Select data from sap tables CNV_4

Display SAP table details
  



CNV_40107_S_LOGSYS - Relevant fields of LOGSYS

CNV_40107_S_LOGSYS_MAPPING - Line of a Mapping table for Logical System(Logsys)

CNV_40300_S_ANKA - ANKA for conversion

CNV_40300_S_ANKA_FIELDS - Relevant fields of ANKA

CNV_40300_S_ANKP_FIELDS - Relevant fields of ANKP

CNV_40300_S_ANLA - Structure with relevant fields of table ANLA

CNV_40300_S_ANLKL_ANLN_MAPPING - Asset classes for single assets (in ME)

CNV_40300_S_ANLKL_MAPPING - Line of a Mapping table for asset classes (ANLKL)

CNV_40300_S_TEXT_MAPPING - Structure with information of (new) asset class texts

CNV_40301_S_KTOGR_MAPPING - Line of a Mapping table for asset account determ. (KTOGR)

CNV_40301_S_T095A - Relevant fields of T095A

CNV_40301_S_TEXT_MAPPING - Structure with information of (new) asset account det. texts

CNV_40301_T095T - OBSOLETE: Former Mapping for descriptions for KTOGR

CNV_40305_ANKA - Backup of ANKA from prior to the conversion

CNV_40305_ANKA_B - Backup of ANKA from prior to the conversion

CNV_40305_ANKP - Backup of ANKP from prior to the conversion

CNV_40305_ANKP_B - Backup of ANKP from prior to the conversion

CNV_40305_ANKT - CNV backup table for Asset classes: Description

CNV_40305_ANLA - Assets with semantically changing account determination

CNV_40305_ANLA_B - Assets with semantically changing account determination

CNV_40305_MERGE - Assets with semantically changing account determination

CNV_40305_POST_A - Aggregated amount to be reposted

CNV_40305_POST_D - Values to be reposted for a given asset

CNV_40305_SIM_PA - Aggregated amount to be reposted

CNV_40305_SIM_PD - Values to be reposted for a given asset

CNV_40305_S_ACCOBJ - Accounting objects for transfer postings

CNV_40305_S_ANKA - Asset class and corresponding asset account determination

CNV_40305_S_ANKP - Asset class, Chart of Dep. and corr. asset account det.

CNV_40305_S_ANLA - Asset Master Record Segment

CNV_40305_S_FI_ACCCLR - Structure with ACCCLR information

CNV_40305_S_FI_ACCREV - Structure with ACCREV information

CNV_40305_S_FI_DOCUMENT_HEADER - FI document header

CNV_40305_S_FI_DOC_LINE_ITEM - FI document header

CNV_40305_S_POST_A - Aggregated amount to be reposted

CNV_40305_S_POST_A_KEY - Aggregated amount to be reposted - Key of CNV_40305_ANLA

CNV_40305_S_POST_A_NONKEY - Aggregated amount to be reposted - Data of CNV_40305_ANLA

CNV_40305_S_POST_D - Values to be reposted for a given asset

CNV_40305_S_POST_D_KEY - Values to be reposted - Key of CNV_40305_POST_D

CNV_40305_S_POST_D_NONKEY - Values to be reposted - Data of CNV_40305_POST_D

CNV_40305_S_POST_FIELDS - Fields for posting

CNV_40305_S_SAKNR - Structure for G/L Account Numbers

CNV_40305_S_TRANSFER - FI-AA field names of accounts for which transfer takes place

CNV_40305_T095 - CNV Backup of T095

CNV_40305_T095B - CNV Backup of T095B

CNV_40305_T095C - CNV Backup of T095C

CNV_40305_T095P - CNV Backup of T095P

CNV_40305_T095T - CNV Backup of T095T

CNV_40305_TABMAP - Mapping Scenarios for tables

CNV_40305_TCUST - Document type per company code (for transfer postings)

Return Table index