Commas are coming in place of decimals in values
Hi,
How to correct the decimal places and commas in values.
Currently commas are coming in places of decimal and vice versa.
Regards
Gaurav Jain
Hi,
Please consult your Basis-Admin.
In T. Code: SU01
Key-in User-name for which this error is coming up and go to Change-mode.
In Tab: Defaults, there is Field: Decimal Notation.
There, Maintain: X1,234,567.89
and SAVE.
This will resolve the issue.
Best Regards,
Amit.
NOTE: Rewards, if Helpful.
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Hi All ,
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File names are coming wrong in Put place.
Hi all,
I have some issues in file transfer.. I need to transfer file from one location to another location using BPEL FTP adapters (Get and Put).
I done the all the necessary steps to tranfer files....
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Edited by: user10263255 on Sep 24, 2008 10:31 AMHi Dipal,
Here i am sending step by step.. How I am done my project..
Please look into that..
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hi
create table temp(comp_id int,branch_id int);
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Is it possible for you to share the document with us, if it is not confidential?
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I have a MX 860 printer scanner. All of my scans are coming up as photos. How can I make it scan documents
Hi WSF,
To scan in documents as PDF files, please follow the steps below:
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on iphone 4 how do i block text messages that are coming from an email account?
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Before changes
SELECT 'FINANCE' detdepartment, 'FINANCE' detsub_dept, 'FINANCE' detuser_name,
ai.unique_remittance_identifier, ai.invoice_num, ai.invoice_date,
ai.description, ai.invoice_amount, av.vendor_name, av.vendor_type_disp,
ai.invoice_received_date, TRUNC (aipa.creation_date) last_forward_date,
TRUNC (xvd.creation_date + NVL (atl.due_days, 0)) due_date,
trunc(sysdate)-(TRUNC(xvd.CREATION_DATE)+NVL(atl.DUE_DAYS,0))due_days,
'Validated - Oracle Paid: Unclear' status, ai.invoice_id,
(SELECT RTRIM
(XMLAGG (XMLELEMENT (e, pha.segment1 || '|')).EXTRACT
('//text()'),
'|'
FROM po_headers_all pha, ap_invoice_lines_all aila
WHERE pha.po_header_id = aila.po_header_id
AND aila.invoice_id = ai.invoice_id) po_number,
(SELECT RTRIM
(XMLAGG (XMLELEMENT (e, pha.type_lookup_code || '|')).EXTRACT
('//text()'),
'|'
FROM po_headers_all pha, ap_invoice_lines_all aila
WHERE pha.po_header_id = aila.po_header_id
AND aila.invoice_id = ai.invoice_id) po_type,
(SELECT RTRIM
(XMLAGG (XMLELEMENT (e, pra.release_num || '|')).EXTRACT
('//text()'),
'|'
FROM po_releases_all pra, ap_invoice_lines_all aila
WHERE pra.po_release_id = aila.po_release_id
AND aila.invoice_id = ai.invoice_id) release_number
FROM apps.ap_terms apt,
ap_invoices_all ai,
ap_terms_lines atl,
org_organization_definitions ood,
fnd_user fu,
xxindus_vhd_dynamic_h xvdh,
xxindus_vhd_dynamic xvd,
ap_lookup_codes alc,
ap_invoice_payments_all aipa,
ap_payment_history_all apha,
ap_vendors_v av
WHERE xvd.invoice_id = ai.invoice_id
AND apt.term_id = ai.terms_id
AND apt.term_id = atl.term_id
AND atl.sequence_num = 1
AND ai.terms_id = apt.term_id
AND ai.org_id = ood.organization_id
AND ai.created_by = fu.user_id
AND ai.invoice_id = xvdh.invoice_id
AND ai.invoice_id = xvd.invoice_id
AND alc.lookup_code = ai.invoice_type_lookup_code
AND ai.invoice_id = aipa.invoice_id
AND aipa.check_id = apha.check_id
AND aipa.invoice_payment_id = (SELECT MAX (invoice_payment_id)
FROM ap_invoice_payments_all a
WHERE a.invoice_id = ai.invoice_id)
AND apha.accounting_event_id = (SELECT MAX (accounting_event_id)
FROM ap_payment_history_all aph1
WHERE aph1.check_id = apha.check_id)
AND ai.vendor_id = av.vendor_id
AND apha.transaction_type IN ('PAYMENT CREATED', 'PAYMENT UNCLEARING')
AND ai.invoice_type_lookup_code = 'STANDARD'
AND alc.lookup_type = 'INVOICE TYPE'
AND alc.enabled_flag = 'Y'
AND ai.wfapproval_status IN ('WFAPPROVED', 'MANUALLY APPROVED')
AND xvdh.checked = 'Y'
AND xvd.status = 'Sent to Finance'
AND ai.cancelled_date IS NULL
--- AND SYSDATE BETWEEN fu.start_date AND NVL(fu.end_date,SYSDATE)
AND ai.invoice_amount =
NVL ((ai.amount_paid + NVL (ai.discount_amount_taken, 0)), 0)
-- AND ood.organization_name = :p_org_name
AND ood.organization_id = :p_org_id
AND ai.invoice_received_date
BETWEEN NVL (TRUNC (TO_DATE (:p_from_date, 'RRRR/MM/DD HH24:MI:SS')),
ai.invoice_received_date
AND NVL (TRUNC (TO_DATE (:p_to_date, 'RRRR/MM/DD HH24:MI:SS')),
SYSDATE
AND (fu.user_name LIKE '%VHD%' OR fu.description = 'VHD')
after changes
SELECT 'FINANCE' detdepartment, 'FINANCE' detsub_dept, 'FINANCE' detuser_name,
ai.unique_remittance_identifier, ai.invoice_num, ai.invoice_date,
ai.description, ai.invoice_amount, av.vendor_name, av.vendor_type_disp,
ai.invoice_received_date, TRUNC (aipa.creation_date) last_forward_date,
TRUNC (xvd.creation_date + NVL (atl.due_days, 0)) due_date,
trunc(sysdate)-(TRUNC(xvd.CREATION_DATE)+NVL(atl.DUE_DAYS,0))due_days,
'Validated - Oracle Paid: Unclear' status, ai.invoice_id,
(SELECT RTRIM
(XMLAGG (XMLELEMENT (e, pha.segment1 || '|')).EXTRACT
('//text()'),
'|'
FROM po_headers_all pha, ap_invoice_lines_all aila
WHERE pha.po_header_id = aila.po_header_id
AND aila.invoice_id = ai.invoice_id) po_number,
(SELECT RTRIM
(XMLAGG (XMLELEMENT (e, pha.type_lookup_code || '|')).EXTRACT
('//text()'),
'|'
FROM po_headers_all pha, ap_invoice_lines_all aila
WHERE pha.po_header_id = aila.po_header_id
AND aila.invoice_id = ai.invoice_id) po_type,
(SELECT RTRIM
(XMLAGG (XMLELEMENT (e, pra.release_num || '|')).EXTRACT
('//text()'),
'|'
FROM po_releases_all pra, ap_invoice_lines_all aila
WHERE pra.po_release_id = aila.po_release_id
AND aila.invoice_id = ai.invoice_id) release_number
FROM apps.ap_terms apt,
ap_invoices_all ai,
ap_terms_lines atl,
org_organization_definitions ood,
fnd_user fu,
xxindus_vhd_dynamic_h xvdh,
xxindus_vhd_dynamic xvd,
ap_lookup_codes alc,
ap_invoice_payments_all aipa,
ap_payment_history_all apha,
ap_vendors_v av
WHERE xvd.invoice_id = ai.invoice_id
AND apt.term_id = ai.terms_id
AND apt.term_id = atl.term_id
AND atl.sequence_num = 1
AND ai.terms_id = apt.term_id
AND ai.org_id = ood.organization_id
AND ai.created_by = fu.user_id
AND ai.invoice_id = xvdh.invoice_id
AND ai.invoice_id = xvd.invoice_id
AND alc.lookup_code = ai.invoice_type_lookup_code
AND ai.invoice_id = aipa.invoice_id
AND aipa.check_id = apha.check_id
AND aipa.invoice_payment_id = (SELECT MAX (invoice_payment_id)
FROM ap_invoice_payments_all a
WHERE a.invoice_id = ai.invoice_id)
group by a.transaction_type)
AND apha.accounting_event_id = (SELECT MAX (accounting_event_id)
FROM ap_payment_history_all aph1
WHERE aph1.check_id = apha.check_id)
AND ai.vendor_id = av.vendor_id
AND apha.transaction_type IN ('PAYMENT CREATED', 'PAYMENT UNCLEARIN\G')
and not exists ( select 1
from apps.ap_payment_history_all apha
,apps.ap_invoice_payments_all aipa
,apps.ap_invoices_all ai1
where aipa.check_id = apha.check_id
and ai1.invoice_id = aipa.invoice_id
and ai1.INVOICE_ID=ai.invoice_id
and apha.transaction_type IN ('PAYMENT CLEARING')
and apha.CREATION_DATE = ( select max(apha.CREATION_DATE)
from apps.ap_payment_history_all apha
,apps.ap_invoice_payments_all aipa
,apps.ap_invoices_all ai2
where aipa.check_id = apha.check_id
and ai2.invoice_id = aipa.invoice_id
and ai2.INVOICE_ID=ai.INVOICE_ID
) ---- newly added
AND ai.invoice_type_lookup_code = 'STANDARD'
AND alc.lookup_type = 'INVOICE TYPE'
AND alc.enabled_flag = 'Y'
AND ai.wfapproval_status IN ('WFAPPROVED', 'MANUALLY APPROVED')
AND xvdh.checked = 'Y'
AND xvd.status = 'Sent to Finance'
AND ai.cancelled_date IS NULL
--- AND SYSDATE BETWEEN fu.start_date AND NVL(fu.end_date,SYSDATE)
AND ai.invoice_amount =
NVL ((ai.amount_paid + NVL (ai.discount_amount_taken, 0)), 0)
-- AND ood.organization_name = :p_org_name
AND ood.organization_id = :p_org_id
- AND AI.INVOICE_NUM='A302689/EXM/OSR/03-2012'
AND ai.invoice_received_date
BETWEEN NVL (TRUNC (TO_DATE (:p_from_date, 'RRRR/MM/DD HH24:MI:SS')),
ai.invoice_received_date
AND NVL (TRUNC (TO_DATE (:p_to_date, 'RRRR/MM/DD HH24:MI:SS')),
SYSDATE
AND (fu.user_name LIKE '%VHD%' OR fu.description = 'VHD')Hi karthick,
Reconciled invoices are coming in the Report , some invoice are coming in the repot if i use the following condition the invoice are not comming in the report please advice wheather i can use this condition are not
and not exists ( select 1
from apps.ap_payment_history_all apha
,apps.ap_invoice_payments_all aipa
,apps.ap_invoices_all ai1
where aipa.check_id = apha.check_id
and ai1.invoice_id = aipa.invoice_id
and ai1.INVOICE_ID=ai.invoice_id
and apha.transaction_type IN ('PAYMENT CLEARING')
and apha.CREATION_DATE = ( select max(apha.CREATION_DATE)
from apps.ap_payment_history_all apha
,apps.ap_invoice_payments_all aipa
,apps.ap_invoices_all ai2
where aipa.check_id = apha.check_id
and ai2.invoice_id = aipa.invoice_id
and ai2.INVOICE_ID=ai.INVOICE_ID
Thanks,
Naresh -
Delivery schedule dates are coming in Past dates
Hi Friends,
In the Scheduling Agreements the delivery schedule dates are coming in the past dates even tough the scheduling agreements are having new schedules. There is also open quantities there for the scheduling agreements.
please kindly explain me what is the delivery schedule date in Scheduling Agreement.
Thanks in advance.
Regards,
Kannan MHi Khan,
Just check this thease might be the reasons to get correct the delivery schedule.
To access a delivery schedule, mark a scheduling agreement item and choose Goto ® Item ® .
The following data is displayed in the delivery schedule tabstrip:
· Delivery schedule number and date
· A wide range of standard cumulative quantities
· Delivery information
To display deliveries for the delivery schedule, choose Deliveries on the delivery schedule tabstrip.
In scheduling agreements involving external agents, the system displays deliveries made to the customer by external agents as consignment issues.
· Correction delivery information
To display or create correction deliveries, choose Corr. delivery on the delivery schedule tabstrip.
· An analysis function
· Information at a glance
To display a summary of delivery schedule data, choose Short disp. on the delivery schedule tabstrip.
· Schedule lines
Choose DlvSch.Hdr on the delivery schedule tabstrip to access the delivery schedule header. The following data is displayed here:
· Information on quantities received by the customer
· Information on the customer fiscal year and cumulative quantities reset due to a year change
· A wide range of cumulative go-ahead quantities
· Notes on the delivery schedule
Correcting Cumulative Delivered Quantities
Prerequisites
You correct cumulative quantities in scheduling agreements:
· In case of returns
· When there has been a processing error
· When there has been a year change
· When you are transferring initial quantities from a legacy system into the SAP System
To do this, you create a correction delivery within the delivery schedule itself. This delivery is not relevant for requirements planning, shipping, goods issue, or billing.
Correct cumulative quantities only when the customer has not posted goods receipt.
Procedure
To create a correction delivery (document type LFKO):
1. Choose Corr. delivery on the delivery scheduletabstrip.
The system displays a dialog box in which you enter a:
- Correction delivery date
For help on deciding where you want to position the correction delivery, choose Display. The system lists delivery dates in chronological order.
- Correction quantity
Enter a negative correction quantity by placing a minus sign after the quantity.
2. Choose Enter and save the scheduling agreement.
Result
When you save the correction delivery, the system updates the cumulative quantities in the delivery schedule.
To display correction deliveries, choose Deliveries on the delivery schedule tabstrip, or Environment ® Display document flow.
Example
Your customer returns 200 pieces of material from a delivery made on 7/10 because of damage during transport. Several other deliveries have been made before you prepare the correction delivery, so you view a list and choose an appropriate date. In this case you decide on 7/14 because it occurs after the delivery on 7/10 and before the delivery on 7/15.
Regards,
Murthy V.N -
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http://support.apple.com/kb/ht4102
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The question about Multiple key
Hey all: I'm having a problem trying to create the multiple key (just like the c++) In C++ , it looks like the following typedef pair<short,short> Bipair; map<Bipair,double> P_WD_MAP; In Java public class someclass{ private class Bipair implements Co