Error in Posting  the Entry,  Parked through F-02

In our company we are using dual concept of Parking and Posting.
When We are parking a document in F-02 and Posting it through FBV0 (OR) FV60  error message coming.
I tried in F-43 also
We are trying to park and post for a Vendor to Vendor Transfer.  We have used the P.Keys 25 and 38 for this.
ERROR MESSAGE IS : FIELD BSEG-SKFBT does not exist in the screen SAPMF05A0302
But if directly post the same transaction (i.e. without parking) posting is happening.  No error message.
I cannot able to understand this.  I referred the same to some of my friends in other companies.  But they are saying that - in their systems they can able to park and post the entries.
Can any body help me in the matter.  I will be grateful to them. 
Thanks in Advance
Regards

Yes It is possible.  After entering all the line items you need to select the Document - Park.  With this It can be parked. 
To post the same you have to use FBV0.  There you can select the document and post.
In my case system allowed direct postings in F-02.  It is also allowing when  I am parking the same line items.  But when I want to post it through FBV0 it is throughing an error.  This is because the mismatch of Filed Status Group of Vendor Recon Account and the Posting Keys(i.e. 27 & 38).  I made them correct and now I can able to solve the problem.
Hope I clarified your doubt.  If not please revert back.

Similar Messages

  • How to do collective/mass posting of documents parked through T-code: MIR7

    Hello,
    I just want to know if we can do collective posting of documents parked through T-code: MIR7 (Invoice Verification)? If yes, please give me the T-code and teach me how to do it. Right now, we can do mass posting for the direct FI documents only (T-code: FBV0). I tried it several times for documents parked through T-code: MIR7, but the system always prompts an error message saying that "Document cannot be posted since
    document balance is not zero". But when I display and post the document one by one the system allows me to do so. Then I thought that maybe because it was created in logistics, mass/collective posting should be done under logistics also.
    Thanks & Best Regards,
    Odette

    I could not see any such mechanism in MIR7. It is not possible to post them in mass. (logistic invoices)
    Whereas FI as you said can be done in FBV0. You can even create batch and post through SM35.
    Regards,
    Ravi

  • "21141: Error while posting journal entry :-10 / Internal error"

    Hi All,
    I'm want to dispose fixed asset by using retirement function in Fixed asset module. Anyone know the solution for this error message "21141: Error while posting journal entry :-10 / Internal error". Please help me.
    Thanks in advance.
    uddin

    Hello Muhd
    Please could you go in Administartion > Set Up > Fixed assets > GL
    Account Detemination and check the settings of  'Clearing Acc. Asset
    Acquisition' account, which is used when creating Journal Entry for
    'Acquisition without vendor'.
    Could you check if there is a 'Default VAT Code' assigned to this
    account. In this case could you to clear the Default VAT Code assigned
    to this account and try to do 'Acquisition without vendor' again?
    Also,please try to check below option to see if that could help:
    1)Check asset Class Land
    2)Check GL accounts settings
    3)Check the checkbox "Permit Other VAT Group"
    Regards,
    Syn Qin
    SAP Business One Forums Team

  • Error when posting the goods receipt

    Hi we have recently successfuly updated 4.6 B to ECC 6.0.But when i am doing captive consumption by 949 Mvt. through process message system gives an error that
    Error when posting the goods receipt
    Message no. CB345
    Diagnosis
    With the selected process message, a goods receipt for the order was reported to the warehouse (destination ZPI1).  However, an error occurred when the goods receipt was posted.
    Please do needful.
    Regards,
    PP

    Hi Daniel,
    This is the first time i am coming across an issue like this.
    neverthless from a logical front,
    1. Remove Cost center as a valid receiver in Settlement Profile.
    2. Your OKB9 setting are pretty much good. No need to worry about it.  Becasue, OKB9 only will work if the system doesn't identify any other cost object. In this case Production Order is an automatic cost object which system should have taken.
    3. Check the Settlement rule when you have created Production Order. It should have been MAT.
    4. I hope you are creating Production Order with Material (using CO01 and not CO07)
    5. Make sure in OPL8, the default rule in controlling tab is PP1.
    Once all these are fine, i do not see any reason why you will get your probelm.
    Please check and revert back to me if the problem still persists.
    Best Regards
    Surya

  • Error while executing the stored procedure through sender JDBC adapter

    Hi All,
    I am getting below error while executing the stored procedure through sender JDBC adapter.
    Database-level error reported by JDBC driver while executing statement 'exec SapgetNextEntity 'SalesOrder''. The JDBC driver returned the following error message: 'com.microsoft.sqlserver.jdbc.SQLServerException: The statement did not return a result set.'. For details, contact your database server vendor.
    what is the problem? any idea to anyone...
    regards
    Ramesh

    hi Dharamveer,
    I am not getting below statement for your reply
    Try to use Refrence Cursor it will return u reference of resultset.
    I mention SP like this
    exec SapgetNextEntity 'SalesOrder'
    SapgetNextEntity -
    > SP Name
    SalesOrder----
    > Parameter I am passing...
    regards
    Ramesh

  • Error while posting the parked document in ECC 6.0

    Hello ABAPers,
    After upgrade from R/3 4.6c to ECC 6.0, when we try to post the parked documents ,It calls FM :POSTING_INTERFACE_DOCUMENT".
    Inside it a call transaction is done using FBVB which throws error while posting for more than 4 withholding tax types.
    Error : Field WITH_DIALG-WT_BASE(5) does not exist in the screen SAPLFWTD 0100.
    On running BDC in foreground mode ,Error is happening when the withholding dialog opens and screen seems to be small to input all the tax codes i.e it shows only 4-5 rows and hence only 4 tax types passes to the screen and remaining is left out and error is thrown. This results in document not getting posted.
    But in 4.6 c a bigger screen pops up and no error is thrwon.
    We are not able to check FBVB directly, since it does'nt allow Direct call to this transaction.
    We have checked lots of thread and notes ,But nothing seems to be relevant or helpful in our case.
    Could you please help us in resolving this issue/ let us know if any configuration/ screen variant change is required?
    Thanks!
    Regards,
    M M Jaffer.

    Hello Nabheet ,
    It is a standard code. We are calling the FM  'PRELIMINIARY_POSTING_POST_ALL'  for posting the parked document. The FM calls internally another FM 'POSTING_INTERFACE_DOCUMENT'. This calls the transaction FBVB where we get the above error.
    Thanks.

  • Error in posting the park doc

    SAP EXperts,
                             I created 1 AUC account, and parked one expenses for that AUC thru cash transaction, my doc type is AA.While posting the park doc i am getting the following error
    "Formatting error in the field COBL-PRCTR"
    How to resolve this issue
    Thanks & Regards
    Appan

    Hi,
    First go to transaction FBV0 and change the expense line item for account aasignment in field Profit Center.
    Hope you have PCA active in your system.
    Since your expense line item will have an account assignment to PCA.
    Please check and post again, if still the problem exists.
    Thanks,
    Srinu

  • Error While Posting the Asset Down Payment

    Dear Members,
    When I am doing Asset down payment through F-48, I am getting the following error.
    Before that I would like to inform you that I created 2 GL Accounts. i.e. Down Payments on Assets ( Recon A/c Assets )  and Second GL A/c is Asset Clearing A/c ( With out Recon A/c ).
    Further I assigned in T. Code -   AO90, I assigned the Down Payments on Assets GL A/c and In Clearing column I assigned the Asset Clearing A/c.
    Even though it is giving the following error.
    Item category 07000 not allowed in accounting transaction 1000/0001
    Message no. GLT2001
    Diagnosis
    The online document splitting is active in your system. Here, each document is assigned to a accounting transaction variant and each document row to an item category.
    You determine for each business transaction variant which item categories can or must be posted here.
    The following error occurred for the document you entered:
    Item category 07000 in accounting transaction 1000, variant 0001 is not allowed.
    System Response
    The document cannot be posted.
    Procedure
    Check the document entered, the derivation of the business transaction variant, the derivation of the item category, and the assignment of the item categories to the business transaction variant.
    do the needful at the earliest.
    Thanking You
    Regards
    K. S. Kumar

    Hi Sai Kumar,
    Go to Document splitting node..
    And check against the doc type that you are using in F-48, what business transaction variant is assigned in Classify document types for Document Splitting.
    next go to the following node....
    Doc Splitting->Extended Doc Splitting-> Define Business Transaction variants
    and select your business transaction variant as defined above and copy that and give it a name Z001,
    now select Z001 and double click on Assigned Item categories.., then select new entries and add 07000 Asset there and save.. it will give a warning message but just go on saving.
    next go to the node Classify document types for Document Splitting again and enter this Business transaction variant againt the document type that u r using in F-48. AND it will work.
    Regards,
    SAPFICO

  • Error in Posting Service Entry Sheet - FI 311 No Commitment Item in Item 1

    Dear All,
    We need a suggestion/solution for the following problem :-
    Our customer had raised purchase orders for services in may 2010. The following critical entries were made in the purchase order.
    Account Assignment Category was P-Project
    The WBS element was entered as the Accounts Assigment Category was P.
    The user was entering uncoded services. Hence the material group for that service which had G/L a/c tagged to it was entered. But the G/l code was not populated in the purchase order by the system at that time of creation of purchase order and subsequently the user was able to save and release purchase order.
    The user was able to post Service Entry Sheet and generate accounting entries in june 2010.
    Additional service entry sheets are required to be posted for the remaining quantites. The client has urcated the SES process into two parts.
    1. Through T-code ZML81N the end user is able to create and save the SES.
    2. Through T-code ML81N the Head of Department is able to approve and post the SES which results in generating of accounting entries.
    Presently the user is able to create SES with tcode ZML81N. But when the HOD tries to approve and post the ses we get the error.
    FI 311 - No commitement item maintained in Item 0001 in P220 (company code).
    Fund Management is active in this company code and all settings related to Funds Management and FI have been checked by respective consultants.
    The end user is not having any problems in processing SES for current Pos. But he is not able to create SES for the POs created in May, 2010 for which the user has already created and posted more than one SES against the same POs.
    We have already escalated it to SAP.
    Thanks in advance
    Anil Shanbhag

    Hi,
    Use T.code:FS00 and check G/L account 280000 is there in your company code or not.
    If yes, check its nature(type/description,control data , cretae bank/intererst tabs)of G/L
    NOTE: Also check and compare the field selection between Movement type 101 & your G/L account 280000 in SE38 t.code with  Program RM07CUFA
    Regards,
    Biju

  • Error while posting the IDoc for Customer Invoice.

    hi,
    I m posting Customer Invoice through LSMW using IDocs.
    Basic type is FIDCCP02 and message is FIDCC2.
    While posting the Idoc I m getting error as:
    'Document or line item does not exist for invoice reference'.
    I m not getting the error why it is asking for invoice reference because
    in FB01 it is not asking for any reference or anything.
    Even in f-22 also it is not asking for the same.
    In Idoc all the item level values are coming prorperly.
    If anybody worked on such issues then please reply.
    -Thanx.
    -Umesh

    Hi,
    Where you able to resolve your issue, I would appreciate if you can share the solution.
    Thanks

  • Error while importing the Entries from Payroll

    Dear Guru's
    For the First time we are Import the Entries from Payroll , Request End with the Warning message
    when i check the Out Put file lot of Errors
    eriod Error Codes
    EP01 This date is not in any open or future enterable period.
    EP03 This date is not within any period in an open encumbrance year.
    EP04 This date is not a business day.
    DOHA COA Journal Import Execution Report Date: 21-APR-12 10:16
    Concurrent Request ID: 424967 Page: 11
    ========================================================== Error Key ===========================================================
    Period Error Codes
    EP05 There are no business days in this period.
    Unbalanced Journal Error Codes
    WU01 Warning: This journal entry is unbalanced. It is accepted because suspense posting is allowed in this ledger.
    EU02 This journal entry is unbalanced and suspense posting is not allowed in this ledger.
    EU03 This encumbrance journal entry is unbalanced and the Reserve for Encumbrance account is not defined.
    Flexfield Error Codes
    EF01 This Accounting Flexfield is inactive for this accounting date.
    EF02 Detail posting not allowed for this Accounting Flexfield.
    EF03 Disabled Accounting Flexfield.
    EF04 This is an invalid Accounting Flexfield. Check your cross-validation rules and segment values.
    EF05 There is no Accounting Flexfield with this Code Combination ID.
    EF06 The alternate account is invalid.
    WF01 An alternate account was used instead of the original account.
    WF02 A suspense account was used instead of the original account.
    Foreign Currency Error Codes
    EC01 A conversion rate must be entered when using the User conversion rate type.
    EC02 There is no conversion date supplied.
    EC03 A conversion rate type or an accounted amount must be supplied when entering foreign currency journal lines.
    EC06 There is no conversion rate for this currency, conversion type, and conversion date.
    EC08 Invalid currency code.
    EC09 No currencies are enabled.
    EC10 Encumbrance journals cannot be created in a foreign currency.
    EC11 Invalid conversion rate type.
    EC12 The entered amount must equal the accounted amount in a ledger or STAT currency journal line.
    EC13 Amount is too large.
    ECW1 Warning: Converted amounts could not be validated because the conversion rate type is not specified.
    Budget Error Codes
    EB01 A budget version is required for budget lines.
    EB02 Journals cannot be created for a frozen budget.
    EB03 The budget year is not open.
    EB04 This budget does not exist for this ledger.
    EB05 The encumbrance_type_id column must be null for budget journals.
    EB06 A period name is required for budget journals.
    EB07 This period name is not valid. Check calendar for valid periods.
    EB08 Average journals cannot be created for budgets.
    EB09 Originating company information cannot be specified for budgets.
    Encumbrance Error Codes
    EE01 An encumbrance type is required for encumbrance lines.
    EE02 Invalid or disabled encumbrance type.
    EE03 Encumbrance journals cannot be created in the STAT currency.
    DOHA COA Journal Import Execution Report Date: 21-APR-12 10:16
    Concurrent Request ID: 424967 Page: 12
    ========================================================== Error Key ===========================================================
    Encumbrance Error Codes
    EE04 The BUDGET_VERSION_ID column must be null for encumbrance lines.
    EE05 Average journals cannot be created for encumbrances.
    EE06 Originating company information cannot be specified for encumbrances.
    Reversal Error Codes
    ER01 A reversal period name must be provided.
    ER02 This reversal period name is invalid. Check your calendar for valid periods.
    ER03 A reversal date must be provided
    ER04 This reversal date is not in a valid period.
    ER05 This reversal date is not in your database date format.
    ER06 Your reversal date must be the same as or after your effective date.
    ER07 This reversal date is not a business day.
    ER08 There are no business days in your reversal period.
    ER09 Default reversal information could not be determined.
    Descriptive Flexfield Error Codes
    ED01 The context and attribute values do not form a valid descriptive flexfield for Journals - Journal Entry Lines.
    ED02 The context and attribute values do not form a valid descriptive flexfield for Journals - Captured Information.
    ED03 The context and attribute values do not form a valid descriptive flexfield for Value Added Tax.
    Miscellaneous Error Codes
    EM01 Invalid journal entry category.
    EM02 There are no journal entry categories defined.
    EM04 The value in the ACTUAL_FLAG must be "A" (actuals), "B" (budgets), or "E" (encumbrances).
    EM05 The encumbrance_type_id column must be null for actual journals.
    EM06 The budget_version_id column must be null for actual journals.
    EM07 A statistical amount belongs in the entered_dr(cr) column when entering a STAT currency journal line.
    EM09 There is no Transaction Code defined.
    EM10 Invalid Transaction Code.
    EM12 An Oracle error occurred when generating sequential numbering.
    EM13 The assigned sequence is inactive.
    EM14 There is a sequential numbering setup error resulting from a missing grant or synonym.
    EM17 Sequential numbering is always used and there is no assignment for this ledger and journal entry category.
    EM18 Manual document sequences cannot be used with Journal Import.
    EM19 Value Added Tax data is only valid in conjunction with actual journals.
    EM24 Average journals can only be imported into consolidation ledgers.
    EM25 Invalid average journal flag. Valid values are "Y", "N", and null.
    EM26 Invalid originating company.
    EM27 Originating company information can only be specified when intercompany balancing is enabled.
    EM29 You do not have access to this ledger and account combination.
    EM30 This balancing segment value is not valid for this ledger.
    EM31 This management segment value is not valid for this ledger.
    ** Batches listed under "Unbalanced Batches**" have not been imported.
    Edited by: 912775 on Apr 21, 2012 1:00 AM

    Hi Bharat17an,
    Please provide the detail information when create the MySQL connection in your PowerPivot model. Here is a good article regarding "how to Use MySQL and Microsoft PowerPivot Together" for your reference, please see:
    http://www.datamensional.com/2011/09/how-to-use-mysql-and-microsoft-powerpivot-together-2/
    If this issue still persists, please help to collection windows event log information. It maybe helpful for us to troubleshoot this issue.
    Regards,
    Elvis Long
    TechNet Community Support

  • Error while posting the payroll results to accounts

    Dear all,
    Im facing a issue while posting the payroll results to the accounts in T.code PC00_M99_CIPE,
    The error log says...
    Inconsistence in payroll results (tables V0/RT)
    Diagnosis:
    An inconsistency results has been found during the evaluation of the payroll results. No referenced entry has been found in table V0.
    Can anybody suggest me wat i hav to do...
    Thanks & regards
    Gopinath.Balakrishnan

    Hi
    Check whether the user is having the authorisation for the t.code PC_PAYRESULT or PC00_M40-PAYRESULT.
    Because some times HR user will run the payroll and FI user will do the postings. If FI user is doing the postings, in general he will not have the authorisation for HR T.codes, then system will give such kind of errors.
    If not check the paryoll results and control record.
    Thanks & Regards
    Bharathi

  • Error while posting the material

    Hi experts,
    While intially posting the material in Mb1c by movement type 561.
    while saving it show the below error
    "Account determination for entry GKR GBB ____ BSA 3000 not possible"
    pls help
    regards
    arun

    Have u checked this first
    go to OMWD and put the valution grouping code may be u r using 0001 for ur valuating area (plant) and company combination
    hear this is missing so u r having the error
    if yes
    then go to OBYC
    click on gbb give chart of account i think in ur case its GKR then find entry with
    0001 BSA 3000 GL or
    BSA 3000 GL
    if this entru is missing
    the ask ur fi person to creat gl account to initial balace upload in FS00
    may be copy of 399999 std sap have for copmpanyt code 1000
    and creat a entry
    0001 BSA 3000 GL
    BSA 3000 GL
    hope this will clear ur issue
    Reward if issue solved
    Message was edited by:
            Umakant Bhangale

  • Error while posting the Goods Receipt

    Hi Friends,
    I am having an issue while posting the Goods Receipt.
    I am getting the error "Balance not zero: 1.000,00- debit: 0,00 credit: 1.000,00". I am using the Purchase Order with Account Assignment category P and K. When ever I used the account assignment category, I am getting this type of error. I have checked the configuration and every thing is OK. System is not able to debit the G/L account which is mentioned in the Purchase Order, hence the problem. However, I think system is able to get the G/L account (to Credit the amount) from Automatic Account determination.
    Would like to know if any one come across similar type of problem and resolved it.
    We have recently upgraded the system from 4.7 to ECC 6.0.
    Apprciate the help.
    Thank you,
    Prakash

    Hi
    Thank you for the reply.
    I have checked what you have mentioned. While creating PO it is determining the G/L account automatically through the assignments in OBYC. Even then I am getting the error while doing the Goods Receipt.
    Any one is having any idea?
    Thank you,
    Prakash
    Edited by: Prakash KM on Dec 17, 2010 6:26 PM

  • Get an error when accessing the entry from the Backing Map directly

    We are using some sample code from Oracle to access Objects associated via KeyAssociation directly from the Backing Map.
    Occasionally we get the error posted below. Can someone shed light on what this error means ?
    I'm doing a Get on the Backing Map directly.
    Thanks,
    J
    An entry was inserted into the backing map for the partitioned cache "Customerl" that is not owned by this member; the entry will be removed.
    ReadWriteBackingMap$5{ReadWriteBackingMap inserted: key=Binary(length=75, value=0x---binary key data removed ----), value=Binary(length=691, value=0x---binary value data removed---)), synthetic}
         at com.tangosol.coherence.component.util.daemon.queueProcessor.service.grid.DistributedCache$Storage.onBackingMapEvent(DistributedCache.CDB:152)
         at com.tangosol.coherence.component.util.daemon.queueProcessor.service.grid.DistributedCache$Storage$PrimaryListener.entryInserted(DistributedCache.CDB:1)
         at com.tangosol.util.MapEvent.dispatch(MapEvent.java:191)
         at com.tangosol.util.MapEvent.dispatch(MapEvent.java:164)
         at com.tangosol.util.MapListenerSupport.fireEvent(MapListenerSupport.java:556)
         at com.tangosol.net.cache.ReadWriteBackingMap$InternalMapListener.dispatch(ReadWriteBackingMap.java:2064)
         at com.tangosol.net.cache.ReadWriteBackingMap$InternalMapListener.entryInserted(ReadWriteBackingMap.java:1903)
         at com.tangosol.util.MapEvent.dispatch(MapEvent.java:191)
         at com.tangosol.util.MapEvent.dispatch(MapEvent.java:164)
         at com.tangosol.util.MapListenerSupport.fireEvent(MapListenerSupport.java:556)
         at com.tangosol.net.cache.OldCache.dispatchEvent(OldCache.java:1718)
         at com.tangosol.net.cache.OldCache$Entry.onAdd(OldCache.java:1786)
         at com.tangosol.util.SafeHashMap.put(SafeHashMap.java:244)
         at com.tangosol.net.cache.OldCache.put(OldCache.java:253)
         at com.tangosol.net.cache.OldCache.put(OldCache.java:221)
         at com.tangosol.net.cache.ReadWriteBackingMap.get(ReadWriteBackingMap.java:721)
         at

    Here is the sample we adapted. We have adapted the code below to our specific Cache. I have highlighted the line that throws the exception, this exception doesnt occur all the time, saw it about 10 times yesterday and 2 times today.
    import com.tangosol.net.BackingMapManagerContext;
    import com.tangosol.net.CacheFactory;
    import com.tangosol.net.CacheService;
    import com.tangosol.net.DefaultConfigurableCacheFactory;
    import com.tangosol.net.NamedCache;
    import com.tangosol.util.Binary;
    import com.tangosol.util.ClassHelper;
    import com.tangosol.util.InvocableMap;
    import com.tangosol.util.processor.AbstractProcessor;
    import java.io.Serializable;
    import java.util.Map;
    * dimitri
    public class Main extends AbstractProcessor
    public static class Foo implements Serializable
    String m_sFoo;
    public String getFoo()
    return m_sFoo;
    public void setFoo(String sFoo)
    m_sFoo = sFoo;
    public String toString()
    return "Foo[foo=" + m_sFoo + "]";
    public static class Bar implements Serializable
    String m_sBar;
    public String getBar()
    return m_sBar;
    public void setBar(String sBar)
    m_sBar = sBar;
    public String toString()
    return "Bar[bar=" + m_sBar + "]";
    public Object process(InvocableMap.Entry entry)
    try
    // We are invoked on foo - update it.
    Foo foo = (Foo) entry.getValue();
    foo.setFoo(foo.getFoo() + " updated");
    entry.setValue(foo);
    // Now update Bar
    Object oStorage = ClassHelper.invoke(entry, "getStorage", null);
    CacheService service = (CacheService) ClassHelper.invoke(oStorage, "getService", null);
    DefaultConfigurableCacheFactory.Manager bmm =
    (DefaultConfigurableCacheFactory.Manager) service.getBackingMapManager();
    BackingMapManagerContext ctx = bmm.getContext();
    Map mapBack = bmm.getBackingMap("bar");
    // Assume that the key is still the same - "test"
    Binary binKey = (Binary) ctx.getKeyToInternalConverter().convert(entry.getKey());
    Binary binValue = (Binary) mapBack.get(binKey);
    // convert value from internal and update
    Bar bar = (Bar) ctx.getValueFromInternalConverter().convert(binValue);
    bar.setBar(bar.getBar() + " updated");
    // update backing map
    binValue = (Binary) ctx.getValueToInternalConverter().convert(bar);
    mapBack.put(binKey, binValue);
    catch (Throwable oops)
    throw ensureRuntimeException(oops);
    return null;
    public static void main(String[] asArg)
    try
    NamedCache cacheFoo = CacheFactory.getCache("foo");
    NamedCache cacheBar = CacheFactory.getCache("bar");
    Foo foo = new Foo();
    foo.setFoo("initial foo");
    cacheFoo.put("test", foo);
    Bar bar = new Bar();
    bar.setBar("initial bar");
    cacheBar.put("test", bar);
    System.out.println(cacheFoo.get("test"));
    System.out.println(cacheBar.get("test"));
    cacheFoo.invoke("test", new Main());
    System.out.println(cacheFoo.get("test"));
    System.out.println(cacheBar.get("test"));
    catch (Throwable oops)
    err(oops);
    finally
    CacheFactory.shutdown();
    }

Maybe you are looking for

  • Advise on using Branch office server as backup

    Hello and thanks for assistance, The site in question has four physical servers and two virtual servers. They have the following major functions. Server A is a DC/DNS server as well as hosting DFS files. Server B holds exchange server 2012A and the r

  • How to set up permission for portal objects and folder

    Hi All, We are implementing EP 7.0. For creating portal objects, I have assigned "Super_admin, Content_admin, System_admin and User_admin" role to my userid and created iviews, roles and folder. During SAP audit they asked us to open a Iview to show

  • "sequence 'JDR_DOCUMENT_ID_S' is corrupt"  using JPXImporter

    used JPX Import to load components with the following command : java oracle.jrad.tools.xml.importer.JPXImporter $JAVA_TOP/cggv/oracle/apps/per/selfservice/appraisals/server/MgrAppraisalsInProgressVOEx.jpx -username apps -password $mp_apps -dbconnecti

  • Strange "Help Icon" on start up

    My G4 won't startup fully. I get a strange blue on white help icon in the upper right corner of the screen and that's it. The full menu bar never finishes coming up. I have tried repairing the disk, first with the install CD then with Disk Warrior. D

  • How to flash the bios? (VGA)

    I have a ti4800se v1.00 card.I want to flash its bios. Is it possible??? And maybe later i will do vmod... How to vmod on MSI ti4800SE??