Need Stories/PlayAlls, but a freeze at end of each item when playing track

Hi - any help appreciated !
I have a project with 1 main menu > 10 sub menus / linking to 10 tracks. Each track has approx 4 slides & 3 videos. Each track has been edited in FCP and imported to DVDSP including a chapter marker at start of each slide / video.
I need a Play All that plays all of each track, then back to main menu - so made a Story for each track including all track markers - am familiar with this.
But also need the tracks, when not played as PlayAll, to stop / freeze at the end of each slide or video. (It's a training video used in sessions where the trainer knows the slide or video will stop anf he/she just needs to press play to move to the next item).
Have tried permutations of End Jump for each marker and Infinite in Marker > Playback Options, but no luck yet.
Is it possible for a Story to play start to end but for its components to play one at at a time when not played as Story?

I think you'll need to create stories for each chapter in your tracks, set the end jump to go to a menu (single button, as Shawn said) and each then to go on to the next story in your sequence. You can either hard code this, or you could use a script to determine which story to go to next. In all you'll end up with around 50 tracks and stories, so well within the limit of 99.

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    Classify Condition Types - In this IMG activity, you specify which condition types you use for which sort of tax. Note that this only applies to condition types that you use with the new excise determination method. The system uses this information when you create a document from another one. For example, when you enter an incoming excise invoice from a purchase order, or when you create an outgoing excise invoice from a sales order, the system determines the various excise duties in the excise invoice using the information that you have entered here. In addition, when you create a purchasing document, the system only uses the condition types that you enter here.
    - For taxes on purchases, use the condition types contained in the tax procedure.
    - For taxes on sales, use the condition types contained in the pricing procedures.
    The standard system comes with sample settings for the tax calculation procedures and pricing procedures.
    Use these settings as a basis for your own.
    IMG > Logistics - General > Tax On Goods Movement > India > Account Determination
    Define G/L Accounts for Taxes - In this IMG activity, you specify which G/L accounts you will use to record which taxes.
    Requirements - You have set up G/L accounts for each of the processing keys listed below.
    - Assign an account to each of the following posting keys. The accounts for VS1, VS2, and VS3 are used as clearing accounts during excise invoice verification.
    VS1 (basic excise duty)
    VS2 (additional excise duty)
    VS3 (special excise duty)
    VS5 (sales tax setoff)
    MWS (central sales tax)
    MW3 (local sales tax)
    ESA (service tax)
    ESE (service tax expense)
    Specify Excise Accounts per Excise Transaction - In this IMG activity, you specify which excise accounts (for excise duty and CENVAT) are to be posted to for the various transaction types. Enter all the accounts that are affected by each transaction type. If you use sub transaction types, enter the accounts for each sub transaction type as well.
    Transaction type UTLZ is used for determining accounts only while posting excise JVs and also if the payment of excise duty has to be done fortnightly. The fortnightly CENVAT payment utility picks up the credit side accounts from the transaction types of GRPO, EWPO, and TR6C for determining the CENVAT and PLA accounts. There is no separate transaction type for fortnightly payment.
    Example:
    - Excise TT DC ind Account name
    GRPO CR CENVAT clearing account
    GRPO CR RG 23 BED account
    GRPO DR CENVAT on hld account
    Specify G/L Accounts per Excise Transaction - In this IMG activity, you assign the excise and CENVAT accounts to G/L accounts. When you come to execute the various transactions, the system determines which G/L accounts to post to by looking at the:
    - Excise group
    Company code
    Chart of accounts
    Furthermore, if you want separate account determination settings within an excise group, you can also use sub transaction types.
    Requirements
    You have already:
    - Defined the G/L accounts
    - Defined the excise groups
    - Maintained the transaction accounts
    Activities - For each excise group, assign the excise and CENVAT accounts to G/L accounts. For most businesses, one set of accounts will suffice for all transactions.
    Note: you need not remit the CENVAT to the excise department immediately, so maintain the credit account for transaction type DLFC as an excise duty interim account. This will be set off when you remit the duty. Config. setting needed to be done in order to get the Excise Details Screen in Material Master.
    Even though this functionality is available in enterprise version, a small configuration step has to be made in Screen Sequences for Material Master.
    Following document helps you to do this configuration.
    - Material Master a Logistics General
    1. Go to IMG Define Structure of Data Screen for each Configuring the Material master Screen Sequence.
    2. Select your screen sequence. Usually it would be 21. Select the same and click on Data Screen in the left frame.
    3. Once the data screens are exhibited, select data screen no. 15, ie. SSq. 21and Scrn 15, which is u201CForeign Trade: Import Datau201D. Select the same and click on Sub screens in the left frame.
    4. Go to the last sub screen i.e. 21-15-6 - SAPLMGD1- 0001 and select the same. Click on tab view sub screen and ensure that the sub screen is blank.
    5. Now in the last sub screen i.e. no.6 you delete SAPLMGD1 u2013 0001 and instead add SAPLJ1I_MATERIAL_MASTER and in the screen no. 2205.
    6. Save the setting.
    7. Create a Material Master and check whether in Screen Foreign Trade
    u2013 Import, Excise related sub screen appears.
    Transaction                Action
    J1I2           -     Prepare a sales tax register
    J1I3           -      Create outgoing excise invoices in batches
    J1I5          -     Update the RG 1 and Part I registers
    J1IEX          -       Incoming Excise Invoices (central transaction)
    J1IEX_C     -     Capture an incoming excise invoice (excise clerk)
    J1IEX_P     -     Post an incoming excise invoice (excise supervisor)
    J1IF01          -     Create a subcontracting challan
    J1IF11          -     Change a subcontracting challan
    J1IF12          -     Display a subcontracting challan
    J1IF13          -     Complete, reverse, or recredit a subcontracting challan
    J1IFQ          -     Reconcile quantities for subcontracting challans
    J1IFR          -     List subcontracting challans
    J1IH          -     Make a CENVAT adjustment posting
    J1IIN          -     Create an outgoing excise invoice
    J1IJ          -     Assign excise invoices to a delivery for sales from depots
    J1INJV          -     Adjust withholding tax Item
    J1INREP     -     Reprint a withholding tax certificate for a vendor
    J1IQ          -     Year-End Income Tax Depreciation Report
    J1IR          -     Download register data
    J1IS          -     Process an excise invoice (outgoing) for other movements
    J1IU          -     Process exemption forms
    J1IW          -     Verify and post an incoming excise invoice
    J1IX          -     Create an incoming excise invoice (without reference to purchase order)
    J2I8          -     Transfer excise duty to CENVAT account
    J2IU          -     Remit excise duty fortnightly
    J2I9          -     Monthly CENVAT return
    J1IG          -     Excise invoice entry at depot
    J1IGA          -     Create additional excise entry at depot
    J2I5          -     Extract data for excise registers
    J2I6          -     Print excise registers
    Subcontracting process
    In subcontract order processing, the vendor receives materials (components) with which it produces the semi-finished material.
    The following processes are involved:
    Ø You order the semi finished product using a subcontracting purchase order. The components that the vendor needs to manufacture the semi finished product are specified in the purchase order.
    Ø In Inventory Management, the components are posted to the stock of material provided to vendor. The components are then supplied to the vendor.
    Ø you have to create subcontracting challan to complete excise formalities, which will be given to vendor along with the material.
    Ø The vendor performs the operations on components and delivers the ordered material (the semi finished product). The consumption of the components is posted.
    Ø Vendor may supply you partial quantity. At every goods receipt, you have to reconcile subcontracting challan in the system. After receiving final lot from the vendor, subcontracting challan is closed.
    Ø The vendor issues an invoice for the labour charges which is then checked in Invoice Verification
    U have option to create new document type for Subcontracting Purchase requisition and Purchase order with required Item category and fallowing doc types. Or u can also use the standard Doc type with Item cat L.
    Also U have to maintain the account determination for this Transaction,
    fallowing Transaction Keys are used for Sub-contracting scenarios
    Transaction Code - OBYC
    1) BSX-Material Inventory post Acct - Debited material cost
    2) WRX-GR/IR Clearing Account - Credited labor charges
    3) BSV- Change in Stock account - Credit material cost
    4) FRL- External Activity - Debit labor charges
    5) BSX- Material Inventory post Acct - Credited Consumption Cost
    6) GBB- VBO- Offsetting entry for Inventory-Debited Consumption Component cost -> Posting for consumption from stock of material provided to Sub contracting vendor.
    Prerequisite Master Data: (Please ensure all masters are available before carrying out test)
    Following Master Data setups are required before this script can be executed.
    Ø Material Master should be available in the system.
    IMPORTANT! Purchasing view, accounting view & MRP views with External Procurement key must be maintained for material.
    Ø Vendor master for approved vendors should be created.
    IMPORTANT! Purchasing data for these vendors should be maintained in the system.
    Ø Material & Vendor Subcontracting Info record.
    Ø Source list for material should be maintained in the system.
    Ø Material Master for Bill of Material components in Plant is IMPORTANT.
    Ø Bill of material for incoming material (end product) should be created in the system.
    Ø Excise details for vendor and material should be maintained.
    Following are the steps for subcontracting Process.
    No. Step T-code
    1. Subcontracting Purchase order ME21N
    2. Printing of PO ME9F
    3. Material Document by transfer posting MB1B
    4. Creation of 57F4 challan J1IF01
    5. Printing of 57F4 challan
    6. Goods Receipt with ref. to subcontracting P MIGO
    7. Quality Inspection of material QA32
    8. 57F4 challan reconciliation J1IFQ
    9. 57F4 challan closing J1IF13
    10. Invoice Verification MIRO
    award points if use full
    Regards
    venkat

  • Wont let me update or download free apps  says i need payment verification but im not buying anything

    wont let me update or download free apps  says i need payment verification but im not buying anything

    Howdy Irishinked,
    Thanks for using the Apple Support Communities.
    If you're being prompted that your payment information needs to be veriefied, then there is some aspect of your payment type which is being denied by your financial institution.  I'd like you to please follow the steps below to verify your information.
    Open iTunes.  If you are signed in to iTunes, skip to step 4.
    Note: Verify that you are signed in to the correct iTunes account. If you are unsure which account you're signed into, choose Store > Sign Out and proceed to step 2.
    Choose Store > Sign In.
    Enter your account name and password, then click the Sign In button.
    Choose Store > View My Account.
    Click the Edit Payment Information button.
    In the Payment Method section, choose None.
    Click the Done button at the bottom of the page.
    Click the Edit Payment Information button again.
    Enter your billing address exactly as it appears on your credit card statement.
    Select your credit card type in the Payment Method section.
    Enter your credit card information, your card's security code, and the expiration date.
    Click the Done button at the bottom of the page.
    If the issue persists, contact your credit card company and verify that they and any company they use to process credit card authorizations have the correct information on file.
    iTunes Store: My credit card's security code or zip code does not match my bank's records - Apple Support
    Have a good one,
    Alex H.

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