ACE Error - NCOALink Parameter Error, Customer ID already used for customer

ACE Error - NCOALink Parameter Error, Customer ID already used for customer "[customer name]", list "[list name]"
Received this error and not sure if its due to the Customer/List ID & List Name combination or some thing else.  Any ideas?
Also, is there a document that explains ACE errors.
Thank you!

Greetings cbeaure,
For something like this I normally suggest logging an incident with Support at service.sap.com . 
However I thought it might be heplful to answer your questions and provide you with the example you would have located by using the Knowledgebase search when logging the issue with the Support team.
During the process of logging an issue to Support on the SAP Service Marketplace, you would be prompted for a search in the Knowledgebase. By entering in the error you received, you would have seen the following:
Cause:
This error will occur when either the List Name or Company Name was changed, but the PAF ID (specifically the Customer\List ID) has not changed.
Resolution:
The software has verification in place that requires a unique NCOALink PAF ID for the combined parts of the List Name and Company Name. This meets the Licensee's requirement, as described by the USPS in the Limited Service Provider and Full Service Provider Performance Requirements:
"Licensee will assign each NCOALink customer file, list, or database a unique NCOALink PAF ID. This ID will be used by the software to verify that the customer has a valid, active PAF on file with Licensee. This ID will also be used to provide a relationship between Licensee's service log and PAF information files. The format of the ID will be an eighteen character alphanumeric field consisting of four sub-parts.  The Licensee will ensure that each of their customers has a unique and never duplicated PAF ID. The software must not allow duplicate IDs. The ID shall be assigned by Licensee upon execution of the Processing Acknowledgement Form and be used throughout the system as prescribed."
(Continued on next post, end part 1)

Similar Messages

  • DPM encountered an error while reading from the recovery point used for recovery.

    Hi Guys I'm getting this error:
    DPM encountered an error while reading from the recovery point used for recovery. Either the recovery point no longer exists or, if you
    selected a share for recovery, the path to its contents is missing from the recovery point.  (265)
    The DPM Server is on Windows 2012 DPM is 2012R2 4.2.1273.0
    The Server being backed up is 2012 R2 with DPM Agent 4.2.1273.0
    The Server has 3 Data Volumes (C: Drive) and D and E its the D and E drive that i get this error if i try and recover data from DPM.  the C Drive is fine.  the D and E Drive are different
    in that 1 De-dupe is enabled and 2 the Shadow Copies for these Volumes are stored on separate Disks F and G respectively.
    I've removed the Protection from drives D and E and reinstated it but every recovery point created
    brings up the same error message. I'm not sure where to go next do I need to Protect the Disks that have the Shadow copies on also? Many thanks in advance Gordon.

    Hi,
    It seems you are in a configuration where the Windows 2012 based DPM server does not understand how to read Windows 2012 R2 Dedup data structure which is what the DPM replica volume is.
    See the DPM supported and unsupported scenarios
    here under the deduplication issues section. 
    We have a fix in DPM2012 R2 UR5 that will protect the Windows 2012 R2 dedup volume in a non-dedup state on the DPM Server, but unfortunately that will not allow previous recovery points to be read.
    KB3021791-Description of Update Rollup 5 for System Center 2012 R2 Data Protection Manager
    Backup job for dedupe-enabled volume on Windows 2012 R2 fails. For example, Data Protection Manager backup might fail for following setup:
    Data Protection Manager2012 R2 is installed on Windows Server 2012.
    Data Protection Manager is protecting a dedupe-enabled volume on Windows Server 2012 R2.
    This also applied to restores as the above was for D2D2T backup that may fail as it needs to read the recovery point to back it up to tape.
    Please remember to click “Mark as Answer” on the post that helps you, and to click “Unmark as Answer” if a marked post does not actually answer your question. This can be beneficial to other community members reading the thread. Regards, Mike J. [MSFT] This
    posting is provided "AS IS" with no warranties, and confers no rights.

  • HT2589 ibooks still gives me the following error message "This Apple ID cannot be used for the iTunes Store."

    I've done all of the above suggested sign in methods, and yet ibooks gives me the following error message "This Apple ID cannot be used for the iTunes Store."

    Found this in the forums here, it works.
    "OK...I think I have found a solution.  In settings, select tunes & app store.  click on Apple ID> View Apple ID>Payment Information. It appears it is not saving or requiring payment information to be updated. This worked for me."
    Thanks

  • Controlling area already used for org. unit problem

    Hi people,
    can you please help me with one problem, my customer is upgrading SAP HR from 4.6 to 6.0 and now we are testing QAS system.
    When I create new or. unit in PPOME, I have Cost-centre inherited from the org.unit above, but when I want to put another Cost-centre it gives me the next error "Controlling area HR01 already used for organizational unit XXXXXXXX".
    The same procedure worksin PRD system which is on version 4. 6. Could you please help me what is wrong because i am not able to change cost centre in the QAS system.
    Thank you.
    Romano
    Edited by: Romano Cinotti on Oct 13, 2009 11:25 AM

    Hi,
    To which object u are going to change the cost center i.e, position, job, org.unit.
    If you are changing the cost center to position, If it is not allowing to change the cost center then u have to check the parameters:
    May be u already assigned cost center
    May be u already assigned cost center to ur org, unit, which u assigned to ur position. If u already assigned diffrent cost center to ur org.unit, you may not change the cost center to ur position or job.
    Regards
    Devi.

  • Repository A2 is already used for document area DATAARCH (Data Archiving].

    Dear ALL,
    Actually I am getting probelem Photo configuration in back end.
    I am using Transaction SM31 maitaining the table TOAAR_C, here I am getting probelem  'Content Repository Identification' (A2), here i am getting below error.
    Repository A2 is already used for document area DATAARCH (Data Archiving].
    Please look in to issue.
    Regards,
    venkat

    Jürgen - your answer was very helpful and I'm sure I'm now in the right direction!
    However I still have an issue:
    When the write job is finished and before deleting and storage, the archive file is not accessible - and then I am not able to continue with deletion and storage.
    An example:
    Filename: RMM_EKKO11180104855_CLL
    Logical path: ARCHIVE_GLOBAL_PATH_WITH_ARCHIVE_LINK
    Physical file name: E:SAPContRepZ5RMM_EKKO11180104855_CLL
    E:SAPContRepZ5 is the root of the content repository and should according to the documentation contain the file during the delete phase and until final storage in the repository. But there is no file there.
    In the log of the write job there are the following entries:
    Job started
    Step 001 started (program RM06EW70, variant Z_DEMO_7, user ID CLL)
    Reading purchasing documents
    Archiving session 000913 is being created
    Path:
    Name for new archive file: RMM_EKKO11180104855_CLL
    1 of 1 purchasing documents processed
    Job finished
    I am a little concern about that no path is written to the job log - could maybe mean something.
    Any ideas?
    Thanks,
    Claus.

  • Cannot start family sharing: Apple id is already used for shared purchases

    I'm trying to set-up family sharing on multiple devices, but I'm informed that my mac.com address is "already used for shared purchases" and "accounts can only be part of one Family at a time" with a dialogue box of "OK". We are only one family, and all devices were recently under my iTunes/Apple account. How do I change that so that I can set up family sharing? I have an 11 year old itching for her own phone and want to be able to share, but also to manually approve purchases (which I think is the point of family sharing, especially with someone under 13.)

    I FIGURED THIS ONE OUT!!!  What happened was initially I had set up a Family Sharing account under my wife's old iCloud login (old email address) .  I had set her up as the administrator of the account.  We used MY credit card info to handle any purchases made.
    Some time later we decided to share MY iCloud account rather than having separate accounts (thus, same email for iCloud login).  While switching her out of her old iCloud login over to sharing my login, it never crossed my mind that I had used her old iCloud login to set up Family Sharing.  Since her old iCloud login was set up as the administrator of the account, all I had to do was sign into iCloud with her old email address and password that she had used before.  Once logged in, I went to Family Sharing and chose an option to stop Family Sharing.  As soon as I did that, I re-logged in with the new shared iCloud account and was able to immediately set up Family Sharing.  Phew!!!
    Hope this helps

  • Automatic payment program use for Customer doc's

    I can understand how APP will pay off vendor docs automatically but i know its used for customer documents also... i can't understand the logic of using a payment program on Customer docs.>?? can any expert give me a reason why????
    i know its used for making some payment notices or some sort of a list of customer's from whom payment is due.. is this correct... please clarify thanks
    Secondly with dunning.. again, this is used to fig who owe's me money and for how long but is dunning used with Vendor's accounts as well, If yes, whats the logic and what doc are created for that. .thanks

    Hi Benson,
    Yes APP is used for customers as well. Suppose you have your customer had made you down payement and you are not able to deliver the goods for anty reason. In this case you have to pay your customer back. So you can use APP for that. This is only one of  business conditions.
    Yes in case of Vendors you can also do dunning. The reasons can be many. Like you have made a down payment to the vendor for particular rawmaterail but your vendor had not yet delivered the goods. So in that case you can dunn the vendor.
    Hope it makes you clear.
    Regards
    Pratiksha
    *Please assign points if helpful

  • SP2013 - What better to use for custom webservice creation, which will be save filled in Infopath form to sharepoint library

    Client use SharePoint 2013. I have to develop a custom webservice for this SharePoint. Webservice will receive some information as request, will fill in a InfoPath form (on based existing infopath template from library) with this information and save result
    to SharePoint library.
    Could advice how it right  organize? What is better to use for custom webservice in SharePoint 2013 (REST api or something else), how better fill in and save infopath form to library? 
    thanks

    Hi,
    In SharePoint 2013, you can still reference the way what it used to be in SharePoint 2010 or previous version.
    The two demos would also work in SharePoint 2013:
    http://blogs.msdn.com/b/jannemattila/archive/2007/01/21/infopath-and-web-service-data-connection.aspx
    http://wmostafaw.wordpress.com/2012/08/07/calling-web-service-from-infopath-2010-with-parameters/
    If the customer just want an interactive form for easy input, there are also other options in SharePoint 2013 like:
    Customization on the default form pages of a list using JavaScript Client Object Model;
    Create a SharePoint App which will enable you implement more complex requirements with Client Object Model and REST API, you can even upload it to the App store to share it with
    other people.
    Thanks
    Patrick Liang
    Forum Support
    Please remember to mark the replies as answers if they
    help and unmark them if they provide no help. If you have feedback for TechNet
    Subscriber Support, contact [email protected]
    Patrick Liang
    TechNet Community Support

  • Mac os x mountain lion The volume is already used for Time Machine backups

    Hey
    I downloaded the Mac OS X Mountain Lion and then I clicked on the hard disk and then was "The volume is already used for Time Machine backups.
    Can you help me please

    Well, this isn't a download window, it's an installer window. You need to select one of your hard drive volumes on which to install Lion.
    Your computer's main drive apparently has been used by you for TM backups which is a first class "no no." See: OS X v10.6, OS X Lion- Cannot install Mac OS X v10.6 or later on a volume used by Time Machine for backups.

  • What's use for Customer Hierarchy

    Dear Guru
    What's use for Customer Hierarchy? give me a step to config?
    regards
    Mohammed Renu.I

    Hi Mohammed Renu,
    CUSTOMER HIERARCHY:
    Customer hierarchies are available in Sales and Distribution, so that you can create flexible hierarchies to reflect the structure of customer organizations. If your customer base includes multi-level buying groups, cooperatives, or chains of retail outlets, for example, you can create hierarchies to reflect the structure of these groups. Use customer hierarchies during sales order processing and billing for determining pricing and running statistics.
     A customer hierarchy consists of nodes.
     To create a customer hierarchy:
    1. Create master records for each node.
    2. Assign the nodes to each other.
    3. Assign the customer master records to the relevant nodes.
     Hierarchy nodes are only valid for a certain period of time. They may also be moved. If a node is moved, the system automatically reassigns all related nodes and customer master records.
    With customer hierarchies, you can assign price or rebate agreements to a higher level node. The agreements are then valid for customer’s at all subordinate levels to this node. You can create pricing condition records for each node indicated as relevant for pricing. If one or more nodes in the hierarchy path of a sales order contain pricing information, the system takes them into account automatically during pricing.
    'How to check'
    All the customizing is in SD/Master Data/Business Partner/Customers/Customers hierarchy
    All the customizing is in SD/Master Data/Business Partner/Customers/Customers hierarchy
    1) Define hierarchy type: just put and ID and a name to the new hierarchy.
    2) Set partner determination: if you want to user the hierarchy in price determination, then, in the orders, at the header level, you have to have a Partner Procedure with a partner function for each level. In the partner procedure, in each partner function you must indicate the source partner function. With this information, in the order, you obtain the business partner for each partner function.
    3) Assign account groups: you indicate which accounts groups are allowed for being part or your hierarchy.
    4) Assign sales areas: simple you indicate which sales areas are allowed in your hierarchy. (Here you can customize common sales areas, just for not having to build de hierarchy in all the different sales areas).
    5) Assigning hierarchy type for pricing: you indicate which classes of documents uses hierarchy in pricing determination.
    It is possible to maintain so called customer hierarchies. This might be useful when for example you create a condition discount for a customer that is part of such a hierarchy structure. All subnodes in the hierarchy below that customer, will thus receive the same discount.
    Customer hierarchy setup, firstly decide the hierarchy type to be used.
    The standard is type A.
    You can also assign a partner function to the customer so that the higher level customer in the hierarchy is copied into a sales order as a partner function - but you don't need that right?
    Next assign your customer account group to the hierarchy type. And enter the combinations that will be allowed for creating the hierarchy.
    You want to assign a ship-to to a payer. So enter the ship to account group and enter the payer account group as the higher level.
    You must also make an entry for permitted sales area assignments. So if you want to a hierarchy for customers in the same sales area then enter the sales area and enter the same one as the higher level sales area.
    All these settings can be found in the IMG. Under SD - master data - business partners - customers - customer hierarchy
    You use for example customer hierarchy when you have an company like Unilever and you agree both on a discount. Unilever does have different locations / businesses and you have to maintain the discount for all customers. If you use a customer hierarchy you can maintain the discount for the partner in the top of the hierarchy and in this way it will be valid for all customers in the hierarchy.
    Please Reward If Really Helpful,
    Thanks and Regards,
    Sateesh.Kandula

  • HT5621 Trying to change the email on my apple ID but get error message that the email I want to change to is already used for notifications. What do I do?

    Hi,
    I'm trying to change email address on my Apple ID since the email registered for the account has been hacked and I can't access it anymore. The email I want to change to is connected to another Apple ID I created about 4 years ago, though I successfully changed the email on that account as well. So the email I would like to use for my main Apple ID shouldn't be "locked" anymore.
    Though, when trying to change the email on my Apple ID I get an error message (in Swedish, so this is a direct translate from google): "This e-mail address is your email address for notification. It can not be used as the Apple ID or primary email. Choose a different address."
    I'm not really sure what this means or how I can fix this. The email address is connected to my Ipad and Iphone for the email app, can that have anything to do with it?
    If it makes any difference, I updated both my Ipad3 and Iphone4 to ios 7 today. I'm trying to change from my Macbook air though.
    Please advise, would really appreciate a reply ASAP.

    caek1 wrote:
    Hi,
    I'm trying to change email address on my Apple ID since the email registered for the account has been hacked and I can't access it anymore. The email I want to change to is connected to another Apple ID I created about 4 years ago, though I successfully changed the email on that account as well. So the email I would like to use for my main Apple ID shouldn't be "locked" anymore.
    Though, when trying to change the email on my Apple ID I get an error message (in Swedish, so this is a direct translate from google): "This e-mail address is your email address for notification. It can not be used as the Apple ID or primary email. Choose a different address."
    I'm not really sure what this means or how I can fix this.
    It means exactly what it says... The email Address is in Use. You cannot re-use it.
    Apple ID Support  >  http://www.apple.com/support/appleid/

  • Adding custom button to Ribbon for custom list definition

    I'm trying to add a custom button to the ribbon, specifically for a custom list definition.  I have two custom list definitions, one for a document library (Type="11008") and one for a list (Type="10002").  
    I can use the following CustomAction to successfully add a button to the document library ribbon:
    <CustomAction Id="MyCustomAction.DocLib"
    RegistrationId="11008"
    RegistrationType="List"
    Location="CommandUI.Ribbon">
    <CommandUIExtension>
    <CommandUIDefinitions>
    <CommandUIDefinition Location="Ribbon.Library.Share.Controls._children">
    <Button
    Id="MyCustomAction.DocLib.Button"
    Alt="Help"
    Sequence="5"
    Command="SayHi"
    Image32by32Left="-64" Image32by32Top="-320" Image32by32="/_layouts/$Resources:core,Language;/images/formatmap32x32.png"
    Image16by16Left="-64" Image16by16Top="-176" Image16by16="/_layouts/$Resources:core,Language;/images/formatmap16x16.png"
    LabelText="Say Hi!"
    TemplateAlias="o1"/>
    </CommandUIDefinition>
    </CommandUIDefinitions>
    <CommandUIHandlers>
    <CommandUIHandler Command="SayHi" CommandAction="javascript:alert('Hi!');"/>
    </CommandUIHandlers>
    </CommandUIExtension>
    </CustomAction>
    If I try to do the same thing for my list, the button does not show up:
    <CustomAction Id="MyCustomAction.List"
    RegistrationId="10002"
    RegistrationType="List"
    Location="CommandUI.Ribbon">
    <CommandUIExtension>
    <CommandUIDefinitions>
    <CommandUIDefinition Location="Ribbon.List.Share.Controls._children">
    <Button
    Id="MyCustomAction.List.Button"
    Alt="Help"
    Sequence="5"
    Command="SayHi"
    Image32by32Left="-64" Image32by32Top="-320" Image32by32="/_layouts/$Resources:core,Language;/images/formatmap32x32.png"
    Image16by16Left="-64" Image16by16Top="-176" Image16by16="/_layouts/$Resources:core,Language;/images/formatmap16x16.png"
    LabelText="Say Hi!"
    TemplateAlias="o1"/>
    </CommandUIDefinition>
    </CommandUIDefinitions>
    <CommandUIHandlers>
    <CommandUIHandler Command="SayHi" CommandAction="javascript:alert('Hi!');"/>
    </CommandUIHandlers>
    </CommandUIExtension>
    </CustomAction>
    What am I missing that is keeping me from getting this button to show up in my List ribbon?

    Well, I debated just deleting my question, but I'll leave it up in case someone else runs into this.  My custom list definition for my list had <Toolbar Type="Freeform" />.  I don't remember why I changed that, but once I changed
    that back to <Toolbar Type="Standard"/> my custom buttons started showing up as expected.
    The answer
    here pointed me in the right direction.

  • When do we ceate custom messagae type apart for custom idocs type

    Hi all.
        Can u pls let me know when do we create custom message type in ALE/IDOCS. what I know is we can create a custom message when we create custom idoc type & when we have reduced idoc type.Pls let me what are other cases in which I need to create a custom message type.Thanks in advance.
    Kind regards,
    sami.

    I think these are the only cases where we need to create. Its basically when we dont have standard SAP message type available.

  • Entries in  BSID for customerA is more than for Customer B.

    Hi SDNers,
    In case of CustomerA, no of entries fetched from BSID is 246709 .
    Because of this a standard piece of  code takes a looong time to execute.
    In case of Customer B, no of entries fetched from BSID is just 512.
    Because of this less entries standard code executes faster.
    Please suggest if some things can be deleted or cleaned up for this customer A from the table BSID.
    What should be the steps taken to reduce the time of execution.
    since this is a standard code, i cannot  make changes too.
    Please suggest.
    How can we clear up so many entries from BSID?
    Can archiving be done?
    or deletion?
    what steps needs to be done to reduce the entries for CustomerA in table BSID.
    Please suggest.
    Regards,
    SuryaD.
    Edited by: SuryaD on Dec 8, 2009 7:27 PM

    This would be a basis related job of deleting.
    No, it's not, unless you have performed clearing as Rob suggested.  You will need your FI configurator (or someone who knows how to perform the IMG step) to specify the clearing criteria by customer account number range.  Be sure that the criteria are accurate for your business needs so the documents clear properly.  Then you will run one of the SAPF124* programs to clear the documents on a regular basis.
    You can't archive open items.  Once the items are cleared and moved to BSAD though, you can archive them IF they meet the criteria (as specified in SARA).  There is a post-processing step to remove the secondary index table entries.  You may or may not elect to run this as well.  Without a good archive imaging system, we elect to NOT run the secondary index clean up - this allows the main entries to be deleted but auditors, accountants, and reports can still generate some details and have some visibility in the FBL*N transactions.

  • Error in multiple operation with change document object for custom table

    hi all,
    I have developed a change document object for a custom table ZTEST and developed a report program for insertion, updation & deletion..everything works fine if I do only once ie. if I created only 1 entries. If I created 2 new entries , I am getting an Error "DUPREC:POS&Z3RL_TAB&Z3RL_TAB" and EXIT the transaction.
    why I am getting this error??? is it not possible to do multiple operation with the change document???
    kindly help.
    Edited by: JaiKarthik on Apr 7, 2010 6:20 AM

       LOOP AT ts_mod INTO wa_mod.
                READ TABLE <i_itab> INTO <wa_tab> INDEX wa_mod-row.
    * Select the existing entries in table Z3RL for change history
                    SELECT SINGLE * FROM z3rl
                           INTO wa_z3rl
                           WHERE vkorg   = <wa_tab>+3(4)
                           AND   zzkunnr = <wa_tab>+7(10).
    * Move the old entries
                    IF sy-subrc = 0.
                      CLEAR ls_z3rl.
                      ls_z3rl = wa_z3rl.
                    ENDIF.
    * Update the table
                 MODIFY (viewname) FROM <wa_tab>.
                   CLEAR wa_z3rl.
                    wa_z3rl-mandt      = <wa_tab>+0(3).
                    wa_z3rl-vkorg      = <wa_tab>+3(4).
                    wa_z3rl-zzkunnr    = <wa_tab>+7(10).
    * Populate change tables
                    CLEAR wa_change.
                    wa_change-teilobjid = 'Z3RL'.
                    wa_change-textart = 'TEST_2'.
                    wa_change-textspr = 'EN'.
                    wa_change-updkz = 'U'.
                    APPEND wa_change TO ts_change.
    *call the fM to log the values in CDHDR table.
                    CALL FUNCTION 'Z3RL_WRITE_DOCUMENT'
                      EXPORTING
                        objectid                 = 'Z3RL'
                        tcode                    = sy-tcode
                        utime                    = sy-uzeit
                        udate                    = sy-datum
                        username                 = sy-uname
                        planned_change_number    = ' '
                        object_change_indicator  = 'U'
                        planned_or_real_changes  = 'U'
                        no_change_pointers       = 'U'
                        upd_icdtxt_z3rl= 'U'
                        n_z3rl= wa_z3rl
                        o_z3rl        = ls_z3rl
                        upd_z3rl= 'U'
                        lv_opt                   = ' '
                      TABLES
                        icdtxt_z3rl= ts_change.
                CLEAR : wa_mod, <wa_tab>.
              ENDLOOP.
    Edited by: JaiKarthik on Apr 7, 2010 6:49 AM

Maybe you are looking for

  • My computer can't read raw files from my nikon d4s in Photoshop cs6

    Hello, i have a MacBook Pro and have Os X 10.8.5 installed Photoshop CS6 can't open the raw files from my Nikon D4S. I tried to install Adobe CameraRaw 7.1 but keep getting error messages. ALso tried to install the patch to no avail. Any suggestions?

  • WDMyCloud NAS drive not visible

    Hi, on new Win8.1 pro PC, my NAS drive, WDMyCloud, is not visible in Network as a computer. It is visible under Media Devices and under Storage section though. So I can play media from it and access the management console but not access/transfer file

  • Customer services at Apple Store in France complain

    Hi, i do not know if this is the place, but i would like to report a bad behavior regarding an Apple staff in Store in France. This person is not appropriate to represent the brand name as he communicates with customers. Regards

  • How to Join data's of two tables

    hi (SELECT ((T1.LineTotal (.6/100)) - ((T0.DocTotal-T0.PaidToDate)0.1)) FROM [dbo].[OINV]  T0 INNER JOIN [dbo].[INV1]  T1 ON T0.DocEntry = T1.DocEntry WHERE T2.[SlpName] ='1- Pradeep N' ) as '1- Pradeep N IP' there is some problem in this query in Jo

  • Help with Oracle CLOB

    I have CF8 and Oracle 10g. I am trying to write a cfc for use by a Flex3 application over the AMF channel. What should the ReturnType be for the retieve function? If I use Query, and return the CLOB as a QueryObject, I can easily put the CLOB into a