EvDRE vs evGET - DRE pulls wrong data
BPC 5.1 SP3
I added one calculated member to the second hierarchy of a two-hierarchy user-defined dimension. The H2 formula is this:
[FUNCACCOUNT].[H2].[F_3RDNETSALES]-[FUNCACCOUNT].[H2].[F_3RDGROSSPFT],solve_order=99
F_3RDNETSALES and F_3RDGROSSPFT are parent levels. My calculated FuncAccount member is the only member in the dimension with a formula.
Here's the issue:
When I do an any-by-any with months and year in the columns, correct values are returned for each period of my calc member. However, a similar DRE shows zeros in the months and a (correct) amount in the year.
Both the any-by-any and DRE work correctly if I change the member's formula to:
[FUNCACCOUNT].[H2].[F_3RDNETSALES],solve_order=99
Any ideas why the DRE is not returning all the data?
Are there any issues with having a parent with only one child in a hierarchy? I seem to have fixed my issue by adding a second child to a parent that only had one child. Once I added this second one, the totals flowed through. I even get data in the DRE when I suppress zeros in the DRE (to hide the new child that has not data).
Seems to be an issue with parents only having one child where evDRE does not work. Has anyone else had similar experiences?
Similar Messages
-
Oralce query giving wrong data
Hi all oracle experts :
in oracle backend ( LOV ) user is selecting 'long text' instead of 'short text' and as a result user is getting wrong data Ship_To_Adress ( column ). here what i need is :
Upon data is coming from Long_Text table - it should not bring the wrong data Ship_To address.. It should give no value on the report.
feasibility of modifying query to maintain two Scenarios - Irrespective of Long or Short text - User should not give wrong 'Ship To' address on the pick ticket.
please go through the following query and make necessary changes. thanks in advance for your precious time valuable advice
looking the feasibility of modifying query to maintain two Scenarios - Irrespective of Long or Short text - User should not give wrong 'Ship To' address on the pick ticket.
Thanks in advance
Shiva
SELECT
wpsv.pick_slip_number "Pick Slip #",
wdd.source_header_number "Sales Order #" ,
wdd.source_line_number "Sales Order Line #" ,
nvl(round(ool.unit_selling_price,2),0) "unitsell price" ,
(nvl(round(ool.unit_selling_price,2),0))*nvl(wpsv.primary_qty,0) "Extended sell rice",
'*'||wpsv.transaction_id||'*' "Task ID" ,
wpsv.transaction_id "Task ID#" ,
msi.segment1 "Item",
msi.description "Item Description",
msi.segment1 || ' - ' ||msi.description "Item - Description",
wdd.requested_quantity_uom "UOM",
wdd.serial_number "Serial #",
wnd.delivery_id "Delivery#",
wpsv.from_subinventory "Pick from Sub-inventory",
wpsv.from_subinventory || ' - ' ||
SELECT
segment1||'.'||segment2||'.'||segment3||'.'||segment4
FROM
INV.MTL_ITEM_LOCATIONS
WHERE
inventory_location_id = DECODE(msi.reservable_type,2,wdd.locator_id,wpsv.from_locator_id)
) "Pick From",
SELECT
segment1||'.'||segment2||'.'||segment3||'.'||segment4
FROM
INV.MTL_ITEM_LOCATIONS
WHERE
inventory_location_id = DECODE(msi.reservable_type,2,wdd.locator_id,wpsv.from_locator_id)
) "Pick from Location",
wpsv.to_subinventory "Deliver to Sub-inventory",
select
segment1||'.'||segment2||'.'||segment3||'.'||segment4
from
inv.mtl_item_locations
where
inventory_location_id = wpsv.to_locator_id
) "Deliver to Location",
wpsv.primary_qty "Quantity to be Picked",
party.party_name||CHR(10)||
DECODE(ship_loc.address1, NULL, '',ship_loc.address1||CHR(10))||
DECODE(ship_loc.address2, NULL, '',ship_loc.address2||CHR(10))||
DECODE(ship_loc.address3, NULL, '',ship_loc.address3||CHR(10))||
DECODE(ship_loc.address4, NULL, '',ship_loc.address4||CHR(10))||
DECODE(ship_loc.city, NULL, NULL, ship_loc.city || ', ') || DECODE(ship_loc.state, NULL, NULL, ship_loc.state || ', ') || DECODE(ship_loc.postal_code, NULL, NULL, ship_loc.postal_code || ', ') || DECODE(ship_loc.country, NULL, NULL, ship_loc.country) SHIP_TO_ADDRESS,
NVL(h.shipping_instructions, '-') shipping_instructions,
NVL(h.shipment_priority_code,'-') shipment_priority_code,
NVL(OL.MEANING,'-') "Freight Terms",
NVL(FLV.meaning, '-') shipping_method,
NVL(QQA.quote_attachment, '-'),
RSA.name,
NVL(h.packing_instructions, '-') packing_instructions,
NVL(H.CUST_PO_NUMBER,'-') customer_po#
FROM
apps.oe_order_lines_all ool,
APPS.WSH_PICK_SLIP_V WPSV,
WSH.WSH_DELIVERY_DETAILS WDD,
INV.MTL_SYSTEM_ITEMS_B MSI,
WSH.WSH_DELIVERY_ASSIGNMENTS WDA,
WSH.WSH_NEW_DELIVERIES WND,
APPS.ORG_ORGANIZATION_DEFINITIONS ORG,
WMS.WMS_DISPATCHED_TASKS WDT,
APPS.OE_ORDER_HEADERS_ALL H,
APPS.HZ_CUST_SITE_USES_ALL SHIP_SU,
APPS.HZ_PARTY_SITES SHIP_PS,
APPS.HZ_LOCATIONS SHIP_LOC,
APPS.HZ_CUST_ACCT_SITES_ALL SHIP_CAS,
APPS.HZ_PARTIES PARTY,
APPS.FND_LOOKUP_VALUES FLV,
APPS.OE_LOOKUPS OL,
SELECT
OOH.header_id,
MAX(DECODE(rownum,1, FDST.short_text, ''))||CHR(10)||CHR(10)||MAX(DECODE(rownum,2, FDST.short_text, ''))||MAX(DECODE(rownum,3, FDST.short_text, ''))||CHR(10)||CHR(10)||MAX(DECODE(rownum,4, FDST.short_text, '')) quote_attachment
FROM
APPS.FND_ATTACHED_DOCUMENTS FAD
, APPS.FND_DOCUMENTS_TL FDT
, APPS.FND_DOCUMENTS_SHORT_TEXT FDST
, APPS.FND_DOCUMENTS FD
, APPS.FND_DOCUMENT_CATEGORIES_TL FDC
, APPS.OE_ORDER_HEADERS_ALL OOH
, APPS.ORG_ORGANIZATION_DEFINITIONS OOD
WHERE
OOD.organization_id =?Organization ? AND
OOH.ORDER_NUMBER = ?SO#? AND
OOH.org_id = OOD.operating_unit AND
TO_CHAR(OOH.header_id) = FAD.pk1_value AND
FAD.document_id = FDT.document_id AND
FAD.entity_name = 'OE_ORDER_HEADERS' AND
FDT.media_id = FDST.media_id AND
FDT.language = 'US' AND
FAD.document_id = FD.document_id AND
FD.category_id = FDC.category_id AND
FDC.language = 'US' AND
FDC.user_name ='APS_Pack/AR Invoice/CI/SO Ack Printing'
GROUP BY
OOH.header_id
) QQA
, APPS.RA_SALESREPS_ALL RSA
WHERE
wpsv.move_order_line_id =wdd.move_order_line_id AND
(wdd.source_header_number = ?SO#? ) AND
wdd.inventory_item_id = msi.inventory_item_id(+) AND
wdd.organization_id = msi.organization_id(+) AND
wdd.delivery_detail_id = wda.delivery_detail_id AND
wda.delivery_id = wnd.delivery_id(+) AND
wdd.organization_id = org.organization_id AND
wdt.TRANSACTION_TEMP_ID(+)=wpsv.transaction_id AND
wdt.organization_id (+) =?Organization ? AND
wdd.organization_id =?Organization ? AND
wdd.source_header_number = h.order_number AND
h.salesrep_id = RSA.salesrep_id(+) AND
h.org_id = RSA.org_id(+) AND
h.org_id = org.operating_unit AND
SHIP_PS.party_id = PARTY.party_id(+) AND
H.ship_to_org_id = SHIP_SU.site_use_id(+) AND
SHIP_SU.cust_acct_site_id = SHIP_CAS.cust_acct_site_id(+) AND
SHIP_CAS.party_site_id = SHIP_PS.party_site_id(+) AND
SHIP_LOC.location_id(+) = SHIP_PS.location_id AND
H.shipping_method_code = FLV.lookup_code(+) AND
FLV.lookup_type(+) = 'SHIP_METHOD' AND
FLV.language(+) = 'US' AND
QQA.header_id(+) = TO_CHAR(H.header_id) AND
wpsv.line_status = 'UNPICKED' AND
H.FREIGHT_TERMS_CODE=OL.LOOKUP_CODE(+)
AND OL.LOOKUP_TYPE(+) ='FREIGHT_TERMS' AND
OOL.header_id = wdd.source_header_id(+) AND
OOL.line_id = wdd.source_line_id(+) AND
EXISTS(
SELECT
'Y'
FROM
INV.MTL_ONHAND_QUANTITIES_DETAIL OHQ
WHERE
WDD.inventory_item_id = OHQ.inventory_item_id AND
WDD.organization_id = OHQ.organization_id AND
WPSV.from_subinventory = OHQ.subinventory_code
GROUP BY
'Y'
HAVING
SUM(transaction_quantity) >0
ORDER BY
2, 11, 12, 6, 3Thank you very much indeed for your reply - yes youre right. in oracle backend there are dropdown selections : 1) short text and 2) long text. as per the table user has to select short text so that he will get the correct output , but if by mistake user selects long text then the table is pulling wrong data. so here we need the query to be changed if user selects long text report shouldnt show any data..
i am not sure but as per my little knowledge in oracle i believe that the problem is lying in the folloiwng query line.. please help me out in this regard. i have a screen shots of oralce backend where user is selecting long text / short text but here theres no option of inserting the files...
DECODE(ship_loc.address1, NULL, '',ship_loc.address1||CHR(10))||
DECODE(ship_loc.address2, NULL, '',ship_loc.address2||CHR(10))||
DECODE(ship_loc.address3, NULL, '',ship_loc.address3||CHR(10))||
DECODE(ship_loc.address4, NULL, '',ship_loc.address4||CHR(10))||
DECODE(ship_loc.city, NULL, NULL, ship_loc.city || ', ') || DECODE(ship_loc.state, NULL, NULL, ship_loc.state || ', ') || DECODE(ship_loc.postal_code, NULL, NULL, ship_loc.postal_code || ', ') || DECODE(ship_loc.country, NULL, NULL, ship_loc.country) SHIP_TO_ADDRESS,
Thank you very much once again
Shiva -
Database fields importing as wrong data type
I am using Crystal Reports 2008, connecting to an Oracle 9i database.
Some of our database tables have a field with data type of SDO_GEOMETRY. I know this is an unsupported data type in CR, so the field list in the field explorer skips over it when I import tables using the Database Expert. However, it doesn't skip over the data type, giving each field below the SDO_GEOMETRY field the wrong type. To illustrate:
Field Name Type (Size)
GEOLOC SDO_GEOMETRY (1)
ID NUMBER (22)
NAME STRING (25)
DESC STRING (200)
CR 2008 will skip GEOLOC, assign ID as String (2000)how it interpreted SDO_GEOM in ver. XIName as Number, and Desc as String (25). I also noticed this behavior in CR XIR2. Has anyone else run into this? The workaround I've found is to write a SQL command; but is there a setting or hotfix out that fixes the bug?Hello,
I would recomend using a stored procedure to connect to the data and assign a Crystal-valid data type to each field so that there won't be a chance for this sort of issue to happen when pulling in data.
-Sean -
Pull/Get Data/Value from User Input Window
I'm trying to do something that should be be quite basic for a programer, but unfortunately unfortunately being a designer I'm having a heck of a time with this. Having spent hours searching and trying different things I thought of posting the problem. I have the feeling I'm not the first designer struggling with this.
I'm trying to pull input data from a window and pass it on to a variable. In the script I do a couple of purge(), and I'm not sure if that will clear the user input values during the script, but this is thinking ahead...
I need values to do:
layer.translate(X, Y) // If I'm not wrong this needs to be a - string
bitsaveoptions.method = ChanelScreen; //from drop down menu
bitsaveoptions.angle = KAngle // If I'm not wrong this needs to be a - integer
bitsaveoptions.frequency = ChanelFrequency; // If I'm not wrong this needs to be a - integer
bitsaveoptions.resolution = ChanelResolution; // If I'm not wrong this needs to be a - integer
bitsaveoptions.shape = BitmapHalfToneType.ROUND; //from drop down menu
I know that there are different ways to retrieve the data from a window .selection .value and maybe others but I can't seem to pull the data out of from the user input
Any advice would be greatly appreciated.
Thanks.
PS I'm working with Photoshop CS5
This is what I have so far.
// =========== Ruler to Millimiters
app.preferences.rulerUnits = Units.MM;
var doc = app.activeDocument;
var layer = doc.activeLayer;
var dropdownlistArray = new Array();// The array of drop down lists.
var chosen_action = null;
var ScreenShapeArray= new Array(
'Round',
'Eliptical'
var WinContent =
"dialog{\
orientation: 'column', \
alignChildren: ['fill', 'top'], \
preferredSize:[300, 130], \
text: 'Export Settings', \
margins:15, \
Coordinates: Panel {\
orientation: 'column', \
text: 'Chanels Shifts', \
margins:15, \
alignChildren: 'right',\
KChanelX: Group{\
st: StaticText { text: 'X:' }, \
te: EditText { text: '15', characters: 4, justify: 'right'} \
st2: StaticText { text: 'mm' }, \
KChanelY: Group{\
st: StaticText { text: 'Y:' }, \
te: EditText { text: '10', characters: 4, justify: 'right'} \
st2: StaticText { text: 'mm' }, \
bottomGroup: Group{\
cancelButton: Button { text: 'Cancel', properties:{name:'cancel'}, size: [120,24], alignment:['right', 'center'] }, \
applyButton: Button { text: 'Apply', properties:{name:'ok'}, size: [120,24], alignment:['right', 'center'] }, \
// ======== Create window object
var win = new Window(WinContent);
// ======== Display Window
win.show();
var X =parseInt(win.Coordinates.KChanelX.te.selection);
var Y =parseInt(win.Coordinates.KChanelY.te.selection);
alert (X); // Here I get NaN
alert (Y); // Here I get NaN
if (typeof(X) === "undefined" || typeof(Y) === "undefined" ){
layer.translate(X+"mm", "-"+Y+"mm");
}else {
alert ("here"); // Always end-up here regardles of canling or acepting the default values.text
Is what I was looking for!
Not being so programming savvy, and not knowing the proper terminolgy makes things way harder.
You asked what the script is for:
I'm creating an interface to save multiple file from a master file.
1. Set the bitmap conversion presets (res, screen type, shape, lpi, angle), for the desired chanels to export, set the pages in the book that will be produced, number of signatures, as well as pages per signature.
2. Create tiffs for every chanlel and move the chanel according to the presets tied to the signature the page belongs to in the book.
3. Reassemble the chanels into one file for viewning and use the tifs for print.
Total I will have:
Myfile_C.tif //Cyan
Myfile_M.tif //Magenta
Myfile_Y.tif //Yellow
Myfile_K.tif //Black
Myfile_col.psd //CMY chanels reassembled
Myfile_sep.psd //CMYK chanels reassembled
Why am I doing all this? I'm working on a comic that will simulate a silver age comic book and I need the look of that time, with off registration plates. But I also need to see the final result of the shift and keep things constant for each plate as I'm working on the separate pages, so series of presets are a must for me.
If the result of the interface is somewhat acceptable I'll post it.
Thanks for the help I really apperciate it. -
Unfortunately, I lost by an update all the apps on my iPad 2. Now I can not pull the data from the cloud to my iPad. How is this possible?
If you just installed iCloud does that mean you updated the iOS that's running on your iPad? If so, you'll want to restore all the programs you have from the backup you hopefully made.
Refer to these articles for help.
iTunes: Backing up, updating, and restoring iOS software.
If you don't want to use iCloud, simply don't activate it.
You can also download the programs again.
If you live in a country that supports re-downloading apps then you can re-download them. You can refer to this article for more help.
Downloading past purchases from the App Store and iTunes Store
What to know if your country supports downloading past purchases?
iTunes in the Cloud Availability -
Need info on Standard Web services to pull Order data in CRM from external applications
Hi Gurus,
I have a requirement to pull Order data in CRM from external non-sap application using Web services. Are there any standard SAP provided web services to pull order data based on some input? If yes, can you provide me any kind of documentation related to this?
Appreciate your help on this.
Thanks
LakshmanHi Lakshman,
I have checked further.
Please review below link of the SAP Help documentation :
http://help.sap.com/saphelp_nw70/helpdata/en/47/3a989cbcef2f35e10000000a1553f6/content.htm?frameset=/en/46/97218e79f115eae10000000a114a6b/frameset.htm¤t_toc=/en/d1/802cfc454211d189710000e8322d00/plain.htm&node_id=439&show_children=false
and also the link :
–http://esworkplace.sap.com/socoview(bD1lbiZjPTAwMSZkPW1pbg==)/render.asp?packageid=DE0426DD9B0249F19515001A64D3F462&id=347DD31EB5AB4BC592BD8B29C0981A1B
Hoping that this will be helpful.
Best regards - Christophe -
Downloads with Safari show wrong date
Hi, this is my first post and I'm stumped.
When I download a file (i.e. PDF) via Safari on either my Imac or Macbook (4.03 and 4.02) both running Leopard 10.5.7 it shows up in my downloads folder with the wrong date: wrong year, month, and day.
When I download the same file with Firefox the download date is correct.
Does anyone have any suggestions to remedy this annoying problem? Thanks.Ok. I just downloaded a PDF via Safari that shows the creation date as: 23/12/08 1:10 AM.
Same file downloaded via Firefox shows date correctly: today at 9:16 PM.
The date from Safari has been all over the map... 03, 07, 00 etc. all different.
Message was edited by: i-Mack -
After doing a clean install of 10.5 and importing all of my mail messages from my .mac account, I noticed that many of the messages in my sent folder had the wrong date. Apparently they were marked with the date on which I first synchronized my 10.5 Mail with my .mac account. I've since tried to rebuild that folder, and when I do that, those problematic messages show up as sent "Today" at the time I rebuilt, even though many of them are nearly a year old. Any suggestions as to what might be causing this? I've read several threads regarding problems with the sent folder, but none with this specific date problem.
Thanks.
One more thing...
All sent message show up with the correct date when I access the sent folder online through .mac.
Message was edited by: James Casey1I tried several experiments and noticed that if you move the messages in "sent messages" with wrong dates to another folder (for example to the "inbox") then they get back to their correct date.
Apparently rebuilding mail boxes at this point doesn't fix anything, as if you move the messages into "sent messages" again then the date gets wrong again.
Funny enough, when the message is back into "sent messages" and appears there with the wrong date, if you make a text search FROM THE INBOX on all folders in the search results these messages will appear as located in "sent messages" with THE RIGHT DATE!!! Doing the same search when you are in "sent messages" will show the message with the wrong date!!!
So I am now sure there is BIG BUG in Mail about this.
So unless Apple fix this, I guess the only way is to put all the messages from your "sent messages" with wrong dates in a folder where they appear with the correct date, save or export your "sent messages" folder messages, delete entirely your "sent messages" folder, and reload all you "sent messages" again.
However I have no safe procedure for this and it won't prevent the bug to reoccur later on... -
IPhoto imports photos with wrong dates even if the dates are fine on the camera
Hi!
When I import photos with iPhoto, sometimes it imports them with wrong dates, even the dates are fine on the camera. It puts dates such as 2032. Does anyone know how can I fix that. As far as I know there is no way to change dates of the photos.
Thanks!well that is very confusing since if the date is correct on the camera it will be correct in iPhoto
and as to
As far as I know there is no way to change dates of the photos.
Try looking through your iPhto menus - two commands - adjust time and date and batch change time and date - asjust is used to correct incorrect dates like a comera setting - Batch change for missing dates like with scans
LN -
Report no longer pulls in data
Hi All,
Very weird thing happened today. I have a report that connects to an ODBC SQL connection. It was pulling in data fine from this connection and producing a report. All of a sudden, the report no longer shows data anymore when I submit the parameters or when refreshing.
Some things I did to test the connection is pull the data in excel via the same ODBC connection and it worked. I also created a new crystal report and it also worked. Is there a way to restore my original report to get it woking again? I would hate to have to start this report from scratch!
I am using Crystal Report 2008 SP1. This report is also being test into VS 2008 web app which was also working but ceased to work at the same time.
Thank you in advance.Hi Antoine
There are two ways to set the location of the data source your report points to, depending on your connection type:
For ODBC and Native Connections
1. On the 'Database' menu, click 'Set Datasource Location'.
2. In the 'Current Data Source' section, click the data source to be changed. You must click each individual table in the data source one by one. If the data source is a stored procedure you will not see individual tables.
NOTE
In Crystal Reports 10, XIR1, and XIR2, if you are mapping from a data source such as a stored procedure where the report designer can not determine which fields should be mapped automatically, you will see a 'Mapping' dialog box where you can manually map fields, as in the procedure cited above.
3. In the 'Replace with' section, click the data source you want the report to use.
4. Click 'Update'.
5. Close the 'Set Datasource Location' window.
The report now points to the new location.
For Native Connections Only:
1. On the 'Database' menu, click 'Set Datasource Location'.
2. In the 'Current Data Source' section, click 'Properties' to expand it and right-click 'Database Name: <path to database>'.
3. Click 'Edit' and then type the path to the
new data source location.
4. Close the 'Set Datasource Location' window.
The report now points to the new location.
Regards
Girish Bhosale -
Report returns wrong data when run on server
Hi,
I'm runing CRS XI R2 on Windows Server 2003 SP2. When I refresh a report in the Crystal Reports XI Designer, I'm getting correct data. But when I schedule the report to run on the server it returns wrong data. The data is different from what I see when I refresh it from the designer. In the report I have running totals set up to count customers that meet a certain criteria. The report is very large. It take almost 2 hours to refresh.
I was wondering what is causing the difference in running total data between refreshing it on the designer and running it on the server. Is it returning wrong data b/c of it not reading all the records? Should I be making any changes to the server settings? I saw that under pageserver, there are options for setting the 'Minutes Before an Idle Report Job is Closed' and 'Database Records To Read When Previewing Or Refreshing a Report". Do either of those have anything to do with the report returning incorrect data when being scheduled to run on the server?
Thanks,
KimHi Xuandao,
You would need to Use Cell Binding and Trigger concept to accomplish this.
Its simple, however, you would have to work on a trial and error basis to understand this concept as implementing the same is subject to your dashboard and WEBI Design.
Open you LiveOffice.
Insert your WEBI, Now, go to Object Properties of your WEBI, select the second tab that says Prompt, Here, it lists the prompts that you have for your WEBI. This would also enlist your BEx variables as well. Select this BEx variable and click on the button that says Prompt at the bottom of this window. Here, select choose Excel Data Range and click on the cell select button on the right (small button that lets you choose what cell you want to bind this prompt to), Now select a free cell that would not be even populated later on when you run the dashboard say A1 (remember the value that you select). Click on OK and again OK. The WEBI Refreshes and you can see all the prompt values at the cell A1. These are all the possible values stored for your BEx prompt variables (these values are fetched from BW system dynamically).
Now, save this LiveOffice, Go to you dashboard. Connect your dashboard to your Live office. Go to Data-> connections-> Now, select the WEBI and in the right hand pane go to Usage tab, here, Click on Trigger cell button on the right hand side and select A1 in you LiveOffice.
It should work fine.
Let me know.
Rgds,
Sreekul Nair -
Report is not pulling the data from multiprovider in BI 7.0
Hi BW gurus,
We have upgraded our BW systems from 3.5 to BI 7.0.
According to our requirement we did some modifications(added some new cubes) to existing multiprovider. All the objects and assignments looks good in the multiprovider.
We are facing a problem while executing the reports, report is not pulling any data from the particular multiprovider but I can see the data from the multiprovider.
For any selection creteria we are getting the msg like "No applicable data found".
Created a sample query with only two chars and two KF's no conditions, no exceptions still the report is not populating any data for any selection creteria.
Appreaciate for your help in this regard.
-BKHi
Deactivate the aggregates and then rebuild the indexes and then activate the aggregates again.
GTR -
Have used bilmac@mac email address for years last couple of weeks am getting message icloud needs password which it then rejects, when I try to reset password,they want email to verify i cannot access email and the security question is D. O B. it tells me I have wrong date of birth. so I am stumped, any ideas bilmac
COME ON PEOPLE. (WHY ARE THE LETTERS SO BIG HERE?) I AM VERY OLD AND JUST LIKE THINGS TO STAY THE SAME. I DID NOT, DO NOT, WANT ICLOUD TO DO ANYTHING I HAVE NOT USED IT AT ALL YET IT HAS MANAGED TO MESS UP MY EMAIL ADDRESS WHICH I HAVE BEEN USING FOR YEARS, IT ASKS FOR PASSWORD THEN REJECTS AND WHEN I TRY TO RESET WITH APPLE ID THEY ASK FOR SECURITY AS I CANNOT ACCESS THE EMAIL ADDRESS THEY HAVE FOR ME BECAUSE ICLOUD ASKS FOR PASSWORD, THEN APPLE TELL ME I DONT KNOW MY OWN DATE OF BIRTH, VERY CONFUSING
-
Ical birthday calendar wrong dates
Hello,
I have an issue with iCal regarding the birthday calendar.
It works pretty fine syncing with address book, but it ads the birthday obviously twice. The birthday itself and the day before the birthday. When refering the URL in iCal it directs me to the Contact card of the person and there is only the correct date.
Why does iCal do that? And more important, how can I solve that problem and remove all the wrong dates? Because it is anoying to have birthday reminders for people twice. It also looks pretty dumm in the notification center of Mountain Lion. With two birthdays of the same person in a row. Mostly it has one year difference as well, so the same person turns lets say 29 the one day and 30 the other.
Any ideas?Thanks for your help.
I've just checked forward into 2014 and I see that it doesn't re-occur then.
Strange, it's just one person and it's only happening in 2013. Their birthday is on 31st March and there's and entry for 31st Mar and 1st April.
I'm not going to worry about it anymore. -
How to find out Which LineItem is having the wrong data
Hi All,
This is Idoc--File scenario
Iam sending the Idoc from R/3 and it may have several Line items and related data.
If One line item data is wrong also the Idoc will be errored Out in MONI,for this i used UDF in mapping to through the Exceptions. So i have to goto WE05 in R/3 and i have to check each and every line item for wrong data and then i will repost it.
the thing is how can i find out the Particular line item is caused for this Error.
REgardsHi Sarvesh,
No, in MONI it will not take us to the correct Lineitem which is having the wrong data.
That is only the problem here.
Any Views.........
Regards
Maybe you are looking for
-
Csv-export with dynamic filename or include a report footer?
Hi All, I have a question regarding the exported csv file contains a variable value as part of the file name. I read the following thread and example from Denes here: http://htmldb.oracle.com/pls/otn/f?p=31517:39:2021865942697087 How to generate Exce
-
Adobe Reader X - after using the spell checker words run together
Hi, I am using Adove LiveCycle Designer ES 8.2 to design electronic forms that are filled out in Aobe Reader X. However, when the spell checker is used in Adobe Reader X, all the words that were corrected by the spell checker become one word. For exa
-
Bug with Lightroom 4? - Big problem in the keyword list!!
Hello guys, I am Rafael Rojas, a nature and landscape photographer. This is my first post, trigered by a quite bothering problem I am having with my LR...So hello everybody! I upgraded to LR 4 a week ago. Today I realized many of the keywords I have
-
Hello, i am trying to integrate apache and tomcat in linux with mod_webapp.so. in my linux system i have 2 network cards and 2 separate IP address 123.456.789.1 and 987.654.321.1 i installed everything and also i added following lines in httpd.conf S
-
Is it possible to load Content Explorer task flow from Document Explorer
I have document explorer task flow within a page that has one the root folder employee that contains list of html files While selecting the row (html file) is it possible to load the same within Content presenter by capturing the ContentID from there