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Transaction Code: CNV_40301_TX_KTOGR
Description: Mapping Descr. for Asset Account Det
Release: S/4HANA and ECC 6
Program:
Screen: 0
Authorization Object:
Development Package: CNV_40301
Package Description: Conversion of account determination
Parent Package: DMIS_APPL_CNV_CONV
Module/Component: CA-DT-CNV
Description: Landscape Transformation for Conversion
. Overview: CNV_40301_TX_KTOGR is a SAP transaction code used to map the description of an asset account detail. This code is used to ensure that the description of the asset account detail is consistent across all systems. Functionality: This transaction code allows users to map the description of an asset account detail from one system to another. This ensures that the description of the asset account detail is consistent across all systems, making it easier for users to understand and access the information they need. Step-by-step How to Use: 1. Enter CNV_40301_TX_KTOGR in the SAP command field. 2. Select the source system and target system from the drop-down menus. 3. Select the asset account detail you want to map from the list of available options. 4. Enter a description for the asset account detail in the Description field. 5. Click “Save” to save your changes. 6. Click “Execute” to execute your changes and map the description of the asset account detail from one system to another. Other Recommendations: It is recommended that users familiarize themselves with this transaction code before using it, as it can be complex and time-consuming to use if not done correctly. Additionally, users should ensure that they have all necessary information before attempting to use this transaction code, as it can be difficult to undo any changes made with this code once they have been saved and executed.
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