A/C assignment reference
We have a/c cat.ref 0001 to 0005 for various material types but due to some requirement we want to merge all the a/c cat ref to 0001.what will be effect after doing?
Thanks in advanc
Hi Prasad,
The purpose of account category reference is basically to assign valuation classes to material types.
That means Valuation classes are assigned to Account category reference and that account category reference is assigned to the material types. During material creation, system proposes you the valuation classes assigned to the account category reference assigned to the material type of the material you are creating.
Now coming to your question, if you merge account category reference from 5 different a/c category ref. to one, for all those material types system will propose the same valuation classes while creation.
Hope I have answered your question.
Kindly Mark helpful answers.
Thanks and Regards,
Sambhaji
Similar Messages
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Error Dynamic type conflict when assigning references in EHP4
Hi Experts,
We are facing problem while customizing application wizard in EHP4.
Based on our requirement, we need to create one more tab named "Notes" to add instructions for applicants while applying for Job. It contains only instruction. To achieve this, we have done below set up.
1. We have created new WD component (WD window), OTR Alias
2. Created one more additional steps in T77RCF_RM_STEP called "Notes" and maintained step 1 information
3. In table T77RCF_RM_SEQ, under Application wizard (employee), we have added notes in sequence 1.
Now our new tab "Notes" is reflecting in application wizard. But while cliking on send application, we are getting error "The following error text was processed in the system GEG : Dynamic type conflict when assigning references".
Error Details:-
u2022 The following error text was processed in the system GEG : Dynamic type conflict when assigning references
u2022 The error occurred on the application server sapgeg_GEG_59 and in the work process 0 .
u2022 The termination type was: RABAX_STATE
u2022 The ABAP call stack was:
Can anybody guide what we are doing wrong?
It would be great help.
Regards,
purnimaHi Rajasekhar,
Facing the same issue, can you please let me know how you solved the above issue.
Best Regards,
Laxman -
Problem with Assign reference document.
Hi all,
I defined transaction input parameter type Xml.
I used Reference Document Loader to load document (structure.xml) below.
<?xml version="1.0" encoding="UTF-8"?>
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<L4_SO_ID/>
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I used menu command Assign Reference Document, to assign above document to transaction input.
I tryed to use this transaction in vs.net application as a web service.
But there is no xml structure in InputParams in web service.
I tryed alot but i did not achieve.
What must i do?
Thanks.cml_bzl,
I'm using version 12.04 and I have not had any problems with assigning reference documents and using .NET.
You should not have to do anyting special to get the transaction inputs to show up in .Net. To map the output I do the following:
1. Create an output transaction variable and assign it's type as XML
2. Using a XML document block to create and XML document for your output transaction variable
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THis works for me every time. If you change the transaction parameters, make sure you update the web service form the .NET side.
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Changing Account assignment reference after posting flows to accounting
Hi All,
Is there a way for me to change the account assignment reference after I posted some flows in the past for a interest rate financial instrument?
I need this because accounting wants to change the GL account posting for legal fees from one GL to another when a long term debt changes to a short term debt (less than a year away from maturity). I was assuming that changing the account assignment reference in TPM28 would work. Is this true? I do not want to transfer any of the old postings but anything moving forward.
Thanks
Regards
MorganHi Ravi/Mahesh/Lorenz
The issue is I can do valuation class transfer for securities or loans (TPM15). But I have my long term debt in the money market area (Interest rate instrument with product category 550). I have assigned company code, transaction type, product type to determine the account assignment reference. So I am not able to do a valuation class transfer I think. Is there any other way?
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Dump while testing Function- Dynamic type conflict when assigning reference
Hi Gurus,
I have the following checked and activated-
- Function with 1 Ruleset
- The Ruleset containing couple of DBlookup expressions
- Value range
- Decision Table
- Decision tree,
- Procedure call
After I give test data while Simulating the function, I get this dump-
Short text
Dynamic type conflict when assigning references
What happened?
Error in the ABAP Application Program
The current ABAP program "CL_FDT_DB_LOOKUP==============CP" had to be
terminated because it has
come across a statement that unfortunately cannot be executed.
Have I missed something? We are on SAPKA70207.Hi Carsten,
I couldn't find an OSS note featuring-
"MOVE_CAST_ERROR" "CX_SY_MOVE_CAST_ERROR"
"CL_FDT_DB_LOOKUP==============CP" or "CL_FDT_DB_LOOKUP==============CM01K"
"BUILD_WHERE_CLAUSE_LIMIT"
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Dynamic Type Conflect when assigning References error in portal
Hi Forum,
We have one ABAP Dynpro Application which runs fine but gives "Dynamic Type conflict when assigning References" error dump after integrating it with Netweaver portal 7 SP12 by creating Webdynpro ABAP iview.
Please help us to resolve this issue.
Thanks and Regards
Sudhirhi
refer this article :
How to Create Web Dynpro-Based iViews
http://www.sdn.sap.com/irj/sdn/go/portal/prtroot/docs/library/uuid/3e36d690-0201-0010-cd99-bfbb81bd33d9
refer the SAP online help :
Create a Web Dynpro iView
http://help.sap.com/saphelp_nw04/helpdata/en/2c/00584289e59041e10000000a1550b0/content.htm
regards,
amit -
RFx Q&A dump SRM 7- Dynamic type conflict when assigning references Q&A
Hello,
We are on SRM 7.0 SP05. When adding a question via the Q&A 'chat' functionality on a published RFx the EP shows the following error: 'Dynamic type conflict when assigning references Q&A'.
Could somebody test if this issue is also occuring on their system?
Anybody has a clue what's causing this?
Kind regards,
TimHello Jay,
Loggings show the following:
15:18:49 DIA 000 100 NLPURCOR AB 0 Run-time error "MOVE_CAST_ERROR" occurred
15:18:50 DIA 000 100 NLPURCOR AB 1 > Short dump "100324 151849 dmzsv719 b_SRM_00 " generated -
SC BRF WF Dynamic type conflict when assigning references
I have activated the process controlled workflow framework and
activated the SAP provided SC BC set. When I try to create shoppping
cart(while save or check) I get the following short dump.
The URL
https://usil0c20.ca.com:8343/sap/bc/webdynpro/sapsrm/wda_l_fpm_gaf was
not called due to an error.
Note
The following error text was processed in the system CS2 : Dynamic type
conflict when assigning references
The error occurred on the application server usil0c20_CS2_00 and in the
work process 0 .
The termination type was: RABAX_STATE
The ABAP call stack was:
Method: INIT_BRF_TRACE of program /SAPSRM/CL_WF_BRF_MSG=========CP
Method: CONSTRUCTOR of program /SAPSRM/CL_WF_BRF_MSG=========CP
Method: INITIALIZE_BRF_MSG of program /SAPSRM/CL_WF_BRF_MSG=========CP
Method: /SAPSRM/IF_WF_RULE_CONNECTOR~EVALUATE of
program /SAPSRM/CL_WF_BRF_CONNECTOR===CP
Method: /SAPSRM/IF_WF_RULE_CONNECTOR~EVALUATE of
program /SAPSRM/CL_WF_SCHEME_PROVIDER=CP
Method: GET_SCHEME of program /SAPSRM/CL_WF_SCHEME_PROVIDER=CP
Method: GET_PROCESS_SCHEME of program /SAPSRM/CL_WF_CONFIGURATION===CP
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program /SAPSRM/CL_WF_CONFIGURATION===CP
Method: CREATE_PROCESS_INSTANCE of
program /SAPSRM/CL_WF_PROCESS_MANAGER=CP
Method: CREATE_PROCESS_FORECAST of
program /SAPSRM/CL_WF_APV_FACADE======CHi,
The dump either happens because the BRF Object SRM_WF is missing in the system or
in the object SRM_WF at BRF the correct trace class /SAPSRM/CL_WF_BRF_TRACE is not used on it.
thus please check.
Thanks,
Melina -
ErroruFF1A Dynamic type conflict when assigning references
hi all,
I have one node ,name is :forloop
under this node ,there is a attribute ,its type is string ,its name is attf
now ,I write code as below in action,but it show a error" Dynamic type conflict when assigning references "
someone can tell me the reason?thanks
data :
for_loop type ref to if_wd_context_node,
t_var type standard table of string.
append 'a' to t_var.
append 'b' to t_var.
append 'c' to t_var.
for_loop = wd_context->get_child_node( name = wd_this->wdctx_forloop ).
for_loop->bind_elements( t_var ).
thanksHi,
The problem is the internal table you are using is not match with the attribute u created.
Node name : forloop
Cardinality : 0-n.
selection : 0-1
attr name : attf
Use the below code.
DATA forloop TYPE REF TO if_wd_context_node.
DATA t_var TYPE table of wd_this->element_forloop.
data : wa_tar like line of t_var.
wa_tar-attf = 'a'.
append wa_tar to t_var.
wa_tar-attf = 'b'.
append wa_tar to t_var.
wa_tar-attf = 'c'.
append wa_tar to t_var.
navigate from <CONTEXT> to <FORLOOP> via lead selection*
forloop = wd_context->get_child_node( name = wd_this->wdctx_forloop ).
forloop->bind_elements( EXPORTING
new_items = t_var
Regards.
Ragu.
Edited by: Ragu Prasad on Feb 6, 2009 10:39 AM -
Dynamic type conflict when assigning references - Dump
Hi All,
I am getting the dump "Dynamic type conflict when assigning references". In my application I have used a table control inside which I have input field, text view and text edit.
I guess the text edit is creating the issue. The error analysis report is below :
If anyone have any idea about the issue, please help.
Error analysis
An exception occurred that is explained in detail below.
The exception, which is assigned to class 'CX_SY_MOVE_CAST_ERROR', was not
caught in
procedure "IF_WDR_VIEW_ELEMENT_ADAPTER~SET_CONTENT" "(METHOD)", nor was it
propagated by a RAISING clause.
Since the caller of the procedure could not have anticipated that the
exception would occur, the current program is terminated.
The reason for the exception is:
It was tried to assign a reference to a rereference variable using the
'CAST' operation ('?=' or 'MOVE ?TO').
However, the current content of the source variable does not fit into
the target variable.
source type: "\CLASS-POOL=/1WDA/L0STANDARD\CLASS=CL_TEXT_EDIT"
target type: "\INTERFACE=/1WDA/VTABLE_CELL_EDITOR"
Information on where terminated
Termination occurred in the ABAP program "/1WDA/L3STANDARD==============CP" -
in "IF_WDR_VIEW_ELEMENT_ADAPTER~SET_CONTENT".
The main program was "SAPMHTTP ".
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of the (Include) program "/1WDA/L3STANDARD==============CCIMP".
The termination is caused because exception "CX_SY_MOVE_CAST_ERROR" occurred in
procedure "IF_WDR_VIEW_ELEMENT_ADAPTER~SET_CONTENT" "(METHOD)", but it was
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The procedure is in program "/1WDA/L3STANDARD==============CP "; its source
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2034 of the (Include program "/1WDA/L3STANDARD==============CCIMP ".
2265 if va__CONTENT_READONLY is bound and
2266 va__CONTENT_READONLY->IFUR_NW5__CONTROL~_IID <> ifur_nw5_invisible=>_iid_invisible.
2267 IFUR_NW5_SAPTABLECELL~HASCONTENT = abap_true.
2268 else.
2269 IFUR_NW5_SAPTABLECELL~HASCONTENT = abap_false.
2270 endif.
2271 endif.
2272
2273 * >> ProvideCONTENT
2274
2275 IF mv_CONTENT_READONLY <> va__CONTENT_READONLY.
2276 finalize_adapter( mv_CONTENT_READONLY ).
2277 mv_CONTENT_READONLY ?= va__CONTENT_READONLY.
2278 ENDIF.
2279
2280 * >> property-Aggregation mv_CONTENT_EDITABLE
2281 DATA va__CONTENT_EDITABLE TYPE REF TO /1WDA/VTABLE_CELL_EDITOR. "#EC NEEDED
2282 * >> UCA STANDARD|TABLE_CELL|CONTENT_EDITABLE
2283 data adp_uielement type ref to /1WDA/VUIELEMENT. "#EC NEEDED
2284 if mv_CONTENT_READONLY is not bound and
2285 mv_WD_TABLE_CELL_EDITOR is bound.
2286 va__CONTENT_EDITABLE ?= mv_CONTENT_EDITABLE.
2287 IF va__CONTENT_EDITABLE is bound and va__CONTENT_EDITABLE->m_view_element = mv_WD_TABLE_
2288 ELSE.
2289
>>>>> va__CONTENT_EDITABLE ?= create_by_view_element(
2291 view_element = mv_WD_TABLE_CELL_EDITOR
2292 parent = me
2293 ).Hi Everyone,
Thanks for your replies.
We raised an OSS call for the same and got the below response.
Dear Customer,
I've analized your actual problem and found out that you are using a notallowed combination of text edit as cell editor within table for
clasical Web Dynpro ABAP rendering. The text edit as cell editor work in701 releases when the lightspeed rendering is enabled. However in case
that you want to used
lightspeed rendering, I would suggest to upgrade on a higher
SP level than SP4 as for technical reason we can only deliver
corrections for Unified Rendering first from SP04. -
The security-role-assignment references an invalid security-role: Certifica
In Oracle Enterprise Pack for Eclipse, I failed to deploy an application in debug mode. The error I noticed in my domain log is:
weblogic.management.DeploymentException: [HTTP:101168]The security-role-assignment references an invalid security-role: Certificate.
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at weblogic.application.internal.flow.DeploymentCallbackFlow$1.next(DeploymentCallbackFlow.java:387)
at weblogic.application.utils.StateMachineDriver.nextState(StateMachineDriver.java:37)
at weblogic.application.internal.flow.DeploymentCallbackFlow.prepare(DeploymentCallbackFlow.java:58)
at weblogic.application.internal.flow.DeploymentCallbackFlow.prepare(DeploymentCallbackFlow.java:42)
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at weblogic.application.utils.StateMachineDriver.nextState(StateMachineDriver.java:37)
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at weblogic.application.internal.EarDeployment.prepare(EarDeployment.java:16)
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at weblogic.deploy.internal.targetserver.operations.ActivateOperation.createAndPrepareContainer(ActivateOperation.java:197)
at weblogic.deploy.internal.targetserver.operations.ActivateOperation.doPrepare(ActivateOperation.java:89)
at weblogic.deploy.internal.targetserver.operations.AbstractOperation.prepare(AbstractOperation.java:217)
at weblogic.deploy.internal.targetserver.DeploymentManager.handleDeploymentPrepare(DeploymentManager.java:723)
at weblogic.deploy.internal.targetserver.DeploymentManager.prepareDeploymentList(DeploymentManager.java:1190)
at weblogic.deploy.internal.targetserver.DeploymentManager.handlePrepare(DeploymentManager.java:248)
at weblogic.deploy.internal.targetserver.DeploymentServiceDispatcher.prepare(DeploymentServiceDispatcher.java:159)
at weblogic.deploy.service.internal.targetserver.DeploymentReceiverCallbackDeliverer.doPrepareCallback(DeploymentReceiverCallbackDeliverer.java:157)
at weblogic.deploy.service.internal.targetserver.DeploymentReceiverCallbackDeliverer.access$000(DeploymentReceiverCallbackDeliverer.java:12)
at weblogic.deploy.service.internal.targetserver.DeploymentReceiverCallbackDeliverer$1.run(DeploymentReceiverCallbackDeliverer.java:45)
at weblogic.work.SelfTuningWorkManagerImpl$WorkAdapterImpl.run(SelfTuningWorkManagerImpl.java:516)
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at weblogic.work.ExecuteThread.run(ExecuteThread.java:173)
What I do not understand is that this error remains even though I modified weblogic.xml to remove the following lines:
<wls:security-role-assignment>
<wls:role-name>Certificate</wls:role-name>
<wls:externally-defined/>
</wls:security-role-assignment>
I also deleted <MYDOMAIN_HOME>/servers/AdminServer/cache and <MYDOMAIN_HOME>/servers/AdminServer/tmp but this error still showed up when I attempted to deploy the application in Eclipse.
If I exported the EAR file and deployed it using Admin Console, the application was deployed successfully. But when I deleted it in Admin Console and attempted to deploy it in Eclipse again, the same error occurred and the deployment failed. What could be the reason for this behavior? Is there anything cached somewhere when deploying it in Eclipse? Thanks in advance for your help.Hi,
I know that is an old thread, but just in case... Maybe you could try setting up the DEBUG_OPTIONS in your startManagedWeblogic script and configure a remote debug in Eclipse:
DEBUG_OPTIONS="-Xdebug -Xnoagent -Xrunjdwp:transport=dt_socket,address=8003,server=y,suspend=n"
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Luis -
Assigning reference category to a case
Hi Experts,
Now we are upgarding SAP CRM 5.0 to 7.0.
Any one can explain about how to assign reference category to a case and where we assign with detailed steps.
Points will be added.
Thanks in advance.
Regards,
BabuHi Sree,
Thanks for your quick reply.
Already i have done the multilevel categorization which you are refering and also created category schema and assigned to my case type.
Could you please elaborate what needs to be done other than the above, also guide me if i missed any thing.
Thanks in advance.
Regards,
Babu -
Treasury--Account Assignment Reference
Dear All,
I am new to treasury and is presently trying to understand Product Type 62A works.
Can someone please help me to understand the concept of Account Reference assignment.I have checked the IMG-Treasury-link to Other Components and checked the assignment of GLs to account sysbol through AAR and valuation area.
But I am unable to understand how AAR are determined as there are several Product Types.
Also there is a link in IMG which says Determination of AAR for defferent types of product, here I could not find Product Type 62A either.
Please Help
In other post I will request for certain clarification on Position Management.
Regards
RajuHi,
Product type 62A is interest rate swap. Suppose a company issues a variable rate bond where it has to pay periodic interest based on a benchmark interest rate (say, LIBOR). To hedge its risks, it may parallely enter into an interest rate swap transaction with a bank where it pays bank a fixed interest rate and gets from bank variable rate based on that benchmark; for the same nominal amount (principal of the bond).
Account assignment reference is used as a criterion for account determination. In Account determination, where GL account is assigned to account symbol, you will see a column for account assignment reference; so different GL accounts can be assigned to different account assignment references. Account assignment reference is determined by derivation rules; an example of a derivation rule may be if business partner is BP1, product type is 62A, transaction type is 300, then account reference would be AAREF1. It can get a bit more complex with grouping etc. but usually it would be a simple condition as defined above.
To see what was the account assignment reference derived for a transaction, display the transaction and go in Environment-Positon Indicator.
Look for config for account assignment reference determination derivation rules under:
Link to Other Accounting Components
Define Account Assignment Reference Determination (OTC Transactions)
Define Account Asst Reference Determination (Securities/Listed Derivatives)
Manish -
Derivation of Account Assignment Reference using Fund
I am trying to derive account assignment reference using “Fund” as source field. I have created the account assignment derivation rule (Tcode – TPM30) using following condition and Values
Source Field
Company code
Product type
Fund – Not able to see as Source field after activation of FIN_TRM_PSM_INTEGRATION business switch
Target Field
Account Assignment Reference (AA_REF)
Condition
Product Type = 410Hi there
You can only use the Derivation Types which are selectable. You cannot create your own ones such as "fund". In this case, if accounting entries are different you have to create a new product type called "funds".
Regards
Juerg Heiz
[email protected] -
Define Account Assignment Reference Determination
Hi Gururs;
I am configuring the "Define Account Assignment Reference Determination" for OTC and Securities. I find that it has atransport button in the toolbar. After defining the Definitions and Condition tabs, while saving a popup for transport request never pops up. Please let me know how to do the configurations so that I can transport?
Regards;
SumantaHi,
I guess you are talking about Interest Rate Swaps.
Use the path:
Financial Supply Chain Management -> Treasury and Risk Management -> Transaction Manager -> OTC Derivatives -> Transaction Management -> Condition Types
Here you can define conditions and assign them to transaction types.
Please let me know if there is anything else.
Thanks and regards,
Abhinav Sethi -
Account Assignment Reference Does Not Get Updated
Dear TRM experts,
I have posted a couple of deals for product 51A in the system.
When I go to the position indicator, the account assignment reference field is not updated.
Due this, I am unable to post during TBB1. Is there any customization which I may have missed out.
Appreciate your help on this.Hi,
The problem could be the currency of the valuation area. It has to be the local currency. Maybe the company code has the local currency but the valuation currency is another.
Without having access to your system it is difficult to say. Maybe double check your customizing for assignment of update types for derived business transactions in spro:
Transaction Manager
-> General Settings
-> Accounting
-> Settings for Position Management
-> Derived Business Transactions
-> Update Types
-> Assign Update Types for Derived Business Transactions
I hope this is helpful.
M Trein
Edited by: Marcelo Trein on Jun 21, 2011 12:19 AM (spelling)
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