Not able to post an accrual jnl in Oracle GL

Journal Import Execution Report Date: 18-MAR-09 10:11
Concurrent Request ID: 946366 Page: 1
Total Total Total Total Unbalanced Total Unbalanced Total Flex Total Non-Flex
Journal Entry Source Name Group Id Status Lines Batches Headers Batches Headers Errors Errors
Spreadsheet Error 2 1 1 0 0 0 2
*** TOTALS *** 2 1 1 0 0 0 2
======================================================= Batches Created ========================================================
Total Total Total Total
Warning Batch Name Period Name Lines Headers Accounted Debits Accounted Credits
================================================== Batches Posted to Suspense ==================================================
Flexfield Line
Error Code Batch Name Period Name Header Name Number Accounting Flexfield
================================================= Unbalanced Journal Entries** =================================================
Error Total
Code Journal Entry Name Batch Name Lines Period Name Total Debits Total Credits
========================================================= Error Lines ==========================================================
Accounting
Error Code Source Date Currency Entered Debit Entered Credit Accounting Flexfield/CCID
ER09 Spreadsheet 31-MAR-09 AUD 1 0 21.34110.0000.00.71402.767
ER09 Spreadsheet 31-MAR-09 AUD 0 1 21.00000.0000.90.71410.000
========================================================== Error Key ===========================================================
Period Error Codes
EP01 This date is not in any open or future enterable period.
EP02 This set of books does not have any open or future enterable periods.
EP03 This date is not within any period in an open encumbrance year.
EP04 This date is not a business day.
EP05 There are no business days in this period.
XX Journal Import Execution Report Date: 18-MAR-09 10:11
Concurrent Request ID: 946366 Page: 2
========================================================== Error Key ===========================================================
Unbalanced Journal Error Codes
WU01 Warning: This journal entry is unbalanced. It is accepted because suspense posting is allowed in this set of books.
EU02 This journal entry is unbalanced and suspense posting is not allowed in this set of books.
EU03 This encumbrance journal entry is unbalanced and the Reserve for Encumbrance account is not defined.
Flexfield Error Codes
EF01 This Accounting Flexfield is inactive for this accounting date.
EF02 Detail posting not allowed for this Accounting Flexfield.
EF03 Disabled Accounting Flexfield.
EF04 This is an invalid Accounting Flexfield. Check your cross-validation rules and segment values.
EF05 There is no Accounting Flexfield with this Code Combination ID.
Foreign Currency Error Codes
EC01 A conversion rate must be entered when using the User conversion rate type.
EC02 There is no conversion date supplied.
EC03 A conversion rate type or an accounted amount must be supplied when entering foreign currency journal lines.
EC06 There is no conversion rate for this currency, conversion type, and conversion date.
EC08 Invalid currency code.
EC09 No currencies are enabled.
EC10 Encumbrance journals cannot be created in a foreign currency.
EC11 Invalid conversion rate type.
EC12 The entered amount must equal the accounted amount in a functional or STAT currency journal line.
EC13 Amount is too large.
ECW1 Warning: Converted amounts could not be validated because the conversion rate type is not specified.
Budget Error Codes
EB01 A budget version is required for budget lines.
EB02 Journals cannot be created for a frozen budget.
EB03 The budget year is not open.
EB04 This budget does not exist for this set of books.
EB05 The encumbrance_type_id column must be null for budget journals.
EB06 A period name is required for budget journals.
EB07 This period name is not valid. Check calendar for valid periods.
EB08 Average journals cannot be created for budgets.
EB09 Originating company information cannot be specified for budgets.
Encumbrance Error Codes
EE01 An encumbrance type is required for encumbrance lines.
EE02 Invalid or disabled encumbrance type.
EE03 Encumbrance journals cannot be created in the STAT currency.
EE04 The BUDGET_VERSION_ID column must be null for encumbrance lines.
EE05 Average journals cannot be created for encumbrances.
EE06 Originating company information cannot be specified for encumbrances.
Reversal Error Codes
ER01 A reversal period name must be provided.
XXXXXXX Journal Import Execution Report Date: 18-MAR-09 10:11
Concurrent Request ID: 946366 Page: 3
========================================================== Error Key ===========================================================
Reversal Error Codes
ER02 This reversal period name is invalid. Check your calendar for valid periods.
ER03 A reversal date must be provided
ER04 This reversal date is not in a valid period.
ER05 This reversal date is not in your database date format.
ER06 Your reversal date must be the same as or after your effective date.
ER07 This reversal date is not a business day.
ER08 There are no business days in your reversal period.
ER09 Default reversal information could not be determined.
Descriptive Flexfield Error Codes
ED01 The context and attribute values do not form a valid descriptive flexfield for Journals - Journal Entry Lines.
ED02 The context and attribute values do not form a valid descriptive flexfield for Journals - Captured Information.
ED03 The context and attribute values do not form a valid descriptive flexfield for Value Added Tax.
Miscellaneous Error Codes
EM01 Invalid journal entry category.
EM02 There are no journal entry categories defined.
EM03 Invalid set of books id.
EM04 The value in the ACTUAL_FLAG must be "A" (actuals), "B" (budgets), or "E" (encumbrances).
EM05 The encumbrance_type_id column must be null for actual journals.
EM06 The budget_version_id column must be null for actual journals.
EM07 A statistical amount belongs in the entered_dr(cr) column when entering a STAT currency journal line.
EM09 There is no Transaction Code defined.
EM10 Invalid Transaction Code.
EM12 An Oracle error occurred when generating sequential numbering.
EM13 The assigned sequence is inactive.
EM14 There is a sequential numbering setup error resulting from a missing grant or synonym.
EM17 Sequential numbering is always used and there is no assignment for this set of books and journal entry category.
EM18 Manual document sequences cannot be used with Journal Import.
EM19 Value Added Tax data is only valid in conjunction with actual journals.
EM21 Budgetary Control must be enabled to import this batch.
EM22 A conversion rate must be defined for this accounting date, your default conversion rate type, and your dual currency.
EM23 There is no value entered for the Dual Currency Default Rate Type profile option.
EM24 Average journals can only be imported into consolidation sets of books.
EM25 Invalid average journal flag. Valid values are "Y", "N", and null.
EM26 Invalid originating company.
EM27 Originating company information can only be specified when intercompany balancing is enabled.
** Batches listed under "Unbalanced Batches**" have not been imported.
***** End of Report *****
I am geting the above report output, Please suggest.
Thanks in advance,
Ajit

General Ledger: Version : 11.5.0 - Development
Copyright (c) 1979, 1999, Oracle Corporation. All rights reserved.
GLPPOS module: Posting
Current system time is 27-JUN-2011 08:55:27
glpmai() 27-JUN-2011 08:55:27SHRD0176: GLPPOS started in debug mode...
PPOS0003: *** Posting Process Started ***
PPOS0004: All phases to posting will be detailed in this log.
PPOS0219: glpmai() - Your Posting Run ID is 32403
glpini() 27-JUN-2011 08:55:27
gllock() 27-JUN-2011 08:55:27SHRD0181: glpini - Lock Name = GL_OPEN_POST_20609
gludlk() 27-JUN-2011 08:55:27<< gludlk() 27-JUN-2011 08:55:27
SHRD0180: glpini - Performing action >> Placed SHARE_MODE lock...
<< gllock() 27-JUN-2011 08:55:27
SHRD0180: glpini() - Performing action >> check_batches_exist...
glusts() 27-JUN-2011 08:55:27
glucce() 27-JUN-2011 08:55:27
glugsn() 27-JUN-2011 08:55:27<< glugsn() 27-JUN-2011 08:55:27
<< glucce() 27-JUN-2011 08:55:27
<< glusts() 27-JUN-2011 08:55:27
Secondary tracking segment disabled
SHRD0180: glpini() - Performing action >> get_bal_seg_name...
SHRD0180: glpini() - Performing action >> get_sob_info...
SHRD0181: glpini() - MRC TYPE = P
SHRD0180: glpini() - Performing action >> update_batch_status...
glpuch() 27-JUN-2011 08:55:27SHRD0180: glpuch() - Performing action >> update_cons_history(G/D/F)...
<< glpuch() 27-JUN-2011 08:55:27
glpueh() 27-JUN-2011 08:55:27SHRD0180: glpueh() - Performing action >> update_elim_history(G/D/F)...
<< glpueh() 27-JUN-2011 08:55:27
SHRD0180: glpini() - Performing action >> check_mrc_rpt_sob_exist...
SHRD0180: glpini() - Performing action >> check_budget_jes_exist...
SHRD0180: glpini() - Performing action >> check_mixed_stat_jes_exist...
SHRD0180: glpini() - Performing action >> check_adj_periods_exist...
SHRD0181: glpini() - control->sob_id = 20609
SHRD0181: glpini() - control->coa_id = 52930
SHRD0181: glpini() - control->prun_id = 32403
SHRD0181: glpini() - control->func_curr_code = INDIAN
SHRD0181: glpini() - control->period_set_name = DHEERAJ
SHRD0181: glpini() - control->period_type = 685
SHRD0181: glpini() - control->net_income_ccid = 0
SHRD0181: glpini() - control->rounding_ccid = 0
SHRD0181: glpini() - control->cons_sob = FALSE
SHRD0181: glpini() - control->ab_enabled = FALSE
SHRD0181: glpini() - control->bc_enabled = FALSE
SHRD0181: glpini() - control->ic_allowed = TRUE
SHRD0181: glpini() - control->sus_allowed = TRUE
SHRD0181: glpini() - control->track_rounding_imbal = FALSE
SHRD0181: glpini() - control->tax_enabled = TRUE
SHRD0181: glpini() - control->aprv_enabled = FALSE
SHRD0181: glpini() - control->batches_exist = TRUE
SHRD0181: glpini() - control->actual_ab_jes_exist = FALSE
SHRD0181: glpini() - control->foreign_ab_jes_exist = FALSE
SHRD0181: glpini() - control->budget_jes_exist = FALSE
SHRD0181: glpini() - control->mixed_stat_jes_exist = FALSE
SHRD0181: glpini() - control->adj_periods_exist = FALSE
SHRD0181: glpini() - control->cons_jes_exist = FALSE
SHRD0181: glpini() - control->acct_cat_bal = FALSE
SHRD0181: glpini() - control->mrc_primary_sob = FALSE
SHRD0181: glpini() - control->max_days_roll_fwd = 32
SHRD0181: glpini() - control->min_aggregate_num = 0
SHRD0181: glpini() - control->max_aggregate_num = 0
SHRD0181: glpini() - control->industry = C
SHRD0181: glpini() - control->bal_seg_name = SEGMENT1
SHRD0181: glpini() - control->bal_seg_num = 0
SHRD0181: glpini() - control->user_name = DHEERAJ
SHRD0181: glpini() - control->user_id = 1008079
SHRD0181: glpini() - control->login_id = 2894296
SHRD0181: glpini() - control->request_id = 3130531
SHRD0181: glpini() - control->program_id = 101
SHRD0181: glpini() - control->dmode = TRUE
<< glpini() 27-JUN-2011 08:55:27
glppva() 27-JUN-2011 08:55:27SHRD0180: glppva() - Performing action >> Check for untaxed journals...
<< glppva() 27-JUN-2011 08:55:27
glpmpi() 27-JUN-2011 08:55:27
gluddl() 27-JUN-2011 08:55:27<< gluddl() 27-JUN-2011 08:55:27
gluddl() 27-JUN-2011 08:55:27-- gluddl ad.do_ddl error buffer begin
do_ddl(APPLSYS, SQLGL, 1, $statement$, gl_posting_interim_32403): private_do_ddl(APPS, APPLSYS, GL, 1, $statement$, GL_POSTING_INTERIM_32403): do_cd_tab_cd_seq(0, APPS, GL, 1, GL_POSTING_INTERIM_32403, $statement$): : do_apps_ddl(GL, $statement$): : substr($statement$,1,255)='
create table gl_posting_interim_32403
     (code_combination_id number(15) not null,
     period_name     varchar2(15) not null,
     set_of_books_id number(15) not null,
     currency_code varchar2(15) not null,
     period_year     number(15),
     pe'
-- gluddl ad.do_ddl error buffer end
-- gluddl Message Dictionary Start:
do_ddl(APPLSYS, SQLGL, 1, $statement$, gl_posting_interim_32403): private_do_ddl(APPS, APPLSYS, GL, 1, $statement$, GL_POSTING_INTERIM_32403): do_cd_tab_cd_seq(0, APPS, GL, 1, GL_POSTING_INTERIM_32403, $statement$): : do_apps_ddl(GL, $statement$): : substr($statement$,1,255)='
create table gl_posting_interim_32403
     (code_combination_id number(15) not null,
     period_name     varchar2(15) not null,
     set_of_books_id number(15) not null,
     currency_code varchar2(15) not null,
     period_year     number(15),
     pe'
ORA-01658: unable to create INITIAL extent for segment in tablespace A
-- gluddl Message Dictionary End
<x gluddl() 27-JUN-2011 08:55:27
SHRD0187: Encountered the following error in routine gluddl():
ORA-01658: unable to create INITIAL extent for segment in tablespace A
SHRD0030: glpmpi() encountered an error returning from err_gluddl:
<x glpmpi() 27-JUN-2011 08:55:27
gluerr() 27-JUN-2011 08:55:27Error in ROUTINE: glpmpi, status: 0
SHRD0043: ERROR:
sqlcaid: sqlabc: 0 sqlcode: 0 sqlerrml: 0
sqlerrmc:
ORA-01658: unable to create INITIAL extent for segment in tablespace A
sqlerrp:      sqlerrd: 0 0 1 0 0 0
sqlwarn: sqltext:
SHRD0044: Process logging off database and exiting ...
glpuch() 27-JUN-2011 08:55:27SHRD0180: glpuch() - Performing action >> update_cons_history(G/D/F)...
<< glpuch() 27-JUN-2011 08:55:27
glpueh() 27-JUN-2011 08:55:27SHRD0180: glpueh() - Performing action >> update_elim_history(G/D/F)...
<< glpueh() 27-JUN-2011 08:55:27
PPOS0002: Posting terminated with fatal errors
<x glpmai() 27-JUN-2011 08:55:27
Executing request completion options...
Finished executing request completion options.
GLPPOS - process exiting with failure.
Exceptions posted by this request:
Concurrent Request for "Posting" has completed with error.
Concurrent request completed
Current system time is 27-JUN-2011 08:55:27
please help me to solve this problem when iam trying to post journals in GL Iam getting this error messages

Similar Messages

  • Not able to post vendor payment in case of Cash discount received

    Hello
    We are on SAP ECC 6.0
    I'm not able to post an outgoing payment through F-53 T code when cash discount is received from vendor due to early payment before due date.
    I get the following error message -
    Tax code V0 for country IN has been deleted or incorrectly changed
    Message no. FS201
    Our tax calculation procedure is TAXINN and we are an indian company in India.
    GL account for cash discount received is already defined in OBXU t code for SKE transaction key tax code wise.
    V0 tax code is defined through FTXP.
    I'm able to display correct cash discount amount and cash discount % when i click on select process open item in F-53 after entering document date; posting date; company code; currency; Bank GL A/c; Amount (Net of discount); value date and Vendor Account.
    What am i missing? Why am i not able to post vendor outgoing payment?
    Is it possible to post cash discount received to the credit of Stock / Inventory Account as quantity received is not consumed or quantity is lying in inventory?
    Thanks.
    Vimal

    Hello Chintan
    I have assigned GL A/c in OBXU t code with and without reference to tax code.
    Still, i am not able to post outgoing payment when cash discount is received as i am paying it before due date.
    Cannot i take credit of cash discount received to Inventory / Stock Account?
    Is cash discount received always posted to non-Inventory / non-stock GL Account?
    Thanks.
    VS

  • GR based IV tick mark in PO- not able to post MIRO

    we are working for a indian client with CIN. most of the PO's which is created in SAP system with all Excise parameters and applicable taxes. further all PO's created with GR based IV check box enabled.
    now the issue is, in some of the purchases vendor is not applicable for excise, so there is no excise parameters in the PO, only tax is applicable. for this case we have not maintained vendor excise details in J1ID. but we have maintained material chapter id and CENVAT determination in J1ID. but as i mentioed earlier these PO's also with GR based IV check box enabled.
    If the PO is not excisable no Excise capturing and posting is required, for these types of PO's we are following the below steps
    1. Creation of PO with GR based IV check box enabled
    2. Goods Receipt without excise capturing
    3. Invoice verification - MIRO ( here system is not able to post the docuement because of GR based IV tick mark)
    waiting for the response

    hi,
    thanks for the response
    problem is MIRO is not posting whenever GR made with GR based IV tick in PO.
    i have checked three scenario
    scenario1.
    1. created PO with GR based IV, but there is no Excise or Tax captured in PO ( means no FV11 created)
    2. Created MIGO ( no excise parameter will appear)
    3. MIRO done with respect to MIGO
    this scenario is fine
    Scenario 2 - current scenario
    1. Created PO with GR based IV, No excise is captured in PO but Tax (VAT captured with condition type JVRD) is captured   ( means no FV11 created for VAT only)
    2. Created MIGO ( no excise parameter will appear)
    3. while doing MIRO for this scenario system is not able to post the MIRO because of the VAT in PO and GR based IV tick mark.
    Scenario 3
    1. Created PO without GR based IV, No excise is captured in PO but Tax (VAT captured with condition type JVRD) is captured   ( means no FV11 created for VAT only)
    2. Created MIGO ( no excise parameter will appear)
    3. MIRO system is picking from PO based IV. so, it is allowing to post
    need your expert advice on scenario 2 - how to post MIRO

  • Not able to post parked document

    Hello All,
    I am unable to post parked documents.
    I enter one credit memo from vendor vide menu FB65.   I could NOT post the document.   The option was greyed out.  I could only park it.  I parked it.
    I am not able to post this parked document.  I tried posting this parked document vide menu FBV0 / FBV60.  The post option is not available and is greyed out.
    Regards
    Rao

    Hi Kasturi,
    On the same screen where you are trying to post the invoice type /nSU53 and take the snap shot of the screen (authorization missing objects). Send it to your SAP secutiry team or the team who gives you authorization for any transaction.
    They will provide you the required access to post the invoice.
    Please let me know if it helps!!
    Regards.

  • Not able to post a new topic to Discussions Safari Safari for Mac

    Hi, I'm new to Apple Discussions, but not new to posting to forums.
    Currently I'm not able to post to Discussions>Safari>Safari for Mac. I can login, view all post threads, create and save a draft, preview the draft, but cannot post the draft to Discussions>Safari>Safari for Mac.
    However I am able to post to a different category; Discussions>Mac OS X v10.4 Tiger>Using Mac OS X Tiger. See posting "This is a test. Please do not reply to this post".
    When I try to post to Discussions>Safari>Safari for Mac I get pushed to another web link and system message as follows;
    http://discussions.info.apple.com/backsoon/discussionstempaway.html
    We're sorry, Apple Discussions is temporarily unavailable. We'll be back soon.
    Until then, please visit http://www.apple.com/support
    Currently when I open the category Discussions>Safari>Safari for Mac, I see an error message that reads;
    Error
    An error in the system has occured. Please contact the system administrator if the problem persists.
    I have searched for a link to "contact the system administrator", but cannot find it.
    I get around the Safari for Mac category error message by clicking on 'next' and it then displays the current threads.
    Any help would be greatly appreciated. This is a bonus issue I'd like to resolve asap, to get to my original issue with Safari 4.1 crashing.
    Thanks to those who can help!

    You're Welcome cuzindave!
    That's odd. It was OK before but when I checked again it was down and now it's back.
    Safari For Mac
    "Is there really a system admin to contact?"
    Posting here is the correct procedure.
    ali b

  • Not able to post any question

    I am trying to post a question related to PM module but i am not able to post it.
    Can anyone help me in this regard.

    but i am not able to post it.
    this will raise so many questions
    a)  are you able to login ?
    b)  if so, are you able to see "Post New Thread"  ?
    If your answer is "YES" for both the above, then there should not be a problem in posting your question.
    thanks
    G. Lakshmipathi

  • Not able to post the document

    Hi All,
    I have a one doubt i am not able to post the document. After the withholding tax setting i am not able to post the document. I am getting the error Account determination not defined for translation SKT in chart of account. Please help me.
    Thanks in advance.
    Thanks
    Srikanth Gajulla

    Dear Srikanth,
    Error occurred due to payment difference is loss and that should be adjusted with cash discount loss account and assigned the GL account which should be posted here.
    use the T-Code - OBXI and the GL account. check the screen shot.
    Regards,
    PK.

  • Not able to post Depreciation

    Hi FI Gurus
    I am not able to post Depn. in T code AFAB for the year 2007. Year 2006 there was no transactions are available and has been closed properly. when i execute the depn i am getting the following error.
    "No posting is possible in the fiscal year 2007 specified. The fiscal year specified differs by more than a year from the fiscal year in which the last postings were performed".
    Can you pls help on this.
    Regards,
    MR

    Hi MR
    Is it that 1st time AFAB is done in SAP, when was your go live date.
    Are you able to post any other Asset related documents, if not please
    check whether you had done period generation through T code OA84
    Please revert back
    regards
    A Chandrasekaran

  • Not able to post outgoing excise invoice

    hi expert
    i am not able to post outgoing excise invoice, its showing error that G/L account is missing (1)   and i checked evrywhere
    in tax code ,outgoing cenvet clearing account is there ..
    can anyone know where i am missing

    Hi Sahil,
    Check below three reasons .....
    1. open form setting on outgoing excise invoice and tick the g/l account and choose it at transaction time.
    2. Check cenvat account on warehouse level .
    3. Check cenvat account on item group level
    4 Check cenvat account in g/L account determination(General tab) .
    Regards
    Deepak Tyagi

  • Not able to post a GR in MIGO transaction

    Dear Friends,
    I am not able to post a good receipt in MIGO for a PO with Item having split valuation, I get message in MIGO as "document does not contain any selectable items.
    Please help.
    Regards,
    Milesh.

    Hi,
    The problem is not because of split valuation. remove the confirmation which you have entered. Check the following things
    1. If the movement type selected is 101 itself
    2. If the Po is released if there is a release procedure
    3. If the GR is already done for the PO
    4. If the PO line item is already deleted.
    Regards
    Ashwin

  • Not Able to Post Takeover Values using AS91

    Hi Guys,
    I am not able to post Takeover Values as of 12/31/2007. I gave the last closed fiscal year as 2007 and the system automatically took the takeover date as 12/31/2007. When I try to enter the dtat in Takeover values, it is greyed out. Can anybody explain why it is not allowing me to change values?
    Thanks and Regards
    Madhu Vutukuri

    Hi,
    Try this option -
    1. Keep the cursor focussed on the field that you want to change
    2. Goto Menu Edit >> Change field contents
    A pop up will appear asking to change the value.  Give the required value to be changed and save.
    Regards,
    Sridevi

  • Not able to post MIGO.

    Dear All ,
                                User is not able to post MIGO as an info displays in status bar " this p.o does not contain any item ".
    as user had made a p.o in whihc he had given the qty as 1 EA & also Acttt assign. cat is given.pl help that why this error is coming .
    sap11

    Vendor Confirmations
    In procurement, it is quite normal that once a purchaser sends a Purchase Order to Vendor then he needs a response from vendor expecting some of the information as follows:
    Receipt of purchase order by vendor
    Acceptance of all the terms and conditions mentioned in purchase order by vendor
    Expected date of delivery the goods
    Expected date of goods dispatched from the vendor end
    Transport confirmation and the shipping notification
    And many more
    So vendor confirmation is nothing but dispatching of this information to the recipient about the status of the purchase order. Once he has received this then there is a requirement of updating the respective purchase order.
    This updating helps the planner to plan the materials more precisely because between the purchase order and planned delivery date, more reliable information has become available.
    In Standard SAP, the term "confirmation" (short for "vendor confirmation") has been defined as an umbrella term for various types of information provided by a vendor to a customer, including order acknowledgments, loading or transport confirmations and shipping notifications.
    For updating this information in PO, the consultant has to make the following setting in SPRO under the node Set up Confirmation Control:
    To define confirmation categories, choose External Confirmation Categories or Internal Confirmation Categories
    To define confirmation control keys, choose Confirmation Control Keys
    To define the confirmation sequence, choose Confirmation Sequence
    Once these settings have been done in SPRO, we have to assign the confirmation control key at item level in the purchase order under the tab page Confirmation. If we are not assigning this we may face error while creating inbound delivery on receipt of shipping notification. Apart from this, reference document for goods receipt will also be decided on these settings.
    If there are more than one confirmation categories, then for all confirmation categories, consultant can also specify whether they are for information only or whether they are to constitute a basis for goods receiving and materials planning activities.
    Hope this will help you in Understanding Confirmations.

  • Not able to post material

    Hi,
    I am not able to post material in  MB1C.I am getting error,"posting only possible in periods 2002/11 and 2002/10 in company code ZVAN".  I have already done,OMS2 and OMS2.

    Welcome to this forum.  Please make a search in the forum before posting any repeated questions.  This question has been answered many times and you will get inputs from there.
    thanks
    G. Lakshmipathi

  • Not able to post journal voucher because of unbalanced system currency

    Hi
    I am not able to post journal voucher because of unbalanced system currency (the local currency is matching).
    what should be done, i have posted close to 70 entries!!!!!
    I am using SAP 2005B patch level 44
    please help
    Thanks

    Hi santosh,
                      To the account to which you are posting the entry.What currency you have set for it.
    regards,
    PankajK

  • Not able to post messages

    Hello,
    I am not able to post any message from my office PC neither;
    1.Using IE in windows xp
    2.Using Firefox in windows xp
    3.Using Firefox in RHEL 4
    When i click on reply button, message windows comes as usually, but when i click on Post Message button, it becomes endless; progress bar seems to increase for 2-3 steps, with no error, while; from other PC in the office; same LAN connection, messages are going to post perfectly. Even this question, i am posting from my office's another PC. Anyone has encountered such a problem/issue, please share with me. I have'nt installed/removed any program. I am able to access other websites normally.
    Thanks and Regards
    Girish Sharma

    Girish Sharma wrote:
    Hello,
    I am not able to post any message from my office PC neither;
    1.Using IE in windows xp
    2.Using Firefox in windows xp
    3.Using Firefox in RHEL 4
    When i click on reply button, message windows comes as usually, but when i click on Post Message button, it becomes endless; progress bar seems to increase for 2-3 steps, with no error, while; from other PC in the office; same LAN connection, messages are going to post perfectly. Even this question, i am posting from my office's another PC. Anyone has encountered such a problem/issue, please share with me. I have'nt installed/removed any program. I am able to access other websites normally.
    Thanks and Regards
    Girish SharmaHave you solved your problem Girish?

Maybe you are looking for

  • Open order -report

    Hi, i'm trying to create a query that gives open qty. suppose in sales order line item 1      100        --delivered -50     -balance is 50      line item 2      200        -not delivered      -balance is 200    i've tried creating query using table

  • How can i navigate via navigational link between views in different windows

    hello i am using CRM_UI and have opened a popup gv_transcr_popup is a attribute referrring to if_bsp_wd_popup in my implementation class gv_transcr_popup = comp_controller->window_manager->create_popup(     iv_interface_view_name = 'AIC_CM_TRANS/Assi

  • 2504 controller + 2602 APs = wireless clients connectivity problems

    Hello, everybody! I have a connectivity problems of wireless clients. The symptoms are: 1) Some clients receive 169.254.x.x., instead a correct DHCP addresses, less in a minute connection drops, and in controller's "Monitor" > "Clients" tab these cli

  • Doubt about Report Suite Office in SCCM 2012

    Hi all, I have a question about Suite Office in SCCM 2012. Why in my report 07B - Computers that recently used a specified executable program when I specific Office 2010 don't display nothing about Outlook? Just display follows softwares: Word,Excel,

  • HNSC and App store

    My UAT set up: WFE name: abc.sharepoint.com Non host header site at port 80: http://abc.sharepoint.com  IIS for this site: http with ip * For App store: Added https binding on port 80 with new ip and app store certificate Extended abc.sharepoint.com