SAP CNV_40305_SIM_PD Table – Values to be reposted for a given asset

The CNV_40305_SIM_PD table in SAP ERP or S/4HANA stores Values to be reposted for a given asset data. There are total 17 fields in CNV_40305_SIM_PD table. The Values to be reposted for a given asset table is available in all major SAP S/4HANA versions, is implemented as a Column Store table within the SAP HANA database. Additionally we provide an overview of the structure and fields of CNV_40305_SIM_PD table. It is in Asset transfer postings due to a change of account determ. (CNV_40305) ABAP package and is part of the Landscape Transformation for Conversion (CA-DT-CNV) module.

SAP CNV_40305_SIM_PD Table Fields

Following is the list of fields that are available in SAP CNV_40305_SIM_PD table. The primary key fields of the table are MANDT (Client), PACKID (Conversion: Conversion package number), EXEC_NUM (Counters For Execution of Specified Activity), BUKRS (Company Code), ANLN1 (Main Asset Number), ANLN2 (Asset Subnumber), AFABE (Depreciation area), AFABE_SRC (Depreciation area), TYPE (Balance sheet accounts considered in reposting).

Field Description Data Element Check Table Data Type
MANDT Client MANDT CLNT (3)
PACKID Conversion: Conversion package number CNV_PACK CHAR (5)
EXEC_NUM Counters For Execution of Specified Activity CNV_MBT_EXEC_NUM NUMC (4)
BUKRS Company Code BUKRS CHAR (4)
ANLN1 Main Asset Number ANLN1 * CHAR (12)
ANLN2 Asset Subnumber ANLN2 * CHAR (4)
AFABE Depreciation area CNV_40305_AFABE NUMC (2)
AFABE_SRC Depreciation area CNV_40305_AFABE NUMC (2)
TYPE Balance sheet accounts considered in reposting CNV_40305_TYPE CHAR (6)
ANLKL Asset class CNV_40300_ANLKL CHAR (8)
KTOGR Account determination CNV_40301_KTOGR CHAR (8)
SAKNR G/L Account Number SAKNR CHAR (10)
AMOUNT amount to be reposted CNV_40305_AMOUNT CURR (23)
WAERS Currency Key WAERS * CUKY (5)
PRCTR Profit Center PRCTR CHAR (10)
GSBER Business Area GSBER * CHAR (4)
SEGMENT Segment for Segmental Reporting CNVMBTASF_SEGMENT * CHAR (10)