Mails with ics Attachemnt's are not delivered
Hi,
got some users questions about not delivered emails in OCS 2 when the mails contain an ics attachement. I've verified this and the error was replicatable.
Anyone an Idea ?
Cheers
Eric
It looks like you'll need to apply path 3109217.
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Why Toshiba notebooks are not delivered with the common Vista install CD
Our household now has two x Toshiba laptops, both of which were supplied with MS Vista Home Premium pre-installed.
The nature of the Recovery Media provided with these machines is such that (a) we do not have sufficient flexibility over volume/partition sizes, program locations etc., and, more specifically.
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Additionally, please let me know if it is possible to purchase Toshiba laptops as a RAW machine, i.e no OS supplied, and I will then buy my own and cut out the rubbish which is supplied on the pre-installed media.>Why Toshiba notebooks are not delivered with the common Vista install CD?
The answer is very simple: software is bundled to hardware and when you buy notebook you buy license for preinstalled Vista version and you can install recovery media so often you want and it belongs JUST to your notebook model. It cannot be used with other notebook or PCs.
If you get usual Vista installations DVD it can be installed on each computer system. For such purposes you must buy Microsoft installations DVD.
As you already wrote Toshiba recovery image contains much software that can be not useful for you. You can remove it from the system and nobody force you to use them. I do the same.
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I optimise preinstalled OS on my own. -
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When sending group emails, those with 'xtra' addresses are not delivered.
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Does anyone know why it is when you save an email that has images (attachments) when you go to access the file again with the images, they are not in the document?
The box marked "save attachments" is ticked?
I dont understand
Can anyone help?
ThanksIs this your Apple account or some other mail?
And are they all in the Inbox of your Mail? If so, rebuild the mailbox. If this is huge, it'll take some time.
IF the images are HUGE, it'll take time to download them from the server to your computer. But once done they should remain there without the need to do anything at all (by default they are already saved).
To click the Save button is to save them somewhere on your hard drive ... maybe to offload elsewhere later.
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Postings to G/L accounts with open item management are not permitted Messag
HI All,
Me activiated New GL. and when I am trying to post the
document, I am getting the below error.
The GL used 200100 is Cash A/c (40)
Cr Eq Share Capital A/c (50)
As Cash A/c requires Clearing, I have activated "Open Item Management".
Can you advice me why Its giving me the below mentioned error.
Thanks
Postings to G/L accounts with open item management are not permitted
Message no. FAGL_POST_SERVICE012
Diagnosis
You use G/L account 200100 in company code RLIF with open item
management. However, postings are not permitted to G/L accounts in
individual ledgers with open item management.
Procedure
If you have not yet made any postings to this account and if the
account is to be used for closing processes in non-leading ledgers,
deactivate the Open Item Management indicator in the company code data
for the G/L account.
Thanks,
Niranjan YandamuriHi,
Please, refer to note 1646466 for the info on this message.
Regards,
Eli -
Error: Reason codes with automatic charge-off are not permitted here(F-28)
Hi All
I creted a reason code in obxl t-code and assigned a gl code in OBXL transaction code, But when I am trying to clear a payment with reason code in F-28, System is throwing the following error..Can some one tell me why i am getting this error?
Reason codes with automatic charge-off are not permitted here
Message no. F5605
Diagnosis
The reason code entered is designed to ensure that the payment difference amount is posted to an account specially set up for this purpose. Postings of this nature usually require additional specifications (e.g. tax code, business area). If the difference stems from a single open item, the necessary specifications can be taken from that item. In the case that led to this error message, however, the difference does not stem soley from one item, which means that this method cannot be used.
System Response
The reason code entered is not accepted.
Procedure
You can either select a different reason code, which would create a new open item for the customer or vendor OR write off the difference using the function Charge off diff.. This function either takes you into a pre-configured account assignment model or into the document overview. From here you can enter the required difference postings.Hi Venkata,
It seems while entering the payment (partial payment / residual items) ... you are clearing multiple items with differences. (e.g. if the difference amount is $30, then may the difference consists of two invoices underpaid by $15 each). In this scenario, F-28 doesn't know which additional account assignment fields should be picked up ... hence the error.
First of all, to validate that this indeed is the case, try clearing a payment with the same reason code where difference can be attributed to a single invoice. If you still get an error, then there is some other problem.
Then, to take care of a the business scenario where the difference can indeed be due to multiple documents, select "charge off difference" option and create an entry to post the difference as necessary.
HTH,
Manish Patel
Sr. SAP Solutions Consultant -
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You may have debris in your headphone jack blocking the sensor. Try blowing hard on the jack, and inserting/removing your headphones quickly multiple times to clear it.
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Postings to G/L accounts with open item management are not permitted
Dear all,
i am getting one error FB01L ledger specific posting for ledger group L2 ledger (IFRS) error is "postingst o GL accounts with open item management are not permitted " i am posting both gl accounts are balance sheet account, please help me how to resolve the problem .
Message no. FAGL_POST_SERVICE012
Reregards
rajashekharDear all,
Thanks for reply, The error message appears FAGL_POST_SERVICE012 because it is generally not permitted to use the O/I managed account as an adjustment account.It is not possible to post on Individual Ledger (on a Leading or non-leading) on OI Account. This is for your informations
We want to post ledger specific for L2 ledger i am getting above error can help me how to sovle the problem , otherwise any alternaitve solution for posting L2 Ledger -
Posting to gl a/c with open item management are not permitted.
hello,
When i run FAGL_FC_VAL it display the report and generate the batch input session.
But when i run the session the error massage appear -
"posting to gl a/c with open item management are not permitted."
When i post the same gl mannually, it doesn't show any error.
The Same Problem appear when i run the session generated from FAGLF101- the regrouping program.
Can any body give some idea, what should be done.
Thanx
SubodhHello this is chandu,
When u run the fc val it posts the ex gain or loss to respective a/cs.Means those a/cs are not B/S a/cs.Only B/S a/cs we select open item management which r require to maintain on OI management basis.
So try to maintain other a/cs for ex gain and loss y bcoz once u post any transaction in those a/cs which r created already on O Item mgnt basis u cannot change that again.
Then assign those a/cs to automatic postings and run the rc val again
May it will be useful to u
Thank u -
FB50L error: Postings to G/L accounts with open item management are not permitted
Dear All
I need your help.
I am trying to do some adjustment to GR/IR clearing account in Non-leading ledger. Since for this account open item management is ticked, I am getting an error message 'Postings to G/L accounts with open item management are not permitted'.
Now I have checked the forum to find some solution...but does not fit my requirement.
I cannot create a new account. I cannot change the existing account. I tried OBA5, but the message persists.
I also checked the notes.
Appreciate a response on how the post to open item managed accounts in non-leading ledger.
Regards
KunaalHi Kunaal
Usually, OIM accounts are not allowed for Non Leading Ledger postings... With EhP4 or 5, i guess, a new feature is added in GL Master whereby you can specify that a GL will be OIM for Leading Ledger and Not OIM for a Non Leading Ledger
Regards
Kavita Agarwal -
ASKBN - Postings to G/L accounts with open item management are not permitte
Hi All!
I have a problem: I run the transaction ASKBN (periodic asset postings) and receive the message about error: "Postings to G/L accounts with open item management are not permitted".
Please let me know how correctly run the transaction?
Thank.Hi,
if you would have posted this information with your opening post, it would have been more helpful. How should the community know this detail?
Regards,
Markus -
Postings to G/L accounts with open item management are not permitted in ASKB
Hi Gurus,
I have the error FAGL_POST_SERVICE012 'Postings to G/L accounts with open item management are not permitted' when i run the transaction ASKB. The very strange thing is that in table APERB_ITEMS for this company code there isn't any record. My questions are:
1. The ASKB posts only if the APERB_ITEMS is populated?
2. If yes, Why the ASKB wants to create postings on this company code?
3. If no, which are the logic conditions that include a asset in the ASKB execution?
4. If the logic is correct, how i can to run the ASKB on OI accounts?
Thanks in advance,
Best Regards,
EmanueleHi ,
I believe you know why do you run transaction code ASKB if not please see below
The report evaluates all asset transactions since the last run. Unlike the periodic depreciation posting program, the APC posting run is not tied to a certain accounting period. It generates one document per posting period and depreciation area. That means that asset values are summarized for various account groups in one document. Document number assignment is external. You have to enter the document type in Customizing for Asset Accounting.
There are various possible ways of posting APC values:
To an account set within the original company code
To an account set of an alternative company code
To an account set directly in a special ledger
The account set can be determined from a different depreciation area.
Derived depreciation areas can be treated as real depreciation areas. This means that the system posts APC differences rather than special reserves, as was the case up to now.
During a test run, the system completes all accounting checks (for example, budgetary control of objects belonging to Funds Management).
While doing above system reads and update table APERB_ITEMS . If you look to Program for ASKB is RAPERB2000 and if you take your ABAper help to under the coding he will tell you that is program use APERB_ITEMS to update and read.
MANY THANKS
REGARDS
Preeti Agarwal -
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