Cost center -- shipping point

is ther assignment of Cost center to plant ??
if its possible can we pull the shipping

sorry that was incomplete.
Is there any assignment of cost center to company code???
in which TCODE or table we can find the assignment????
Regards,

Similar Messages

  • Urgent....work-center/cost center table...have ur point.s

    Hi all,
    I have work-center, I want to find the corresponding cost-center.
    But on screen i m getting structure CRKEYK.
    Please let me know the table...
    Urgent.
    <b>Help me ....n have ur points.</b>
    regards,

    Hi Pradeep,
    AFRV is the table which will have both work center & cost center.
    <b>Reward points if it helps,</b>
    Satish

  • Filtering cost center members in HFR point of view

    Is it possible to setup a Hyperion Financial Report to filter members of a Cost Center dimension so that users only see in the POV member selection the members they have been provisioned access to? I have a cost center dimension of over 1000 cost centers, yet the POV does not filter out only the members applicable to my end user's provisioned access. For example, my Finance manager sees the entire cost center hierarchy, yet I only want him to see his few cost centers. Any suggestions?

    It can be done with an essbase connection but you have to update the filters created to change from read to metaread or duplicate the read row and make it metaread, not a nice process but it can be achieved.
    I still don't understand why metaread has not been implemented with planning filters.
    Cheers
    John
    http://john-goodwin.blogspot.com/

  • Distribute cost center data change pointer

    HI
    I need to distribute cost center data through change pointers
    Can anyone please tell me the steps i need to follow
    please dont give links, but would be helpful if some1 can tell me step by step
    and how to do testing, ie which tables i need to check to see whether my change pointers are working or not.
    Thanks in advance
    Regards
    Manu

    Hi manu,
    1) Goto transaction BD61 check if the checkbox is checked
    2) Goto SM30 table V_TBDA2 click maintain enter message type and check the checkbox
    3) Goto transaction BD52 enter Cost center message type
    (COSTCENTER_CHANGEMULTIPLE/COSTCENTER_CREATEMULTIPLE/ any custom one) which you are using  and create an entry object CMDT_CC table CMDTCC_ALL field * (all fields/ list of fields you want) .
    Change pointers are created you can use this for distribution of IDocs
    Regards
    Hussain

  • Lead Time - Customizatiou0131n steps: Shipping point, route, and loading group

    It says about delivery scheduling that "The lead time considers the shipping point, route, and loading group". Can anybody explain me briefly the customization menu steps about this sentence?
    Thanks in advance.

    Please go through this document it will help you
    1) Maintain transportation planning point through Menu as follows:
    IMG Maintain&#61664; Logistic Execution &#61664; Definition &#61664;Enterprise Structure &#61664; transportation planning point.
    Create your own like BP01 enter the general data¡¯s required
    2) Defining modes of transport:
    &#61664;IMG Routes&#61664;Basic Transportation Functions &#61664; Transportation &#61664;Logistic Execution Define modes of transport&#61664;Define routes&#61664;
    Use the standard like:
    Shipping type: 01
    Description: Road
    3) Define shipping types :
    Basic Transportation&#61664; Transportation &#61664;Logistic Execution&#61664;IMG Define shipping types&#61664; Route &#61664;Functions
    Or through T-code: SM30
    PT: 01
    Description: Truck
    Mdtr: 01
    STPG: 0001
    4) Define transportation connecting point :
    Logistic&#61664;IMG Define&#61664;Routes &#61664; Basic Transportation Functions &#61664; Transportation &#61664;Execution Define transportation connection points&#61664;routes
    Copy the std point and make it FB01 as departure zone and FB02 as destination zone
    5) Define routes and stages.
    &#61664; Logistic Execution &#61664;IMG Define&#61664; Define routes &#61664;Routes &#61664; Basic Transportation Functions &#61664;Transportation routes and stages
    Use the standard route and copy it as FB0001 and enter the departure zone and destination as what we created.
    6) Defining Transportation Zone:
    Basic&#61664; Transportation &#61664;Logistic Execution &#61664;IMG Define transportation&#61664; Router determination &#61664; Route &#61664;Transportation Functions zones
    Use the standard transportation zone depending on the route so as for the example use 0000000003 - Southern Region
    7) Maintain country or transportation zone for shipping points
    &#61664; Logistic Execution &#61664;IMG &#61664; Route determination &#61664; Route &#61664; Basic Transportation Functions &#61664;Transportation Maintain country and transportation zone for shipping point
    Shipping point be ASH1 and route as 0000000003 which is assigned to country India
    8) Maintain route determination:
    Logistic Execution&#61664;IMG Route determination&#61664; Route &#61664; Basic Transportation Functions &#61664; Transportation &#61664; Maintain route determination&#61664;
    Country of departure: India
    Departure Zone: 0000000003
    Country of destination: India
    Destination Zone: 0000000003
    And enter the data’s needed like shipping condition 01, etc.
    Maintain Transportation relevance for shipping point, sales document type and delivery types.
    9) Now create shipping types
    &#61664;IMG Define shipment&#61664; Shipments &#61664; Transportation &#61664;Logistic Execution types
    Copy the standard 0001 and make it to AFIL
    10) Define and assign traffic zones through T-Code: T_76 (or) thru menu as follows
    &#61664;IMG Define&#61664; Basic functions &#61664; Shipments cost &#61664; Transportation &#61664;Logistic Execution and assign tariff zones
    Copy the standard and make it to FABTARIFF and assign our transportation planning point as ATP1, ATP2 assign tariff zone to every particular transportation planning point
    11) Define and assign pricing procedures
    Shipments&#61664; Transportation &#61664; Logistic Execution &#61664;IMG define and assign pricing&#61664; Price control &#61664; Pricing &#61664;cost procedures
    Copy the standard shipping cost pricing procedure SDFC00 to FBSC01
    12) Assign purchasing data:
    &#61664; Logistic Execution &#61664;IMG Assign purchasing data&#61664; Settlement &#61664; Shipments cost &#61664;Transportation
    13) Assign transportation planning point to shipping condition, purchase organization, purchasing group and to plants.
    14) Define Automatic G/L account determination:
    &#61664; Transportation &#61664; Logistics Execution &#61664;IMG Automatic G/L Account Determination&#61664; Settlement &#61664;Shipment Costs
    Or through T-code: OMWB
    Use G/L account 614000 as used in standard
    15) Automatic determination of CO assignments:
    &#61664;IMG Automatic&#61664; Settlement &#61664; Shipment Costs &#61664; Transportation &#61664;Logistics Execution Determination of CO Assignments
    Or T-code: OKB9
    16) Maintain shipping point address.
    &#61664; Logistics Execution &#61664; Definition &#61664;Enterprise Structure Define, copy, delete, check shipping point
    17) Creating G/L account centrally.
    Financial Accounting&#61664;Accounting &#61664; Master Records &#61664; General Ledger &#61664;
    &#61664;Individual Processing Centrally
    Or through T-Code: FS00
    18) Enter the G/L account 614000 to the company code AFIL
    19) Create transportation condition records:
    &#61664; Shipment cost &#61664; Transportation &#61664; Master data &#61664;Logistic Execution create&#61664;Prices
    Or thru T-code: TK11
    Enter condition type FB00 that is freight condition type, which is used as standard in the shipping cost pricing procedure.
    Enter the price and save it
    Process:
    1. The system determines the pricing procedure for the shipment cost item-using transportation planning point, service agent and shipment cost item category
    2. Calculation Basis
    3. Condition Record
    4. Access sequence.
    For the sales order, create a delivery using VL01N and pick the goods. Now create a shipment using VT01N and assign the delivery to the shipment document. Make sure to enter the carrier and other details before performing the transportation planning and execution. Save the shipment document and PGI for the delivery would be done automatically.
    A shipment represents a physical goods movement between two or more locations.
    For the system to create a shipment, shipping-relevant deliveries must exist.
    You use Transportation Planning to group pending deliveries into shipments and then to perform the shipments.
    The outbound delivery documents contain routes that the system calculates in route determination, and a transportation planning date for the delivery.
    Dynamic transportation planning is responsible for grouping together outbound deliveries into shipments that have at least the same route, visit plan type and the same transportation planning date.
    The following restrictions can be taken into account for a shipment in Dynamic Transportation Planning:
    • Weight
    • Volume
    • Variable capacity
    • Number of stops
    • Maximum duration
    • Loading units
    Create Shipment Document
    Use
    After the status of the delivery is open for transportation planning, it is possible to create a shipment document to schedule the transportation.
    Transportation&#61664; Create &#61664;Single document Logistics&#61614; Logistic Execution &#61664; Transportation&#61664;Planning
    T.code: VT01n
    Enter your transportation planning point and shipment type. Press enter.
    Creating the shipment cost document
    Use
    After the deliveries are scheduled by shipment and the shipment is executed, now it is time to maintain and close the shipment document in order to record all relative information and ready for the shipment cost settlement.
    &#61664;Single document Logistics&#61614; Logistic Execution &#61664; Transportation&#61664; Shipment cost &#61664;Create
    T.code: VI01.
    After creation of shipment cost doc. You settle the Shipment cost.
    Go to VI02, enter shipment cost no.and press enter.
    Then go to Overview -- Fright cost items, Select the line item and double click it.
    Go as main menu: Item --> Acc. assignment, you enter G/L acc. and cost center to which the transportation cost will be posted.
    On the Standard change, details – Freight cost items screen, then check the check box “Transfer”, which means you will transfer the relative transportation cost to FI/CO, in this case, the system should determined which Purchase Order will used to settle the cost, so after you check the “Transfer” check box.
    Press save button on the current screen.
    Shipment cost settlement and documents:
    Use
    After the shipment cost settled in shipment cost document, it has the following affects:
    It creates a service entry sheet that refers to the purchase order determined.
    It posts acceptance of services performed.
    It creates an accounting document for the accruals.
    Further subsequent documents are created in FI.
    Create Delivery:
    T.code: Vl01n
    Create TO:
    T.code: LT03
    Create Shipment Document
    Use
    After the status of the delivery is open for transportation planning, it is possible to create a shipment document to schedule the transportation.
    &#61664; Transportation Planning &#61664; Create &#61664;Single document Logistics&#61614; Logistic Execution &#61664;Transportation
    T.code: VT01n
    Enter your transportation planning point and shipment type. Press enter.
    Creating the shipment cost document
    Use
    After the deliveries are scheduled by shipment and the shipment is executed, now it is time to maintain and close the shipment document in order to record all relative information and ready for the shipment cost settlement.
    &#61664;Single document Logistics&#61614; Logistic Execution &#61664; Transportation&#61664; Shipment cost &#61664;Create
    T.code: VI01.
    After creation of shipment cost doc. You settle the Shipment cost.
    Go to VI02, enter shipment cost no.and press enter.
    Then go to Overview -- Fright cost items, Select the line item and double click it.
    Go as main menu: Item --> Acc. assignment, you enter G/L acc. and cost center to which the transportation cost will be posted.
    On the Standard change, details – Freight cost items screen, then check the check box “Transfer”, which means you will transfer the relative transportation cost to FI/CO, in this case, the system should determined which Purchase Order will used to settle the cost, so after you check the “Transfer” check box.
    Press save button on the current screen.
    Shipment cost settlement and documents:
    Use
    After the shipment cost settled in shipment cost document, it has the following affects:
    It creates a service entry sheet that refers to the purchase order determined.
    It posts acceptance of services performed.
    It creates an accounting document for the accruals.
    Further subsequent documents are created in FI.
    Generally process is-
    1) VL01N
    2) VT01
    3) VL02N - PGI
    4) VI01
    5) ML81N – Service Entry Sheet
    6) MIRO – Invoice Verification
    Shipping docs (VT01) are created before PGI...
    You cannot carry out transportation planning or creation of shipment after the goods issue has been executed. Once goods issue is done it means that the material has left your premises so there is no need for a transportation planning after it.
    In case you need carry out the shipment documents at the end of the day you could just create the delivery documents during the day and at end of the day create the shipment documents and the goods issue
    This link is also usseful:
    http://help.sap.com/printdocu/core/Print46c/en/data/pdf/LETRA/SDTRA.pdf
    Hope this helps you.
    Regards
    nitin

  • Error during Goods Issue Posting to Cost Center

    Hi all,
    I have WM and HUM active.
    I'm trying to post a GI to Cost Center using the transaction MIGO and Movement type 201. I get this error during the transaction:
    Data for creating a delivery is incomplete (Vendor)
    Message no. M7279
    Diagnosis
    The system found that the data required to create a delivery via Shipping is not complete.
    System Response
    The system cannot create a delivery.
    Procedure
    Check that the data for Vendor is maintained in your system:
    loading group
    debtor number
    sales organization
    distribution channel
    division
    shipping condition
    shipping point
    It's strange that the error is specific to vendor because this is an inhouse transfer to a cost center. However, I've maintain the listed items in spro.
    There's still something wrong and I'm at a loss. What am I doing wrong? How can I correct it?
    Any suggestions would be appreciated. Thank you.

    Hello Uzoamaka
    Not sure if this helps you but check out these OSS notes,  first one especially,  and others referred within them.
    Let me know if they help you or otherwise.
    547209 - Backflush of HU storage location generates delivery
    723250 - M7279 when creating a delivery from MB1C

  • HR PNP Logical Database Using Cost Center selection: error!?

    Hi all,
    I'm using PNP logical data base and using the selection-fields available through HR Class Reports (a copy of PAY_DEF) but what happens is if in selection-screen I fill the personnel number say 1000, i get the payroll data I'm trying to get, but if i use the search field cost center of that exact person i get nothing. Does anyone has a clue on what i might be doing wrong? Because all the other search fields work, company code, HR area, everyone, but cost center, and I'm positive that i use the right cost center.
    Thanks in advance,
    Paula

    Even though nobody answered me, i finally found the solution for my problem. so and because someone might need it here it is:
    Go to Spro->Personnel Management->Human Resources Information System->Reporting->Adjusting the Standard Selection Screen and then:
    1st Create Report Categories and
    2nd Assign Report Categories
    Since not all rep. categories on the 1st assignment is explicit on how will sel screen appear i advice you to go to the 2nd point, and execute some of the programs that appear there, and that might look alike to what you are looking for, and if you are so lucky as to find one exact use the same report category in your program, if its very alike, well, copy the Report Category into one of your own and change it the way you need it to be.
    Hope this be helpfull for someone.
    Paula.

  • Cost center balances

    i need to read period wise balances in a cost center.
    is dere ny fm/bapi to do so?
    is dere ant table which contains cost center wise balances?
    points 'll b rewarded
    Edited by: abapuser on Mar 3, 2008 7:42 AM

    Hi
    Yes you can use S_ALR_87013611 for multiple periods..... if you want to see only one period  you can see S_ALR_87013614. In the left side you can see the cost centers list click on each cost center .. on the right side you can see the cost centers balances with cost element wise.
    Path for the above reports ... SAP easy access> accounting>controlling> cost center accounting>Information systems --> Reports for cost center accounting >Plan/Actual comparisons>
    Radha

  • Function modules or BAPI for deleting plan costs on a cost center

    Hi all,
    I search for a function module or bapi to delete plan costs / activity on a cost center.
    At the moment I update the planning with 0, but that cause a mass of needles entries on the cost centers.
    For check and posting I use the function group 6026 - BAPI_COSTACTPLN_* ,
    but there is no function for deleting.
    Has anyone an idea?
    Thx for help - points as reward !

    check
    BAPI_COSTACTPLN_POSTACTINPUT   Activity Input Planning: Posting                
    BAPI_COSTACTPLN_POSTACTOUTPUT  Activity/Price Planning: Posting                
    BAPI_COSTACTPLN_POSTKEYFIGURE  Stat. Key Figure Planning: Postings             
    BAPI_COSTACTPLN_POSTPRIMCOST   Primary Cost Planning: Postings                 
    BAPI_PDTRANSCO_POSTPRIMCOST    Transfer of Planning Data: Post Primary Costs   
    K40C                           CO Actual Postings, Manual                      
    BAPI_ACC_PRIMARY_COSTS_POST    Accounting: Post Primary Costs                  
    BAPI_COPAACTUALS_POSTCOSTDATA  BAPI Operating Concern: Post Costing-Based Actua
    BAPI_PRIM_COST_CHECK_AND_POST  Primary Costs: Formal Parameter Check           
    S@meer

  • How to run GR55 reports in background for cost center hierarchies

    1.  I have been asked by our users to create batch jobs to run in the background for some GR55 reports, that can then be sent directly to cost center managers via email.
    I have figured out the process to do this as long as the cost center manager only needs to see a single cost center at a time.  However, if they are in charge of multiple cost centers, we also want to send them a summarized report using the hierarchy we have set up.  I can't seem to make this work, as the job only seem to recognize the last cost center in the group and the report is for that cost center.
    Example.  cost centers 100, 200 and 300 belong to hierarchy abc.  If I run the job just for cost center 100 it is fine.  But if I have a variant to run hierarchy abc, or even if I use the range 100 to 300, all I get is a report for cost center 300.
    We cannot use BW because we only have revenue in BW.  I am being asked to make this work from standard R/3 within the GR55 realm of reporting.
    2.  In addition, the report selection criteria includes two separate plan/forecast versions.  They need to update these each month prior to running the reports and sending them out.  I looked at the variables associated with the versions and tried to set them up with default values that I hoped would update automatically so that they don't have to manually change 50 or so variants each month.  But I don't see any dynamic variables that I can use to have the system make that change without going into each variant individually.
    3.  There is another piece to this equation as well.  There is another report they want sent out in batch, but it is several pages wide in SAP and several pages long.  So when you run it in batch and either spool it or get it sent as an email, it is very ugly in the formatting due to all the page splits horizontally and vertically.  If anyone knows how to get the report to stay together like it would if you had excel integration turned on, it would be very helpful.  I have tried running it with that integration turned on, but the jobs are set up with user batch_mgr and not my id, so it isn't working well.  The batch_mgr id is just a system id, not a dialog id.  We also don't want the jobs set up with a regular user id because if people leave, then the jobs all need to be changed.

    Kim,
    I may have options for issues 1 and 2. In case of 3, what I can tell you is I understand the concern, but this is what  typically happens in some standard CO reports that are not ALV compatible, I don't think there is not much  there to do unless you add some custom code for the output.
    In regards to point 1, yes,  I have noticed that this happens in some standard and custom reporting, not sure what is going on. I came up with a work around that  made the trick for my client in a similar scenario; which is editing the cost center groups. For instance, instead  of having the group set as a range from 100 to 300,  the groups are have  listed the cost centers, 100, 200 and 300. Obviously, the disadvantage of  this option is  that it would require a bit of more cost center group maintenance.
    In regards to point 2,  I understand from your note  that your users already have set up selection variants for the report. One option for you is to get the help from a developer to create a custom period variable and tiny program that runs in batch every month that would update that variable accordingly. Once that's done, you may have to update at least once, the selection variant  attributes to change the period to a selection variable, so everytime from that point of time forward that the variable gets updated,  it will be ready with the right value for every selection variant that uses it.
    Hope this helps.
    GG

  • Org Level, fund center/cost center level restriction for tcodes????

    I am looking to see whether org level restriction and cost center/fund center level restriction is possible for certain set of transactions.
    I am using USOBX table for this analysis. This table has a check flag field ( same as in SU24) which says whether the Tcode (program) does the authority check for certain auth objects. Example- X (checked but not maintained in USOBT). This table pulls up several authorization objects under the 'X' category. However, when I do the System trace for the same tcode, all the objects (marked as X) are not captured. Instead only a few are captured.
    Can we rely on the USOBX data or should we do system Trace for every tcode. I am just pulling a report and not creating roles at this point. So trace is time consuming. But data reliability is equally important.
    My objective is to verify whether org level and cost center/fund center level restriction is possible or not for some tcodes.
    Do you have any suggestion to achieve this faster (through USOBX or any other means)?
    Thanks in advance
    Kee

    I would suggest you to check USOBX_C and USOBT_C instead of USOBX and USOBT as it will have your customization as well and not just the standard ones given by SAP.
    Also when check field is X ...it means the object is checked but not maintained for the t-code as you already said but I am not sure how much it will help you as the they will not be pulled by PFCG when you are creating the role until you change the object to Check / maintain . When you do that the check field will be Y and not X. So basically it is the Y one which you need to see.
    Going for trace is time consuming for every t-code and I am not sure if it really needed. When your roles are in testing phase and are tested by the functional team or the team which needs it and if they are missing some object, you can run a trace and find the missing object....
    I am not sure on what basis you want to change some field to Org level ...but typically it is done if you want to do segregation of roles based on these org level. There could be various other reasons and it is better to talk to your functional counterparts before changing a field to Org level.
    for ex : If you want to segregate on company code, you will create co. code as Org level and create roles for different company code.

  • Cost Center Authorization

    Dear Friends / Experts
    We have around 10 HR (BW/BO) reports. All are woking fine. Now the users wants to restrict the report based on cost center.
    Hence, I have created one DSO with relevent information and extracted the data from ECC ( Used id, Cost Center belonging, Etc....).  Created one customer exit variable and lookedup this used cost center data in CMOD. This is perfectly working.
    My Doubts
    1) This logic no where related with authorization. Do i still need to consider authorization object and handle further ?
    2) If the Logged in user not available in the DSO, i am not able to edit the query in BO-Webi .
    Can anybody advise ?. Good advise awarded with points.
    Regards
    Saravanan Raju

    1) This logic no where related with authorization. Do i still need to consider authorization object and handle further ?
    The concept of authorization is only similar, instead of a DSO, you use a Z*COST time-dependent authorization-relavent IObject & start to set the time-intervals for access. I assume the DSO concept, although is a quick fix is not a long term solution, as there needs to be loads, corrections at irregular time intervals & this needs to reflect on the BEx. This holds okay for lesser # of users, but you might never estimate the size, as the business would consider adding more in months to come. As rightly said, you need not have an authoriztion object to handle, but if you make cost center object's customer exit to refer this using a SSO-details (like sy-uname), this will restrict entries & authorization based on this field in your BEx. But still you need to work on the DSO concept & try to migrate towards a authroization-releavant IOBject for good sakes, as there is a possiblity the data is exposed -or- completely not avalialbe even for testing & you need to add the same set of ccenters repeatedly for all users again & again, month-on-month, issues like that.
    2) If the Logged in user not available in the DSO, i am not able to edit the query in BO-Webi .
    Yes, as stated above, this is the drawbacks in this model. Hope it helps.

  • How can we capitalize the PR/PO, which are already booked in cost center?

    We are creating a capital Project for our department.  We have the structures ready and finalized with the budgets. But, the department has already done some commitments and expenditures in their cost center .Now, this expenditure and commitment values needs to be reflected in the report, so that correct values of assigned and available should be updated.
    1) Pls. suggest a process using which we can transfer this amount. Is this to be done by an FI entry or else we need to commit using sanction request?
    2) How can we capitalize the PR/PO, which are already booked in cost center?

    Hi,
    As we know the Contract is an Outline agreement for Quantity or Value for a particular Period with vendor.
    Without mentioning Plant also we can make contract for the Purchase organisation level for particular Material for the entire period
    Where as while creating PR  -it is an Indent for the material requiement for the specific Plant so when you refer Agreement inthe PR creation time System will ask you how much quantity to what plant you want to place indent. where as In PO  it ia an legal document so when you refer Agreement it will take all the details from Contract
    i think you are clear with my points
    With regrads
    Shrinivas gangoor
    Edited by: Shrinivas Gangoor on May 22, 2009 2:53 PM
    Edited by: Shrinivas Gangoor on May 22, 2009 2:54 PM

  • PLANT AS A COST CENTER

    hi
    we are using plant as a cost center and profit center, i want to know what are costs we will be able to collect on the cost centers and profit centers. will i be able to tract material costs , i.e materials costs for maintaienace order

    Hi
    Can you further elaborate on this point? The mapping of Plants to Cost Centers is 1:1. Again is the Cost Center hierarchy and Profit Center hierarchy are same?
    Profit centers are basically statistical. Is the business requirement to collect at Cost center level?
    Thanks
    Murali

  • Repeat depreciation run can change cost center in GL a/c or not?

    Hi Gurus,
    I have hit the following issue.
    Fixed Asset 1 originally assigned to CC-01 for month of March.
    And my user has run depreciation for March already.
    Later she changed cost center to CC-02.
    Then she repeat depreciation run for the month of March, from the depreciation result shows the new cost center CC-02.
    But there is no document generated and thus from corresponding GL account, there is no change, still point to CC-01.Which means CC-02 has not been posted to GL account yet.
    May I please know if repeat depreciation run can change cost center in GL a/c or not?
    If cannot, what should be the correct way to post the new cost center in GL?
    Thanks a lot.
    Best Regards
    Li Juan

    Hi, I have tried the method you mentioned.
    I managed to generate the new document (Message shows: Document is posted under number 7500000000).
    So can I say that repeat depreciation run cannot change cost center for corresponding cost element?
    Everytime user has to do manual posting.
    Thanks a lot.
    Rgs
    Lijuan

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