Process for reversing a deposited NSF (Not Sufficient Funds) cheque

After Incoming Payments created to a clearing GL account, a deposit was posted comprising of some 25-30 cheques.
One of these cheques was returned by the bank due to NSF (Not Sufficient Funds).
How do we deal with that? We want to reverse the deposit only for that 1 cheque and then cancel the incoming payment so that the invoice becomes uppaid again.
Thanks,
Ajay Audich

Hi,
Have you searched the forum?
Check these:
Re: A/R -NSF
Bounce check (insufficient fund) in banking
Thanks,
Gordon

Similar Messages

  • Process for reverse wrong Depreciation run

    Hi,
    We have a problem in Depreciation run that user had already run wrong Depreciation. Now we need to reverse it and Post correct depreciation again...
    How can We do it...please let me know the process of reverse the Depreciation run.
    Regards...

    Hi Anil,
    Depreciation posting once done cannot be reversed as there is no reversal code for Depreciation.
    But SAP has given you the option of posting corrections in the system..
    Suppose you have executed the AJAB and before moving on to the next month, you realize one Asset is to be retired in this month itself.., then post the retirement entry in the current month, and then again run AJAB with a repeat run selection.
    What system would do in this case:-
    System will reverse the depreciation with respect to the date of retirement in the current month, adjust the net Book value as per the sale amount only for the asset that you are selling..
    All these adjustments will take place only for one asset which you are dealing with..and the balance all other Assets will remain unchanged as there is no change in any of the Assets. This is what the repeat run does..it passes only incremental or differential postings with respect to the last run of Depreciation in the system.
    You do not do anything manually for posting Depreciation..
    Regards,
    SAPFICO

  • What is d BAPI for reversal of Good Receipt Note(GRN) for movement type 102

    Hi ABAPers,
       I have got requirement like this , I have done Goods Receipt Note (GRN) based on Purchse order Number using '.BAPI_GOODSMVT_CREATE' with 101 movement type.
       But now my requirement is reversal of good receipt note(GRN) based on Material Document Number (or) Purchase Order Number with 102 movement type. what is the bapi name i need to use. and i need to give reason for the reversal of GRN.
    please tell me the field name for reason  in bapi.
    i have searched in the net, but i could not get proper answer to this isse.
    Highly appriciate who gives answer as early as possible. I need to complete this task EOD. please give replies.
    Thanks & Regards,
    Vinay Kumar.

    Hi,
    If your material document has specific movement type i.e. 101, if you cancel document using BAPI_GOODSMVT_CANCEL, it automatically picks associated movement type 102 defined in customizing setting, you don't need to pass 102 explicitly while cancelling.
    I have not seen reason code in this bapi, but it is required to pass reason code then you may try transaction code MBST using BDC.
    Thanks,
    Ashok Veer

  • Stray process for Postfix on a server not hosting Mail

    I have three servers and each does different stuff. Well my web server has been showing an error constantly over and over again and it won't stop. It says it has to do with postfix and I'm not even running mail services on that server. So I'm not sure why it keeps showing it over and over again. Here is the error below.
    Thanks.
    Jul 14 09:18:35 xpmedia3 com.apple.launchd[1] (org.postfix.master[60298]): Stray process with PGID equal to this dead job: PID 60303 PPID 1 smtp

    Even with mail services disabled, SMTP is set to be used on demand (think cron job, web form, etc.).
    To completely disable it, issue:
    sudo /bin/launchctl unload -w /System/Library/LaunchDaemons/org.postfix.master.plist
    To re-enable:
    sudo /bin/launchctl load -w /System/Library/LaunchDaemons/org.postfix.master.plist

  • Down payment process for Poland, new business process or not ?

    Hello,
    I'm a little bit confused about implementation down payment process for Poland.
    The OSS-notes 818079 and 1007635 describe a solution for this.
    How do I have to implement the correct down payment process for Poland ? Do I have to create an extra business process with new sales order type, new billing type, separate calculation procedure, new output type and so on ?
    Or is it possible to use existing business processes in sales and distribution for down payment processes ?
    Thanks in advance
    Holger

    hi,
    Check the process for down payment processing
    The following Customizing settings have to be made for down payment processing:
    Settings for the billing plan - To activate the billing plan function, maintain the materials, for which you wish to process down payments, with item category group 0005 (milestone billing). This gives the item type TAO via item type determination. The item type TAO calls up the billing plan function.
    You need to implement the following activities in the billing plan for down payments:
    Maintain deadline category - This determines the billing rule (percentage or value down payment) for the down payment request. The system assigns billing type FAZ (payment request) defined in the standard system with billing category P. (For the billing type FAZ there is the cancellation billing document type FAS in the standard system).
    Maintain the deadline proposal - Use the down payments that are due for the proposed deadlines.
    Maintaining a Pricing Procedure with the Condition Type AZWR:
    In the standard system the condition type AZWR is delivered for the down payment value already provided but which has not yet been calculated. You must include this condition type in the relevant pricing procedure before output tax.
    Enter condition 2 (item with pricing) and the calculation formula 48 (down payment clearing value must not be bigger than the item value) for the condition type AZWR.
    Before the condition AZWR you can create a subtotal with the base value calculation formula 2 (net value). If the condition AZWR is changed manually, you can get information on the original system proposal from the subtotal.
    Maintain the printing indicator - The pricing procedure can not be marked as a transaction-specific pricing procedure (field Spec.proc.) The condition type AZWR has the calculation type B (fixed amount) and the condition category E (down payment request / clearing).
    Maintaining the Billing Document - In the standard system there is the billing type FAZ (down payment request) and the billing type FAS for canceling . The down payment is controlled using the billing category P of the billing type. A billing type becomes a down payment request when the billing category P is assigned. You have to maintain blocking reason 02 (complete confirmation missing) for the billing documents and assign it to billing type FAZ.
    Copying control - Copying requirement 20 must be entered in copying control at item level for the down payment request. In the standard system the order type TA for copying control is set up according to the billing type FAZ for the item category TAO.
    Copying requirement 23 must be entered in copying control at item level for down payment clearing. In the standard system the order type TA for copying control is set up according to the billing type F2 for the item category TAO.
    Financial Accounting settings - A prerequisite for down payment processing is that the account is assigned to the underlying sales document. To do this, change the field status settings in Customizing as follows:
    Set reconciliation accounts (transaction OBXR) - For the `received down payments' and `down payment requests' from
    the G/L accounts you have selected, you should assign the field status definition G031.
    Maintain accounting configuration (transaction OBXB) - For the down payments (posting key ANZ in the standard system) and the output tax clearing (posting key MVA in the standard system), you must maintain the posting key.
    You must also carry out a G/L account number assignment for the tax account.
    Maintain the posting key (transaction OB41) - For posting key 19, set the sales order as an optional field !!!
    Maintain the field status definition (transaction OB14) - For field status variant 0001, field status group G031, set the
    sales order as an optional field !!!
    Assign the company code to the field status variants (transaction OBC5)
    chandu

  • Regarding Goods Reversal & Goods Issue Process for PO

    Hi Experts,
               Could you any one tel me what is Goods Reversal and Goods Issue process for PO...
    How to create the FM & detailed Procedure Pls?....
    Please any one tel me.......
    Thanks & Reagards
    HB

    Hi Hans,
    SOURCE : HELP.SAP
    Purpose
    Inventory Management uses this process in such a way that the goods issue posting is divided into two parts that run in separate systems. Posting the GI document in the supplying plant results in a message to the receiving plant. The receiving plant then performs a complementary posting. The physical goods receipt takes place as usual.
    Prerequisites
    When using batch processing, the following prerequisites must be fulfilled:
    Both the original and target systems have the same batch definition level.
    The batch definition level is either the material or the client.
    An ALE scenario exists for materials and classes (characteristics).
    Unique batch numbers exist cross-system.
    Batches can only be changed in their original system when they are not decoupled. From an organizational point of view, this must also lead to the batch status being changeable in a local SAP R/3 system. For example, this is impossible when transfer posting to a new batch and results in further actions, for example, relabeling containers, palettes and so on.
    Characteristics
    As for the purchase order in a one-system situation, the system should automatically post the material into the stock in transit at the receiving profit center and the corresponding Profit Center Accounting using intra-CC transfer prices at goods issue for the purchase order and the unchecked delivery. This requirement is valid for one-system situations as well as for two-system situations where there is an ALE interface. No internal billing document should be created.
    In a two-system case, the receiving profit center should be derived at goods issue from the unchecked delivery. Profit Center Accounting then takes place with
    Stock change transfer price to stock
    Internal expense to internal sales
    Internal clearing account to stock change transfer price.
    Account determination in a purchase order for an intra-company-code transaction must be different from account determination in external transactions. Automatic GR/IR account clearing is required in both one-system and two-system situations.
    The stock in transit must be visible in the receiving profit center.
    The system must send a shipping notification at goods issue in one-system and two-system situations.
    You need to create an invoice document for the internal and external trading statistics for cross-boundary deliveries as well as for customs purposes.
    GR/GI slips are created.
    Process Flow
    Goods Issue Posting for Stock Transfers
    The delivery triggers the goods issue in the issuing system.
    The call contains the stock transport order data known in the delivery, including the PO item and the logical system of the recipient.
    The transaction (quantity and value updates) is selected using the movement type:
    Movement Type     
    Function
    641     
    Goods issue with UB logic (Creation of stock in transit at recipient, immediate value posting).
    647     
    As 641, however the goods receipt line (movement type 101) is added automatically, so that the goods receipt is posted at the same time as the goods issue (one-step procedure).
    You determine the movement type according to the schedule line category in Sales and Distribution. The goods issue for a cross-system stock transfer must be different from the integrated transaction. This is achieved by adding a new movement type.
    You post quantities and values at goods issue in the same way as a goods issue for a sales order. That is to say, the quantity is posted in the supplying plant and the value is adjusted to that of the stock account. The offsetting posting is made to a clearing account. The known data from the delivery is copied to Accounting to balance the account where necessary.
    The system creates a message to the appropriate receiving system for all items with reference to a cross-system purchase order. The system does not perform any validity checks on the recipient’s data before posting begins. Incorrect Customizing results in the update being terminated.
    If a goods issue has receiving plants in different logical systems, an IDoc is sent for each system.
    In order that the goods receipt is able to use the values on the receiver side, you must add the values used to post the goods movement, in particular the transfer prices, to the IDoc.
    The logic for recognizing the profit center switch functions as follows: At goods issue, the system recognizes that the profit center of the issuing plant is different from the profit center of the receiving plant. The system derives the profit center node from the relevant profit center.
    Data Transfer
    The IDocs sent by the issuing plant trigger the goods issue postings in the receiving plant.
    Background Posting in the Receiving System
    The goods receipt is posted in the receiving system using the IDoc. The interface receives the data from the goods issue in the supplying plant. The following processes now run at the recipient:
    The system finds the update control for the GR part of the posting.
    The goods movement is posted with the new movement type.
    During valuation of the goods receipt, the system might, where necessary (UB logic), refer to the values (legal value and the value from the parallel valuation type, if you are using the transfer price function) from the IDoc.
    The PO history is updated. The PO history is updated with the material document number from the second part of the GI posting. The GI document number is not stored in the supplying plant, because there is no way to display this document.
    In two-step procedures the goods receipt is posted to the stock in transit.
    Reversal
    You can only reverse this goods issue for the PO using the cancellation transaction in SD. You cannot reverse the GI in Inventory Management.
    The material document that is automatically created in the receiving system cannot be canceled. This reversal is triggered by the sending system (the actual reversal of the GI document takes place there) and transmits the data, including the reversal movement type, to the receiving system. No actual reversal is posted in the receiving system, because the material document number of the original document does not exist in this system. This scenario is applicable for cases where you use the two-step procedure (with stock in transit).
    Distribution of Batch Master Data and Characteristics
    The batch information is transported using the message category BATMAS.
    When you create a cross-system goods issue, the system creates the corresponding IDoc using the message category BATMAS.
    When the delivery arrives in the target system, the batch and all the information is already present in the system.
    Changes to the batch data are also distributed using the message category BATMAS.
    The batch can be decoupled in the receiving SAP R/3 system. This means that the batch can have a different status in the receiving system than in the original system. By setting an indicator at material level, you decide whether the batch can be decoupled or whether the batch and all its attributes are copied from the original system. "Decoupled" i.e. "locally independent" batches are no longer distributed from its own system.
    The batch data does not need to be available before the physical goods receipt takes place. The goods receipt into the stock in transit does not usually refer to the batch unless you are working with batches with assigned active ingredient values.
    If the GI cannot be posted for organizational reasons, for example because the goods cannot be loaded onto a truck until 10pm, then you can post the goods into the GR blocked stock. This stock is also non-batch-specific.
    In cases where the GI IDoc arrives before the batch IDoc, then the GI IDoc can be subsequently posted by a periodically scheduled report (transaction BD87). A program like this exists in the SAP standard system. In Customizing for MM Inventory Management (activity Copy, Change Movement Types), you should make settings to define that manual creation of batches at goods receipt is not allowed.
    Shipping Notification
    The shipping notification is required in the receiving system due to its relevance for MRP. In this way, for example, a change in delivery date determined at goods issue is sent to the receiving system using the shipping notification. The shipping notification can also be used when posting the GR batches.
    Reward if found helpfull,
    Cheers,
    Chaitanya.

  • The budget amount is not sufficient for release

    Dear All,
    Fund Management: Error. when posting budgeting document with transaction code  FMBB and FMBBC, I am getting error massage " The budget amount is not sufficient for release.
    Message no. FMKU083
    The budget amount is not sufficient for release
    Diagnosis
    The Eligible released budget is greater than the Eligible consumable budget for FM account assignment QPCP/Q001/QP-ADMINEXPENSES/QPIL.
    Please note that the absolute value of the amount is specified. Even if the actual amount is negative, the comparison will always be made with the positive value.
    Total released budget  = Release Budget to be posted by the current document +  Release Budget already in the Database.
    Total budget  = Budget to be posted by the current document +  Budget already in the Database.
    u2022     (Absolute) Total Eligible released budget  = 200,000.00
    u2022     (Absolute) Total Eligible consumable budget  = 0.00
    Important remark concerning the release on period:
    The document to be created includes the amount on the period. But  the check  "Release against Budget" will nevertheless involve the amounts of the whole fiscal year.
    Example:
    Released budget on period 10 = 100
    Budget on period 10 = 600
    So, unreleased budget on period 10 = 500
    But as:
    Total Release Budget over the fiscal year =  980
    and Total Budget  over the fiscal year =  1000
    980 + 500 > 1000 so the release cannot be done. An error message FMKU083 is displayed and the values in the long text are:
    (Absolute) Total released budget  = 1480
    (Absolute) Total budget  = 1000
    System Response
    Processing stops. The error is displayed in the application log.
    Procedure
    There are two options for further processing:
    u2022     You can post a further amount to be included in the Eligible budget.
    u2022     You can decrease the amount of Eligible released budget to be posted.
    Do the Needful,
    hope for the best solution..
    Regards,
    LC..

    Hi Waman Shirwaicar
    I have applied the below Notes,
    Note 1092634 Budget Release: error FMKU 083
    Note 1328037 FMMPRELE: error FMKU083
    Total released budget = Release Budget to be posted by the current document + Release Budget already in the Database.
    Total budget = Budget to be posted by the current document + Budget already in the Database.
    u2022     (Absolute) Total Eligible released budget = 200,000.00
    u2022     (Absolute) Total Eligible consumable budget = 0.00
    Important remark concerning the release on period:
    The document to be created includes the amount on the period. But the check "Release against Budget" will nevertheless involve the amounts of the whole fiscal year.
    but still getting the " The budget amount is not sufficient for release"
    I have configured Control ledger "9H",  in settings for availability control ledger
    and unable to do Configuration for "9I"   define fitter settings for budget values -->Define Consumable budget & Define budget values as consumed amounts.
    error: FM budget value do not enter ledger "9I" as consumed amounts.
    and the difference between Control ledgers "9H & 9I" need solution for configuration of Control Ledger "9I".
    do the needful.
    your early action highly solicited.
    hope for the solution.
    Regards,
    Lucky Pandu.

  • Regarding Goods Reversal and Goods Issue process for Production orders

    Hi,
    I have a issue regarding <b>Goods Reversal</b> and <b>Goods Issue</b> process for <b>Production orders</b>.
    Actually I am having a Z - Function Module in that i am passing <b>production order number other details</b> to
    make the <b>Goods Reversal</b> happen.
    The code for the above is as below:
                       i_mvtit-material      = wa_mdfa-matnr.
                        i_mvtit-plant         = i_resb-werks.
                        i_mvtit-spec_stock    = 'Q'.          "New
                        i_mvtit-stge_loc      = 'ZWIP'.
                        i_mvtit-stge_type     = i_resb-lgtyp. "New
                        i_mvtit-batch         = i_resb-charg. "New
                        i_mvtit-orderid       = i_resb-aufnr.
                        i_mvtit-spec_stock    = i_resb-sobkz.
                        i_mvtit-entry_qnt     = i_resb-enmng.
                        i_mvtit-entry_uom     = i_resb-erfme.
                        i_mvtit-entry_uom_iso = i_resb-meins. "New
                        i_mvtit-wbs_elem      = v_frwbs.
                        i_mvtit-move_type     = '262'.
                        i_mvtit-xstob         = 'X'.
                        i_mvtit-gr_rcpt       = i_resb-aufnr. "New
                        i_mvtit-reserv_no     = i_resb-rsnum.
                        i_mvtit-res_item      = i_resb-rspos.
                        APPEND i_mvtit.
    * HEADER ELEMENTS
                        k_gmvt_code-gm_code    = '03'.
                        k_gmvt_head-pstng_date = sy-datum.
                        k_gmvt_head-doc_date   = sy-datum.
    * CREATE GOODS MOVEMENTS
                        CALL FUNCTION 'BAPI_GOODSMVT_CREATE'
                          EXPORTING
                            goodsmvt_header = k_gmvt_head
                            goodsmvt_code   = k_gmvt_code
                          TABLES
                            goodsmvt_item   = i_mvtit
                            return          = i_return.
    The Above code does the <b>Goods Reversal</b> but then i will update one Z Table with fields like
    Production Order Number[AUFNR], Number of Reservation[RSNUM], Item Number of Reservation [RSPOS], Material Number [MATNR], Requirement Quantity [BDMNG], WBS element[PSPNR] etc. If Above BAPI runs sucessfully.
    That is happening correctly.
    But Then actual issue is i have do <b>Goods Issue</b> for those Z-Table records.
    There i will give Production order Number's & Storage Location in Selection-Criteria.
    Then i need to do <b>Goods Issue</b> for that order.
    The code i had written as follows.
    * POPULATE VALUES FOR BAPI CALL
            i_mvtit-material      = i_zpsi7603_01-matnr.
            i_mvtit-plant         = i_resb-werks.
            i_mvtit-spec_stock    = 'Q'.                "New
            i_mvtit-stge_loc      = p_sloc.
            i_mvtit-stge_type     = i_resb-lgtyp.       "New
            i_mvtit-batch         = i_resb-charg.
            i_mvtit-orderid       = i_resb-aufnr.
            i_mvtit-spec_stock    = i_resb-sobkz.
            i_mvtit-entry_qnt     = i_resb-enmng.
            i_mvtit-entry_uom     = i_resb-erfme.
            i_mvtit-entry_uom_iso = i_resb-meins.       "New
            i_mvtit-wbs_elem      = v_frwbs.
            i_mvtit-move_type     = c_261.
            i_mvtit-mvt_ind       = 'F'.                "New
            i_mvtit-xstob         = c_x.
            i_mvtit-gr_rcpt       = i_resb-aufnr.       "New
            i_mvtit-reserv_no     = i_resb-rsnum.
            i_mvtit-res_item      = i_resb-rspos.
            APPEND i_mvtit.
    * HEADER ELEMENTS
            k_gmvt_code-gm_code    = c_03.
            k_gmvt_head-pstng_date = sy-datum.
            k_gmvt_head-doc_date   = sy-datum.
    * CREATE GOODS MOVEMENTS
            CALL FUNCTION 'BAPI_GOODSMVT_CREATE'
              EXPORTING
                goodsmvt_header = k_gmvt_head
                goodsmvt_code   = k_gmvt_code
              TABLES
                goodsmvt_item   = i_mvtit
                return          = i_return.
            CALL FUNCTION 'BAPI_TRANSACTION_COMMIT'
              EXPORTING
                wait = c_x.
            READ TABLE i_return INDEX 1.
            IF i_return-type EQ c_s.
              DELETE FROM zpsi7603_01 WHERE aufnr = i_resb-aufnr AND
                                            rsnum = i_resb-rsnum AND
                                            rspos = i_resb-rspos.
            ENDIF.
    If i run above code for <b>Goods Issue</b> it is giving error can anybody tell me what changes i need to do to make it work.
    The <b>Error Message</b> i am getting is as below:
    <b>Qty and / or "delivery completed" ind. or final issue ind. are missing</b>
    <b>Error Number for the above is : 264.</b>
    Can anybody solve my issue.
    Any help will be appreciated.
    Thanks in advance.
    Thanks & Regards,
    Rayeez.

    Hi,
    Thanks boss.
    It is working now correctly.
    The issue is the  i_mvtit-XSTOB should be equal space in case of Goods issue while incase of Reversal it should be equal to X.
    Thanks for ur efforts.
    I had awarded you points.
    Thanks a lot.
    Thanks & Regards,
    Rayeez.

  • Job getting cancelled for 'Chain not processed for date-2007031920070318' ?

    Hi All,
      We have 2 process chains running only on weekdays - one for sales and the other for billing. A cancelled job is created for one of the process chains with the job log message as 'Chain not processed for date-2007031920070318' for the not run days whereas the other does not have any issues though the same monitor job program runs for both. The difference is only in the variant but nothing much other than that its maintained for 2 different chains.
       We also debugged the monitor job program. It basically does nothing other than displaying messages depending on the status of the chain log.
    Please let me know your suggestions as to why it happens.
    Thanks,
    krishna

    it is also giving following error message:
    Caution: Program has changed
    Caution: At time of termination,  Active source code no longer available  and after above two statements its giving sign "?" before every statement in below manner:
    024300 ?     lit_ekpo_dummy1[] = it_ekpo[].                     
    024310 ?     DELETE lit_ekpo_dummy1 WHERE ebeln NE tab1-ebeln.  
    024320 ?     DESCRIBE TABLE lit_ekpo_dummy1 LINES count01.      
    024330 ?                                                        
    024340 ?     REFRESH lit_ematn_dummy[].                         
    024350 ?     lit_ematn_dummy[] = lit_ematn[].

  • Post order processing for sales document is not yet complete

    hi,
    sap gurus,
    i am facing the error while saving the sales order and this ticket is unique and it is saying that
    "post order processing for sales document is not yet complete".
    please help me in this regard.
    and it is blocking the order for further processing.
    regards,
    balajit

    I dont think this is a standard error message.  Some exit is applied for sale order to meet some requirements.  You need to check with your ABAPer.
    In fact, you can conclude yourself based on the error message number.  If it starts with Z, then the above holds good.
    thanks
    G. Lakshmipathi

  • Bdc for reverse settlement using VA88 okcode 'stor ' not working

    Hi ,
      I have done recording of the VA88 transaction to write a program for reverse settlement of some sales orders for particular controlling area and Co business transaction.i am using call transaction method,the issue i am facing is when i execute , reversing is not happening , when i checked with mode A in call transaction i can see the values are populated in the VA88 screen and the bdc_okcode '=STOR' which is meant for reverse  is coming , but when i click it nothing is happening.
    any idea what is wrong here. is it because the okcode is not working as desired?..what will be a solution.
    thanks & regards.
    Ras.

    I think the problem in recording..can you please do the recording again and cross check your BDCDATA internal table with the recorded one
    Nabheet

  • What is the process for connecting ethernet.  Have ethernet cable connected to stereo received for internet radio and Blue Ray. However Network System Preferences indicates ethernet not connected and has red dot to left.  Note Airport wireless is working.

    What is the process for connecting airport extreme ethernet?  I have ethernet cables connected to stereo receiver for internet radio and another to blue ray player.  The system preference network indicates "ethernet not connected" with red dot to left of this message.  The airport wireless works and has green dot to left of it.  The stereo receiver and blue ray player do not respond and give message not connect to internet.  Thank you.  /  cfpirate 

    It worked for me finally. I took out the DNS numbers in airport admin utility, and restarted the airport express. I do not remember putting the DNS numbers in, I wonder from where the airport express got those numbers.
    After restarting, it worked.
    Thanks!

  • I am trying to stop encryption in fire vault, but I keep getting the message, The target disk isn't eligible for reversion because it wasn't created by conversion or it is not part of a simple setup of exactly one logical and one physical volume.¨

    I am trying to cease encryption in fire vault, Mac os x lion 10.7 4
    I keep getting the message,
    ¨The target disk isn’t eligible for reversion because it wasn’t created by conversion or it is not part of a simple setup of exactly one logical and one physical volume.¨
    Please can someone advise the way to disable?
    Thank you.

    Are you using Boot Camp? See this discussion at MacRumors.
    Clinton

  • My IPad screen is frozen with a message stating that the IPad has not been backed up to the ICloud for 7 weeks, this is not correct.I cannot get the messageto clear and cannot access any of the other icons; is there an emergency reboot process?

    My IPad screen is frozen with a message stating that the IPad has not been backed up to the ICloud for 7 weeks, this is not correct. I cannot get the messageto clear and cannot access any of the other icons; is there an emergency reboot process?

    Have you tried resetting your iPad?
    Reset: Press the Home and On/Off buttons at the same time and hold them until the Apple logo appears (about 10-15 seconds).
    No data will be lost.

  • XML failure with ASN no Process DELIVERY_INFO_GR for ASN in status is not allowed

    Hi All,
    In production , we are having many XML failures while sending inbound delivery to SNC from ECC.
    In SXMB_Moni,  ASN XXXX: Process DELIVERY_INFO_GR for ASN in status is not allowed. Becasue ASN is not exist in SNC but in ECC GR status is complete.
    Please help to resolve the same.
    Regards,
    Sheetal

    Hi,
    Please go the tcode CO02 and click on functions and select the restrict processingand click on unlock
    the reason may be tht some might have locked the produvtion order ,
    hopw it wud have answered ur question.
    rewards if it is useful
    Shawn

Maybe you are looking for

  • ATI Radeon HD 2600 firmware update and others

    Hi all, About a month ago my 1 month old 2.4 imac was replaced with the 2.66 on account of noise after the firmware update. I do have quite a few software updates now and I am a bit concerned about updating them. I am also very new to using a MAC. 1.

  • Cant get itunes to open on windows

    i downloaded itunes and when i tried to open i got an error message that says itunes is not a valid Win32 application. does this mean i should return my ipod? what can i do to make this work? any help is greatly appreciated!

  • Standard report on Installation facts inconsistencies

    Hello Is there any standard report showing inconsistent installation facts details? Any help would be greatly appreciated. Thanks Rajat

  • Can someone explain purchasing, activating and signing up for iPhone.

    Hi, iPhone hits UK in November and I'd like to be prepared. Can someone explain to me how it's going to work. In the USA where do you buy the phone - the Apple store, and what do you do just walk in a buy the actual phone as if it were an iPod? And t

  • How to upgrade oracle from 9 to 10 version?

    Hi Can anybady help me with oracle upgrading from 9 version up 10 ? upgrade manuals or www links are welcome thanks