Help!  My catalog does not reflect moved or deleted files!  PE6

I have made a series of changes to the file structure in my folder tree.  Now PE6 shows dozens of "ghost files" which are in fact deleted.  It also shows several files in the wrong location (they have been moved), but when I tree moving these files (no matter where), I get the error message "File is already at this location".  I made a new catalog which does show everything correctly, but I put album tags on 100s of pix, and those have all been lost.  You can export/import album tags, but only the categories, not the specific photos.
I've tried "Repair" and "Optimize".  How can I get my old catalog to reflect the actual files and locations on my hard drive?
Thanks!
Gary

How can I get my old catalog to reflect the actual files and locations on my hard drive?
The answer is simple.
It can't be done. PSE does not know about, or reflect, changes made outside of PSE.
A better way of using PSE is to assign tags, captions and notes, to achieve organization, rather than moving/renaming photos and folders to achieve organization.

Similar Messages

  • Nas drive does not recalculating space after deleting files on Nas Drive??

    Greetings to Respected expert,
    Actually we have configure Window server 20082 Storage server.We have NAS drive configured which have 300GB quota limit. The actual data in the folder is 185 GB but it shows only 15 GB free and shows a warning .Please assist me why NAS server does not re-calculate
      the space after deleting files or does not leave space. Pardon me if I am not able to clear you my problems.this is very urgent for me.
    Thanks And Regards
    Rajnish Singh

    Hi Rajnish,
    As you mentioned "quota limit", it is set via FSRM or specific function on NAS?
    Meanwhile could you confirm the number 185GB is accurate? Sometimes a part of used space is just not calculated. You can confirm with checking the total space on NAS locally.
    If the number is correct and quota is set via FSRM, check if it is the Disk Quota which not re-calculated the released space. Try to clear the Quota setting and reconfig with 300GB limitation and see if issue still exists.
    If you have any feedback on our support, please send to [email protected]

  • Roaming User sync does not work and/or deleted files on desktop restored.

    Hello
    We have a customer with MBP's and a Server 10.6. At the MBP is a local Admin Account configured and all the employees have roaming profiles.
    Sometimes we have the problem that deleted files and folders at a Desktop will be restored after relogin AND it seems that some Adobe Products prevent syncing sometimes if files at Desktop opened.
    Is there any solution for that?

    Same issue here.
    I have BB 9700 and Yahoo! BIS account.  Worked like a charm until about a week ago.
    It was even synchronizing my calendar and mail between BB and Outlook 2010 - never really understood how it managed to do that, but I was very pleased.
    As of lately our telecom administrator spent hours on the phone with AT&T, Yahoo and RIM trying to resolve this problem.  I was told by RIM tech. support that I've got too many messages in the inbox (measly 5000 e-mails) and that BB stops synchronizing after about 800 messages in the inbox, because it is timing out with so many messages to go through.  Sounded like a total BS to me, but I still went ahead and cleaned up my Yahoo inbox and no luck, as I suspected.  I was also told by tech. support that it is due to my using Outlook 2010 Beta2, which is not supported, hence the issue - another ferry tale, IMHO.
    Hopefully, RIM will be able to get us back on track - manually deleting 60 emails every day is extremely annoying.

  • Illustrator CS6 does not store the last opened files

    I need Help,
    Illustrator CS6 does not store the last opened files.

    THat indicates a permissions issue on your preferences file and/ or your files are stored on some external or network device that doesn't use persistent file paths. Look into that.
    Mylenium

  • Query in MSS does not reflect selection on period

    Hi group,
    I have made a query in global area.  In MSS I am calling the generated program from the query.  This works fine.  However, the selection on period in MSS does not reflect on the report.  No matter what I choose, the report gives me the date period that I have set up in my variant in the background. 
    The selection screen for the report is the standard delivered with LDB PNPCE.
    I have tried different date setup in my variant, but no matter what I do, I am not able to choose dynamically period from MSS.
    Any help is appreciated
    Kirsten

    Solved this by saving the variant without passing values.

  • Compiled CHM File Does Not Reflect New Project Name

    I have read many of the experts' responses to posts and found them extremely helpful. However, I have not seen one that addresses my issue.
    I have RH HTML Version RH8. I renamed a project via 1) File - Rename Project and 2) Single Source Layouts - Primary Layout - Properties - Output Folder and File Name.
    Two problems are: 1) The Project Folder name still reflects the old project name and 2) The CHM file still reflects the old project name.
    As a result, the output Help that the user sees still has the old project name in the title bar.
    All generated files as well as the RoboHelpHTML Project File were changed to the new project name, just as the RENAME PROJECTS Help says it should. However, the CHM file does not reflect the new project name as it says it should.
    1) Can I change the Folder name that was created when I compiled the Help file to the correct name?
    2) Can I change the FILENAME in the SELECT OUTPUT FOLDER AND FILENAME  window?
    3) Can I / should I rename the TOC and Index filenames from the old project name to the new project name? (Help says that changing the project name does not change these file names and it didn't.) 
    Will any of these actions correct the problem? I appreciate any help you can give. 

    Welcome to our community
    Try File > Project Settings.
    And if that doesn't get it, try the Project Set-up pod, windows and change the Window Caption.
    Cheers... Rick
    Helpful and Handy Links
    RoboHelp Wish Form/Bug Reporting Form
    Begin learning RoboHelp HTML 7, 8 or 9 within the day!
    Adobe Certified RoboHelp HTML Training
    SorcerStone Blog
    RoboHelp eBooks

  • OSA11i / Express database Error: 'SO.CATALOG does not exist...'

    Hi All,
    I'm working with Express and Oracle Sales Analyzer (OSA11i). After years of faithful service, suddenly on attempting to open OSA11i we get the following error message which prevents us from opening the database in OSA.
    "Error opening in database, the following error occurred in Express. SO.CATALOG does not exist in any attached database"
    I tried to access via the OSA Database Manager to attempt to manage the catalogs but when I try to open the database I receive the same error.
    I'm very new to administration of this application, could you please help me to solve my problem or point me in the direction of resources (I understand the product is old and now de-supported)...
    Kind regards

    Hi,
    Try posting in the OLAP forum:
    OLAP
    Thanks, Mark

  • Itunes does not reflect Books purchased

    I have purchased books over a year ago using my iPad 2.  I can't see in Itunes books purchased over a year ago.  When syncing Ipad to ITunes Books library does not reflect the books purchased, Why? Does anyone know?
    Thank you.
    Jaime

    Hey there Fritzme,
    It sounds like you are unable to download book purchases you made over a year ago. If you haven't already, I would check your purchased history with this article to see if you can find them there:
    iTunes Store: See your purchase history and web order numbers
    http://support.apple.com/kb/ht2727
    If you see them there but cannot find them to redownload using the iBooks app, they may have been hidden and can be unhidden using this article:
    iTunes Store: Hiding and unhiding purchases
    http://support.apple.com/kb/ht4919
    If you cannot find it there either, then per the first article you may need to contact the iTunes Store support directly:
    For help with an older purchase, contact iTunes Store support and select Purchases, Billing, and Redemption
    Thank you for using Apple Support Communities.
    All the very best,
    Sterling

  • AR Down Payment Invoice Does Not Reflect in BP Master Data...

    We have placed a sales order for a BP. 
    We select payment means and accept the payment
      In the background a AP Down Payment Invoice is created
    When we view the BP master data - the account ballance window does NOT reflect this "down payment"
    If we select the golden arrow at account ballance, uncheck "reconciled transactions" you can see the payment and AP down payment and they clear each other out.
    The problem is that when the final invoice is created it is not obvious that a down payment has been received.  Even if you are simply working at the BP master data window, it is not obvious that a down payment has been received. I belive our process is correct because If you click the TDP box, the payment is listed and will be applied to the final invoice.
    It simply does not alert the user that a payment had been received. 
    What are we doing wrong?????\
    Thank you!
    Edited by: Andrew Bleier on Feb 4, 2009 1:27 AM

    Keith Taylor
    You are right this feature is only available in Version 2007A.  There account posting happen purely due to the pay SAP has been designed and the configuration of GL Accounts.
    To make fundametal change to the core product is very difficult if you explain me your business process exactly as you do, I could think of alternatives.
    Please let know.
    Suda

  • HT1751 My win8 pc hard drive failed.  After the hard drive was replaced, I copied iTunes Media backupfiles from external hard drive (Karen's Replicator was used).  ITunes does not recognize the back up files - help! (it does show cloud & recently burned m

    My win8 pc hard drive failed.  After the hard drive was replaced, I copied iTunes Media backupfiles from external hard drive (Karen's Replicator backup software was used).  ITunes does not recognize these back up files even though the location is the same as cloud & recently burned music that does show- help!  The backup files consist of 34,000+ songs; almost all burned from my own CD collection.  I do have most of the songs on an ipod classic but hesitate to try to restore from that.  Can someone tell me how to get these 34,000 songs to show up in iTunes?  Thanks!!

    This diagram shows how a typical iTunes library ought to be set out (click on it to enlarge)
    The red outline highlights the media folder and its contents, the various subfolders are only created if that kind of content is in your library. The right-hand side shows the files that should be found in the iTunes library folder; sentinel is normally hidden so may not be visible. The core of your iTunes library is the file iTunes Library.itl, you need to restore this, the other library files and the Album Artwork folder, as well as the media folder, to restore your library.
    tt2

  • Output error:the name of the package "greet" does not reflect the location of this file...

    output error: The name of package 'greet' does not reflect the location of this file. Please change the package definition's name inside this file, or move the file. C:\Documents and Settings\Igal\My Documents\meiran\greet\Greeter.as
    I keep on recieving this output error although my source path is set to C:\Documents and Settings\Igal\My Documents\meiran\greet.
    any suggestions why this happens?

    The classpaths you define in your Flash software tell the compiler where to look when it needs to find a class.  According to your as file, the very top line indicates the Greeter.as file should be at a location specified by the path...
    one-of-your-classpaths\com\example\quickstart\
    So if one of your classpaths is:  C:\Documents and Settings\Igal\My Documents\meiran\greet\
    and you placed the file in the greet folder, then in your AS document you should not have the "com\example\quickstart" and your import statement in the fla should not be using that (should just be... import Greeter;)

  • Vendor listed in the batch does not reflect actual supplier.

    Hi,
    Vendor listed in the batch does not reflect actual supplier.
    For some (STO's) it reflects the actual supplier & for some it is replaced by receving vendor.
    Regards,
    Sudakar

    Great, that worked, thanks.
    Now I have a small problem. I'm dispatching a MOVE event
    manually at one point to force a listener to trigger, and it seems
    that afterBounds is null. Here's how I'm dispatching the event:
    nativeWindow.dispatchEvent(new
    NativeWindowBoundsEvent('move'));
    While the MOVE listener function is successfully called,
    event.afterBounds.x throws a null reference exception.
    Is there an easy workaround?

  • 802.1x accounting does not reflect correct port status

    Hi,
    I've just discovered an issue when trying to use MSFT supplicant and Cisco 802.1x accounting. This makes 802.1x accounting completely unusable.
    Facts:
    1. MSFT supplicant does not send EAPOL-Logoff messages and there's no way to enable this (btw. Aegis client does not send it either, except when disabling interface).
    2. I am doing machine authentication along with domain authentication.
    3. Windows XP SP2 is used with EAP registry hacks applied.
    4. PEAP/MS-CHAPv2 method is used.
    Now when the computer is started it is logged into 802.1x with 'host/machine' account and RADIUS accounting start is sent by the switch. That's fine.
    When a user logs on with its 'domain\user' identity, then EAPOL-Start is sent from the host triggering new EAP message exchange and the user is authenticated correctly. However the switch sends Interim Accounting still using 'host/machine' credentials which is obviously wrong.
    Even more bizarre accounting happens when the user subsequently logs off from the machine. The EAPOL-Start is sent from the host triggering new authentication process for 'host/machine' identity and the host is authenticated ok. The accounting being sent is:
    - first Accounting Stop for 'host/machine' User-Name
    - then strange Interim Accounting with most attributes empty or missing
    256970: Jul 10 15:56:41.211 MET-DST: RADIUS: authenticator 68 CA 1A 46 85 4F F5 95 - 87 B4 84 61 72 85 42 F3
    256971: Jul 10 15:56:41.211 MET-DST: RADIUS: Acct-Session-Id [44] 10 "013F0000"
    256972: Jul 10 15:56:41.211 MET-DST: RADIUS: Vendor, Cisco [26] 34
    256973: Jul 10 15:56:41.211 MET-DST: RADIUS: Cisco AVpair [1] 28 "connect-progress=Auth Open"
    256974: Jul 10 15:56:41.211 MET-DST: RADIUS: Acct-Session-Time [46] 6 0
    256975: Jul 10 15:56:41.211 MET-DST: RADIUS: Acct-Input-Octets [42] 6 0
    256976: Jul 10 15:56:41.211 MET-DST: RADIUS: Acct-Output-Octets [43] 6 0
    256977: Jul 10 15:56:41.211 MET-DST: RADIUS: Acct-Input-Packets [47] 6 0
    256978: Jul 10 15:56:41.211 MET-DST: RADIUS: Acct-Output-Packets [48] 6 0
    256979: Jul 10 15:56:41.211 MET-DST: RADIUS: Acct-Authentic [45] 6 RADIUS [1]
    256980: Jul 10 15:56:41.211 MET-DST: RADIUS: Acct-Status-Type [40] 6 Watchdog [3]
    256981: Jul 10 15:56:41.211 MET-DST: RADIUS: Vendor, Cisco [26] 24
    256982: Jul 10 15:56:41.211 MET-DST: RADIUS: cisco-nas-port [2] 18 "FastEthernet0/11"
    256983: Jul 10 15:56:41.211 MET-DST: RADIUS: NAS-Port [5] 6 50011
    256984: Jul 10 15:56:41.211 MET-DST: RADIUS: NAS-Port-Type [61] 6 Eth [15]
    256985: Jul 10 15:56:41.211 MET-DST: RADIUS: Class [25] 27
    256986: Jul 10 15:56:41.215 MET-DST: RADIUS: 43 41 43 53 3A 30 2F 32 39 32 66 2F 61 38 31 38 [CACS:0/292f/a818]
    256987: Jul 10 15:56:41.215 MET-DST: RADIUS: 30 32 38 2F 35 30 30 31 31 [028/50011]
    256988: Jul 10 15:56:41.215 MET-DST: RADIUS: Service-Type [6] 6 Framed [2]
    256989: Jul 10 15:56:41.215 MET-DST: RADIUS: NAS-IP-Address [4] 6 10.129.128.40
    256990: Jul 10 15:56:41.215 MET-DST: RADIUS: Acct-Delay-Time [41] 6 0
    256991: Jul 10 15:56:41.239 MET-DST: RADIUS: Received from id 1646/238 10.129.128.38:1813, Accounting-response, len 20
    256992: Jul 10 15:56:41.239 MET-DST: RADIUS: authenticator ED 8E 8B 15 28 5F E4 37 - BF A8 F5 9E 10 43 5E A8
    So that the accounting sent from the switch does not reflect current status of the authenticated user on a given port.
    How to deal with this issue? Any ideas?
    thanks,
    robert

    Does your radius proxy-table is populated wrong for EAP- SIM users ?

  • Net Price does not reflect on Consignment PO even after maintaining info re

    Dear Experts,
    I have created consignment PO but the net price does not reflect on it. I have already maintained valid consignment info record for this material with reference to standard purchasing organization in ME11.
    Would appreciate your views ...
    Cheers !
    Sachin Narvekar

    Hi,
    the system behaviour is correct here.
    The basic concept of vendor consignment lies in this.
    In this case PO is a request to put his stocks at the company.
    The moment we uses( Transfer from vendor stock to Company's own stock, using 411, or direct issue to cost centres using 201K) this stock, liability will be generated.
    Then the price from the info record will be used as well as the tax code.
    Then u can run a settlement transation , for payment settlements.
    Until the moment u uses the stock, it will be vendors stock only, thats why only Issue create liability.
    So the system behaviour is correct.
    Regards
    Krishna

  • Business area does not reflecting in IT 0001

    Dear Expert,
    I have assign cost center to organization unit, then hire employee through PA40, so position assign into IT0001,
    system pick up the cost center but does not reflecting the business area in infotype 0001.
    i checked with FI consultant, there is proper intergation between cost center and business area.
    Please tell me, how to resolved this issue.
    Many Many Thanks
    Urvashi 

    Hi Urvashi,
    You will get the  Default values for Company code, Personal area, Personal Sub Area and Business Area  because of Account assignment infotype - IT1008 - for your position or Org Unit
    check from PO10 or PO13 and infotype 1008.
    You will have PA value defaulted on IT 0000 screen and others defaulted on IT 0001 screen.
    You can change these values on respective screens. A warning will be issued but you can overwrite them.
    Regards,
    HARANATH

Maybe you are looking for