MTL_TRANSACTIONS_INTERFACE 에서 진행되지 않는 DATA 의 RESUBMISSION 방법.
제품 : MFG_INV
작성날짜 : 2004-05-25
MTL_TRANSACTIONS_INTERFACE 에서 진행되지 않는 DATA 의 RESUBMISSION 방법.
=============================================================
PURPOSE
MTL_TRANSACTIONS_INTERFACE 에서 진행되지 않는 DATA 의
Resubmission 방법.
Oracle Inventory Management 11.5
Problem Description
MTL_TRANSACTIONS_INTERFACE 에서 진행되지 않는 DATA 를 Resubmit 하여 처리되도록한다.
Workaround
N/A
Solution Description
1. Application에서의 Resubmission
Navigation Inventory:Transactions:Transaction Open Interface
해당 Record의 Submit 의 check box를 선택하여 저장한다.
2. SQL*Plus 에서의 Resubmission
SQL>Update MTL_TRANSACTIONS_INTERFACE
Set PROCESS_FLAG = 1,
LOCK_FLAG = 2,
TRANSACTION_MODE = 3,
VALIDATION_REQUIRED = 1,
ERROR_CODE = NULL,
ERROR_EXPLANATION = NULL
Where PROCESS_FLAG IN (1,3);
Reference Documents
Note:209809.1 - How to resubmit unprocessed records stuck in the
MTL_TRANSACTIONS_INTERFACE table
Similar Messages
-
HKONG: Material Transaction Interface 의 data를 처리 Process들에 대한 정의
PURPOSE
Material Transaction Interface 의 data를 처리 Process들에 대해 정의하고자 함.
Explanation
관련된 정보는 다음과 같습니다.
Material Transaction Interface 의 data를 처리하기 위해서는 다음의 2개의 Process가 수행됩니다.
- INCTCM (Process transaction Interface)
- INCTCW (Inventory transactions worker)
(1)
Records are processed into this table by the INCTCM - Process Transactions Interface from the Interface tables :
MTL_TRANSACTIONS_INTERFACE to MTL_MATERIAL_TRANSACTIONS_TEMP
MTL_TRANSACTION_LOTS_INTERFACE to MTL_TRANSACTION_LOTS_TEMP (Lot 사용시)
MTL_SERIAL_NUMBERS_INTERFACE to MTL_SERIAL_NUMBERS_TEMP (serial 사용시)
==> INCTCM 에 의해 interface table의 data가 validation후, temp table로 옮겨집니다.
(2)
After the records are processed from the MTL_TRANSACTIONS_INTERFACE into the MTL_MATERIAL_TRANSACTIONS_TEMP
by the INCTCM - Process Transactions Interface,
a worker will be launched to process the record from MTL_MATERIAL_TRANSACTIONS_TEMP into MTL_MATERIAL_TRANSACTIONS.
The worker is called INCTCW - Inventory Transaction Worker.
The INCTCM - Process Transactions Interface will launch a single INCTCW - Inventory Transaction Worker for all rows
that meet the criteria in MTL_MATERIAL_TRANSACTIONS_TEMP :
TRANSACTION_MODE = 3
LOCK_FLAG = N
PROCESS_FLAG = Y
Once the process is complete the records will be moved into the corresponding
transaction table :
MTL_MATERIAL_TRANSACTIONS_TEMP to MTL_MATERIAL_TRANSACTIONS
MTL_TRANSACTION_LOTS_TEMP to MTL_TRANSACTION_LOT_NUMBERS
MTL_SERIAL_NUMBERS_TEMP to MTL_UNIT_TRANSACTIONS
==> INCTCM은 INCTCW를 call하게 되고, 이 Process에 의해 TEMP table로부터 MMT table과 Inventory table에
DATA가 Insert됩니다.
The rows in mtl_transactions_interface are processed in 5 phases.
1. Derives dependant columns, eg:acct_period_id, primary_quantity etc..
2. Detailed validation performed on the records
3. On hand qty check for negative qty's etc..
4. Reservations Relieved if demand was created in order entry
5. Rows are moved to mtl_material_transactions_temp where the
transaction processor is called to process these rows and update the inventory levels etc..
Reference Documents
------------------- -
I recently learned that best practice when you're mid-project and have a task that should no longer be charged to is to use the "Close Task to Update" option in Project Server 2010 instead of setting the "Publish" field to "No"
to remove the task from team members' timesheets because removal of task entries can lead to data inconsistencies.
Prior to learning this, one of these data inconsistencies was introduced into one of my project files. Specifically, I set the "Publish" status to "No" on completed task without realizing that a team member had submitted a correction
to a previous time period's timesheet that had not yet been approved. These corrected data are now shown in the Reporting Database, but they did not get carried through to the project file.
Is there a way to reconcile the data shown in the project file with the data in the Reporting Database?Prasanna,
Here's what I think happened:
User submitted incorrect actuals against Task A on his timesheet. (In addition to the expected hours against the current period [TS1], he had accidentally submitted actuals against a future time period [TS2] that was not part of my current review window.)
Not realizing he had incorrectly reported his time, I accepted the actuals and published them to the project.
I updated the project, changing the Publish flag for Task A to No since no further work was expected against the task.
The following week, the user resubmitted a correct version of TS2.
The reporting database got updated with the new TS2 data.
Everything in my approval queue that was submitted by this user has been approved and published; however, the data in my project file does not match what I am seeing in the reporting database.
Do I just need to change the Publish flag for Task A back to Yes to get my project file to capture the changes that were made during the resubmission of TS2? -
Oracle Financial , getting external Data
Hai ,
We have an oracle financial system running with an inventory module , we need to link the database to an external dataase (text file). The program should upload text formatted (comma separated) data into the respective field and update it.
Can this be done , this is a part of physical stock taking with a hand held computer..
pls reply at [email protected] or [email protected]You have to load your data into MTL_TRANSACTIONS_INTERFACE table and submit Material Transaction Manager.
See 'Oracle Manufacturing API's and Open Interfaces manual' for details.
Regards, Alexey Ivasyuk. ([email protected])
OA Consultant. -
I am having an issue where emails to specific users internal to internal are being successfully delivered, but [a duplicate is?] also getting stuck in the "SMTP Delivery to mailbox" queue, with the sender getting a "Delivery is delayed to
these recipients or groups:" "Remote Server returned '400 4.4.7 Message delayed" This only happens with emails to specific people in the organization, they get the email immediately after being sent, and everyone else works fine. This issue
started after we migrated the users mailboxs from Exchange 2007 to Exchange 2013 CU5, we did not notice the issue until we finished moving all user mailboxes to 2013.
Delivery Report of email to affected user:
Delivered
6/30/2014 11:20 AM mail.domain.com
The message was successfully delivered.
Pending
6/30/2014 11:20 AM
The message has been queued on server 'mail.domain.com' since 6/30/2014 11:20:15 AM (UTC-06:00) Central Time (US & Canada). The last attempt to send the message was at 6/30/2014 11:21:09 AM (UTC-06:00) Central Time (US & Canada) and generated the error
'[{LRT=};{LED=432 4.2.0 STOREDRV.Deliver; Agent transient failure during message resubmission[Agent: Mailbox Rules Agent]};{FQDN=};{IP=}]'.
-Strange time stamp
Original message headers:
Received: from mail.domain.com (172.22.220.68) by
mail.domain.com (172.22.220.68) with Microsoft SMTP Server (TLS)
id 15.0.913.22; Sun, 29 Jun 2014 21:36:34 -0500
Received: from mail.domain.com ([fe80::1554:6e6f:4ca5:85be]) by
mail.domain.com ([fe80::1554:6e6f:4ca5:85be%12]) with mapi id
15.00.0913.011; Sun, 29 Jun 2014 21:36:34 -0500
Content-Type: application/ms-tnef; name="winmail.dat"
Content-Transfer-Encoding: binary
From: T S <[email protected]>
To: M M <[email protected]>
CC: D M <[email protected]>
Subject: FW: Migration Complete
Thread-Topic: Migration Complete
Thread-Index: Ac+UAzn/W6u8OF7qRG2V93cDeqU24wACDqXL
Date: Sun, 29 Jun 2014 21:36:33 -0500
Message-ID: <[email protected]>
References: <[email protected]>
In-Reply-To: <[email protected]>
Accept-Language: en-US
Content-Language: en-US
X-MS-Has-Attach: yes
X-MS-TNEF-Correlator: <[email protected]>
MIME-Version: 1.0
X-Originating-IP: [71.170.174.74]
Return-Path: [email protected]
Update 7/2/14:
Checked event viewer, and found that event ID 1051, erroring multiple times per second with message:
"Agent 'Mailbox Rules Agent' caused an unhandled exception 'StoreDriverAgentTransientException: Store Driver Agent was unable to send email.' while handling event 'OnDeliveredMessage'"
Ran Test-MailFlow on my mailbox, and the two know non-working mailboxes, For me it returned as successful, but showed as a Failure on the two other accounts.
The test emails were actually delivered to the user mailboxes even though it shows as a Failure with the Test-MailFlow command:
From Exchange Queue viewer you can see the test emails stuck in retry, with the following information:
Identity: mail\3112\1395864371267
Subject: Test-Mailflow 8f33ae76-fdd9-4528-8e73-5b9f2481a333 66c7004a-6860-44b2-983a-327aa3c9cfec
Internet Message ID: <[email protected]>
From Address: SystemMailbox{658b82cc-efc2-4407-8c92-8303213c63e2}@domain.com
Status: Retry
Size (KB): 8
Message Source Name: SMTP:Default mail
Source IP: 172.22.220.68
SCL: 0
Date Received: 7/1/2014 9:52:12 PM
Expiration Time: 7/3/2014 9:52:12 PM
Last Error: 432 4.2.0 STOREDRV.Deliver; Agent transient failure during message resubmission[Agent: Mailbox Rules Agent]
Queue ID: mail\3112
Recipients: [email protected];3;3;[{LRT=};{LED=432 4.2.0 STOREDRV.Deliver; Agent transient failure during message resubmission[Agent: Mailbox Rules Agent]};{FQDN=};{IP=}];0;CN=Mailbox Database 2111459242,CN=Databases,CN=Exchange Administrative
Group (FYDIBOHF23SPDLT),CN=Administrative Groups,CN=LCS,CN=Microsoft Exchange,CN=Services,CN=Configuration,DC=domain,DC=com;0Hi S Calkin,
According to the error messages, I find following information for your reference:
1. About Event ID 1051
This warning event indicates that the transport agent referenced in the event description has encountered an unhandled exception while handing the event.
More details in the following article:
http://www.microsoft.com/technet/support/ee/transform.aspx?ProdName=Exchange&ProdVer=8.0&EvtID=1051&EvtSrc=MSExchange+Extensibility
2. About "432 4.2.0 STOREDRV.Deliver; Agent transient failure during message resubmission[Agent: Mailbox Rules Agent]"
I suggest double check whether you have enough space. I find a similar case that caused by the low space, please see this:
432 4.2.0 STOREDRV.Deliver; Agent transient failure during message resubmission[Agent: Mailbox Rules Agent]
http://social.technet.microsoft.com/Forums/exchange/en-US/750d89fb-1832-4aaf-b095-c2b9defec977/432-420-storedrvdeliver-agent-transient-failure-during-message-resubmissionagent-mailbox-rules?forum=exchangesvrgeneral
Thanks
Mavis
Mavis Huang
TechNet Community Support -
MTL_TRANSACTIONS_INTERFACE TABLE에 대한 분석
제품 : MFG_INV
작성날짜 : 2003-04-21
MTL_TRANSACTIONS_INTERFACE TABLE에 대한 분석
=======================================
PURPOSE
MTL_TRANSACTIONS_INTERFACE table의 사용 용도와 관련 program(Conc manager,Processors so on..)을 알면 Interface에 걸린 문제의 원인 및 해결방법을 보다 빨리 알 수 있다.
Explanation
이 Table은 non-INV application과 INV transactions module간의 Interface point이다.다른 말로 하면 INV가 아닌 INV로 update 하기 위하는 다른 module을 이 table을 꼭 통해야만 한다.
즉, PO, WIP, OE들의 module들의 records는 validation을 위해 처음 MTI table을 pass 해야 한다.
1.INV Processor 절차
1) Conc Manager called the Transactions Manager(INCTCM)
: MTI table의 records를 읽어 validate를 하고, pass된 transactions을
MTL_MATERIAL_TRANSACTIONS_TEMP table로 이동시킨다.
2) Submit Transaction Worker(sub-process-INCTCW)
: data derivation,validate하고 MTL_TRANSACTION_INTERFACE,
MTL_TRANSACTIONS_LOTS_INTERFACE,MTL_SERIAL_NUMBERS_INTERFACE 에 있는
records를 TEMP tables로 transfer한다.
3) MTI table이 INV processor에 의해 제대로 processing 하기 위해서는 아
래 field의 값이 다음과 같이 setting 되어져 있어야 한다.
Transaction_Mode = 3,
Lock_flag = 2,
Process_flag = 3
2.Important Links
1) MTI와 link되어 있는 주요 table
MTL_SYSTEM_ITEMS,
MTL_ITEM_LOCATIONS,
MTL_SECONDARY_INVENTORIES,
GL_CODE COMNINATIONS
2) Link to the PO table-MTI.requisition_line_id
PO_REQUISITION_LINES(requisition_line_id),
PO_REQUISITION_LINES(blanket_po_line_id)
3) Link to the WIP from MTI
- schedule_id
- operation_seq_num
- wip_entity_name
MTI.schedule_id
wip_requirement_operations(repetitive_schedule_id)
wip_operations(repetitive_schedule_id)
wip_operations(wip_entity_id)
wip_discrete_jobs(wip_entity_id)
4) Link to Lots and Serials
MTL_TRANSACTION_LOTS_INTERFACE
MTL_SERIAL_NUMBERS_INTERFACE
Example
Reference Documents
------------------- -
Real Estate Classic Question (General Contract - Term End Date)
Hi there. I wonder if there is anyone who could answer this question for me.
I am currently using RE Classic and I am having a problem capturing the true end date of a lease (General Contract).
We are currently driven by the date of when the GC is paid up to and is causing us problems when it comes to reporting.
Hopefully my example might help:-
The Start Date of the Lease is 01.04.2009
The End Date of the Lease is 31.03.2011 (This is the date held in the Resubmission - Lease Expiry)
We want to bring the Lease to a close due to ending our agreement early. The date of this is 31.03.2010.
However due to the fact we have paid in advance up to the 31.03.2011 I cant enter the date of 31.03.2010 otherwise this will create follow up postings.
The problem I now have, is that I want to run a report with all my current Leases (General Contracts) but this one still appears because the End Date in the system is 31.03.2011, even though we have ended on the 31.03.2010. (The report is assuming this GC is still live)
Has anyone else experienced this problem? Or do I need to explain this in more detail?
Any help would be greatly appreciated.
Thanks
JDThanks for your reply Diane.
The problem is two fold. Putting in the actual date of the lease ending is causing follow up postings in the cash flow, hence the reason we have been advised to put in the date of the final posting date. (and not the true expiry date)
And on both Standard and ABAP reports the problem it causes is due to the date of the contract end being set to the final posting date.
The reports look at today being the 8th June and sees that this contract is live because we haven't reached the final posting date. So effectively this lease has ended but because the final posting date is say 30.11.2010 it will stay on the reports until the 1st December then it will drop off.
Hopefully I have explained this clearly for you. If not please say.
Thanks
JD -
Resubmission of Tasks and Appointments - really difficult problem!
Hi, I have another difficult problem to solve! It would be great if someone could help me or give me some hints! Thanks!!
I hope I express myself understandable (because it is really a hard nut )
Assumed case:
A manager (A) creates and assigns in crm webclient a taks (or appointment) to another employee (B) (for example: 10 days forward). If employee B enters the webclient the task will be shown.
employee B has already many tasks on his overview page and therefore wants to change that this specific task will be shown again to a later time (resubmission of tasks).
Question:
Is there such a functionality for the CRM webclient? I read that it was possible in SAP GUI.
Do I need to develop a solution with BSP WD Component Workbench? Or just change the date profil in SPRO?
I would be very grateful and thankful if anyone could give me some hints! But I am just working with SAP for a short time, so please keep it not too complicated (if it is possible) ;-).
Thank you!
MarcelHi, the topic is called "Resubmit of tasks".... Does anyone has ideas? would be nice
Resubmit of tasks in CRM webclient, how to do? -
HOW DO I STOP MY JSP PAGE FROM INSERTING DATA IN DATABASE EACH TIME REFRESH
Hi,
HOW DO I STOP MY JSP PAGE FROM INSERTING DATA IN DATABASE EACH TIME REFRESH?
Thanksemekaco wrote:
Hi,
HOW DO I STOP MY JSP PAGE FROM INSERTING DATA IN DATABASE EACH TIME REFRESH?
ThanksSTOP SHOUTING!
now, while displaying the form generate some random number, or take the current time in millis or whatever. Put that number in a hidden field. Insert that unique number along with the real data into the database, but before you do check if the number already exists. If it does you can be pretty sure this is a resubmit of the same data, so don't allow it. This is one way of many to prevent resubmission of existing data.
A good way to prevent a refresh from resubmitting altogether is to do a redirect to a result page right after you deal with the POST request. When the user presses refresh then, he/she will refresh the redirect and not the form submit. -
I am using the below Method to extract Resubmission data from a contract. The data I need extracted is in parameter t_resubm_date.
The problem is I don't know what TYPE to use when defining the variable under Global Data which Smartforms requires.
t_resubm_date is type RECP_T_RESUBM_DATE_C. When I try to enter the below types in Global Data I receive the error "field t_resubm_date is unknown".
DATA: itab_resubm LIKE LINE OF t_resubm_date OCCURS 0,
wa_resubm LIKE LINE OF t_resubm_date.
Any help would be appreciated.
Thanks Much.
CALL METHOD cl_recp_data_cn_general=>get_contract
EXPORTING
id_guid = is_sfparam-content
IMPORTING
es_contract = contract
et_partner_all = t_partner
et_object_all = t_object
es_term_period = term_period
es_term_renewal = term_renewal
es_term_notice = term_notice
et_term_notice_obj = t_term_notice_obj
et_term_notice_obj_list = t_term_notice_obj_list
es_term_def_payment = term_def_payment
et_term_payment_all = t_term_payment
es_term_def_rhythm = term_def_rhythm
et_term_rhythm_all = t_term_rhythm
es_term_def_orgass = term_def_orgass
et_term_orgass_all = t_term_orgass
et_condition_all = t_condition
et_settl_cnpart_overview = t_settl_cnpart_overview
et_settl_cnpart_detail = t_settl_cnpart_detail
et_option_rate_all = t_option_rate
es_resubm_summary = resubm_summary
et_resubm_rule = t_resubm_rule
et_resubm_date = t_resubm_date
DATA: itab_resubm LIKE LINE OF t_resubm_date OCCURS 0,
wa_resubm LIKE LINE OF t_resubm_date.
LOOP AT t_resubm_date INTO wa_resubm.
APPEND wa_resubm TO itab_resubm.
CLEAR wa_resubm.
ENDLOOP.You need to pass to global data initialization using import export parameters fields.
t_resubm_date
If you want to use any global data in initialization, you need to send them through import , export fields.
sorry it is input and output parameters.
Whatever you defined under global data and if you want to use that, you need to pass it.
Edited by: abap technical on Jan 17, 2008 1:17 PM -
Resubmission status set as completed
Hi,
We face an issue with the FSCM module We see that a lot of resubmission status set as completed. The change log showing user name and date and time but user informed as the completion was done by my account (user id) but not by me.
There was no job schedule for this activity. Normally will the status manually.
Is any possibility to set status as completed by automatic run due to change of collection profile, strategies etc reasons? If so how to find whether it is auto run. Or any other possible to change status.
You input in this regards will be highly appreciated with high points
With regards,
V.krishnamoorthy.You can use transaction MASS and set object type as BUS2012. Than select "Purchase Order Item" and run (F8).
-
How to send email when resubmission ends?
Hi experts,
In my workflow the users want to receive reminder on specific date.
So when the step arrive to the workplace, the users make resubmission and the step transferred to RESUBMISSION folder.
On Resubmission date I have to send email to some users.
The Resubmission date coming must be also the terminating event for the Task.
There actions must be performed only when Resubmission date coming
and not if user performs "End Resubmission" manually.
How can I do this?
Can anyone help me?
Thanks,
Nina.Hi Nina,
You can use dead line monitoring to solve the resubmission problem. I am explaining the scenario I used it for.
I had to re execute the agent resolution after a certain date is passed and there were some more conditions to be checked before that. When you activate deadline a new output option is available called "Dead Line Passed". In this output you can use process control type step for making current work item obsolete, this will give control a new output called "Processing obsolete" in this branch you can call send email step and loop back and re submit the work item to who ever you want same person. In my case it has to be next level in approval hierarchy so I just added one level and looped back to decision step for new agent resolution.
I hope this makes sense. If you give exact scenario I may work out a prototype or simple steps.
Warm Regards,
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Scheduling purge signon audit data
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I have R12.1.3. I want to schedule 'Purge Signon Audit Data' to run once every month. With Purge Signon Audit Data the default date that shows up is the current date; but I want to replace it with current date minus 2 months. It is easy to do that when I run it manually but when scheduling it, the only option I can think of is replacing the value set FND_STANDARD_DATE with custom value set under Audit date parameter. Is there is a better/easier way to do change the default date to current date minus 2 months?
Thanks,DBA_EBiz_EBS wrote:
Hi all,
I have R12.1.3. I want to schedule 'Purge Signon Audit Data' to run once every month. With Purge Signon Audit Data the default date that shows up is the current date; but I want to replace it with current date minus 2 months. It is easy to do that when I run it manually but when scheduling it, the only option I can think of is replacing the value set FND_STANDARD_DATE with custom value set under Audit date parameter. Is there is a better/easier way to do change the default date to current date minus 2 months?
Thanks,Schedule the request to run once every month (Re-run Every Month) from two months ago and enable "Increament date parameter each run".
If your request contains date parameters, you can choose "Increment date parameters each run" to have the value for that parameter be adjusted to match the resubmission interval. For example, if the value for the parameter is 25-JUL-1997 07:00:00 and your interval is monthly, the parameter is adjusted to 25-AUG-1997 07:00:00 for the next submission.
http://docs.oracle.com/cd/A60725_05/html/comnls/us/fnd/10gch606.htm
Thanks,
Hussein -
Last sunday i install a window 8 and this window format my all drive & make it 1 drive (DRIVE C). Before all of this i have 5 drive in different size with 1 Bitlocker protect drive.
So i try data recovery software to recover my data. i got back all my data without that ( bitlocker ) protected drive.
so please guys help me how can i get back data from bitlocker protected drives.
please please help me.Hi,
I sorry for your experience, but there is no way to recovery the data encryped by BitLocker untill now.
BitLocker is designed to make the encrypted drive unrecoverable without the required authentication. When in recovery mode, the user needs the recovery password or recovery key to unlock the encrypted drive. Therefore, we highly recommend
that you store the recovery information in AD DS or in another safe location.
Please refer to the link below for the statement:
http://technet.microsoft.com/de-de/library/ee449438(v=ws.10).aspx#BKMK_RecoveryInfo
Roger Lu
TechNet Community Support -
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Thanks
Mohan MHi,
Please check the below links...
Query for Opening And Closing Stock
Inventory Opening and Closing Stock
open stock and closing stock
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