

    Dear All,
    I want to know the tables for Profit Center wise Assets & Liabilities.
    Help needed.
    Regards,
    Pankaj.

    Hi Pankaj,
    Goto SE11 and view the contents of the table T8A30 EC-PCA: Define Additional Accounts which will be having the assignment of the GL Accounts to the profit center.
    Hope this helps you....
    Regards,
    Sreekanth....

  • Substitution not happening for Asset Master

    Hi Experts,
    I have created a substitution rule in OACS to update Depreciation key based on the Evaluation Group while creating Asset Master Record. After this when i simulate the system was giving value for the LVA Key as designed but however when i run the actual transaction it does not populate. Currently the substitution is working for the other steps created under the same substitution rule for other fields in Asset Master record.
    Also let me know if the default made at Asset Class level for the depreciation key has any impact on this substitution
    Regards
    Zehran

    Also i notice that when i create the asset in the test system with expert total trace, the substitution is triggered when the values is entered in the Time Dependent tab and the input for the substitution is available in the allocation tab. Even if the data is entered in allocation tab first, the system is triggering the expert trace with TRUE condition for the substitution but the values are not populated in the depreciation tab for the depreciation key
    Regards
    Zehran

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