Report Painter issues when trying to spool depreciation retired....
I'm trying to create a report and one of the lines required has to spool the depreciation retired but I can't seem to get this to happen. I have tried using transaction type for retirement but it's not working. Any suggestions?
Solved it...
<dataTemplate name="JOINS_TEST " dataSourceRef="DB2">
<dataQuery>
<sqlStatement name="DB2 HUBS">
<![CDATA[ SELECT HBMHBCD
FROM EMP012
WHERE HBMEXAG = 'E'
AND HBMSTAT = 'ACTV'
ORDER BY HBMHBCD
]]>
</sqlStatement>
<sqlStatement name="ORACLE HUBS" dataSourceRef="PMDWTEST">
<![CDATA[
SELECT TOUCHPT_ID
FROM HUB_INFO
WHERE EXEL_HUB_TYPE='EXEL'
AND :HBMHBCD = TOUCHPT_ID
]]>
</sqlStatement>
</dataQuery>
<dataStructure>
<group name="G_HUBS" source="DB2 HUBS">
<element name="HBMHBCD" value="HBMHBCD"/>
<group name="G_ORACLE HUBS" source="ORACLE HUBS">
<element name="TOUCHPT_ID" value="TOUCHPT_ID"/>
<element name="REG_ID" value="REG_ID"/>
</group> -- PMDWTEST
</group> --- EXDBASETD
</dataStructure>
</dataTemplate>
Similar Messages
-
How can i solve the contact itunes support issue when trying to make in app purchases
how can i solve the "please contact itunes support" issue when trying to make in app purchases? my account has available credit from a gift card
Click here and request assistance.
(69559) -
Is anyone else having Config error 16 issue when trying to start PSE 12 or Premier Elements 12 after the Mac upgrade to OS X Yosemite 10.10 on iMac. I have had a number of issues with software and things after upgrading to OS X Yosemite 10.10 and even 10.10.1. I have uninstalled and reinstalled both PSE 12 and Premier Elements 12 a number of times and everything goes fine until its ready to launch and then you get an error message. Numerous uninstalled and reinstalls don't removing the problem. Strangely enough PSE 11 still appears to boot up and I never owned Premier Elements 11 so I don't know if it will start. I thought with Apple dropping its Apeture software and greater integration of iPhoto and Apeture files into Lightroom 5.7 all would be harmonious between these two players. Im not sure where Adobe wants us to go it recently removed the plugin to allow you to update files from LR to Adobe Revel, whats up with that. I now own two version of Adobe software that no longer work with my Mac and now way of uploading pictures from Lightroom to Revel. Needless to say I am pretty reluctant to sign on to a subscription of Creative Cloud with long term financial obligations when I can't even get my current Adobe software to work independently much less integrate with Lightroom. Frustrated with it all!
Get rid of 'put disks to sleep when possible' and you may see a dramatic improvement (not necessarily a cure).
That specific problem is a multiple-Processor (including graphics processor) problem, where one of the processors lost track of whether it should be responding to interrupts. You may have a Hardware problem. -
Issue when trying to upgrade FB 4.7 to AIRDSK 3.6
Hi,
I'm desperately trying to upgrade FB 4.7 to AIRSDK 3.6 since 3 weeks.
I've followed the various solutions found on forums and the various processes displayed by the "helpx.adobe.com" pages, but none of them works.
So please, if a member of Adobe Support Team or someone who succeeded to perform the upgrade reads this, I need help and if possible a detailed strp by step process.
Thks in advance for answers.I think i tried all the available ones, and there are many. Why can't we
have a definitive automatic upgrade solution instead of having to do
such a number of manipulations ?
Le 14/03/2013 04:41, Flex harUI a écrit :
>
Re: Issue when trying to upgrade FB 4.7 to AIRDSK 3.6
created by Flex harUI <http://forums.adobe.com/people/Flex+harUI> in
/Flex/ - View the full discussion
<http://forums.adobe.com/message/5146932#5146932 -
Billing issues when trying to download an app
Hey I'm having a lot of issues when trying to download any type of app all of a sudden is asking me to update my billing information and when I enter it, is giving me the "invalid security (cvv) error" and im verifying all my info name, address, everything and is still not letting me save it and/or download any app...
Hi CriselRivera
as of now I don't the iTunes store accept the Debit card or a pre-payed card as a payment method, you will really have to find out another type of card which should be a Credit Card.
reference: http://support.apple.com/kb/HT2001
go on the section "Accepted payment types"
regards! -
Report painter issue with displaing a month budget
Hi,
I have a problem with making report in report painter.
I want to display a month budget of cost element for the one particular cost center.
For example: Iu2019ve putted two characteristics in one row, a set (which contains cost element number) and cost center. In column Iu2019ve placed these characteristics : period, value type and fiscal year.
The main issue is that the report displays only u201C0u201D even when there are some assets on that cost element for that cost center.
Of course when I remove characteristic u201CCost Centeru201D from a row, I will see some non u201C0u201D values in my report. I used CCSS table in my report and KSTAR field in the set.
How can I make report showing assets for cost elements for a particular cost centers? Of course I would like to have more than one such u201Ccost elementu201D-u201Ccost centeru201D pair in my report.
Regards,Solved
-
We have some Z report development using Report painter for the project , we call it is project control sheet, it contains many fields along with the commitment values for the WBS.
Z report values differs from the cji5 values..when we drill down to the Z report it actually takes you to the different value.
we had reconstructed the project info record using CJEN. but no use .
CJI5 values are correct but custom report has the issue.
Can you please helpHi Mandar,
Please check below settings for commitment values.
Name
From
text
to
text
Version
0
Plan/Act - Version
Value Type
21
Commitments from Purchase Requisition
Value Type
22
Purchase Order Commitment
Value Type
23
Reservation Commitment
Value Type
24
Funds Commitment
Value Type
26
Commitments from Transfer Price Agreemen
Object ind.
P
Project item
Object ind.
1
Order plan values: appended, apportioned
9
Order values: not appended, deleted
Debit type
1
Costs and credit-side payments
these values need to set in form or you can use form 12KST1A Costs: Budg/Act/Cmmt
thanks
Sunil -
Hi All,
I have an issue on report painter report (KE30 Report). Following are the details. Any help on this will be highly appreciated.
I am looking at KE30 P&L report, this report has been built using Key Figure Scheme, formulas for the report have been defined at transaction KER1.
We have formula defined for calculating Variace as Budget - Actual. In the output of the report values of Variaces rows are showing incorrectly.
The problem is.....for example say for Raw Material, budget and actual figures are........
Raw Material Budget = 1000 USD
Raw Material Actual = 500 USD
As per the above formula report should show Raw Material Variance as 500 USD, instead it is displaying -500 USD (minus value).
The above problem persists only for Variances Rows (around 10 rows), report is showing minus value when it should show plus value and viceversa.
Report is good in Quality system, have problem in production system only.
Request your help in resolving the above.
Thanks in advance.
Regards
AnilHi Mr Jagannadha Sastry,
Many Thanks for your reply.
I have verified both my Quality and Production systems in both the places radio button for sign reversal is set at NOT DEFINED. Since I have already mentioned my Quality System in working fine. If this is the issue there should be a mismatch in the config setting, hence i don't think this is causing the problem.
Once again thanks for your kind gesture in giving prompt reply.
Request you to pass on if you have some other clues/ideas.
Thanks
Anil -
CRXIR2 - Report is stuck when trying to open report using RDC library
Hi,
I'm working on .Net reporting appliaction that uses CRXI R2 (Embedded Server) as a reporting engine.
I have a problem with a customer in prodction site,
when trying to open report with RDC library, report hangs and nothing happens:
applicationLog.WriteTrace("open report using RDC");
Report report = (ReportClass)application.OpenReport(this.tempFile, CROpenReportMethod.crOpenReportByTempCopy);
// tempFile is the path to the rpt file and it's valid
//application is ApplicationClass from CRAXDRT namespace
//ReportClass is from CRAXDRT namespace
applicationLog.WriteTrace("Open report succeeded")
I've added log printing to my application, and what i see is that the first print ("Open Report using RDC") occurs, and the second print is never listed..
I don't see any errors or log prints appear in Crystal logs.
Any help would be greatly appriciated!Hi Dana,
Long time since we've talked. I suggest logging a case in SMP. If you do let me know what the case number is and I'll pick it up. I'll also send you an e-mail....
I take that back, because R2 is no longer supported you can't log a case....
First issue is the RDC is not supported in .NET, second issue is the RDC is only available in CR XI R2 which is no longer supported.
And finally it's about time you update your app to use the CR .NET Assemblies. All of our OEM Partners are now doing so.
In the mean time these 2 are the only versions officially not supported:
https://smpdl.sap-ag.de/~sapidp/012002523100009114712011E/crxir2sp4_fullbuild.exe
https://smpdl.sap-ag.de/~sapidp/012002523100009114412011E/crxir2sp6_incremental.exe
See if these help. You can get the runtime distribution from here:
SAP Crystal Solutions Downloads
Install Fix Pack 6.4 to get all of the fixes and use the redist packages for that version also.
Thanks
Don
Edited by: Don Williams on Jan 24, 2012 7:55 AM -
Hello,
I have an issue that prevents me from choosing the alternate location of sync'ed OneDrive for Business folders. I'm trying to setup an alternate location for synchronization, using the guidelines found in the Office support web site.
The option to replace the default sync location appears the first time a SharePoint 2013 Library or OneDrive for Business is setup for synchronization.
Here would be a link to a snapshot (since my account has not been verified): /Forums/getfile/443247
At this point, the Library or personal OneDrive folder syncs correctly and the files are stored in the alternate choosen location.
However, on when trying to setup an additionnal Library for synchronization, the alternate sync location has not been saved and reverts to the default sync location. Furthermore, the option to replace the default sync location does no longer appear
on the dialog box.
Here would be a link to a snapshot (since my account has not been verified): /Forums/getfile/443249
I have tried by first sync'ing a SharePoint 2013 Library (instead of the personal OneDrive for Business folder) with the same result. Meaning that the first SharePoint 2013 Library correctly sync's in the alternate location of my choosing. However,
any subsequent attempts to sync either a SharePoint 2013 Library or the OneDrive for Business folder results in them being sync'ed to the original default location in a folder under the user's profile directory.
I'm using Office Professional Plus 2013 (64bits). The version of Groove.exe is 15.0.4605.1000 (12th March 2014 - 13 383 360 bytes).
Is there something I'm missing ?
Thanks for any help on this issue.Hi SpringComp,
You can change the root path for libraries you sync to your computer, though you can do this only if you’re not currently syncing any libraries. If you’re already syncing at least one library and you want to change the path, you must first
stop syncing all libraries. Then, the first time you run the OneDrive for Business wizard to sync a library to your computer, you’ll see an option to change the location.
More information, please refer to the link:
http://office.microsoft.com/en-001/support/change-the-location-where-you-sync-sharepoint-libraries-on-your-computer-HA102893480.aspx
I hope this helps.
Thanks,
Wendy
Wendy Li
TechNet Community Support -
Hi All,
I need to create a report using report painter.
Requirement goes like this:
1) A report of quantities on a cost center against a cost element.
2)The quantities should be for each month from jan to Dec
I have used SMEG (QUANTITY) as the Basic Key figure.
General Selection:
Version 0
Fiscal year 1GJAHR Fiscal Year
Value type 4
CO area 0002
Cost center 1KOSET Cost center group
I am trying to get the quantity (MENGE) booked using F-02 on a cost center.
But my problem is that, against a cost center there are many other quantities booked.
I am not getting the output as my report painter query is not using COEP table and my data is available on COEP table.It queries COSS & COSP
Is there is a way that i can use my report painter queiry this table.
Regards
Rahmanreolved
-
"Output could not be issued" when trying to display the layout of the order
"Output could not be issued" error comes when trying the display layout of the order confirmation.
ThanksHi,
This error is faced generlly when output type has not been assigned to the document type.In sales order Follow the path
Goto-Extras-Output-Header-Edit.
Here mention the output type and communication medium and save the document.
Now try to issue the output.
I assume that you have maintain the output determination procedure in SPRO.
For automatic determination of output maintain the output condition record
Reward points if useful
Regards,
Amrish Purohit -
Drill down value not matching with Displayed Report Painter Issue-GR55
Hi,
Need your help for an issue in drill down value of report painter from actual cost coloumn.
I have created a new report group based on OSS Note-157720 in GR55 Traction. This new report group will provide data of Planed / Actual cost, Planned / Actual Quantity of the project in range of fiscal year/periods. The issue in this report is displayed data of actual cost is not matching with drill down data. The actual cost coloumn is formula coloumn which framed by subtracting All periods cost coloumn, Before Periods Cost Coloumn and After periods cost coloumn.
Could you suggest on this issue.
Thank you for your cooperation.
Regards,
RakeshThe report you are running first might have been created with some hidden columns that contain more than one variables relating to period and fiscal year. These may not be matching those that are required to run the drilldown. Look into the definition of the drilldown report. If you would want to match the first report, It may be better to identify which report runs on drilldown and the run that report with the required parameters.
-
Sql Server Web Edition Reporting Services errors when trying to connect to Windows Azure SQL
I am using a preconfigured image from the Azure VM Gallery to create a VM.
--> Sql Server 2012 SP1 Web running under Windows Server 2008 R2
After configuring Reporting Services I get the following error when trying to run a report that connects to my Azure SQL db.
An error has occurred during report processing. (rsProcessingAborted)
An attempt has been made to use a data extension 'SQLAZURE' that is either not registered for this report server or is not supported in this edition of Reporting Services. (rsDataExtensionNotFound)
On the VM using SSMS I can connect to the Azure SQL db. On the VM in Report Builder when I define a connection I get a similar error to the one above when I test that connection. I am using Microsoft Azure SQL as the data source type.
Interestingly in Report Builder, if I proceed past the connection definition, I can see the tables from my Azure SQL db in the dataset definition page.
One more note. If I use a different image from the Gallery (Sql Server 2012 Standard SP1 on Windows Server 2012) my report builder connection works and the reports run fine. I believe that the Azure documentation says that Sql Server Web edition
is an acceptable choice for the SSRS on VM for reporting.
Any thoughts or suggestions?
Thanks -- Tom ReillyHello,
A VM with SQL Server 2008 R2 or 2012 supports all Reporting Services features, including all supported data sources, customization and extensibility, and scheduled report execution and delivery.
Did you run the report in Report Manager,or preview the report in Report Builder? Which version of the Report Builder you installed in the Windows Azure VM? SQL Reporting does not support reports created from Report Builder 1.0 or 2.0. You can create reports
using Report Builder 3.0 and then upload the reports.
What's more, please also check the database source credential of the report.
Regards,
Fanny Liu
If you have any feedback on our support, please click here.
Fanny Liu
TechNet Community Support -
Report painter issue regarding break up of gl accounts for rows
Hi
I am facing a problem while designing report for balance sheet in report painter. while selecting report format option in formatting option in menu bar system is displaying even zero value rows also. but the problem is for rows which have n number of accounts , it is not showing break up. it is displaying in a single row as a range and its total .
If i go for " print row option" in formatiing in menu bar, then system is not displaying rows with zero balance in accounts . but i am able to get break up over there.
I need both 0 balance rows to be displayed in output as well i need breakup for remaining rows also.
plz suggets me .
Regards
VijayHi vijay kumar,
You need to explode the charactor of Account Number for the item you want to "show break up".
In tc: GR32, double click the item you want to "show break up", system popups the screen for changing charactors values, scroll the horizontal scroll bar to right, you will see the column Explode, change the default value "No explode" to "Explode" for the charactor Account Number and save the report. Then you will see the accounts when you run the report again.
Maybe you are looking for
-
How to get distinct values from this view
I had created a view to get to display from 2 tables.But i got duplicate values in this. Please give any solution for this view code. CREATE OR REPLACE VIEW TRADEQUOTEHISTORY_VIEW (BOND_ID, BOND_NAME, COMM_PER_SHARE, QUOTE_DATE_TIME, TYPE, STOCK_PRIC
-
Autocomplete from another table in another sheet in same file
I found how to get a price to autofill using VLOOKUP. I like it. Now, I want to be lazier and not need to type in the full item name in the row heading completely & exactly every time. I also don't want to have a drop down menu in every item line in
-
Business area not picking up for substitution...
Hi I have created susbstitution for GL account..for substituting business area for GL account....(tax GL account Tax line item is automatically created in document.....i want business area to be pickep up for the same. We want substitution create for
-
Error "there was a problem connecting to the server" came up when trying to scant to email on my Chromebook via the clouds. Was working. prior to being shut down for a week while on vacation. I can scan to a ssd chip and get to PC that way. I pr
-
Epson 1640xl does't work with image capture.
I have an epson 1640XL scanner. I know the epson scan utiliy doesn't work with Snow Leopard. I have been instructed to use Image Capture. I see the scanner on the left, and when it "overview" scan's the image the scanner makes noise but doesn't produ