16.0.3: custom cursor for third party plugin missing

We are using a third party plugin which has its own cursor (probably 16x16 png), and after upgrade to AI 16.0.3 on Mac OS 10.8, iMac, the custom cursor just gone, currently it ues system cursor (a black arrow).
Any detailed info about this upgrade may cause the problem?

So, here's what happened. In the 16.0.3/16.2 update, Adobe broke sAIUser->SetCursor(). Any plug-in that was using this call to display cursors will no longer be able to change their cursors on Mac. Cursors did not break on Windows. There are two options for developers; either change to platform cursors or wait for Adobe to issue a fix (I do not know, however, if one is planned). Hot Door has already changed to platform cursors and will be issuing an update later this week. There is a discussion on StackOverflow for those interested in the programming solution.

Similar Messages

  • Custom Template for Third Party Balance Summary Report(Java type executable

    Hi Al,l we have a requirment to have a layout with some of the fields from
    Third Party Balance Summary Report( Which is a Java type executable and
    Data definition has Data Template attached(.xml)).
    I tried in below way.
    Coppied the Third Party Balance Summary Report program with same application and parameters
    with. Then defined a Datadefinition with my concurrent prog short name
    attached the same standard .xml file(Not sure what it is) and developed a custom template with
    a custom rtf(excel output type), and submitted the program
    the output is generated in excel but my custom .rtf layout is not getting applied
    rather it is showing same layout as in standard.
    Some thing I am missing here or else it is not the way of changing the
    template.
    If any one know how to do this please let me know.
    My client want only some files from the standard report(no need of new fileds)
    with output type xls.
    Thanks in Advance.
    The same content is posted in Custom Template for Third Party Balance Summary Report(Java type executable sorry for duplicating the thread, just for increase the visibility for my issue I did this.

    I gave up on using a different font or figuring out if I could use Times New Roman's built-in fractions visible in Font Book (as unicodes) and did a work-around based on Michael Wasley's tips in this discussion.
    https://discussions.apple.com/message/11622842#11622842
    I adapted it however and think it looks a little better.
    Font: Times New Roman 12 point
    I used the fraction bar in 12-point (Shift-Option-1) for automatic kerning.
    For the numerator, I changed the font style to superior (12-point).
    For the denominator, I changed the font style to subscript (Shift-Command-hyphen) and reduced the font size to half, or 6-point using the short-cut Shift-Command-<.
    When the fractions occured in my footnotes (9-point), I used 4-point in the denominator; 10- and 11-point, I used 5-point in the denominator. This seemed to produce the best result when printing.
    Thank you, Michael.
    -Dottie

  • Logic X and 9 looking for third party plugins in the wrong place Mavericks

    Hi all
    i'm having trouble loading up old sessions in logicX and Logic 9 with my recent upgrade of computer which came with mavericks.
    can anybody please help me!!
    Logic is searching for third party plugins like this:
    this is a real pain because when i replace the plugin with the exact same plugin from its propper location i loose all the settings that were originaly used.
    thanks in advance
    Mitch

    See if this helps: Find your hardware serial number.
                   and     About This Mac

  • Customer invoice for Third Party return and Credit Invoice???

    Hi All,
    Business needs third party return with vendor & customer Credit invoice.
    I am fully aware that standard SAP does not support this scenario.
    I am looking any other best way to implement this scenario in sap, if any body has worked on this.. I am thinking in below line:
    Changing VBUK-FKSAK and VBUP-FKSAA by using program once vendor invoice generated... but not sure its impact in other area. one impact I can see its making cost negative in invoice.
    Another option tried is to delink vendor & credit invoice by using 'B' Billing relevance, This is generating zero invoice if billing block is removed & PO has been created..
    Please advice
    Regards

    Dear Neeraj L,
                   Can you explain the process more in detail?
    Because,in 3rd party - returns will occur only after Customer rejects the goods from the Vendor. then goods has to be returned from teh Customer , but not from the Vendor.
    You might thought of - Returns from Customer & then return to Vendor- which is std process? Doesnt it fit your requirement?
    But in this case, there is no sales order link to Vendor returns.
    Regards,
    Reazuddin MD

  • Custom Live Tiles for Third Party Apps

    Hello,
    how can I create custom live tiles for third party apps? There are a lot of applications which can pin live tile which starts another app - for example Facebook. How can I do that?

    You cannot. You can create live tiles only for your own app, not for others' apps.
    See
    Working with tiles, badges, and toast notifications for documentation on creating live tiles for your own apps.

  • Process demand for third party direct shipment

    Hello ,
    I need help in below given areas. in our rollout client is given statement of work like this.
    1)     Demand transfer to vendors
    2)     Reminder processing
    3)     Process demand for third party direct shipment
    Please can you explain me about these area, how it works with example. it is very benificial for us.
    Regards
    sapman

    Hi Sapera,
    There can be 3 typse of trading scenarios
    1. 3rd party with Shipping notification : Where in u create sales order  and create PO against the PR which si triggered in SAles order adn hen MIGO followed by MIRO and Billing. Here Billing to the end customer can be doen before MIRO because the billign quantity considered is based on the goods Receipt( MIGO) quantity. Many a times you might have your personnels or soem mechanisms to cross verify the delivered quanity as some times the vendor might not dispatch the quantiy in the PO. Here the MIGO doen si consumption posting/Non valuated GR as physically it doenot come into your stock and therefore is not shown in our stock. ITem category used in TAS
    2. 3rd party without shiiping notfication ; Here MIGO is not done and billig ncan be done only after MIRO as the billing quantity is based on the Invocie receipt quantity in MIRO
    3. Bought in items/ Dealer Sales : Here you bring in the materials from the vendor to our depot plant and then dispatch it to the customer . Here PR is geenrated from sales order followed by PO and MIGO. After MIGO you have to do PGI followed by Billing. MIRO doesnot have any impact on the PGI or Billing. Item category used is TAB
    But in all the three instancesthe configurational changes happen in schedule line cateogry and the account assignment which is maintiend in item category and for automatic determination of 2 different schedule line categories we need to maintian 2 different item categories alothough item category settings are almost the same.
    Hope this was helpful in giving you some insights on the trading processes
    Regards,
    Nithin

  • MRP for Third party process

    My client requirement is we run the MRP and the MRP controller found that the material cannot produced in house and then the decision is taken to deliver the goods to the customer by using third party sale process.
    I suggested the client that we will modify the standard sales order by changing the item category and item category group in sales order.
    But he is not agreeing to it.
    Please guide me how to do this

    Hi,
    2 suggestions:
    If you're material planning process is stable then you can maintain TRLT field in the material master and an understanding with your production people that if sales books an order based on the TRLT, then they can obtain the finished part at the end of TRLT.
    If that understanding can be had, then while creating the sales order, system will do an Av. check & that will give you a realistic situation as to when you can deliver the assembly. If it is within the acceptable timeline, then proceed to book the sales order, if it is not, then change the item category TAS & then you can have the third party flow.
    Alternatively if the above is not possible, then at the time of creation of SO, you can have the schedule line category as CN, implying no transfer to MRP. Then the sales planner can get the commitment from Production, then decide whether to go for inhouse or third party.
    Discuss the above options & if acceptable adopt the same.
    Regards,
    Vivek

  • Process Required for Third party sales

    Hi Guru ji's ,
    Pls let me know the step by step procedure for Third party sales processing.
    on the below conditions.
    1] Sales order to be created automatically based on the Bapi .
    2] Based on the Sales order, automatic Purchase order and Gr must happen.
    3] Automatic invoices must also be created automatically.
    Can any one explain us what is to be done under the above said conditions,
    Best Regards,
    Gurpreet Singh Saini.

    Hi
    Please find enclosed the details on third party.
    Process Flow for 3rd Party Sales
    Customize the third party sales in summary:
    1. Create Vendor XK01
    2. Create Material u2013 Material Type as "Trading Goods". Item category group as "BANS".
    3. Assign Item Category TAS to Order type that you are going to use.
    4. A sale order is created and when saved a PR is generated at the background 
    5. With reference to SO a PO is created (ME21N). The company raises PO to the vendor.
    6. Vendor delivers the goods and raises bill to company. MM receives the invoice MIRO 
    7. Goods receipt MIGO 
    8. Goods issue
    9. The item cat TAS or Schedule line cat CS is not relevant for delivery which is evident from the config and,   therefore, there is no delivery process attached in the whole process of Third party sales.
    10. Billing      *-- Seema Dhar
    SD -  3rd party sales order Create Sales Order
    VA01
          Order Type
          Sales org, distr chnl, div
          Enter
          Sold to
          PO #
          Material
          Quantity
          Enter
          Save
    SD -  3rd party sales order View the PR that is created with a third party sales order
    VA01
          Order Number
          Goto Item Overview
          Item ->Schedule Item
    SD -  3rd party sales order View the PR that is created
    ME52N
          Key in the PR number
          Save
    SD -  3rd party sales order Assign the PR to the vendor and create PO
    ME57
          Key in the PR number
          Toggle the "Assigned Purchase Requisition"
          Execute
          Check the box next to the material
          Assign Automatically button
          Click on "Assignments" button
          Click on "Process assignment"
          The "Process Assignment Create PO" box , enter
          Drag the PR and drop in the shopping basket
          Save
    SD -  3rd party sales order Receive Goods
    MIGO_GR
          PO Number
          DN Number
          Batch tab , click on classification
          Serial Numbers tab
          Date of Production
          Flag Item OK
          Check, just in case
          Post
          Save
    SD -  3rd party sales order Create Invoice
    MIRO
          Invoice Date
          Look for the PO , state the vendor and the Material
          Check the box
          Clilck on "Copy"
          Purchase Order Number (bottom half of the screen)
          Amount
          State the baseline date
          Simulate & Post
          Invoice Number
          *Invoice blocked due to date variance
    SD -  3rd party sales order Create a delivery order
    VL01N
          In the order screen , go to the menu Sales Document , select "Deliver"
          Go to "picking" tab
          State the qty and save
    SD -  3rd party sales order Create a billing document
    VF01
          Ensure that the delivery document is correct in the
          Enter
          Go to edit -> Log
          Save
    Third party Return Process
    If the vendor grants you a credit memo on a quantity or a value basis, you can then send this credit memo directly to your customer.
    The billing type Third-party credit memo (G2S) is available for this. The billing type Third-party credit memo works with the item category TASG (third-party credit memo item). The Billing-relevance indicator F is set in Customizing for Sales for this item category. This means that the cost is not created. In Customizing for Sales, the item category TASG is set at item level in copying control for the billing type G2S (copying control sales document by billing document) as the target item category (source: TAS-> Target:> TASG.)
    Process Flow
    Create a billing documente with billing type Third-party credit memo (for further information, see the section Creating a billing document in the Billing document). Enter the third-party order as a document still to be processed. The quantities are automatically removed from the invoice.
    The above is the process for giving a credit memo which can be adapted for return goods.
    Hope it will help you

  • What are the key questions for third party order process?

    hi all,
    what type of questions can i receive for third party order process?
    pls.. do the needful
    thanks to all.

    Hi arun,
    Process Flow for 3rd Party Sales
    Customize the third party sales in summary:
    1. Create Vendor XK01
    2. Create Material – Material Type as "Trading Goods". Item category group as "BANS".
    3. Assign Item Category TAS to Order type that you are going to use.
    4. A sale order is created and when saved a PR is generated at the background 
    5. With reference to SO a PO is created (ME21N). The company raises PO to the vendor.
    6. Vendor delivers the goods and raises bill to company. MM receives the invoice MIRO 
    7. Goods receipt MIGO 
    8. Goods issue
    9. The item cat TAS or Schedule line cat CS is not relevant for delivery which is evident from the config and,   therefore, there is no delivery process attached in the whole process of Third party sales.
    10. Billing     
    SD -  3rd party sales order Create Sales Order
    VA01
          Order Type
          Sales org, distr chnl, div
          Enter
          Sold to
          PO #
          Material
          Quantity
          Enter
          Save
    SD -  3rd party sales order View the PR that is created with a third party sales order
    VA01
          Order Number
          Goto Item Overview
          Item ->Schedule Item
    SD -  3rd party sales order View the PR that is created
    ME52N
          Key in the PR number
          Save
    SD -  3rd party sales order Assign the PR to the vendor and create PO
    ME57
          Key in the PR number
          Toggle the "Assigned Purchase Requisition"
          Execute
          Check the box next to the material
          Assign Automatically button
          Click on "Assignments" button
          Click on "Process assignment"
          The "Process Assignment Create PO" box , enter
          Drag the PR and drop in the shopping basket
          Save
    SD -  3rd party sales order Receive Goods
    MIGO_GR
          PO Number
          DN Number
          Batch tab , click on classification
          Serial Numbers tab
          Date of Production
          Flag Item OK
          Check, just in case
          Post
          Save
    SD -  3rd party sales order Create Invoice
    MIRO
          Invoice Date
          Look for the PO , state the vendor and the Material
          Check the box
          Clilck on "Copy"
          Purchase Order Number (bottom half of the screen)
          Amount
          State the baseline date
          Simulate & Post
          Invoice Number
          *Invoice blocked due to date variance
    SD -  3rd party sales order Create a delivery order
    VL01N
          In the order screen , go to the menu Sales Document , select "Deliver"
          Go to "picking" tab
          State the qty and save
    SD -  3rd party sales order Create a billing document
    VF01
          Ensure that the delivery document is correct in the
          Enter
          Go to edit -> Log
          Save
    Pl. be clear on this process.
    Also understand how migo and miro are handled.
    The item categories used.
    How the company knows of the shipment of goods to the customer.
    How returns are handled.
    Hope it helps. Please reward if useful.
    Thanks & Regards
    Sadhu Kishore

  • ATP check CRM R/3 for Third Party items

    CRM .0 does not support an ATP check for Third Party items. This
    is axplained in several notes and we also find it in practice in
    our system. Actually an ATP check does also not happen in R/3,
    if you create the order in R/3, but it takes the delivery lead
    time, from the material or the info record, into account for the
    confirmation date.
    ATP check from CRM to R/3 is triggered by the requirements class
    that is determined in R/3 from the item category. So in case
    during an ATP chekc from CRM in R/3 no requirements class is
    found for the item category, as this is the case for the third
    party item category the system does no futher action and does
    not take the delivery lead time into account.
    This is standard system behaviour.
    We are setting up a webshop where the above mentioned could
    result in a partial confirmed order during order simulate. The
    customer will not be able to view the confirmed date before
    actually saving the order.
    My question is if anybody ever tried to find a workaround or
    solution for this missing functionality.
    Best regards,
    Pascal.

    Hi Pascal,
    Middleware setting is only to activate the ATP call from CRM to R/3. It has nothing to do with the pop-ups you are getting. I don't remember on top of my head how to eliminate this situation. I think when you call ATP, the system is validating the partner functions. Check partner determination profile assigned to the transaction type. I believe you need to make some changes to the partner profile. Are you getting these pop-ups only for a particular transaction type?
    <b>Do not forget to reward if it helps,</b>
    Regards,
    Paul Kondaveeti

  • Delivery status for third-party-sales

    Hello,
    because of a customizing error our US colleagues created several sales orders with a open delivery status even no delivery is requested for third-party sales orders.
    Does someone know a solution how to complete these documents without creating the delivery note? We now changed the schedule line category to solve the problem for the future but we have to find also a solution for the existing documents. Our colleagues want to change the table for VA05 to deselect the item category third-party. But in my opinion we have to complete the documents it selves.
    Thanks for your help.
    Regards,
    Kirsten

    put a Reason for rejection in sales order and save the document. you no longer can use these documents.
    hope this help.
    reward if helpful.
    regards,
    seshu.

  • Component included in SAP NetWeaver Foundation for Third Party

    Hi Experts,
    Now, our team discussing on how we can use integrate based on ABAP Technology to integrate Enterprise Systems.
    Then, we discovered the License, that SAP delivered, "SAP NetWeaver Foundation for Third Party".
    I heard this license allows client to develop custom applications on standalone NetWeaver Application Server(ABAP/Java).
    I think that the ABAP instance contains SAP_BASIS and SAP_ABA, and I have information that it allows to use also BRFplus,
    but it is a little vague what function can be used.
    Does anyone knows what component is included that license?
    Especially, we want to know whather we can use NetWeaver Gateway with  standalone NetWeaver Application Server or not.
    Best Regards,
    //Naoya Tsugo

    Well, the box is checked for that, so I have to assume that it is included.
    What is the confusion?
    Regards,
    Rich Heilman

  • Standard SAP process for third party repair or subcontracting repair

    Hi All,
    Please let me know if there is any standard SAP process for third party repair or subcontracting repair.
    Given below is the process in brief.
    1. Receive the repairable product in the warehouse from customer
    2. Do the inspection in warehouse
    3. Send the repairable product to the subcontractor to do the repair
    4. Receive the repaired product from the subcontractor
    5. Send the repaired part to the customer.
    6. Bill the customer
    Please share your inputs if you have any.
    Thanks in Advance.
    Regards,
    Madhu.

    Hi there is no SAP standard process for this. I can give you work around for that.
    1.. Receive the repairable product in the warehouse from customer - Normal customer returns or customise a movement type to receive it with our without value as per requirement
    2. Do the inspection in warehouse - Normal inspection
    3. Create a service PO with the vendor.
    4. Send the repairable product to the subcontractor to do the repair - Send using 541 movement type to vendor or use the copy of 541 movement type to send to vendor.(you can refer PO also system does not validate)
    5. Receive the repaired product from the subcontractor - Reversal of 541
    6. Send the repaired part to the customer.
    7. Bill the customer
    Regards
    Antony

  • Integrate 'External non-SAP Purchasing Application' with SAP SD for third party purchasing/ drop shipping?

    What is the best way to integrate 'External non-SAP Purchasing Application' with SAP SD for third party purchasing/ drop shipping?
    Details about expected process Flow.
    Receive PO from customer into SAP > SAP SD creates Sales Order > ?? SAP Integrate with External non-SAP Purchasing Application to trigger purchasing > External non-SAP Purchasing Application creates PO, Ships Material to Customer Ship to address (drop ship), Sends Shipping confirmation (FCR) & Invoices to SAP> ??Receive FCR and Invoice in SAP > ?? Initiate SAP Accounts Payable (Vendor Payments) and Accounts Receivable (Customer Invoice) > ?? Update SAP SD Sales Order with shipping status>
    Questions we need to answer;
      - How to achieve '??' steps from above process.
      - What type of Master Data we will need to configure (Say Materials Item Category, Type etc.)
      - Any standards options to configure SAP SD (Type of Sales Order)
      - We certainly don’t want to trigger SAP MM Purchasing (i.e. PR, PO etc.). How can we bypass it.
      - How to make statistical receipts against sales order line items so that SO status will be updated.
      - How to receive Invoice and FCR from External non-SAP app to trigger AP and AR transactions.
      - Are there any SAP standard configurations/ BAPIs/ BADIs available to achieve this integration.
    Any inputs on above questions are appreciable.
    Anand.

    This question is resolved. We ended up activating purchasing module and used purchasing documents PR/ PO to integrate with third party purchasing system.
    Anand.

  • Account assignment in schedule line category for third party sale

    in settings for schedule line category CS -for third party sales, in the field Account Assignment category we assign X-all auxiliary account assignment.
    what is the purpose and reason for using account assignment category in third party and at what point of time this comes into picture in third party sales process

    Hi Sudha A,
            Procureement against customer requirement will be booked against cost or expense account. So when creating PO, this account assignment category is determination factor for respective G/L accounts in MM.
    - Account assignment category will have general modification assigned. in MM account determinatoin OBYC settings-
    Valuation group code(this needs to be confirmed) + General Modification + valuation class determines G/L account.
    This is how G/L account will be displayed in PO - item level - account assignment tab.
    To see the settings in account assignment category - check the help of the field & choose customization & observe in details.
    Hope it clears,
    Regards,
    Reazuddin MD

Maybe you are looking for

  • How do I get my imported form to work properly in Dreamweaver?

    Our client has requested that we import forms directly from their old site to the new one we are creating for them. To clean the form up it was necessary to insert a table within it and reorganize the fields and titles. Unfortunately when I test the

  • 4S Preorder - Money no longer pending

    I ordered a 4S on the release day, mid morning, got the confirmation email through shortly after.  All is peachy. Except... The £500 is no longer pending in my bank account, and order status still says "processing". Anyone esle in the UK experiencing

  • Set up a Batch Job

    Hi Everyone, I created a sample report using Crystal Reports and was wondering if it can be set up as a batch job. Do we have the option of setting up batch jobs in Crystal reports? Thanks Kumar..

  • Error in 'HR_EMPLOYEE_ENQUEUE' called with RFC

    Hello, I need to Enqueue an employee in the remote system and after this, create an absence. Im using the FM 'HR_EMPLOYEE_ENQUEUE' and is working but when the RFC ends, the lock is removed!! and I can´t create the absence afterwards. Do you hava any

  • Can you make IOS 7 for the iPod 4th Generation please?

    Can you make iOS 7 for the IPod 4th generation because to be honest it's not fair to us iPod 4th Generation users that the iPod 5 and the IPhone users get to have it but we don't