Asset report related table and fields

Hi ,
I need table name and field  ( Asset related ) for  -
a)  GL A/C P&L
b)  ASSET DEPRECIATION SCHEDULED
c)  FORCASTED DEPRECIATION
d)  PLANNED EXPENSES VERSES ACTUAL EXPENSES
e)  GAP DEPRECIATION CATEGORY
e)  MANUAL ENTRIES  MADE BY USER  TO BOOK  DEPRECIATION
This is urgent. Please help.
Regards.

Hi Gopi ,
Will you please tell me which field from the tables will match to the description given by me ? As I am already using this tables but I could not locate required fields.
Thanks.
Narayan

Similar Messages

  • About Asset report - table and fields

    Hi ,
    I am developing an Asset Report, I need table and field names for following -
    a) GL A/C P&L
    b) ASSET DEPRECIATION SCHEDULED
    c) FORCASTED DEPRECIATION
    d) PLANNED EXPENSES VERSES ACTUAL EXPENSES
    e) GAP DEPRECIATION CATEGORY
    e) When user enters the asset into SAP, the depreciation expense will automatically book to the sub-ledger. However in order to get the amount on the general ledger, which would be closed for prior periods, user must book a manual entry. So , I need this manual entry field.
    Please guide me.
    Regards,
    Narayan

    problem solved

  • Asset accounting Tables and Fields.

    Hi Experts,
    I need some table and field in asset accounting, my requirement is below.
    1) 2009 depreciation expense for all assets still in service (not written off during 2009) (by class, by asset); and
    2) 2009 depreciation expense on all assets written off during the year (by class, by asset)
    Thanks in advance.
    REgards,
    Sam.

    Hi Sam,
    I think in ANLC you find what you need.
    If not, give me feedback
    regards Bernhard

  • Custom report table and field mapping

    Hi Experts,
    i am writing a functional spec for the custom report to be developed by developers and need to know the table and field name for the following items:
    Employee Number
    Name
    Original Hire date
    Adjusted Hire date
    Salary Class
    Rate of Pay
    Emp. Status
    Classification
    Acounting Unit
    Activity (WBS)
    Accrual Beginning Balance (Hours)
    Accrual Beginning Balance (Dollars)
    Accrued (Hours)
    Accrued (Dollars)
    Used (Hours)
    Used (Dollars)
    Other / Manual Adjustments (+/-) (Hours)
    Other / Manual Adjustments (+/-) (Dollars)
    Other / Manual Adjustments Description
    Accrual Ending Balance (Hours)
    Accrual Ending Balance (Dollars)
    Vested Status
    PlanCode
    PlanDescription
    Thanks,
    Lisa

    I can give you a 30,000 foot answer, but to get down to ground level I would have to know your system.  There is way to much missing information in your request to give you a definite answer.
    Employee Number - if you are using LDB PNP/PNPCE to run your report then it is the field PERNR-PERNR.
    Name - IT/PA0002-NACHN -Last Name, IT/PA0002-VORNA-First Name.IT/PA002-MIDNM-Middle Name. Depending on your system configuration these fields are also stored on IT/AP0001-SNAME (Last Name-FirstName) or ENAME(First Name, Middle Name, Last Name)
    Original Hire Date-IT/PA0041-This stores multiple date types with a specific code to identify what each one is.  You will need to know the code for OHD.
    Adjusted Hire Date - same as above
    Salary Class- not sure what you are talking about, but salary information is stored on IT/PA008
    Empl Status - IT/PA000-Stat2
    Classification-not sure what field you are talking about, but IT/PA0001 is where this type of information is stored
    Accounting Unit-same as above
    Activity(WBS)- now you are getting complicated. This is stored in Cost Distribution  HRT1019-POSNR, but you have to know how to connect the dots to get there.
    Accrual Beginning Balance(Hours)-I would go to the ABWKONTI table in the Time Cluster for this fields ANZHL & KVERB
    Accrual Beginning Balance(Dollars) - this will probably have to be computed
    Used(Hours)-You can either compute this balance by computing the difference between the Beginning/Ending balances or read back through the appropriate Time Cluster Tables or total IT/PA2001 and IT/PA2013.
    Used(dollars) will probably have to be computed
    Other/Manual Adjustments(Hours) - not sure but you may be looking at IT/PA2013
    Other/Manual Adjustments(Dollars)- will have to be computed
    Accrual Ending Balance(Hours)-I would go to the ABWKONTI table in the Time Cluster for this fields ANZHL & KVERB
    Accrual Ending Balance(Dollars) - this will probably have to be computed
    Vested Status - I have no idea
    Plan Code-Plan Code for what(Health Ins, Life Ins, Retirement Plans, Flexible Spending?)
    Plan/Description-see above

  • Accounts Receivable Reports:Table and field required

    Hi experts,
    My user requires said reports in the following formats:
    Posting date Invoice no. Customer  code  Invoice amount  Payment received outstandig amount
    Now i want to customized this reports.I have got table and fields for "posting date,invoice no,customer code ,invoice amount".
    But i am unable to get table and field for "payment received and outstanding amount".
    Please advise.
    Regards,
    Samaar

    Hi,
    You can get the values in the below fields of BSEG / BSID / BSAD tables.
    REBZG,  REBZJ,  REBZZ, DMBTR.
    But prerequisite for this is that, your incoming payment document must have been posted with reference to an existing outgoing invoice. Means posting made without any reference (on account payments) cannot be identified as a payment for a particular invoice item.
    The balance amount will be a derived value field. ( inv amount - payment amount = Balance receivable)
    Please co ordinate with yout ABAPer in order to fullfil your requirement.
    Regards,
    Srinu

  • Customer reports-Table and field required

    Hi experts,
    We have customized on customer reports.We raise billing in USD4,in INR and in other currency.At present,they can get reports in INR,USD4 and other currency separately.Now my user requires,the whole reports in USD4,that means all other currencies tp be converted in USD4.Please advise in which table and field for the said matter
    Regards,
    Samaar

    You can use TCURR table. Program should get USD4 amount and then convert amount to different currencies using either historical excahnge rate or current exchange rate in TCURR table.

  • Asset report with master data fields

    It seems like that all standard asset reports can not display fields from the master record of the asset like room, user fields, etc. But those fields are there in the selection screen of standard reports. Is there standard report that can show me the asset values and fields from the asset master record?

    Hi,
    A comment from my side, for fixed asset related data like the fields you mentioned are available in asset history sheet report and all available fields are easily exported into Excel sheet if only the 'Use ALV grid' indicator under the 'Display options' is activated. Alternatively building a separate report using the query tool as mentioned.
    However from end user perspective, the former may be readily accessible and with minimum maintenance when compared to the later as it requires the knowledge of database table relationship and query creation.
    Thanks for the attention.
    Kind regards,
    John Chin

  • Table and field for Department ID, Department ID desc, and DIV

    Hi,
    We're planning to develop a "Z" report, by extending CJI3 transaction. I want to add the following fields to this new report. I just wanted to know from what tables these fields are coming from standard SAP (I believe these fields might be related to controlling, so I'm posting in this forum):
    1. Department ID
    2. Department ID Description
    3. Division (DIV)
    Aman

    Hi Asim ,
    The currency in Material Master is updated from the Company Code.
    At first system checks the company code for which the Plant is assigned and picks the currecy from the company code.
    You can find the same in Table T001 ; Field - WAERS
    What do u mean by Product ID ? Let me know where does it exist in Material Master.
    If you know the view, press F1 and then Technical Inf to get the table and Field Name.
    Regards
    Ramesh Ch

  • Sale Order Item Level Text Field which table and field

    Hi,
    Thanks for your prompt reply and best solution.
    Can you please tell me one more thing, in sale order at item level the TEXT Field maintaining by user at transaction level now they want that field in one of the report, so can you please tell what is the table and field where i will get this sale order item level text details.

    Hello,
    is this going to work for item level text as well.
    can you tell how to proceed with this functional module
    or is there any other thing required.Please elaborate to
    understand better way.
    You can check out two table in respect to Sales TEXT i.e. STXH (STXD SAPscript text file header) and STXL(SAPscript text file lines).
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    Client
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    Language of text to be read
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    Archive handle
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  • What are  the tables and fields  in fico & sd module

    what are  the tables and fields  in fico & sd module

    Hi,
    <b> Sales and Distribution:</b>
    Customers KNA1 General Data
    KNB1 Customer Master – Co. Code Data (payment method, reconciliation acct)
    KNB4 Customer Payment History
    KNB5 Customer Master – Dunning info
    KNBK Customer Master Bank Data
    KNKA Customer Master Credit Mgmt.
    KNKK Customer Master Credit Control Area Data (credit limits)
    KNVV Sales Area Data (terms, order probability)
    KNVI Customer Master Tax Indicator
    KNVP Partner Function key
    KNVD Output type
    KNVS Customer Master Ship Data
    KLPA Customer/Vendor Link
    Sales Documents VBAKUK VBAK + VBUK
    VBUK Header Status and Administrative Data
    VBAK Sales Document – Header Data
    VBKD Sales Document – Business Data
    VBUP Item Status VBAP Sales Document – Item Data
    VBPA Partners
    VBFA Document Flow
    VBEP Sales Document Schedule Line
    VBBE Sales Requirements: Individual Records
    SD Delivery DocumeLIPS Delivery Document item data, includes referencing PO
    LIKP Delivery Document Header data
    Billing Document VBRK Billing Document Header
    VBRP Billing Document Item
    SD Shipping Unit VEKP Shipping Unit Item (Content)
    VEPO Shipping Unit Header
    <b>Financial Accounting</b>
    FBAS             Financial Accounting “Basis”
    BKPF             Accounting Document Header              BUKRS / BELNR / GJAHR
    BSEG             Accounting Document Segment             BUKRS / BELNR / GJAHR / BUZEI
    BSIP             Index for Vendor Validation of Double   BUKRS / LIFNR / WAERS / BLDAT /
                     Documents                               XBLNR / WRBTR / BELNR / GJAHR / BUZEI
    BVOR             Inter Company Posting Procedure         BVORG / BUKRS / GJAHR / BELNR
    EBKPF            Accounting Document Header (docs from   GLSBK / BELNR / GJHAR / GLEBK
                     External Systems)
    FRUN             Run Date of a Program                   PRGID
    KLPA             Customer / Vendor Linking               NKULI / NBUKR / NKOAR / PNTYP
                                                             / VKULI / VBUKR / VKOAR
    KNB4             Customer Payment History                KUNNR / BUKRS
    KNB5             Customer Master Dunning Data            KUNNR / BUKRS / MABER
    KNBK             Customer Master Bank Details            KUNNR / BANKS / BANKL / BANKN
    KNC1             Customer Master Transaction Figures     KUNNR / BUKRS / GJHAR
    KNC3             Customer Master Special GL Transactions KUNNR / BUKRS / GJAHR / SHBKZ
                     Figures
    LFB5             Vendor Master Dunning Data              LIFNR / BUKRS / MABER
    LFBK             Vendor Master Bank Details              LIFNR / BANKS / BANKL / BANKN
    LFC1             Vendor Master Transaction Figures       LIFNR / BUKRS / GJHAR
    LFC3             Vendor Master Special GL Transactions   LIFNR / BUKRS / GJHAR / SHBKZ
                     Figures
    VBKPF            Document Header for Document Parking    AUSBK / BUKRS / BELNR / GJHAR
    FBASCORE         Financial Accounting General Services “Basis”
    KNB1             Customer Master (Company Code)          KUNNR / BUKRS
    LFA1             Vendor Master (General Section)         LIFNR
    LFB1             Vendor Master (company Code Section)    LIFNR / BUKRS
    SKA1             G/L Account Master (Chart of Accounts)  KTOPL / SAKNR
    SKAT             G/L Account Master (Chart of Accounts – SPRAS / KTOPL / SAKNR
                     Description)
    MAHNS            Accounts Blocked by Dunning Selection   KOART / BUKRS / KONKO / MABER
    MHNK             Dunning Data (Account Entries)          LAUFD / LAUFI / KOART / BUKRS /
                                                             KUNNR / LIFNR / CPDKY / SKNRZE /
                                                             SMABER / SMAHSK / BUSAB
    FI-GL-GL (FBS)   General Ledger Accounting: Basic Functions- G/L Accounts
    SKAS             G/L Account Master (Chart of Accounts – SPRAS / KTOPL / SAKNR / SCHLW
                     Key Word list)
    SKB1             G/L Account Master (Company Code)       BUKRS / SAKNR
    FI-GL-GL (FBSC)  General Ledger Accounting: Basic
                     Functions - R/3 Customizing for G/L Accounts
    FIGLREP          Settings for G/L Posting Reports        MANDT
    TSAKR            Create G/L account with reference       BUKRS / SAKNR
    FI-GL-GL (FFE)   General Ledger Accounting: Basic
                     Functions - Fast Data Entry
    KOMU             Account Assignment Templates for G/L    KMNAM / KMZEI
                     Account items
    FI-AR-AR (FBD)   Accounts Receivable: Basic Functions - Customers
    KNKA             Customer Master Credit Management :     KUNNR
                     Central Data
    KNKK             Customer Master Credit Management :     KUNNR / KKBER
                     Control Area Data
    KNKKF1           Credit Management : FI Status data      LOGSYS / KUNNR / KKBER / REGUL
    RFRR             Accounting Data – A/R and A/P           RELID / SRTFD / SRTF2
                     Information System
    FI-BL-PT         Bank Accounting: Payment (BFIBL_CHECK_D)  Transactions – General Sections
    PAYR             Payment Medium File                     ZBUKR / HBKID / HKTID / RZAWE /
                                                             CHECT
    PCEC             Pre-numbered Check                      ZBUKR / HBKID / HKTID / STAPL
    FI-BL-PT-AP(FMZA)Bank Accounting: Payment Transactions – Automatic Payments
    F111G            Global Settings for Payment Program for MANDT
                     Payment Requests
    FDZA             Cash Management Line Items in Payment   KEYNO
                     Requests
    PAYRQ            Payment Requests                        KEYNO
    Hope this solves your concern...
    Regards,
    Habeeb
    Assign points if helpful

  • Table and field for the given object

    Hi all,
    We are developing a report , i need following table and fields. Could you please help me on this?
    Supplier
    No of approval required
    Approval status
    Approval pending with
    In approval since
    Thanks in advance , will appriciate any input
    Hareesha

    Hi  ,
    Still am not able to find out the FM/ table whom its pending for approval (shopping cart). Could you please help me on this?
    (E.g: Shopping cart got created and having 7 levels of approval (Manager1, 2, 3,4,5,6 and 7),let us say First 2 manageru2019s approved, 3rd manager has to approve the Shopping cart, we need to pull these information of pending with 3rd manager in our Z-report )
    Thanks in advance
    Harish

  • Sub Contracting PO- Table and Fields for Materials sent

    Dear Friends,
    I am preparing a functional spec for the sub contracting PO.
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    Shashidhar

    Dear Shash,
    Here some details of table infirmation not only your related feild available in all feilds
    http://www.erpgenie.com/sap/abap/tables_fi.htm
    Hope this helps you
    Prem.

  • Tcode CA03's  table and fields

    Hello Expert,
    In CA03 Transaction Code, there are fields like Operating ,workcenter, plant , control Key, Activity Type etc..
    I just want to know where these all customization can be done want to check cost center and activity hours for one article.
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    Hi,
    Check the following tables:
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    CSSL  - Cost center / activity
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  • Table and fields for tax details

    Hi,
    I have to create one Finance module Report in which i want to display net amount without tax for one single line item which is open item for incoming customer invoice, the accounting department need to know the net value (without tax) .
    In tcode FB03 , if you see the document number then it will give all accounts(customer), posting key wise amount, but this amount is gross amount. in this amount tax amount is added as per tax code. (you can see by clicking tax details tab), and tax calculated is for whole ducoments number not for single line item.
    i want net amount without adding tax amount for particular single line item. so please guide me table and fields from where and how i can calculate. in tax tab there is field base amount but its giving calculation against all total against document.
    table i am using in my report is KNA1.KNKK, KNB1, BKPF. BSEG.
    Give me some idea. how can i prepare report.
    Have a Nice Day,
    Regards,
    Sujeet

    Dear Dzed Maroz ,
    Thanks for your reply.
    I have already checked these fields (HWSTE, FWSTE) in table BSET. this fields tax amount againt that Document Number. (which may contains more than one line items), but my requirement is to find the amount without tax for individual line item.
    reason is , i want to display in my report only open items and it will be a line item, so i am displaying net amount as well base amount (without tax) for particular line items.
    but tax details is calculated based on document number not against customer number.this is incoming invoice
    ,and in customization tax code is assigned, so its reflecting amount after including tax amount.
    is there any way to find out solution? please give me some idea.
    regards,
    sujeet

  • Table and fields name required

    Hi ,
    I am abaper ,i need yr help .
    i had to develop stock transfer report and needed table and fields for stock transfer
    which include way bill no., transport doc. no and date ,stock transfer memo no.
    kindly do held me.

    Sales and Distribution Tables
    KONV Conditions for Transaction Data
    KONP Conditions for Items
    LIKP Delivery Header Data
    LIPS Delivery: Item data
    VBAK Sales Document: Header Data
    VBAP Sales Document: Item Data
    VBBE Sales Requirements: Individual Records
    VBEH Schedule line history
    VBEP Sales Document: Schedule Line Data
    VBFA Sales Document Flow
    VBLB Sales document: Release order data
    VBLK SD Document: Delivery Note Header
    VBPA Sales Document: Partner
    VBRK Billing: Header Data
    VBRP Billing: Item Data
    VBUK Sales Document: Header Status and Administrative Data
    VBUP Sales Document: Item Status
    VEKP Handling Unit - Header Table
    VEPO Packing: Handling Unit Item (Contents)
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