Create account

I have the "printer code" that was printed out by my new 8600, but I cannot create a new account using the boxes provided on the "Create Account" screen and there is no box that accepts this code specifically...what am I doing wrong?  Thanks.

Sorry you are having such a difficult time logging in at eprintcenter.  When you get to www.eprintcenter.com, create a new account using your personal email address.  Once you are logged in, add a device using the printer code you received after you enabled web-services.  Next, customize the printer's email address and do a test print to the new email.  
Are you getting any error messages?
--Helps and Tips for ePrintcenter--
Don't forgot to say thanks by giving "Kudos" if I helped solve your problem.
When a solution is found please mark the post that solves your issue.
Every problem has a solution!

Similar Messages

  • HT1311 To create a new apple ID, if I sign out of the current Apple ID account, and then sign in with a newly created account, will I lose any songs or apps on my phone or computer that were downloaded from the old apple ID?

    To create a new apple ID, if I sign out of the current Apple ID account, and then sign in with a newly created account, will I lose any songs or apps on my Iphone and Macbook Pro computer that were downloaded from the old apple ID?

    No, you will not loose anything.  However, if you ever need to update any of that previously purchased content, or re-download it, you will have to use the older AppleID.  Purchases are permanently tied to the AppleID you use when making the purchase.

  • Event 0032 - To create Account Payable in FPCJ

    Hi All,
          I am working in Insurance module - FS CD , in transaction FPCJ. While posting documents by clicking on-account Postings,posting is made to a dummy account, we need to ensure this is balanced to zero i.e there is no balance remaining in the account.So in this case i need to add a additional posting on a account in order to balance the dummy account and add the offset entry to  create the payable .
    For this case, i copied the standard function module in the event 0032 and populated the table T_FKKOP_NEW with a additional account,but this did not help on clearing the dummy account. Please let me know if this situation could be handled in any other way.
    Thanks and Regards,
    Arundathi Veeraraghavan.

    Hi Naresh,
    I've already set the BP Vendor sync
    After that i've created in the IMG an account assignment reference for my loan
    In the transaction FBBP: application 0101
    for the transaction type: 1110 (Nominal interest)
    Payment transaction: X
    I need to create:
    40 Debit
    31 Vendor
    Is it possible to create accounting for the vendor?
    Thanks,
    Regards.
    Adriana

  • Error when i create accounting

    frist of all sorry if i put this message in wrong subject or wrong thread.this is my frist time in forum
    dear all,
    i use ebs r12 12.1.2 os Linux x86-64
    when i create accounting i meet error this log :
    Application Object Library: Version : 12.0.0
    Copyright (c) 1979, 1999, Oracle Corporation. All rights reserved.
    FNDWFBG module: Workflow Background Process
    Current system time is 15-APR-2011 01:39:37
    **Starts**15-APR-2011 01:39:37
    **Ends**15-APR-2011 01:39:37
    Start of log messages from FND_FILE
    End of log messages from FND_FILE
    Successfully resubmitted concurrent program FNDWFBG with request ID 450126 to start at 15-APR-2011 01:53:18 (ROUTINE=AFPSRS)
    Executing request completion options...
    Output is not being printed because:
    The print option has been disabled for this report.
    ------------- 1) PRINT   -------------
    Finished executing request completion options.
    Concurrent request completed successfully
    Current system time is 15-APR-2011 01:39:37
    Subledger Accounting: Version : 12.0.0
    Copyright (c) 1979, 1999, Oracle Corporation. All rights reserved.
    XLAACCPB module: Create Accounting
    Current system time is 16-JAN-2012 12:43:15
    XDO Data Engine Version No: 5.6.3
    Resp: 20639
    Org ID : 81
    Request ID: 450125
    All Parameters: P_APPLICATION_ID=200:P_SOURCE_APPLICATION_ID=200:P_DUMMY=Y:P_LEDGER_ID=2023:P_PROCESS_CATEGORY_CODE=PAYMENTS:P_END_DATE="2012/01/10 00:00:00":P_CREATE_ACCOUNTING_FLAG=Y:P_DUMMY_PARAM_1=Y:P_ACCOUNTING_MODE=D:P_DUMMY_PARAM_2=:P_ERRORS_ONLY_FLAG=N:P_REPORT_STYLE=D:P_TRANSFER_TO_GL_FLAG=:P_DUMMY_PARAM_3=:P_POST_IN_GL_FLAG=:P_GL_BATCH_NAME=test11:P_MIN_PRECISION=:P_INCLUDE_ZERO_AMOUNT_LINES=N:P_REQUEST_ID=:P_ENTITY_ID=:P_SOURCE_APPLICATION_NAME=Payables:P_APPLICATION_NAME=Payables:P_LEDGER_NAME=SMI_PL:P_PROCESS_CATEGORY_NAME=Payments:P_CREATE_ACCOUNTING=Yes:P_ACCOUNTING_MODE_NAME=Draft:P_ERRORS_ONLY=No:P_ACCOUNTING_REPORT_LEVEL=Detail:P_TRANSFER_TO_GL=:P_POST_IN_GL=:P_INCLUDE_ZERO_AMT_LINES=No:P_VALUATION_METHOD_CODE=:P_SECURITY_INT_1=:P_SECURITY_INT_2=:P_SECURITY_INT_3=:P_SECURITY_CHAR_1=:P_SECURITY_CHAR_2=:P_SECURITY_CHAR_3=:P_CONC_REQUEST_ID=:P_INCLUDE_USER_TRX_ID_FLAG=N:P_INCLUDE_USER_TRX_IDENTIFIERS=No:DebugFlag=Y:P_USER_ID=1110
    Data Template Code: XLAACCPB
    Data Template Application Short Name: XLA
    Debug Flag: Y
    {P_ACCOUNTING_REPORT_LEVEL=Detail, P_DUMMY=Y, P_ACCOUNTING_MODE_NAME=Draft, P_ERRORS_ONLY_FLAG=N, P_REPORT_STYLE=D, P_GL_BATCH_NAME=test11, P_END_DATE=2012/01/10 00:00:00, P_SECURITY_INT_3=, P_SECURITY_INT_2=, P_SECURITY_INT_1=, P_VALUATION_METHOD_CODE=, P_POST_IN_GL=, P_TRANSFER_TO_GL=, P_TRANSFER_TO_GL_FLAG=, P_INCLUDE_USER_TRX_IDENTIFIERS=No, P_USER_ID=1110, P_PROCESS_CATEGORY_NAME=Payments, P_ERRORS_ONLY=No, P_DUMMY_PARAM_3=, P_SECURITY_CHAR_3=, P_DUMMY_PARAM_2=, P_SECURITY_CHAR_2=, P_DUMMY_PARAM_1=Y, P_SECURITY_CHAR_1=, P_ENTITY_ID=, P_PROCESS_CATEGORY_CODE=PAYMENTS, P_INCLUDE_ZERO_AMT_LINES=No, P_LEDGER_ID=2023, P_POST_IN_GL_FLAG=, P_APPLICATION_ID=200, P_INCLUDE_USER_TRX_ID_FLAG=N, P_APPLICATION_NAME=Payables, P_REQUEST_ID=, P_CONC_REQUEST_ID=, P_LEDGER_NAME=SMI_PL, P_SOURCE_APPLICATION_ID=200, P_CREATE_ACCOUNTING=Yes, P_CREATE_ACCOUNTING_FLAG=Y, P_MIN_PRECISION=, P_SOURCE_APPLICATION_NAME=Payables, P_INCLUDE_ZERO_AMOUNT_LINES=N, P_ACCOUNTING_MODE=D}
    Calling XDO Data Engine...
    [011612_124319140][][STATEMENT] oracle.jdbc.driver.OracleBlobInputStream@179f36b
    [011612_124319242][][STATEMENT] Logger.init(): *** DEBUG MODE IS OFF. ***
    [011612_124319244][][STATEMENT] DataTemplate.getTmpDir(): system-temp-dir property value from DATABASE: /usr/temp
    [011612_124319246][][STATEMENT] Template parsing started...
    [011612_124319389][][STATEMENT] Data Template ......
    [011612_124319389][][STATEMENT] oracle.xml.parser.v2.XMLDocument@19fdbcb
    [011612_124319525][][STATEMENT] Inside properties Parser...
    [011612_124319525][][STATEMENT] db_fetch_size=20
    [011612_124319526][][STATEMENT] Inside parameterParser...
    [011612_124319527][][STATEMENT] Parameter:P_REQUEST_ID Default value:
    [011612_124319527][][STATEMENT] Parameter:P_ENTITY_ID Default value:
    [011612_124319527][][STATEMENT] Parameter:P_SOURCE_APPLICATION_ID Default value:
    [011612_124319527][][STATEMENT] Parameter:P_SOURCE_APPLICATION_NAME Default value:
    [011612_124319527][][STATEMENT] Parameter:P_APPLICATION_ID Default value:
    [011612_124319527][][STATEMENT] Parameter:P_APPLICATION_NAME Default value:
    [011612_124319527][][STATEMENT] Parameter:P_DUMMY Default value:
    [011612_124319527][][STATEMENT] Parameter:P_LEDGER_ID Default value:
    [011612_124319527][][STATEMENT] Parameter:P_LEDGER_NAME Default value:
    [011612_124319527][][STATEMENT] Parameter:P_PROCESS_CATEGORY_CODE Default value:
    [011612_124319528][][STATEMENT] Parameter:P_PROCESS_CATEGORY_NAME Default value:
    [011612_124319528][][STATEMENT] Parameter:P_END_DATE Default value:
    [011612_124319528][][STATEMENT] Parameter:P_CREATE_ACCOUNTING_FLAG Default value:
    [011612_124319528][][STATEMENT] Parameter:P_CREATE_ACCOUNTING Default value:
    [011612_124319528][][STATEMENT] Parameter:P_DUMMY_PARAM_1 Default value:
    [011612_124319528][][STATEMENT] Parameter:P_ACCOUNTING_MODE Default value:
    [011612_124319528][][STATEMENT] Parameter:P_DUMMY_PARAM_2 Default value:
    [011612_124319528][][STATEMENT] Parameter:P_ERRORS_ONLY_FLAG Default value:
    [011612_124319528][][STATEMENT] Parameter:P_REPORT_STYLE Default value:
    [011612_124319528][][STATEMENT] Parameter:P_ACCOUNTING_MODE_NAME Default value:
    [011612_124319528][][STATEMENT] Parameter:P_ERRORS_ONLY Default value:
    [011612_124319528][][STATEMENT] Parameter:P_ACCOUNTING_REPORT_LEVEL Default value:
    [011612_124319529][][STATEMENT] Parameter:P_TRANSFER_TO_GL_FLAG Default value:
    [011612_124319529][][STATEMENT] Parameter:P_TRANSFER_TO_GL Default value:
    [011612_124319529][][STATEMENT] Parameter:P_DUMMY_PARAM_3 Default value:
    [011612_124319529][][STATEMENT] Parameter:P_POST_IN_GL_FLAG Default value:
    [011612_124319529][][STATEMENT] Parameter:P_POST_IN_GL Default value:
    [011612_124319529][][STATEMENT] Parameter:P_GL_BATCH_NAME Default value:
    [011612_124319529][][STATEMENT] Parameter:P_MIN_PRECISION Default value:
    [011612_124319529][][STATEMENT] Parameter:P_INCLUDE_ZERO_AMOUNT_LINES Default value:
    [011612_124319529][][STATEMENT] Parameter:P_INCLUDE_ZERO_AMT_LINES Default value:
    [011612_124319530][][STATEMENT] Parameter:P_VALUATION_METHOD_CODE Default value:
    [011612_124319530][][STATEMENT] Parameter:P_SECURITY_INT_1 Default value:
    [011612_124319530][][STATEMENT] Parameter:P_SECURITY_INT_2 Default value:
    [011612_124319530][][STATEMENT] Parameter:P_SECURITY_INT_3 Default value:
    [011612_124319530][][STATEMENT] Parameter:P_SECURITY_CHAR_1 Default value:
    [011612_124319530][][STATEMENT] Parameter:P_SECURITY_CHAR_2 Default value:
    [011612_124319530][][STATEMENT] Parameter:P_SECURITY_CHAR_3 Default value:
    [011612_124319530][][STATEMENT] Parameter:P_CONC_REQUEST_ID Default value:
    [011612_124319531][][STATEMENT] Parameter:P_INCLUDE_USER_TRX_ID_FLAG Default value:
    [011612_124319531][][STATEMENT] Parameter:P_INCLUDE_USER_TRX_IDENTIFIERS Default value:
    [011612_124319531][][STATEMENT] Parameter:P_USER_ID Default value:
    [011612_124319531][][STATEMENT] Inside dataQueryParser...
    [011612_124319535][][STATEMENT] Inside dataStructureParser...
    [011612_124319540][][STATEMENT] Group ...report
    [011612_124319541][][STATEMENT] Group ...APPLICATION
    [011612_124319542][][STATEMENT] Group ...APPLICATION_FLAG
    [011612_124319543][][STATEMENT] Group ...NO_ACTION_EVT
    [011612_124319544][][STATEMENT] Group ...ACCT_PROG_ERRORS
    [011612_124319545][][STATEMENT] Group ...EVENT_CLASS_S
    [011612_124319545][][STATEMENT] Group ...LEDGER_S
    [011612_124319546][][STATEMENT] Group ...BALANCE_TYPE_S
    [011612_124319547][][STATEMENT] Group ...EVENT
    [011612_124319548][][STATEMENT] Group ...AE_HEADERS
    [011612_124319550][][STATEMENT] Group ...AE_LINES
    [011612_124319551][][STATEMENT] Group ...AE_ERRORS
    [011612_124319552][][STATEMENT] Group ...NO_ENTRY_EVENTS
    [011612_124319553][][STATEMENT] Template parsing completed...
    [011612_124319553][][STATEMENT] Setting Data Template
    [011612_124319553][][STATEMENT] Setting JDBC Connection
    [011612_124319576][][STATEMENT] Paramter :P_REQUEST_ID Value :
    [011612_124319642][][STATEMENT] Paramter :P_ENTITY_ID Value :
    [011612_124319642][][STATEMENT] Paramter :P_SOURCE_APPLICATION_ID Value :200
    [011612_124319642][][STATEMENT] Paramter :P_SOURCE_APPLICATION_NAME Value :Payables
    [011612_124319642][][STATEMENT] Paramter :P_APPLICATION_ID Value :200
    [011612_124319642][][STATEMENT] Paramter :P_APPLICATION_NAME Value :Payables
    [011612_124319642][][STATEMENT] Paramter :P_DUMMY Value :Y
    [011612_124319642][][STATEMENT] Paramter :P_LEDGER_ID Value :2023
    [011612_124319642][][STATEMENT] Paramter :P_LEDGER_NAME Value :SMI_PL
    [011612_124319643][][STATEMENT] Paramter :P_PROCESS_CATEGORY_CODE Value :PAYMENTS
    [011612_124319643][][STATEMENT] Paramter :P_PROCESS_CATEGORY_NAME Value :Payments
    [011612_124319658][][STATEMENT] Paramter :P_END_DATE Value :2012/01/10 00:00:00
    [011612_124319658][][STATEMENT] Paramter :P_CREATE_ACCOUNTING_FLAG Value :Y
    [011612_124319658][][STATEMENT] Paramter :P_CREATE_ACCOUNTING Value :Yes
    [011612_124319658][][STATEMENT] Paramter :P_DUMMY_PARAM_1 Value :Y
    [011612_124319658][][STATEMENT] Paramter :P_ACCOUNTING_MODE Value :D
    [011612_124319658][][STATEMENT] Paramter :P_DUMMY_PARAM_2 Value :
    [011612_124319658][][STATEMENT] Paramter :P_ERRORS_ONLY_FLAG Value :N
    [011612_124319658][][STATEMENT] Paramter :P_REPORT_STYLE Value :D
    [011612_124319658][][STATEMENT] Paramter :P_ACCOUNTING_MODE_NAME Value :Draft
    [011612_124319658][][STATEMENT] Paramter :P_ERRORS_ONLY Value :No
    [011612_124319658][][STATEMENT] Paramter :P_ACCOUNTING_REPORT_LEVEL Value :Detail
    [011612_124319658][][STATEMENT] Paramter :P_TRANSFER_TO_GL_FLAG Value :
    [011612_124319658][][STATEMENT] Paramter :P_TRANSFER_TO_GL Value :
    [011612_124319659][][STATEMENT] Paramter :P_DUMMY_PARAM_3 Value :
    [011612_124319659][][STATEMENT] Paramter :P_POST_IN_GL_FLAG Value :
    [011612_124319659][][STATEMENT] Paramter :P_POST_IN_GL Value :
    [011612_124319659][][STATEMENT] Paramter :P_GL_BATCH_NAME Value :test11
    [011612_124319750][][STATEMENT] Paramter :P_MIN_PRECISION Value :
    [011612_124319751][][STATEMENT] Paramter :P_INCLUDE_ZERO_AMOUNT_LINES Value :N
    [011612_124319751][][STATEMENT] Paramter :P_INCLUDE_ZERO_AMT_LINES Value :No
    [011612_124319751][][STATEMENT] Paramter :P_VALUATION_METHOD_CODE Value :
    [011612_124319772][][STATEMENT] Paramter :P_SECURITY_INT_1 Value :
    [011612_124319837][][STATEMENT] Paramter :P_SECURITY_INT_2 Value :
    [011612_124319891][][STATEMENT] Paramter :P_SECURITY_INT_3 Value :
    [011612_124319891][][STATEMENT] Paramter :P_SECURITY_CHAR_1 Value :
    [011612_124319891][][STATEMENT] Paramter :P_SECURITY_CHAR_2 Value :
    [011612_124319892][][STATEMENT] Paramter :P_SECURITY_CHAR_3 Value :
    [011612_124319958][][STATEMENT] Paramter :P_CONC_REQUEST_ID Value :
    [011612_124319958][][STATEMENT] Paramter :P_INCLUDE_USER_TRX_ID_FLAG Value :N
    [011612_124319958][][STATEMENT] Paramter :P_INCLUDE_USER_TRX_IDENTIFIERS Value :No
    [011612_124319958][][STATEMENT] Paramter :P_USER_ID Value :1110
    [011612_124319958][][STATEMENT] Setting Parameters
    [011612_124319958][][STATEMENT] Setting Parameters
    [011612_124319960][][STATEMENT] Start process Data
    [011612_124319960][][STATEMENT] Process Data ...
    [011612_124319966][][STATEMENT] Executing data triggers...
    [011612_124319966][][STATEMENT] BEGIN
    XLA_CREATE_ACCT_RPT_PVT.P_REQUEST_ID := :P_REQUEST_ID ;
    XLA_CREATE_ACCT_RPT_PVT.P_ENTITY_ID := :P_ENTITY_ID ;
    XLA_CREATE_ACCT_RPT_PVT.P_SOURCE_APPLICATION_ID := :P_SOURCE_APPLICATION_ID ;
    XLA_CREATE_ACCT_RPT_PVT.P_SOURCE_APPLICATION_NAME := :P_SOURCE_APPLICATION_NAME ;
    XLA_CREATE_ACCT_RPT_PVT.P_APPLICATION_ID := :P_APPLICATION_ID ;
    XLA_CREATE_ACCT_RPT_PVT.P_APPLICATION_NAME := :P_APPLICATION_NAME ;
    XLA_CREATE_ACCT_RPT_PVT.P_DUMMY := :P_DUMMY ;
    XLA_CREATE_ACCT_RPT_PVT.P_LEDGER_ID := :P_LEDGER_ID ;
    XLA_CREATE_ACCT_RPT_PVT.P_LEDGER_NAME := :P_LEDGER_NAME ;
    XLA_CREATE_ACCT_RPT_PVT.P_PROCESS_CATEGORY_CODE := :P_PROCESS_CATEGORY_CODE ;
    XLA_CREATE_ACCT_RPT_PVT.P_PROCESS_CATEGORY_NAME := :P_PROCESS_CATEGORY_NAME ;
    XLA_CREATE_ACCT_RPT_PVT.P_END_DATE := :P_END_DATE ;
    XLA_CREATE_ACCT_RPT_PVT.P_CREATE_ACCOUNTING_FLAG := :P_CREATE_ACCOUNTING_FLAG ;
    XLA_CREATE_ACCT_RPT_PVT.P_CREATE_ACCOUNTING := :P_CREATE_ACCOUNTING ;
    XLA_CREATE_ACCT_RPT_PVT.P_DUMMY_PARAM_1 := :P_DUMMY_PARAM_1 ;
    XLA_CREATE_ACCT_RPT_PVT.P_ACCOUNTING_MODE := :P_ACCOUNTING_MODE ;
    XLA_CREATE_ACCT_RPT_PVT.P_DUMMY_PARAM_2 := :P_DUMMY_PARAM_2 ;
    XLA_CREATE_ACCT_RPT_PVT.P_ERRORS_ONLY_FLAG := :P_ERRORS_ONLY_FLAG ;
    XLA_CREATE_ACCT_RPT_PVT.P_REPORT_STYLE := :P_REPORT_STYLE ;
    XLA_CREATE_ACCT_RPT_PVT.P_ACCOUNTING_MODE_NAME := :P_ACCOUNTING_MODE_NAME ;
    XLA_CREATE_ACCT_RPT_PVT.P_ERRORS_ONLY := :P_ERRORS_ONLY ;
    XLA_CREATE_ACCT_RPT_PVT.P_ACCOUNTING_REPORT_LEVEL := :P_ACCOUNTING_REPORT_LEVEL ;
    XLA_CREATE_ACCT_RPT_PVT.P_TRANSFER_TO_GL_FLAG := :P_TRANSFER_TO_GL_FLAG ;
    XLA_CREATE_ACCT_RPT_PVT.P_TRANSFER_TO_GL := :P_TRANSFER_TO_GL ;
    XLA_CREATE_ACCT_RPT_PVT.P_DUMMY_PARAM_3 := :P_DUMMY_PARAM_3 ;
    XLA_CREATE_ACCT_RPT_PVT.P_POST_IN_GL_FLAG := :P_POST_IN_GL_FLAG ;
    XLA_CREATE_ACCT_RPT_PVT.P_POST_IN_GL := :P_POST_IN_GL ;
    XLA_CREATE_ACCT_RPT_PVT.P_GL_BATCH_NAME := :P_GL_BATCH_NAME ;
    XLA_CREATE_ACCT_RPT_PVT.P_MIN_PRECISION := :P_MIN_PRECISION ;
    XLA_CREATE_ACCT_RPT_PVT.P_INCLUDE_ZERO_AMOUNT_LINES := :P_INCLUDE_ZERO_AMOUNT_LINES ;
    XLA_CREATE_ACCT_RPT_PVT.P_INCLUDE_ZERO_AMT_LINES := :P_INCLUDE_ZERO_AMT_LINES ;
    XLA_CREATE_ACCT_RPT_PVT.P_VALUATION_METHOD_CODE := :P_VALUATION_METHOD_CODE ;
    XLA_CREATE_ACCT_RPT_PVT.P_SECURITY_INT_1 := :P_SECURITY_INT_1 ;
    XLA_CREATE_ACCT_RPT_PVT.P_SECURITY_INT_2 := :P_SECURITY_INT_2 ;
    XLA_CREATE_ACCT_RPT_PVT.P_SECURITY_INT_3 := :P_SECURITY_INT_3 ;
    XLA_CREATE_ACCT_RPT_PVT.P_SECURITY_CHAR_1 := :P_SECURITY_CHAR_1 ;
    XLA_CREATE_ACCT_RPT_PVT.P_SECURITY_CHAR_2 := :P_SECURITY_CHAR_2 ;
    XLA_CREATE_ACCT_RPT_PVT.P_SECURITY_CHAR_3 := :P_SECURITY_CHAR_3 ;
    XLA_CREATE_ACCT_RPT_PVT.P_CONC_REQUEST_ID := :P_CONC_REQUEST_ID ;
    XLA_CREATE_ACCT_RPT_PVT.P_INCLUDE_USER_TRX_ID_FLAG := :P_INCLUDE_USER_TRX_ID_FLAG ;
    XLA_CREATE_ACCT_RPT_PVT.P_INCLUDE_USER_TRX_IDENTIFIERS := :P_INCLUDE_USER_TRX_IDENTIFIERS ;
    XLA_CREATE_ACCT_RPT_PVT.P_USER_ID := :P_USER_ID ;
    :XDO_OUT_PARAMETER := 1;
    END;
    [011612_124319966][][STATEMENT] 1:null :
    [011612_124319966][][STATEMENT] 2:null :
    [011612_124319967][][STATEMENT] 3:200 :
    [011612_124319967][][STATEMENT] 4:Payables :
    [011612_124319967][][STATEMENT] 5:200 :
    [011612_124319967][][STATEMENT] 6:Payables :
    [011612_124319967][][STATEMENT] 7:Y :
    [011612_124319967][][STATEMENT] 8:2023 :
    [011612_124319967][][STATEMENT] 9:SMI_PL :
    [011612_124319967][][STATEMENT] 10:PAYMENTS :
    [011612_124319967][][STATEMENT] 11:Payments :
    [011612_124319968][][STATEMENT] 12:2012-01-10 00:00:00.0 :
    [011612_124319968][][STATEMENT] 13:Y :
    [011612_124319968][][STATEMENT] 14:Yes :
    [011612_124319968][][STATEMENT] 15:Y :
    [011612_124319968][][STATEMENT] 16:D :
    [011612_124319968][][STATEMENT] 17: :
    [011612_124319968][][STATEMENT] 18:N :
    [011612_124319968][][STATEMENT] 19:D :
    [011612_124319968][][STATEMENT] 20:Draft :
    [011612_124319968][][STATEMENT] 21:No :
    [011612_124319968][][STATEMENT] 22:Detail :
    [011612_124319968][][STATEMENT] 23: :
    [011612_124319968][][STATEMENT] 24: :
    [011612_124319968][][STATEMENT] 25: :
    [011612_124319968][][STATEMENT] 26: :
    [011612_124319968][][STATEMENT] 27: :
    [011612_124319968][][STATEMENT] 28:test11 :
    [011612_124319969][][STATEMENT] 29:null :
    [011612_124319969][][STATEMENT] 30:N :
    [011612_124319969][][STATEMENT] 31:No :
    [011612_124319969][][STATEMENT] 32: :
    [011612_124319969][][STATEMENT] 33:null :
    [011612_124319969][][STATEMENT] 34:null :
    [011612_124319969][][STATEMENT] 35:null :
    [011612_124319969][][STATEMENT] 36: :
    [011612_124319969][][STATEMENT] 37: :
    [011612_124319969][][STATEMENT] 38: :
    [011612_124319969][][STATEMENT] 39:null :
    [011612_124319969][][STATEMENT] 40:N :
    [011612_124319969][][STATEMENT] 41:No :
    [011612_124319969][][STATEMENT] 42:1110 :
    [011612_124319971][][STATEMENT] Executing data triggers...
    [011612_124319971][][STATEMENT] Declare
    l_flag Boolean;
    BEGIN
    l_flag := XLA_CREATE_ACCT_RPT_PVT.BeforeReport ;
    if (l_flag) then
    :XDO_OUT_PARAMETER := 1;
    end if;
    end;
    [011612_124319994][][EXCEPTION] SQLException encounter while executing data trigger....
    java.sql.SQLException: ORA-20001: -: XLA-95103: An internal error occurred. Please inform your system administrator or support representative that:
    An internal error has occurred in the program xla_create_acct_rpt_pvt.BeforeReport . ORA-20001: -: XLA-95103: An internal error occurred.
    ORA-06512: at "APPS.APP_EXCEPTION", line 72
    ORA-06512: at "APPS.XLA_EXCEPTIONS_PKG", line 110
    ORA-06512: at "APPS.XLA_EXCEPTIONS_PKG", line 289
    ORA-06512: at "APPS.XLA_EXCEPTIONS_PKG", line 162
    ORA-06512: at "APPS.XLA_CREATE_ACCT_RPT_PVT", line 275
    ORA-06512: at line 4
         at oracle.jdbc.driver.SQLStateMapping.newSQLException(SQLStateMapping.java:70)
         at oracle.jdbc.driver.DatabaseError.newSQLException(DatabaseError.java:133)
         at oracle.jdbc.driver.DatabaseError.throwSqlException(DatabaseError.java:206)
         at oracle.jdbc.driver.T4CTTIoer.processError(T4CTTIoer.java:455)
         at oracle.jdbc.driver.T4CTTIoer.processError(T4CTTIoer.java:413)
         at oracle.jdbc.driver.T4C8Oall.receive(T4C8Oall.java:1034)
         at oracle.jdbc.driver.T4CCallableStatement.doOall8(T4CCallableStatement.java:191)
         at oracle.jdbc.driver.T4CCallableStatement.executeForRows(T4CCallableStatement.java:950)
         at oracle.jdbc.driver.OracleStatement.doExecuteWithTimeout(OracleStatement.java:1225)
         at oracle.jdbc.driver.OraclePreparedStatement.executeInternal(OraclePreparedStatement.java:3387)
         at oracle.jdbc.driver.OraclePreparedStatement.execute(OraclePreparedStatement.java:3488)
         at oracle.jdbc.driver.OracleCallableStatement.execute(OracleCallableStatement.java:3857)
         at oracle.jdbc.driver.OraclePreparedStatementWrapper.execute(OraclePreparedStatementWrapper.java:1374)
         at oracle.apps.xdo.dataengine.XMLPGEN.executeTriggers(XMLPGEN.java:650)
         at oracle.apps.xdo.dataengine.XMLPGEN.processData(XMLPGEN.java:263)
         at oracle.apps.xdo.dataengine.XMLPGEN.processXML(XMLPGEN.java:215)
         at oracle.apps.xdo.dataengine.XMLPGEN.writeXML(XMLPGEN.java:254)
         at oracle.apps.xdo.dataengine.DataProcessor.processDataStructre(DataProcessor.java:390)
         at oracle.apps.xdo.dataengine.DataProcessor.processData(DataProcessor.java:355)
         at oracle.apps.xdo.oa.util.DataTemplate.processData(DataTemplate.java:334)
         at oracle.apps.xdo.oa.cp.JCP4XDODataEngine.runProgram(JCP4XDODataEngine.java:294)
         at oracle.apps.fnd.cp.request.Run.main(Run.java:157)
    Oracle error 20100: java.sql.SQLException: ORA-20100: Error: FND_FILE failure. Unable to create file, o0010400.tmp in the directory, /usr/tmp.
    You will find more information in the request log.
    ORA-06512: at "APPS.FND_FILE", line 417
    ORA-06512: at "APPS.FND_FILE", line 526
    ORA-06512: at "APPS.FND_CONCURRENT", line 1328
    ORA-06512: at line 1
    has been detected in FND_CONCURRENT.SET_INTERIM_STATUS.+---------------------------------------------------------------------------+
    Start of log messages from FND_FILE
    End of log messages from FND_FILE
    Executing request completion options...
    ------------- 1) PUBLISH -------------
    Beginning post-processing of request 450125 on node ORAAPPS at 16-JAN-2012 12:43:20.
    Post-processing of request 450125 failed at 16-JAN-2012 12:43:21 with the error message:
    One or more post-processing actions failed. Consult the OPP service log for details.
    Finished executing request completion options.
    Concurrent request completed
    Current system time is 16-JAN-2012 12:43:21
    anyone have same problem and already solving ??
    Thanks,
    Mahardika

    [011612_124319994][][EXCEPTION] SQLException encounter while executing data trigger....
    java.sql.SQLException: ORA-20001: -: XLA-95103: An internal error occurred. Please inform your system administrator or support representative that:
    An internal error has occurred in the program xla_create_acct_rpt_pvt.BeforeReport . ORA-20001: -: XLA-95103: An internal error occurred.
    ORA-06512: at "APPS.APP_EXCEPTION", line 72
    ORA-06512: at "APPS.XLA_EXCEPTIONS_PKG", line 110
    ORA-06512: at "APPS.XLA_EXCEPTIONS_PKG", line 289
    ORA-06512: at "APPS.XLA_EXCEPTIONS_PKG", line 162
    ORA-06512: at "APPS.XLA_CREATE_ACCT_RPT_PVT", line 275
    ORA-06512: at line 4Please make sure you have no invalid objects.
    Please also see these docs.
    R12: Ap Invoice Online Accounting with Final Post Ends With Errors ORA-20001 XLA-95103 [ID 853424.1]
    FAACCPB Create Accounting Internal Error xla_create_acct_rpt_pvt.BeforeReport [ID 783493.1]
    CSTCRACC Create Accounting Err ORA-20001 Xla-95103 Internal Error Occurred ORA-01400 [ID 1309124.1]
    CSTCRACC - Create Accounting - Cost Management Completes With Errors: java.sql.SQLException, ORA-20001, XLA-95103 [ID 1252703.1]
    Create Accounting Concurrent Program Errors - ORA-20001 XLA-95103 [ID 1392267.1]
    Create Accounting Error Due To Invalid Package Apps.Ap_payment_extract_details_v [ID 1366269.1]
    ------------- 1) PUBLISH -------------
    Beginning post-processing of request 450125 on node ORAAPPS at 16-JAN-2012 12:43:20.
    Post-processing of request 450125 failed at 16-JAN-2012 12:43:21 with the error message:
    One or more post-processing actions failed. Consult the OPP service log for details.
    Also check OPP log file ($APPLCSF/$APPLLOG/FNDOPP* file).
    Thanks,
    Hussein

  • Create Accounting when completed in warning the output is coming in XML

    Hello to all,
    I am having APPS version 12.1.3 OS version OEL 5.5
    my problem is that when i am running Create Accounting concurrent request if it completes in warning the output (view output) is coming in XML in browser where as if its completing normal then the output appears correctly as expected, the output type for create accounting concurrent program is XML.
    Please advise / guide me
    thanks

    Please find below log file details
    ==============================================================================================
    Start of log messages from FND_FILE
    06-OCT-2011 10:36:08 - Beginning of the Report
    06-OCT-2011 10:36:08 - Starting of the Parent Thread
    Starting main program for the source application = 200
    06-OCT-2011 10:36:08 - Dynamic conditions built
    06-OCT-2011 10:36:08 - Event Applications Determined
    06-OCT-2011 10:36:08 - Security Context Set
    06-OCT-2011 10:36:08 - Session Identifier Set
    06-OCT-2011 10:36:08 - Setup for the ledger and Event applications Read
    06-OCT-2011 10:36:08 - executing preaccounting hook
    event key = 10-426334
    06-OCT-2011 10:36:08 - preaccounting hook executed successfully
    06-OCT-2011 10:36:08 - Pre-Accounting steps performed
    06-OCT-2011 10:36:08 - Queue Created = XLA.XLA_426334_DOC_Q
    06-OCT-2011 10:36:08 - Queue Created = XLA.XLA_426334_COMP_Q
    06-OCT-2011 10:36:08 - Queue Started = XLA.XLA_426334_DOC_Q
    06-OCT-2011 10:36:08 - Queue Started = XLA.XLA_426334_COMP_Q
    06-OCT-2011 10:36:08 - Global Context Initialized
    06-OCT-2011 10:36:08 - Calling sequencing batch_init
    06-OCT-2011 10:36:08 - Returned from sequencing batch_init
    06-OCT-2011 10:36:08 - Begin enqueue
    06-OCT-2011 10:36:08 - Ready to Enqueue documents in the queue
    06-OCT-2011 10:36:08 - Spawning unit processors
    06-OCT-2011 10:36:08 - Unit processors spawned
    06-OCT-2011 10:36:36 - Ready to Enqueue documents in the queue
    06-OCT-2011 10:36:36 - Ready to Enqueue documents in the queue
    06-OCT-2011 10:36:36 - Ready to Enqueue documents in the queue
    06-OCT-2011 10:36:36 - Ready to Enqueue documents in the queue
    06-OCT-2011 10:36:36 - Enqueueing completed
    06-OCT-2011 10:36:36 - Waiting for Unit Processor requests to complete
    06-OCT-2011 10:37:06 - Child Threads completed
    06-OCT-2011 10:37:06 - Global Context cleared
    06-OCT-2011 10:37:06 - Queue stopped = XLA.XLA_426334_DOC_Q
    06-OCT-2011 10:37:06 - Queue stopped = XLA.XLA_426334_COMP_Q
    06-OCT-2011 10:37:06 - Queue dropped = XLA.XLA_426334_DOC_Q
    06-OCT-2011 10:37:06 - Queue dropped = XLA.XLA_426334_COMP_Q
    06-OCT-2011 10:37:06 - Calling sequencing batch_exit
    06-OCT-2011 10:37:06 - Returned from sequencing batch_exit
    06-OCT-2011 10:37:06 - Executed post-accounting routine
    06-OCT-2011 10:37:06 - Accounting Program completed successfully
    06-OCT-2011 10:37:06 - executing postaccounting hook
    event key = 10-426334
    06-OCT-2011 10:37:06 - postaccounting hook executed successfully
    - Accounting Time = 58.73 secs
    - Transfer Time = 0 secs
    06-OCT-2011 10:37:06 - End of the Report
    End of log messages from FND_FILE
    Executing request completion options...
    Output file size:
    1920
    ------------- 1) PUBLISH -------------
    Beginning post-processing of request 426334 on node M at 06-OCT-2011 10:37:06.
    Post-processing of request 426334 failed at 06-OCT-2011 10:39:06 with the error message:
    The Output Post-processor is running but has not picked up this request.
    No further attempts will be made to post-process this request, and the request will be marked
    with Warning status.
    Setting the profile option Concurrent: OPP Response Timeout to a higher value may be necessary.
    ------------- 2) PRINT   -------------
    Not printing the output of this request because post-processing failed.
    Finished executing request completion options.
    Concurrent request completed
    Current system time is 06-OCT-2011 10:39:06
    Edited by: hassanksa on Oct 8, 2011 8:15 AM
    Edited by: hassanksa on Oct 8, 2011 8:16 AM

  • I try to create my Account ID....and i don't understand why i have to put payment? before my friend create Account ID don't have to put payment they still can create account ID... and now i buy iphone but i don't have credit card that mind i can't not do

    Dear
    I try to create my Account ID....and i don't understand why i have to put payment? before my friend create Account ID don't have to put payment they still can create account ID... and now i buy iphone but i don't have credit card that mind i can't not do it

    Hi,
    This Link explains how to Set Up an Account ID...  without a credit card...
    http://support.apple.com/kb/HT2534
    Hope it helps,
    Cheers,

  • Error creating accounting document for a credit note

    Hi All,
    I am facing an issue while creating an accounting document for the credit note created.
    The scenario is as follows:
    Created a credit memo --> created credit note --> create accounting document
    While creating accounting document, i'm getting an error message as 'The G/L account XXXXXXXX requires an assignement to CO object'.
    Please let me know why i'm getting this error and how to overcome this issue.
    Thanks,
    Anil Kumar

    While creating accounting document,
      i'm getting an error message
    First of all, I am not clear on your above statement as in normal circumstances, once you generate a credit memo, in bacground an accounting document will also be generated.
    In your case, I believe while saving the credit memo, system throws the error to maintain CO object in which case, do the following:-
    Go to TCode KA02 enter the controlling area, give the G/L acoount No and click on Master data tab.  There  select  "Default Acc Assgmnt" tab  and enter Cost centr and save.
    Next Go to FS00, input the G/L Account and click on Edit Cost Element on top.  There click on Basic Data and for the field CElem category, maintain the required numeric value.  Now select the tab Default Acct Assgnmt and there maintain the required cost center and save.
    thanks
    G. Lakshmipathi

  • Cancel billing doc (S1) is not creating Accounting document

    Hi,
    I have cancelled F2 billing document with cancel billing type S1. But for that cancel billign doc S1 is still in open status only and it is not creating accounting document..
    I tried to release to accounting but it is showing error like " Document type is not defined"..
    Please any guess on this..
    regards
    sankar

    Hi sankar
    I am sure you might be aware of this but just to reiterate
    When you cancel documents in Logistics Invoice Verification, the document line items are not automatically cleared in Financial Accounting. We recommend that you periodically clear such items (using daily background jobs, for example).
    Kalpesh

  • Unable to create Accounting document for my Outgoing excise Invoice

    Dear All,
    I am implementing sales from Factory. I am unable to creat accounting document for my Outgoing excise invoice.  When I click the Utilization button, The excise invoice type is selected Deemed.
    1. How to control which Which Excise invoice type should be selected in J1IIN.
    2. For Deemed exports will system not genererate Accounting document for Excise Invoice?
    3. Where to view the excise invoice document types (Like Billing and order types)
    Thanks & Regards

    For deemed export sales,
    -Accounting documents will not get generated. (ref: Excise Acct Determination in CIN settings, you will not find Excise Tranraction type:ARE3 for which G/L account will not be assigned)
    -Excise Invoice type will be automatically triggered based on configuration : Excise Group / Series Group detetermination.
    - For Deemed Exports , only Quantity will get updated in RG1, but not the value. thats the reason, accounting document will not get generated.
    - This excise invoice is created, for - to update the RG1 registry / ARE3 creation.
    hope it clears
    regards,

  • I cant create account because i dont have credit card but I have ipod touch and I need it to download free games and other stuff

    I cant create account because i dont have credit card but I have ipod touch and I need it to download free games and other stuff.Is there any option i can write i dont have any credit card?
    Sorry abaot my english

    Hi...
    Click None in the Payment Information window.
    Instructions for either using your iPhone or a computer > Creating an iTunes Store, App Store, iBookstore, and Mac App Store account without a credit card

  • Field to create accounting in AP-Payment

    Actually I have EBS r12 on win2003, sysdate is today 1/15/2012 Oracle apps year still in 2009 which the same year of installation, I will close the prior year and open the current year as a physical year, but before that i want to insert the opening balance for 2009 to particular vendors, I have started to create invoices and post final to GL it was successfully but the problem when I tried to create a Payments for the invoices which created showing error message "Online accounting could not be created for this transaction. Please submit the Create accounting Concurrent program with the report parameter set to Detail to determine the problem" note that the date for the invoices and payments was on Sept-2009 which opened Period in GL and in AP
    I run the "Create Accounting" it's complete but with warning and the output is XML
    the log :
    Start of log messages from FND_FILE
    09-Sep-2009 10:36:08 - Beginning of the Report
    09-Sep-2009 10:36:08 - Starting of the Parent Thread
    Starting main program for the source application = 200
    09-Sep-2009 10:36:08 - Dynamic conditions built
    09-Sep-2009 10:36:08 - Event Applications Determined
    09-Sep-2009 10:36:08 - Security Context Set
    09-Sep-2009 10:36:08 - Session Identifier Set
    . . . . .. . . . . . . . . . . . . . . . . . . . . . . . . .. . .., etc.
    So could you please help me what I have to do
    Best Regard,
    Ebrahim Alturk

    Try Submitting Create Accounting again with the Report Mode as Summary.
    Still XML, then try to check the data in xla_accounting_errors.
    If that is huge.
    Query for a Payment, which is giving error in online accounting.
    Use the following sqls to find out the error.SELECT entity_id
    FROM xla.xla_transaction_entities
    WHERE application_id = 200
    AND ledger_id = &ledger_id
    AND entity_code = 'AP_PAYMENTS'
    AND NVL(source_id_int_1) = &check_id; -- get it from Help -> Diagnostics -> Examine
    SELECT event_id, event_status_code, process_status_code
    FROM xla_events
    WHERE application_id = 200
    AND entity_id = &entity_id; -- get it from above sql
    SELECT *
    FROM xla_accounting_errors
    WHERE application_id = 200
    AND event_id in (&event_id); -- place the event_ids from above sql,
                                 --which are not having process_status_code as PBy
    Vamsi

  • Create Accounting could not be done after voiding some payment.

    Hi,
    I am facing a unique problem. We have some payments which have been accounted properly and transferred to GL. But for some business issue we have to cancel those payments. But when we have voided those payments and tried to create account it it showed message "App-SQLAP-10710: Online Accounting could not be created please submit payables accounting process istead to create accounting entries for this transaction." But when I ran the Payables Accounting Process the problem remains. Now we are facing problem because we are having Period Close Exceptions Report.
    Please help me.
    Rubayat Newaz Khan

    Hi Rubayat;
    I am facing a unique problem. We have some payments which have been accounted properly and transferred to GL. But for some business issue we have to cancel those payments. But when we have voided those payments and tried to create account it it showed message "App-SQLAP-10710: Online Accounting could not be created please submit payables accounting process istead to create accounting entries for this transaction." But when I ran the Payables Accounting Process the problem remains. Now we are facing problem because we are having Period Close Exceptions Report. What is your EBS version and OS?
    Please follow below and see its helpful:
    APACCENG APP-SQLAP-10710 Create Accounting does not process for Cancelled Invoice and for Voided Payment [ID 124469.1]
    Accounting For Voided Payment Fails with APP-SQLAP-10710 [ID 229910.1]
    Online Accounting Could Not Be Created For Standard Invoice [ID 401709.1]11.5 AP APXPAWKB:Cannot Run Create Accounting For A Reconciled Payment. [ID 233823.1]
    APACCENG - Cannot Account For a Prepayment [ID 200693.1]
    Regard
    Helios

  • How create account document from Sales Document?

    Hi.
    I hope you are doing well. The scenario is:
    1.- Create Lead (Sucessfully)
    2.- Create Quotation wrt Lead ((Sucessfully)
    3.- Create Sales Order wrt Quotation (Sucessfully), into status tab I have add Transferred to bill. document status
    4.- The billing document was created sucessfully, however  The account document doesn't exist.
    How create account  document?
    Note:
    assign revenue account was configurated into spro
    What about BP , I guest , need to create a Billing organization.
    Regards.

    Resolved to doing transfer to billing action into status tab

  • Can't create accounts from IDM to AD group

    Hi!
    When I want to create an account in an AD (dc=rascal,dc=net), I wish create it in "GlobalADM" group.
    I have defined the Account Attribute in Resource ( I have used "groups").
    So, in the Attibutes section in User Form, it prints "groups" and the rest of AD attributes. In this textbox I write cn=GlobalADM,cn=Users,dc=rascal,dc=net
    But it prints the following error:
    Unable to set user info: 'SetInfo(): 0X8007200A: , 00000057: LdapErr: DSID-0C090B38, comment: Error in attribute conversion operation, data 0, vece, Attribute or directories services value specified doesn't exist.
    In Idm Resource Reference document, I read that "groups" is the correct attribute. In AD I can create accounts manually in this group. And I have tried with other groups with the same error.
    can anyone help me?
    Thanks!!!

    AD and all directories require a distinguished name for a user. Where the user actually lives in the directory. If you are doing this through a custom workflow and form you need to set the dn in the form. If you are using the tabbed user form and admin interface you need to set the identity template.
    For the template:
    cn=$lastname$\,$firstname$,ou=Domain Users,dc=yourcompany,dc=com Note:This string must match where the users will be created in the tree.
    If doing this in a sync process or some type of workflow calling a form set the following:
    <Field name ='accounts[AD].dn'>
    <Expansion>
    <concat>
    <s>cn=</s>
    <ref>accounts[Lighthouse].lastname</ref> (if doing a sync this would be activeSync.lastname)
    <s>,</s>
    <ref>accounts[Lighthouse].firstname</ref>
    <s>,</s>
    <s>,ou=Domain Users,dc=yourcompany,dc=com</s>
    </concat>
    </Expansion>
    </Field>
    If you are doing this through custom workflow don't forget to update waveset.resources:
    <Field name='waveset.resources'>
    <Expansion>
    <filterdup>
    <append>
    <ref>waveset.resources</ref>
    <s>AD</s>
    </append>
    </filterdup>
    </Expansion>
    </Field>

  • PRC: Create Accounting Output shows "xml version="1.0" encoding="UTF-8"

    I m getting Error in the Output of Create Accounting like <?xml version="1.0" encoding="UTF-8" ?>
    Any one have some Clue ...

    Hi,
    It is a bug, and an enhancement request (6354170: ORACLE ALERT LAUNCHING CONCURRENT PROGRAMS WITHOUT XML PUBLISHER TEMPLATES) was created for this issue. Check Metalink and see if the patch is released or not, or you may log a SR to confirm the status of this bug with Oracle support.
    Bug# 6354170 - ORACLE ALERT LAUNCHING CONCURRENT PROGRAMS WITHOUT XML PUBLISHER TEMPLATES
    https://metalink2.oracle.com/metalink/plsql/ml2_documents.showDocument?p_database_id=BUG&p_id=6354170
    Regards,
    Hussein

  • OIM11gR2 - API - how to create accounts and link them to an oim user

    hi,
    my problem is the following:  I would like to import a lot(1000+) of different service accounts to my oim system and link them to oim users.
    at the moment, the information which service-account belongs to which person is stored in a textfile.
    I use this API code to create accounts:
    ProvisioningService service=getClient().getService(ProvisioningService.class);
    ApplicationInstanceService service=getClient().getService(ApplicationInstanceService.class);
    ApplicationInstance appInstance=service.findApplicationInstanceByName("LinuxServer001");
    FormInfo formInfo=appInstance.getAccountForm();
    String formKey=String.valueOf(formInfo.getFormKey());
    AccountData accountData=new AccountData(formKey,null,null);
    Account account=new Account(appInstance,accountData);
    account.setAccountType(Account.ACCOUNT_TYPE.Primary);       
    service.provision(userKey, account);
    this works fine! the account is displayed in the section  "user accounts", but the status of the created account is "Provisioning".
    when I reconcile this linux server, oim doesn't establish a link between the service account on the target system and the created account! why?
    how can i solve my problem? which information is missing, to establish a link between an existing account on a target system and an api created account?
    thank you!
    br,
    max

    Thanks, Brian, for your support! - It's working.
    It's hard to understand why NI did not pass this parameter to the top of the call chain...
    I also needed some time to understand the syntax of the string passed to the subaddress node:
    The name of the worksheet needs to be framed by single quotation marks and the following cell address must preceeded by an exclamation point (!).
    A working link pointing to cell "A1" of "Worksheet 1" looks like:
    'Worksheet 1'!A1
    Maybe also of interest: If you want to point the link to a worksheet inside the document itself, the parameter "address" (URL of link - href) can be left empty.
    Thanks and Regards,
    Ingo

Maybe you are looking for

  • Sample connecting to LDAP Server in Java

    Hi, I am trying to establishing SSL from Java Application(via Netscape Directory SDK 4.0 - Java version) to the Directory Server(ADS) in a secure manner - i.e. LDAP over SSL. I am trying to run this code... LDAPConnection ld = null; LDAPModificationS

  • ITunes 11 crashes when device plugged in, iTunes 12 crashes whenever I do anything other than listen to music

    Hey Apple Support! I am about to return my POS Apple products and all Apple products in my household / never buy one ever again!  But first please help me out getting your junk to work until I can replace it all. Running Windows 8.1 (latest updates),

  • 'disk too slow' problems when trying to record ONE TRACK on my ibook.

    okay- help guys. my new ibook freezes after not even a minute of one track live recording and i ge the disk too slow error. i'm using a basic m-audio usb interface with the internal (4200 rpm) hard drive. i know this isn't a fast hard drive, but SURE

  • Wanna learn Actionscript.3.0 along with game development?

    hi guys, i am sharing some best books to learn AS.3.0 along with game development including box2d. best books ever.....(over 7 large pdf books) you can build complete games from these pdf books. you need flash professional CS4 or above. you can still

  • Help in freehand

    at least i have got a brandnew iMac and a brandnew macromedia Freehand MX for mac. I am an old Freehand user, but especially on DOS. Now I am shocked that the function "zoom" with the right mouse button is not optionally. Can it be true? It`s on of m