What is the process for separating two numbers?
My phone line has been on my dad's account and we would like to separate them into two accounts so I have my own. Awhile back we went into a Verizon store and they said it had to be done over the phone and we never have got around to doing that. Has this process changed, if not what is the number we need to call? Thanks!
Assumption of Liability process can be completed at a corporate Verizon Wireless store or by calling Customer Support at 1-800-922-0204 from a landline or *611 from the account owner's cell phone.
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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! -
What is the process for SQL Server 2005 patch update
hi,
i have 2 production SQL Server2005 Database servers in cluster ,
what is the process for applying patches.
SaidireddyIn 2005 you can do it in two ways...
Method 1 :
With SQL Server 2005,
when you start installing cluster service pack (or hotfix), it must be launched on the active node(node
that hosts the instance). When installing the Setup will launch simultaneously "remote silence" on all passive nodes. All nodes in the cluster containing the SQL Server instance are updated in the same time.
Method 2: First you can install in passive node then you can install in the active node, In this way you can save your down time ( If you start in the active node it will check in the passive, and if its installed already then it skips that
and start applying in the active node ), but most of the DBA's follows only first method because they may not aware of this or just they follows Microsoft common method.
SQL 2008 and Later....
1. Apply the hotfix on pasive node N2
2. Reboot the passive node N2
3. Failover on SQL resource : the passive node become the active node
4. Apply the hotfix on the passive node N1
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Raju Rasagounder Sr MSSQL DBA -
Can I know what is the process for us to do Good Return from customer?
Can I know what is the process for us to do Good Return from customer?
hi
this ques need to be posted in sd forum..
to answer this u can use order type RE to create Return order and then u can do the goods receipt..
or u can use the process mentioned in first reply.
regards
CMM -
What is the prerequisite for creating two hierarchies from one fact table i
Hi,
what is the prerequisite for creating two hierarchies from one a single fact table.
Rgds,
Amitcreate global temporary table t1 as select * from trn_ordbase on commit preserve rows;You CANNOT use this syntax.
http://download-east.oracle.com/docs/cd/B19188_01/doc/B15917/sqcmd.htm
http://download-east.oracle.com/docs/cd/B19188_01/doc/B15917/glob_tab.gif
http://download-east.oracle.com/docs/cd/B19188_01/doc/B15917/cre_tabl.gif -
What is the process for rollout projects and upgradation projects
Hi All,
Hope you all are doing well.
I am a new bee in oracle apps. Just would like to understand what is the process for rollout projects and upgradation projects and difference between them.
Please help me. Thanks in advance.
Regards,
MMDon't know which phone do you use but if you configure your Exchange ActiSync Profile on your Phone there is an option for the CONTACTS. Basically Exchange account will pull the contacts from your profile.. I did test it on my iPhone 5 and works for mee
Where Technology Meets Talent -
What is the process for MM and asset account a/c and FI
what is the process for MM and asset account a/c and FI
Regard's
VYadavDear,
There are below steps involved...
1. Create purchase requisition..
2. Create purchase order from above or you can directly creating it. Make sure you are entering A in account assignment category..
3. Do the GR of asset based on PO created in step 2 in transction MIGO..
4. Pass the invoice in MIRO.
5. Make payment.
6. Clear the vendor account...
Result is Asset is aquired......
Regards,
Chintan Joshi -
What is the Process for setting up smart view
what is the Process for setting up smart view
hehehe ..... cant stop it :)
@next level ::try this
Re: Smart View configuration
apart from this try giving point the people who post answers to u .. :) so that they will reply ur post or question which u ask now days non stop...try to minimize ur qs in single post it would be better -
What is the process for recording vinyl records into iTunes using the Sony USB Turntable?
What is the process for recording vinyl records into iTunes using the Sony USB Turntable?
What is the process for recording vinyl records into iTunes using the Sony USB Turntable?
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I am part of a family plan (not the owner) and my boyfriend is part of a family plan, also not the owner of it. We would like to transfer both of our phones out of our family plans and do our own share plan together. What is the process for this??
Have each of the account owners contact Verizon to let them know that you will be doing an AOL on your lines. Then you call Verizon and explain what you want to do. Just that easy. But understand you'll have to get the new Share everything plan.
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What is the process for adding customize coponent in palette of VE eclipse
Hi ,
I use our own enhaunced components for our applications inherited from standard swing components.
so I need to put our own components into the palette of the visual editor to simply add them to the design.
what is the process for this ?.
Thanks.Hi,
you have to create a plugin for that.
See http://dev.eclipse.org/viewcvs/indextools.cgi/org.eclipse.ve.examples/org.eclipse.ve.example.customwidget/WebContent/index.html
- Michael -
What is the process for reinstalling my product to a new laptop?
Hello,
I purchased Adobe Acrobat Professional version 9 Win on Dec 2, 2011.It was installed in my old laptop and now want install it in my new laptop. How to go about this, just want to know the process for re installation. Is the installation restricted to only one laptop?
Thanks.
HonoryHi honorary2009_mangi,
You need to deactivate the software from the older machine before installing it on the new machine else it will increase the activation count.
To deactivate the software you need to launch Acrobat, go to 'Help' menu and select 'Deactivate'
Please refer : Activation & Deactivation Help
As per the End User License Agreement (EULA), a retail license is good to be installed on 2 computers.
Regards,
Rave -
What is the process for tracking exact location of a child
What is the process to track the where abouts of a child? What is the best program that gives you exact location? Using a iphone 3GS and the childs phone is a iphone 4.
hi ,
goto VF03> enter your billing doc. num>menu>goto>header-->issue output..!
here you have to assign your output type .
Thanks & regards,
Sasi Kanth. -
What is the process for EBS when customer directly deposits the payment in
Hi,
Please tell me the process for EBS when customer deposits the payment in bank
1) via Cheque
2) via Bank Transfer
Can we clear the open items automatically if yes, then how please tell me how to map it so that it can be cleared when we have EBS?
Thanks and Regards
NitinHi Expert,
Please select the Standard algorithm - 001 and don't change any settings in EBS, Just follow the below steps:
Just configure the below steps:
1. Delete Bank Statement Test Data in T-Code: SE38
PROGRAM - RFEBKA96
Execute
On the Delete Buffer screen, enter the following data:
Field name User action and values
ANWND 0001
Choose Execute to continue.
On the Delete Buffer screen, select the bank statement files to be deleted and choose the Delete statements button.
By this Step the Result is:
The bank statement previously created is deleted, thus allowing you to re-create the current dayu2019s bank statement.
2. Create BAI File
Use this step, you create the bank statement input file.
Prerequisites: You must delete the existing bank statement file to create a new bank statement.
Procedure
Go to T-Code:SE38
Program - RFEBKAT5
Choose Execute to continue.
On the General test data for BAI bank statement and create open items screen, enter the necessary data.
Description User action and values Comment
EOD Select
EOD File name RECON1
Company code XXXX
House Bank ABC
House Bank Account 1234XXXXX
Posting Offset Account 111000(Provide Offset Account)
Statement date Yesterdayu2019s date
Invoice date Yesterdayu2019s date
Generate items Select this field
Open items 2(Provide the Open Items)
Last w/diff Select this field
Extrn/Trns 165
Amount 1000
Customer XYZ(Provide the Customer Account)
Increase by 50
Document type DR
With bank details Select this field
Debit posting key 01
With ref. data Select this field
Credit posting key 50
XBLNR Select this field
Generate items Select this field
Debit posting key 40
Document type SA
Credit posting key 50
Specific Select this button
Checks Out 575 ++++++++07 58.5! Exclamation mark goes in 2nd column
Funds Out 495 ++++++++01 1500 200200665757699
Funds In 398 ++++++++08 150 BANK CHARGE
Choose Execute to continue.
Result
The BAI file is displayed.
3. Execute Bank Statement Reconciliation Program
T-Code: FF.5
Field name Description User action and values
Import data Select
Workstation upload Deselect
FEBFORMAT Elect. bank statement format A
FEBAUSZF Statement file RECON1
FEBFILTER2 XBLNR number interval 199900000000000 to 200099999999999
Print bank statement (Output controls tab) Select
Print posting log(Output controls tab) Select
Print statistics(Output controls tab) Select
Choose Execute to continue.
Result:The bank reconciliation program RFEBKA00 uploads the BAI file created in the previous step. As a result, the open items created in the previous step, have been cleared. You can display the journal entries of these postings by using transaction code FB03.
Regards,
GK
SAP -
When originally setting up iCloud, on both our iphones, my husband and I used the same email address (mine). What a big mistake! We really only wanted to share the same id for purchasing in itunes, not sharing everything else (or so i now figured out). If we want to give him his own iCloud id, what exactly is the process? Will he lose all of his contacts and have to input them all again, or can he restore a backup from his iTunes on his computer? I hate having all of his contacts on my iPhone, and vice versa, but i have messed up his phone before trying to do this and I am freaked out about doing it again. I just want to be sure of the process before I try again. Any help would be appreciated.
When originally setting up iCloud, on both our iphones, my husband and I used the same email address (mine). What a big mistake! We really only wanted to share the same id for purchasing in itunes, not sharing everything else (or so i now figured out). If we want to give him his own iCloud id, what exactly is the process? Will he lose all of his contacts and have to input them all again, or can he restore a backup from his iTunes on his computer? I hate having all of his contacts on my iPhone, and vice versa, but i have messed up his phone before trying to do this and I am freaked out about doing it again. I just want to be sure of the process before I try again. Any help would be appreciated.
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