Trying to understand Bill and exact dates of Fees.
I am trying to figure out my bill. In particular why I am getting charged the Reconnect Fees when my phones were not disconnected this time.
How do I tell when the reconnect fee was applied and for what billing period? I would like to know if the fees were from a past due or this current period.
Is there a place where I can see the exact dates when the fees were applied? As of right now I know that we get charged a month ahead for each period but when I look at the bill it only shows the month behind. For example today is January 31 and my billing period when I view my bill on the website says December 27th, 2012 - January 26th, 2013. My past due amount which I just paid was the correct amount for not having the reconnect fee and but my remaining amount is showing the reconnect fee. I want to know if the reconnect fee is listed there from the month before, December, or if it is for the month of January. I do not remember my phones being turned off when I last paid the bill at the at the end of last December. I got the text message that my bill was due and I paid it. That is why I would like to know the exact date in which the fees were applied. Right now it looks as if it is being applied to the January billing period. Unless I am wrong and I was disconnected.
If you all do not list the exact dates can you think about doing so? It would be a lot more helpful in understanding the bill when looking at it if we know the exact dates in which certain things are being applied. Right now the summary we get is a bit confusing as it is.
Thanks tikibar1 that View Printable Bill helped a bit.
@Ann154
Here is an example of part of my bill for just one of the Lines. I hope it post in a readable way. (Note: See the Line Access 01/27 - 02/26 and then the Reconnect Fee of $15.00)
Does that mean that the Reconnect Fee is for this up coming month as if I just had it reconnected?
Charges
Monthly Access Charges
Line Access 01/27 - 02/26 9.99
$9.99
Usage Charges
Voice Allowance Used Billable Cost
SharePlan minutes 2000 (shared) 148 -- --
Mobile to Mobile minutes unlimited 238 -- --
Night/Weekend minutes unlimited 270 -- --
Total Voice $.00
Messaging
Text, Picture & Video messages unlimited 27 -- --
Total Messaging $.00
Total Usage Charges $.00
Verizon Wireless' Surcharges +
Fed Universal Service Charge 2.00
Regulatory Charge .16
Administrative Charge .90
Other Charges and Credits
Cellular Service - Reconnect 15.00
$18.06
Taxes, Governmental Surcharges and Fees +
IL State 911 Fee .73
IL State Telecom Excise Tax 4.53
$5.26
Total Current Charges for (Removed Phone #) $33.31
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Hi all,
I'm a little bit disappointed. I make effort to write questions with the hope someone in this forum can help me, but it seems nobody has interest about it.
I try once again:
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and the loop:
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So it gives me all the Service Request records in the time range. For example From Date: 31.01.2005 til To Date 01.02.2005.
It doesn't give me the To Date result unfortunately, it gives me the correct From Date, but as To Date the result is the same as From Date, what is false.
The results should be:
From Date: 31.01.2005
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Can anybody help me? please?
RegardsI can but I was looking for a direct API use if possible here. Our library is so compilcated that I can't use the direct select statement.
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KP -
Trying to Understand Login and State Management
Hi,
I'm relatively new to Flex 3. I'm using the builder.
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My goal is to understand how ColdFusion (with a SQL Server backend) and Flex work together to help a user login and helps that same user maintain it's state.
I understand so far that Flex can use a RemoteObject to go back and use ColdFusion services to authenticate a user. I'd like to go this route.
My problem is understanding how does Flex maintains information about the particular logged in user. Am I correct in thinking that once I return information from ColdFusion about the user, I create a global object in Flex that keeps the user's information that I can refer to as I transition between the View States (states) in my Flex application? And I can just refer to that local user object if I need to make sure I'm still dealing with the same user?
Is it really that simple? Also, I've had been trying to review COUNTLESS articles on the Login/Authentication process. One that I came across suggested placing a UUID on the server for a particular logged in user, and then I just return that back to Flex. Does anyone recommend that? I know that when I used sessions in ColdFusion, the server did this, so I'm not sure which routes to take.
By the way, I'm designing an Intranet that's only accessible from our internal network, but I want my colleagues to be able to login securely. And like I said before, I'm using ColdFusion (and CF services), SQL Server, and Flex 3.
I'm teaching myself Flex through the Video Training - Flex 3, but haven't seen much on this yet. If someone could provide a good outline of the Best Practices to Login, Authenticate, and Maintain Session State throughout a Flex Application (using a ColdFusion and SQL Server backend), I'd be highly appreciative.
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Thanks for responding.
Here's one solution I found located on http://www.blogna.org/blog/adobe-flash/flex-and-flash-rias-authentication-sessions-scalabi lity/#comment-843
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I'm trying to work with the ViewStack, but keep on getting error 1009, which means that the object I'm trying to use is not created yet. I just dont understand why the object is not created and at which point will it get created.
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Now the question is, why is the object null on the first call? How to initialize the value and avoid this problem?
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<?xml version="1.0" encoding="utf-8"?>
<mx:Application xmlns:mx="http://www.adobe.com/2006/mxml" layout="absolute" initialize="init(event)">
<mx:Script>
<![CDATA[
import mx.collections.ArrayCollection;
import mx.controls.Alert;
private function init(event:Event) : void
var arr:Array = new Array();
arr.push("1", "2", "3");
combo.dataProvider = new ArrayCollection(arr);
private function func(event:Event) : void
try
stack.selectedIndex = 1;
t1.text = "ok";
catch(error:Error)
Alert.show(error.message);
]]>
</mx:Script>
<mx:ComboBox id="combo" change="func(event)" />
<mx:ViewStack id="stack" x="29" y="108">
<mx:Canvas id="zero" label="zz">
<mx:TextArea id="t0" text="Zero"/>
</mx:Canvas>
<mx:Canvas id="one" label="uno">
<mx:TextArea id="t1" text="Numero uno"/>
</mx:Canvas>
<mx:Canvas id="two" label="duo">
<mx:TextArea id="t2" text="Number two"/>
</mx:Canvas>
</mx:ViewStack>
</mx:Application>Hi, jake_flex
when u intally change the combo unless until ur contol not go the view stack component thes inner component are not intialise.
for that u manually decleare creation policy all of the view stack
for ur program change the following line
<mx:ViewStack id="stack" x="29" y="108" creationPlicy="all">
i think this work.
if u get sucess then give me mark.
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Trying to understand blocksize and the correct sizing requirements..
I'm getting the following error after migrating a cube from a 9.3 environment to an 11 environment while running a calc script - which by the way works fine in 9.3 with identical cache settings.
Error: 1012704 Dynamic Calc processor cannot lock more than [2] ESM blocks during the calculation, please increase CalcLockBlock setting and then retry(a small data cache setting could also cause this problem, please check the data cache size setting).
When applying the following formula to our environment I get 122.84 Allocateable blocks, if my math is correct. The error is stating "[2] ESM" blocks so I must be doing something wrong?
Data Cache in K
______________ = Number of blocks that can be allocated
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Trying to understand creating and using packages
Hi all,
I do not understand this problem... Package "shared.utilities" is an entire separate package from "alertsystem". When I comment out "package alertsystem", I get C:\Wdt\alertsystem\File_Handling.java:4: package shared.utilities does not exist
import shared.utilities.*;
^
Below is the code
// package alertsystem;
import shared.utilities.*;
import java.io.*;
import java.util.*;
import java.text.*;
class File_Handling
private long time_buff;
private String alertDir;
private String archPath;
private SData buff;
On the other hand, if I do NOT comment out "package alertsystem", no problem. I do not understand why I need to include "package alertsystem". If I am writing a simple module and want to use one of the library in "shared.utilities", do I always need to make sure all my codes come under a package?
Thanks in advance.Hi,
This is funny... if I do this....
package alertsystem;
import shared.utilities.*;
import java.io.*;
import java.util.*;
import java.text.*;
class File_Handling
private long time_buff;
private String alertDir;
without including the path to the jar file, NO PROBLEM during compilation and run (in this case, util.jar, which is actually the shared.utilities package). But, if I do
// package alertsystem;
import shared.utilities.*;
import java.io.*;
import java.util.*;
import java.text.*;
I still get the same error problem...
C:\Wdt\alertsystem\File_Handling.java:4: package shared.utilities does not exist
import shared.utilities.*;
In other words, if I include or I do not include the path of to the jar file and do this...
package alertsystem;
import shared.utilities.*;
import java.io.*;
import java.util.*;
import java.text.*;
Then, No problem with compilation and running. However, if I do not include "package alertsystem", I get compilation problem.
The jar file consists only of *.class files that I have compiled without a single problem. I included "package shared.utilities;" in all the files of the util.jar
Funny isn't it?
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Hi,
What's your classpath look like when you compile when
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Any help is greatly appreciated.
What I try to get done is as follows:
My external xml file structure has a header and 2 sub-sections with eachsub-section having multiple nodes.
<BOM>
<Header>
<Article>123</Article>
<Description></Description>
<Language>E</Language>
<Plant>QUO</Plant>
<ValidFrom>20120424</ValidFrom>
<ValidTo></ValidTo>
<BaseQty>1000</BaseQty>
<BaseUoM>kg</BaseUoM>
<Price>212.51</Price>
<LCFfound>Yes</LCFfound>
<Ingredients>
<Ingredient>
<Counter>1</Counter>
<Component>G52000</Component>
<CompDescr>AGRICULTURAL SALT</CompDescr>
<Quantity>557.941</Quantity>
<UoM>kg</UoM>
<Percentage>55.794</Percentage>
<Available>Yes</Available>
<MinQty></MinQty>
<MaxQty></MaxQty>
</Ingredient>
<Ingredient>
<Counter>2</Counter>
<Component>G51000</Component>
<CompDescr>SYLVINITE</CompDescr>
<Quantity>273.501</Quantity>
<UoM>kg</UoM>
<Percentage>27.350</Percentage>
<Available>Yes</Available>
<MinQty></MinQty>
<MaxQty></MaxQty>
</Ingredient>
<Nutrients>
<Nutrient>
<Counter>1</Counter>
<CharDescr>WEIGHT</CharDescr>
<Description>WEIGHT</Description>
<Value>553.985</Value>
<Usage>3</Usage>
</Nutrient>
<Nutrient>
<Counter>2</Counter>
<CharDescr>PRICE</CharDescr>
<Description>PRICE</Description>
<Value>212.509</Value>
<Usage>4</Usage>
</Nutrient>
</Nutrients>
</Header>
</BOM>
I can't get the Ingredients/Ingredient and the Nutrients/Nutrient section separated out without loosing the relationship to the Header.
I use the following code to insert into my header table and that works fine:
insert into X_FM_HDR_IMP( ID
,PRODUCT
,DESCRIPTION
,LANG
,ORG
,FROM_DATE
,TO_DATE
,QTY
,UOM
,PRICE
,LCF_FOUND)
select x.*
from xmltable (XMLNAMESPACES(DEFAULT 'http://www.anysite.com/xmltable'),
'/BOM/Header'
passing xmltype(bfilename('XML_IMP_DIR', "testing.xml'), nls_charset_id('CHAR_CS'))
columns ID FOR ORDINALITY
,PRODUCT VARCHAR2(40) path 'Article'
,DESCRIPTION VARCHAR2(254) path 'Description'
,LANG VARCHAR2(5) path 'Language'
,ORG VARCHAR2(3) path 'Plant'
,FROM_DATE VARCHAR2(8) path 'ValidFrom'
,TO_DATE VARCHAR2(8) path 'ValidTo'
,QTY NUMBER path 'BaseQty'
,UOM VARCHAR2(3) path 'BaseUoM'
,PRICE NUMBER path 'Price'
,LCF_FOUND VARCHAR2(1) path 'LCFfound'
) as x;
I need to be able to either load the xml record into one table or preferably into 3 tables such that
<BOM>
<Header>
= record
and
<BOM>
<Header>
<Ingredients>
<Ingredient>
= record with 'Article' and 'Org' from <Header> as columns
and
<BOM>
<Header>
<Nutrients>
<Nutrient>
= record with 'Article' and 'Org' from <Header> as columns
The xml file structure cannot be changed because it is generated by a 3rd party.
Thanks again in advance for any insight on how to get this accomplished.Using the following simplified structure :
create table header_imp (
ID number
, PRODUCT VARCHAR2(40)
, DESCRIPTION VARCHAR2(254)
, LANG VARCHAR2(5)
, ORG VARCHAR2(3)
create table ingredient_imp (
Product varchar2(40)
, org VARCHAR2(3)
, Counter number
, Component varchar2(30)
, CompDescr varchar2(254)
, Quantity number
, UoM varchar2(5)
create table nutrient_imp (
Product varchar2(40)
, org VARCHAR2(3)
, Counter number
, CharDescr varchar2(254)
, Description varchar2(254)
, Value number
, Usage number
);This multitable insert works for me :
insert all
when hrn = 1 then into header_imp
(id, product, description, lang, org)
values (id, product, description, lang, org)
when irn = 1 then into ingredient_imp
(product, org, counter, component, compdescr, quantity, uom)
values (product, org, i_counter, component, compdescr, quantity, uom)
when nrn = 1 then into nutrient_imp
(product, org, counter, chardescr, description, value, usage)
values (product, org, n_counter, chardescr, n_description, value, usage)
select -- header info
h.id
, h.product
, h.description
, h.lang
, h.org
, rownum hrn
-- ingredient info
, i.counter i_counter
, i.component
, i.compdescr
, i.quantity
, i.uom
, row_number() over(partition by irn order by null) irn
-- nutrient info
, n.counter n_counter
, n.chardescr
, n.description n_description
, n.value
, n.usage
, row_number() over(partition by nrn order by null) nrn
from xmltable (
'/BOM/Header'
passing xmltype(bfilename('TEST_DIR', 'testing.xml'), nls_charset_id('CHAR_CS'))
columns
ID FOR ORDINALITY
, PRODUCT VARCHAR2(40) path 'Article'
, DESCRIPTION VARCHAR2(254) path 'Description'
, LANG VARCHAR2(5) path 'Language'
, ORG VARCHAR2(3) path 'Plant'
, INGREDIENTS XMLType path 'Ingredients'
, NUTRIENTS XMLType path 'Nutrients'
) as h
, xmltable(
'/Ingredients/Ingredient'
passing h.ingredients
columns
Counter number path 'Counter'
, Component varchar2(30) path 'Component'
, CompDescr varchar2(254) path 'CompDescr'
, Quantity number path 'Quantity'
, UoM varchar2(5) path 'UoM'
, irn for ordinality
) i
, xmltable(
'/Nutrients/Nutrient'
passing h.nutrients
columns
Counter number path 'Counter'
, CharDescr varchar2(254) path 'CharDescr'
, Description varchar2(254) path 'Description'
, Value number path 'Value'
, Usage number path 'Usage'
, nrn for ordinality
) n
SQL> select * from header_imp;
ID PRODUCT DESCRIPTION LANG ORG
1 123 E QUO
SQL> select * from ingredient_imp;
PRODUCT ORG COUNTER COMPONENT COMPDESCR QUANTITY UOM
123 QUO 1 G52000 AGRICULTURAL SALT 557,941 kg
123 QUO 2 G51000 SYLVINITE 273,501 kg
SQL> select * from nutrient_imp;
PRODUCT ORG COUNTER CHARDESCR DESCRIPTION VALUE USAGE
123 QUO 1 WEIGHT WEIGHT 553,985 3
123 QUO 2 PRICE PRICE 212,509 4 -
Questions about Using APIs to import Bills and Routings - AND COSTS
Hi Forum - the following is a back-and-forth with a customer about use of APIs - Inventory developer suggested I post the question here. Note the 2nd question - and thanks for any assistance.
SR# 7332152.994 ALCOA
Instructions given to ct:
Q1 - Can I load the bill header and components at the same time?
You should be able to load the bill header and components at the same time. Customer loads bill and component data inserting enough "other" data for each so that the bill sequence id will be derived. For the component record, the assembly item, org and alternate_bom_designator values will be used by BMCOIN to derive the bill_sequence_id.
Example:
INSERT INTO BOM_BILL_OF_MTLS_INTERFACE
ORGANIZATION_CODE,
ITEM_NUMBER,
ALTERNATE_BOM_DESIGNATOR,
PROCESS_FLAG,
TRANSACTION_TYPE
VALUES
'M1',
'&PARENT_ITEM',
NULL,
'1',
'CREATE'
INSERT INTO BOM_INVENTORY_COMPS_INTERFACE b
ORGANIZATION_CODE,
ASSEMBLY_ITEM_NUMBER,
ALTERNATE_BOM_DESIGNATOR,
COMPONENT_ITEM_NUMBER,
OPERATION_SEQ_NUM,
COMPONENT_QUANTITY,
EFFECTIVITY_DATE,
PROCESS_FLAG,
TRANSACTION_TYPE
VALUES
'M1',
'&PARENT_ITEM',
NULL,
'&COMPONENT_ITEM',
1,
1,
trunc(SYSDATE),
1,
'CREATE'
Hi Aruna, some additional information that may be useful:
We can load/create the bill header and components at the same time using the scripts given (as above)
Required Data for Creating a Routing : assembly_item_id,
organization_id, routing_type, transaction_type, process_flag
And following scripts can be used to load routing header and operations equences.
INSERT INTO BOM_OP_ROUTINGS_INTERFACE
(assembly_item_id,
organization_id,
routing_type,
transaction_type,
process_flag)
VALUES (2255800,207,1,'Create',1);
INSERT INTO BOM_OP_SEQUENCES_INTERFACE
(assembly_item_id,
organization_id,
operation_seq_num,
Department_code,
effectivity_date,
transaction_type,
process_flag,
operation_description)
VALUES
(2255800,207,100,'ASSEMBLY',
to_date('24-FEB-2009'),'Create',1,
'Paint Wagon');
Q2: One more question, can an expense item can be added to the bill and can contribute the cost.
As there is a confusion of what I asked, below I am rephrasing my question
By an Expense Inventory Item, I mean an item that is just tracked for quantity only i.e.,Checking the attributes - Inventory Item, Stockable, Transactable under Inventory Tab and not checking the attribute - 'Inventory Asset Value'.
My question here is, For these Expense Inventory Items, What is the difference between having the 'Costing enabled' attribute turned ON as opposed to having it UNCHECKED
*Q3 I have tried to load the items and I could only load 1st level of components but could not load second level of bom at the same time.
While inserting I have inserted plan level too.
Please let me know if I have to do anything different to load second level.*
Thanks
JamesYou may want to look at using the more4apps bill of materials wizard, an excel based solution for uploading assemblies and their components.
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Scheduling start date and end dates
Hello Gurus,
I am trying to understand the schedule start date and schedule end date functionality in Plant Maintenance. I do understand the basic start and end dates. Currently I set up u201C3.Do not adjust basic dates, dep rqmts to order startu201D and set the scheduling type as u201CForwardsu201D . Please note we donu2019t do any capacity planning or leveling.
So my question is, why the scheduling start date is defaults to the basic start date for forwards and scheduling finish date defaults to basic finish date for backwards ? I tried adding couple of operations and save the work order. It did not change anything in schedule dates.
Do we really need to care about scheduling dates if we donu2019t use capacity planning ?
Please advise
MaheeHi,
As per priority, final dates would be calculated as we will define the duration based on the priprity. Either current date or basic date only applied to Scheduling start date.
You can change the scheduling start date so that based on priority, final date would be calculated.
Regards,
Maheswaran. -
EPrint Billing and Shipping Dropdowns
I am trying to setup my billing and shipping preferences on ePrint but when I get to the dropdown for (either) shipping or billing, the state of Michigan is not listed, so I am unable to complete my preferences and save my billing information. Any help would be greatly appreciated!
Hi Tandems82,
I understand that you're trying to setup billing and shipping for ePrint. I have a couple of questions for you. What are you trying to setup billing information for? Are you trying to setup Instant Ink?
Let me know and I will get you pointed in the right direction. -
BAPI_PO_CHANGE is not updating Quantity and Delivary Date
HI All,
I am trying to update quantity and delivery date of PO by using BAPI_PO_CHANGE,
by Passing below parameters.
As per the documentation:
Parameter: PURCHASEORDER 4500003477
Parameter: POHEADER
PMNTTRMS = 0002
PUR_GROUP = 002
Parameter: POHEADERX
PMNTTRMS = X
PUR_GROUP = X
Parameter: POITEM
PO_ITEM = 00001
CONF_CTRL = 0001
Parameter: POITEMX
PO_ITEM = 00001
PO_ITEMX = X
CONF_CTRL = X
Parameter: POSCHEDULE
PO_ITEM = 00001
SCHED_LINE = 0001
QUANTITY = 10.000
Parameter: POSCHEDULEX
PO_ITEM = 00001
SCHED_LINE = 0001
PO_ITEMX = X
SCHED_LINEX = X
QUANTITY = X
Parameter: POACCOUNT
PO_ITEM = 00001
SERIAL_NO = 01
GL_ACCOUNT = 0000400020
Parameter: POACCOUNTX
PO_ITEM = 00001
SERIAL_NO = 01
PO_ITEMX = X
SERIAL_NOX = X
GL_ACCOUNT = X
and executed bapi_transaction_commit FM immediate, i am getting below message
Purchase Orders 4500003477 changed
Error transferring ExtensionIn data for enhancement CI_COBL
No message generated for output of purchasing document
but quantity and delivery date was not changed..
why this quantity and delivery date is not changing?
<removed by moderator>
REgards,
Suresh.D
Edited by: Thomas Zloch on Feb 27, 2012Hi ,
Are you trying to pass the non char fields in CI_COBL. Please look at the link below .
[http://forums.sdn.sap.com/thread.jspa?threadID=1137795] .
Also serach for the similar threads when and notes while transferring currency and quantity field in different custom includes of the EKPO ...
Thanks,
Anjaneya . -
Connecting to datasource and retrieve, insert and update data in SQL Server
hi,
i am trying to retrieve, insert and update data from SQL Server 2000 and display in JSPDynPage and is for Portal Application. I have already created datasource in visual composer. Is there any sample codes for mi to use it as reference???
Thanks
Regards,
shixuanHi,
See this link
https://www.sdn.sap.com/irj/sdn/go/portal/prtroot/docs/library/uuid/6209b52e-0401-0010-6a9f-d40ec3a09424
Regards,
Senthil kumar K. -
Extracting REFX Fixtures and fittings data
Hi All,
I am trying to extract Fixtures and fittings data of REFX. Going through SDN, it can be done by
extracting from a view on VIBDCHARACT and VIBDPR/VIBDBU/...
or
use function module "BAPI_RE_RO_GET_LIST"
Has anyone tried either of the approach? which is better option
Thank you,
Vijay
Edited by: Vijay krishnan on Sep 1, 2010 5:16 PMIt's up to your requirement to choose FM or View... you may consider following things
But I would choose FM, when we have complex logic to retrieve data from tables and when there is no join conditions.
View, If you have join relationship between them according to your req then you choose View
Maybe you are looking for
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Issues after IOS 8.0.2 Update.
copy and pasting is difficult or impossible. Hyperlinks take 2-3 clicks to load. Tabs refresh too often to make working in tabs reasonably useful at all. Typing has lag between what i type and appearing on the screen.
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Web service response processing inside a BPM
Hi Experts, Please can you let me know if it is possible to achieve the following inside a BPM: u2022 Once you getting the web service SOAP response, determine if itu2019s a SOAP fault or a normal web service response. u2022 If itu2019s a SO
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Hi, Can anyone help me, what is the difference between open items salses report and Backorder sales report? Explain in detail immediately if any one knows the result. bye shriraam.s
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Yeah I've installed Quicktime onto my laptop but when i go onto Itunes and try to watch a video it says I need to install Quicktime what do I do?
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LCK files being created with PAK files when processed through ODDC
I'm encountering a problem where after commit of a batch in ODDC the files are transferred to the server, but the PAK files are accompanied by a LCK file that is preventing the Distributed Document Capture service from picking them up and processing