on 01-09-2007 12:12 AM
Hi
I need to get the net book value of an asset from table ANLC. The value should be the same as that shown in transaction AW01N. Anybody knows which fields in ANLC are used to calculate the net book value? Some of the fields for my assets in ANLC are empty and I am unsure if they are actually part of the net book value. Hmm, is ANLC even the correct table to get the net book value? Appreciate any advice, thanks.
hi,
yes ist's thright table
But better use function FI_AA_VALUES_CALCULATE
-> look with se 37 for the documentation
A.
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