How to deal with Cash Deposited/Withdrawn from Bank

Gurus,
How to deal with Cash Deposited/Withdrawn from Bank for office use.
<b>Here is the senario:</b>
When Cash is deposited in Bank the entry is
Bank Main A/c Dr
To Cash A/c
and when Withdrawn from Bank the entry was
Cash A/c Dr
To Bank Main Account
Now my question is, How we will deal with these transactions while creating Bank Reconcilation Statement. As per my knowledge.
Bank Main Account Balance = Sum of all Bank Clearing Accounts.
If the difference occurs with cheques we deposit it or make note of issue while BRS, which effect the Clearing Accounts, But, How about Cash Deposit and Cash Withdrawn, coz these won't effect any of the Clearing Accounts.
How do deal with this.
please advice.
Satish

Hi Satish,
Through FBCJ transaction you can do the cash receipt / cash payment to Bank (Bank clearing Account). By using the Business transaction "Receipt from Bank" and "Payment to Bank".
Hence bank posting will happen in the Bank clearing account. As soon as BRS is done, it will hit the Bank Main account.
Hope it is clear for you. If my reply is useful than please assign points for the same.
Thanks & best regards,
nms

Similar Messages

  • How to deal with the rejected stock if it is rjected by QC

    Dear All,
    please let me know how to deal with the rejected  stock from Quality point of view.i.e., for incoming materails and Finished if returned from customer
    Regards,
    P.Vijaya

    hi
    if material is rejected for incoming material then you can create Notification for incoming material due to  you can return back material with print for that you have to record defects in result recording. in T-code QM02 if result is recorded with defects. or you can create with Qm01.against vendor
    if material is returned from costumer you can create inspection lot for that for that you have to maintained inspection type 06 in material master. you can result record for that you can create notification for that. or rework for this material as per quality check or can scrap
    if have any problem please come back
    regards
    Pravin

  • How to deal with validation errors from DAO layer.

    I have been pondering on how to deal with validation errors from DAO layer.
    Lets say you have a DAO that can save a car object. A car has a year, make, model, vin and so on. During the save operation of this DAO, it validates the car attributes to see if they pass some business rules. If it does not it throws some validation exception that contains all the validation errors. These validation errors know nothing about jsf or my components it just knows what attributes on the object are invalid and why.
    If I just want to show those errors at the top of the page that would be no problem I could just create some FacesMessage objects and add them to the FacesContext messages. But if the DAO layer is telling me that the make attribute is invalid it would be nice to map it to the make field on the screen. I am wondering if any of you have tackled this problem or have some ideas on how to tackle it?
    Brian

    Let it throw an exception with a self explaining message, then catch it and embed that message in a FacesMessage.
    Or let it throw more specific exception types (InvalidCarMakeException extends CarDAOException and so on) and let JSF handle it with own FacesMessage message.

  • How to deal with deadlock on wwv_flow_data table when http server times out

    There are some threads about a deadlock on the wwv_flow_data table. None of them contain a real explanation for this behaviour. In my case I will try to explain what I think is happening. Maybe it helps somebody who is hitting the same matter.
    In my case with APEX 3.2.1 I am navigating from one page to another. Doing this APEX will lock the table wwv_flow_data. As soon as the other page is shown the lock will be released. But now this other page contains a bad performing query (standaard report region). After 5 minutes the http server (modplsql) will time out and present the message "No response from the application server" on the screen. In the meanwhile the query is still running on the database server and the lock stays on the wwv_flow_data table.
    Normal user behaviour will be that the user will use the back button to return to the previous page and tries it again to navigate to the other page or
    the user will try to refresh the page with the bad performing query.
    And voila now you will have a deadlock on the wwv_flow_data table since a second session is trying to do the same thing while the first hasn't finished yet.
    How to deal with it?
    First of all. Have a good look at the bad performing query. Maybe you can improve it that it will succeed before the http server will timeout.
    In my case the 11gr1 optimizer couldn't handle a subquery factoring clause in the best way. After changing it back to a classical inline query the problem was solved.
    Secondly you could increase the timeout parameter of the http server. Although this not the best way.
    Maybe it would better if APEX in a next version would release the lock on the table wwv_flow_date earlier or do a rollback just before the moment that the http server is timing out.
    regards,
    Mathieu Meeuwissen

    Hello Shmoove,
    I saw your reply here and you probably understand the problems the HTTP 100 response may cause.
    I am trying to send image that was taken by getSnapshot. The problem is that the server respond with this HTTP 100 message.
    I suspect that the reason that my server doesn't recognize the file that I'm sending from J2me is that the "server to client" response to the 100 message comes after the second message of (see what the TCPIP viewer shows down here):
    POST /up01/up02.aspx HTTP/1.1
    Content-Type: multipart/form-data; boundary=xxxxyyyyzzz
    Connection: Keep-Alive
    Content-length: 6294
    User-Agent: UNTRUSTED/1.0
    Host: szekely.dnsalias.com:80
    Transfer-Encoding: chunked
    400: Client to Server (126 bytes)
    78
    --xxxxyyyyzzz
    Content-Disposition: form-data; name="pic"; filename="david.jpg"
    Content-Type: application/octet-stream
    400: Connected to Server
    400: Server to Client (112 bytes)
    HTTP/1.1 100 Continue
    Server: Microsoft-IIS/5.1
    Date: Wed, 23 Mar 2005 00:47:02 GMT
    X-Powered-By: ASP.NET
    Any help will be appreciated,
    David

  • How to deal with "Error 1001. The specified service already exists" when install a service using installer package?

    Hi everybody,
    I wrote a "Class Library" project which is a service using Visual Stodio 2008 recently, then tried to use a Visual Studio 2008
    Setup Project to install it.
    Here is what I did for the "Class Library":
    1. Finish the program.cs, Service.cs
    2. Add Installer
    3. Change the serviceInstaller so that "StartType" to be Aotumatic
    4. Change the ServiceProcessInstaller2 so that "Account" to be LocalSystem
    5.
    6. Click in F5 (Start Debugging)
    Here is what I did for the Setup Project:
    1. Add the exe file built from the "Class Library" project to the Application Folder
    2. On the Custom Action Editor, add the exe file from 1 to Install and Commit
    3. Change the property of the project so that "RemovePreviousVersion" to be true
    4. Click on F6(Build Solution)
    Then I tried to run the msi file from the built of the Setup Project. Because I modified the two projects serveral times, I uninstalled the Class Library using "Control Panel->Add or Remove Programs" before I reinstall. Two things I notived:
    1. After unstall, the registry was not cleaned up about the installed program
    2. After several rounds install/uninstall, I got "Error 1001. The specified service already exists"
    My questions are:
    1. How to cleanup the registry when uninstall a program?
    2. How to deal with the "Error 1001. The specified service already exists"?
    3. Did I do anytbing wrong with the "Class Library" or the "Setup Project"?
    Thanks a lot!
    Helen

    Hi Simon, not a problem!
    I spent some more time on this and here are few more notes:
    it is called Major Upgrade, when you are installing new version of the product upon a previous one and
    MSI supports 2 strategies:
    Strategy 1. Install a new version and uninstall previous one. (Install a new version right upon previously installed version (file merging is performed based on dll version number) and the delete previously
    installed files)
    Strategy 2. Uninstall previous version and install a new one (Delete all previous files and install from scratch new files.)
    From the first look it seems that 1st strategy is weird and buggy. But, remember, MSI is great because it's transactional!!! That means that if once some of the phases (Installation, Uninstallation, Rollback, Comit) fails, your machine
    will be reverted to the previous state and it'll be still functional. 
    Let's consider both strategies:
    Consider you have installed product_v1.msi and you want to install product_v2.msi.
    Strategy 1
    1. MSI engine copies files from Product_v1 directory to TEMP directory
    2. MSI engine merges files based on the assembly version (between v1 and v2)
    3. Once merging is completed successfully it removes files in TEMP (RemoveExistingProducts  action triggers it) and you got product_v2 installed, otherwise if it fails MSI engine revert machine to V1 and copies previous files from TEMP.
    Strategy 2
    1. MSI engine tottaly removes all files from v1.
    2. MSI engine installs v2 files and if something goes wrong you cannot revert back, because RemoveExistingProducts  allready worked out and MSI doesn't have files to revert machine back
    I recommend to everybody to use Strategy 1 and leverage MSI transaction functionality. And you can set this strategies by defining sequence of RemoveExistingProducts action. See more info
    here.  So, I think it's not even a bug in VS as I said in the upper post it is default recommened behaviour.
    AND, you got "Error 1001. The specified service already exists"
    because if we follow Strategy 1 MSI engine tries to install Windows Service on top of the existing service and OF COURSE it fails MSI engine (StopServices, DeleteServices actions are executed before actual
    installation and  they look at ServiceControl table). In order to stop service first and delete them you have to fill ServiceContol table of the MSI (and then StopServices, DeleteServices actions will recognize what to they have to stop
    and delete), like this:
    *clip*clip*clip*
    ' see http://msdn.microsoft.com/en-us/library/windows/desktop/aa371634(v=vs.85).aspx for more info
    ' Update the Service Entry to stop and delete service while uninstalling
    query = "INSERT INTO ServiceControl (ServiceControl, Name, Event, Arguments, Wait, Component_) VALUES ('MAD_Service', 'Service name', '160', '', '1', '"
    + componentName + "')"
    Set view = database.OpenView(query)
    : CheckError
    view.Execute : CheckError
    ' Update the Service Entry to stop and delete service while installing
    query = "INSERT INTO ServiceControl (ServiceControl, Name, Event, Arguments, Wait, Component_) VALUES ('MAD2_Service', 'Service name', '10', '', '1', '"
    + componentName + "')"
    Set view = database.OpenView(query)
    : CheckError
    view.Execute : CheckError
    *clip*clip*clip*
    We can uninstall service first by following Strategy 2, but then we lose transactional support.
    So, Simon did I encourage you to change your code a bit?:)
    And, btw, if you don't want to change the strategy, please don't rely on SequenceID in MSI table, it can be change, you have to get the at the runtime.
    Hope it will help to everybody!
    See also more advanced explanation of how MSI works
    here.
    Truly yours, Marat

  • How to deal with file(for example .xml)? what format of dir should be?

    I'd like to operate the file in disk, and want to use relative directory?
    How to deal with file dir? what format of dir should be?

    Hi Kamlesh,
    Thanks for your response.
    Actually, In the "Process External Bank Statement" window, i see that there are few entries which is for the previous year and which has not been reconciled. I have never worked practically on BRS and hence, i am scared to make any changes in the clients database without being confident on what i am doing. I need to reconcile for one of their Bank a/c for the month of April '08. I have the copy of the statements for the month ending 31st Mar 08 and 30th Apr 08. The closing balances are as below:
    31/03/08 - 2300000.00
    30/04/08 - 3100000.00
    Now my OB for Bank a/c for April '08 in SAP is 2300000.00 Dr.
    When i go to External Bank Reconciliation - Selection Criteria Screen (Manual Reconciliation), here are the detail that i enter:
    Last Balance: INR -7,000,000.00000 (Grayed out by the system)
    Ending Balance: INR -3,100,000.00000 (Entered by me)
    End Date: 30/04/08 (Entered by me)
    "Reconciliation Bank Statement" Screen opens up and shows the below balances in the screen:
    Cleared Book Balance: INR -7,000,000.00000
    Statement Ending Balance: INR -3,100,000.00000
    Difference: INR 3,800,000.00000
    As per the Bank statement, i have found all the transactions listed out here for the month of Apr '08 but, i also found that the open transactions for the previous month from April '08 have been lying in "Process External Bank Statement" window.
    Could you please help me solve my issue as to what needs to be done or could you also get me some links from where i can get few documents for processing External Bank Reconciliations?
    That will be of a great help for me. I need steps as to what needs to be done first and then the next so that i can arrive at the correct closing balance for the month April '08.
    Thanks in Advance....
    Regards,
    Kaushal

  • IMac SSD full - how to deal with the two drives

    Greetings all,
    I've been using an iMac i7 with two drives SSC and HDD.  Recently, I've been having issues with the SSD being close to full.  I use it for applications only, although some apps need lots of space (iTunes, iMovie, Photoshop, etc.)  I use Lightroom and have all the images on the spinning drive.  Does anyone know how to deal with this issue?  Any way I can move the music from iTunes to the separate drive, or any way to figure out what exactly is using most of my space?
    Thanks in advance for your help.
    erlkonig

    Here's some utilities for analyzing disk space:
    DiskInventory
    GrandPerspective
    OmniDiskSweeper
    WhatSize
    You might want to consider putting your home directory on the HDD.
    How to Move the Home Folder in OS X – and Why
    Moving your home folder in OS X

  • How to deal with the barcode?

    i'm developing a file storage system in java, there're two barcode on each file(one is pdf417, the other one is code128) , but now ,there's a problem confused me :
    i use the barcode scanner to scan the file and get images of these files from the scanner , but i have no idea how to deal with these images,
    i need the barcode information on the images, and i know there're some java components can help me to read the barcode from images , for example : BarcodeReader from Barcode Library, but these components were too expensive for me , is there any other way can solve this problem?

    yes, look for a cheaper component...
    Or write your own...
    Or save up until you can afford the more expensive ones...

  • How to deal with images stored in oracle

    hi,
    can anyone help me to solve this issue please:
    in fact i am developping a swing based standalone application based on a TCP/IP client-server connection, so the point is to display on my frame for each student his information and also his personal picture
    first step : storing the personal picture into the oracle database from a specefic frame that allows to specify each NEW student's profile and his photo.
    step 2: as needed, a specefic frame allows to retrieve all the information related to a student and his photo to ( in a jlabel or other swing componenet)
    how to deal with this storing and then the retriving from the oracle DB
    any help please!

    If I understand well your problem, you need your client java application to store and retrive information from an oracle DB.
    This can be done via JDBC.
    Here's the tutorial:
    http://java.sun.com/developer/onlineTraining/Database/JDBC20Intro/JDBC20.html
    Look at
    http://java.sun.com/developer/onlineTraining/Database/JDBC20Intro/JDBC20.html#JDBC2018
    for storing and retriving binary data (like java serialized objects (Images for example))

  • How to deal with 0...n or 1...n mappings?

    Hi all,
    I'm relatively new to BPM. I've already made several processes that are working fine. However, I'm now stuck because, for the life of me, I'm not able to understand how to deal with data mappings of nodes of a cardinality greater than 1...1.
    I'm used to dealing with 0...n inputs of Web Services in Webdynpro Java and CAF Application services, using java code... but I just don't get how to deal with these in a BPM data mapping scenario.
    Let's say you have a Web Service whose input is a node called "Employee", where you can add n Employee objects, like this:
       Employee (0...n)
          FirstName: String
          LastName: String
    How do you:
    1- map a 0...n context node from a Web Dynpro or Web Service output, already containing several employees, into this Employee 0...n WS input node?
    2- map a 0...n context node from a Web Dynpro or Web Service output, containing NO employees, into this Employee 0...n WS input node, without getting an error and the BPM crashing because it says the employee element is not found?
    Hopefully someone can help me with this, because I'm about to go the way of calling the web service n times, one employee at a time, instead of one time with a Employee object with n registries in it.
    Thanks!

    Hi Abhijeet,
    i think i should have mentioned this earlier. My Employee node is inside another node.  So, the actual input structure of the WS is this:
    InputValues (1...1)
       Employees (0..n)
          FirstName: String
          LastName: String
    This scenario works OK in BPM when mapping a 0..n node using deep copy as Jocelyn explained, but I still doesn't work if I want to pass an empty (not null) Employees array.
    If I go to the WS Navigator and run this WS with the following parameters, it runs ok (I get an output message saying no employee was selected, which is how it should work):
    InputValues -  "Is null" checkbox not activated.
       Employees - "Skip" checkbox not activated
          FirstName - "Skip" checkbox activated
          LastName - "Skip" checkbox activated
    However, if instead of activating the checkbox of, say, "FirstName", I enter a "" value, I get an error from the WS saying that's not a vaild first name, which is also how it should work.
    In java code, I would just pass an empty InputValues object to the WS, but I'm not sure how to do this in a BPM without it being considered null, and without having to set on of its String-child values to "".
    Do you know how to achieve this?

  • How to deal with hindi lang

    I am storing text messages in a PropertyResourceBundle as follows
    txt_EmailAdd = {mel ADres
    txt_Password = pasvDR
    I made the above file in MSword using hindi fonts
    The folllowing text is supposed to be in hindi
    {mel ADres
    pasvDR
    but it does not show the text in hindi it still shows in English but when I open the above text file in MSword it shows the text in hindi
    Please tell me how to deal with this problem . I hope you people reply as eaarly as possible.
    I also have another prob, I am developing a website using jsp+servlet now I have made the above mentioned property file and stored it in c:\tomcat5.0\webapps\emailreadersevice\IndexMessagesBundle.properties
    but when I access it from my application's index.jsp file Tomcat gives me following exception
    java.lang.NullPointerException
         java.util.ResourceBundle.getBundleImpl(ResourceBundle.java:714)
         java.util.ResourceBundle.getBundle(ResourceBundle.java:579)
         org.apache.jsp.index_jsp._jspService(index_jsp.java:55)
         org.apache.jasper.runtime.HttpJspBase.service(HttpJspBase.java:94)
         javax.servlet.http.HttpServlet.service(HttpServlet.java:802)
         org.apache.jasper.servlet.JspServletWrapper.service(JspServletWrapper.java:324)
         org.apache.jasper.servlet.JspServlet.serviceJspFile(JspServlet.java:292)
         org.apache.jasper.servlet.JspServlet.service(JspServlet.java:236)
         javax.servlet.http.HttpServlet.service(HttpServlet.java:802)
    My index.jsp file is stored in c:\tomcat5.0\webapps\emailreaderservice\index.jsp
    In my index.jsp file i have written the following statement to get the IndexMessagesBundle but tomcat gives me the above exception.
    ResourceBundle IndexMessages = ResourceBundle.getBundle("IndexMessagesBundle",currentLocale);  
    Please guide me abt how to go abt it. Also tell me whether I am doing the right thing or not. If no then please tell me the right steps to follow                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                   

    Hi one_dane
    I have made the property file using hindi fonts to type the following thing
    { m e l A D r e s
    p a s v D R
    No the above values are not place holders Infact in order to type EmailAddress and Password in hindi I had to type the above keys. so when I put system.out.println in my jsp page it does not display any hindi text but the above keys which i used to type in order to display hindi text in my txt file.
    But I think i am not going on the right track should i type the unicode values for hindi text which is of the form \udddd in my property file. I have the unicode chart for hindi fonts so I can look up the chart and type appropriate unicodes(\udddd) to display Email Address and Password in hindi. Or am i still not getting how to do it? If not then please tell me how did you create your hindi property file. Is the following that you typed in your property file or is it the output of converting your property file into unicode using native2ascii
    title=\u090f\u0926\u0938\u093e \u092a\u0917\u0932\u094d\u0917 \u0942\u093e\u0902\u0942JSP i18n issues
    Please reply as soon as possible and hanks a lot for your help.
    Eagerly waiting for a reply,
    Heti shah

  • How to deal with generated programs in eCATT SAPGUI recording?

    Hi experts and professionals,
    I am trying to automate testing of our solutions by eCATTs and so far i have not been able to find solution for following problem.
    Whole test scenario is very simple:
    Check InfoProvider data (query, lookup, listcube,...)
    Create DAP on InfoProvider
    Archive InfoProvider
    Check InfoProvider data (query, lookup, listcube,...)  again
    Compare results from step 1. and 4. (must match)
    Reload archived data
    Check InfoProvider data (query, lookup, listcube,...)  again
    Compare results from step 1. and 7. (must match)
    As you can see, one of the required test steps is to check InfoProvider's data in transaction LISTCUBE.
    But transaction LISTCUBE generates its program "name" every time it is executed and
    I am struggling to find a way how to deal with these generated programs in eCATT SAPGUI recording.
    Key is that solution must be generic and work for all SAP BW releases from 7.0 upwards
    (having in mind that LISTCUBE can read NLS data from SAP BW 7.3 release).
    Error description from eCATT log:
    Screen Check Error: Expected Transaction: LISTCUBE, Actual Transaction: LISTCUBE.
    Expected Program: GP0KOZE7EFIUBN10MZUFWX90W80, Actual Program: GPBP24INA6VV77SL0XKU5NA642O.
    Expected Screen Number: 1000, Actual Screen Number: 1000.
    There Is Probably an Error in SAPGUI recording.
    ExceptionClass:CX_ECATT_APL_CAPTURE  ExceptionId:SCREEN_CHECK_ERROR
    RaisingClass:CL_APL_ECATT_LINE_INTERPRETER  Include:CL_APL_ECATT_LINE_INTERPRETER=CM00J  Line:443
    Is there any way how to avoid program check in eCATT script?
    Anything that would help me to find solution will be greatly appreciated.
    Best Regards,
    Igor

    Dear Igor,
    Your issue is caused by the "screen check" which eCATT processes here.
    In General this screen check is a very usefull activity, since is ensures that only those screens are processed by automation, which initially where recorded. This should ensure as much as possible to invoke only intended activities.
    Remember, that the driver of the screen flow is still the automated transaction program ( but not the test tool). So application logic decides which screen is send next.
    Using screen check the test tool tries to ensure that menu items and buttons and other activities are only automated when the tool "believes" to work on the intended screen.
    For generic test scripts and often in context of generated programs the screen check might hurt a bit.
    To overcome this, one might try to make the check dynamic (as Sheetal suggests correctly).
    If here the name of program cannot be determined for any reason, one can use another method and do following:
    - Change the value of ProcessedScreen-Active to 'R'
    This will disable/skip the screen-check for this ProcessedScreen.
    Sure the solution includes a certain risk, since not checking the correct screen to appear might lead to automation of actions with not desired impact.
    Maybe this can improve your solution.
    Kind Regards
    Jens

  • How to deal with BP inconsistencies in SRM?

    Dear Experts,
    How to deal with Business Partner inconsistency in SRM?
    A BP is damaged beyond repair?
    Should we delete the BP of the user (SU01 user)? Are we allowed to delete a BP? or do we need to archive the BP?
    What will happen to the follow-on documents of the particular BP?
    Should we close all the transactional documents or we should simply the change the BP of the documents manaully?
    Please, share your expereince.
    Thanks and regards,
    Ranjan

    Hi
    What kind of Inconsistencies are there...Deletion of BP is last resort in such cases. Although its only possible to put a deletion/blockecd indicator for the BP. BP is never deleted completely from SRM unless you archive it.
    Regards
    Virender Singh

  • How to deal with dynamic IP address changes

    I have installed Fodero C3 and Oracle 10g successfully. Oracle 10g use web OEM console to manage database. However, my internet provider only provided me a dynamic IP address. When I installed Fedora C3, Linux server automatically picked a Hostname like " ip12-345-678-90.dc.dc.cox.net". After I created database, all database files also used this hostname. Then Oracle web OEM console worked fine. Due to the dynamic IP address assigned by ISP, their DHCP server changed the first part of IP address(ip12-345-678-90)frequently to another one. After IP address changed, I couldn't start up web OEM console and listener because they couldn't find correct hostname (IP address). I have talked to my ISP. It seems that it can not be solved. Anyone knows how to deal with this problem through 10g and OEM console themseleves. I also think about to configure Linux server to solve the problem. I really need your help. Thanks in advance

    Thank all of you so much to respond my questions. I think I have solved the problem. Since the key point was that Oracle 10g OEM console could not work with the frequent changes of IP address made by my ISP. I just bought a 54G wireless router. Then connecting router to cable modem. The cable modem still gets the dynamic IP from ISP, but the router automatically assigned a static IP address to my Linux system with the range from 192.168.0.0 - 192.168.255.255. This IP was control by my router. It is nothing to do with ISP. So I re-created Oracle database with this new static IP. Then OEM console and listener can startup and connect to database without problem. I do think other guru's methods also will work. I just have no time to try them one by one. Thanks again. Your inputs make me learn many things.

  • How to deal with this problem?

    How to deal with this problem?
    We plan to use Oracle Coherence (In Memory Data Grid) for a large-scale application. In order to keep the database table data in Coherence caches, we will create all the corresplonding Java objects (entities) and construct the persistence system using JPA/EclipseLink+JDBC. In this way, any in-memory object update will be persisted to the corresponding database tables.
    The problem is that some existing application codes are updating these database tables directly now. If the direct-database-table update is not permmited in the persistence environment, we have to discard most of the existing application scripts.
    I want to know, in this situation, should I discard most of the existing scripts?
    Are there any other solutions?

    Allowing writes from both cache & DB is possible with its own set of issues.
    The main issue to consider is conflicts from updates on same record via both cache and DB. If your caches are write-through the conflict decreases - but then cache writes become slower. If your caches are write-behind potentially the older cache update will overwrite the latest DB update. Now you are back to Database 101 -- timestamps, versions, etc...
    If you use a DB trigger to initiate the resync request you might want to distinguish whether the update has come from the cache-store (in which case, you may choose to do nothing), or if the update was from the 'existing apps', etc...
    If you choose to inject the resync logic at the application code level - you have the usual sourcecode issues - can you modify the code, is all the DB code localized, what options do you have to link with Coherence functionality (DLL, external proc, webservice, etc), etc... Naturally though, if you have to make substantial changes to signal a resync....you might consider taking the extra step and change the code to write to the cache.

Maybe you are looking for