What the difference between u0093Valuate GL Account Open Itemsu0094 and u0093Valuate G/

hi gurus
What the difference between “Valuate GL Account Open Items” and “Valuate G/L Account Balances”?
We found out that when we perform valuate GL account Open items there will be reversal done at the same time whereas when we perform Valuate G/L Account Balances there is NO reversal posting even though we hv entered the reversal posting date and Period.
Pls advise which one we should perform?

“Valuate GL Account Open Items” are for open item managed accounts including vendor/customer accounts. The valuation is performed for each (open) line items on key date specified.
"“Valuate GL Balance" is for account NOT managed on Open Item basis but managed in foreign currency. The period balance of key date in foreign currency is valuated. Reversal document can be created by selecting 'Reverse postings' in "Postings" tab.
Kyoko

Similar Messages

  • Whats the difference between a loop at where cndition and a read statmnt

    Hi.
    Whats the difference between a loop at where cndition and a read statmnt??
    The read statement fails but the loop at where cond works fine...
    READ TABLE t_stpo INTO wa_stpo
                                      WITH KEY idnrk = wa_keko-matnr
                                      BINARY SEARCH.
    LOOP at  t_stpo into wa_stpo where idnrk = wa_keko-matnr.
         endloop.
    Why is it so??

    Hi..
    Check out the Differences below.
    <b>SORT T_STPO BY MATNR.</b>
    <b>READ TABLE t_stpo INTO wa_stpo
    WITH KEY idnrk = wa_keko-matnr
    BINARY SEARCH.</b>
    The READ TABLE statement reads a single record from internal table.
    Binary search can be used to optimize the Search time based on key.
    But Sorting is must before using BINARY SEARCH.
    Always use READ TABLE When u need a single row from internal table.
    Bcoz it will not process all the records of internal table.
    <b>LOOP at t_stpo into wa_stpo where idnrk = wa_keko-matnr.
    endloop.</b>
    The above LOOP .. ENDLOOP statement using WHERE Condition is used when there can be multiple rows satisfying the Condition.
    It will actually Processes all the Records in internal table and returns only the records matching the condition.
    So it will always take more time.
    <b>Reward if Helpful</b>

  • Whats the difference between RFC destination of type "HTTP" and "TCP/IP"

    Hi Folks,
    I want to know the difference between RFC destination of type "H" and "T".
    In what instances/tasks we would use them?
    Looking forward for your valuable answers...
    Cheers,
    Ram.

    Type of RFC connection.
    By entering the type of RFC connection, you specify the communication method (TCP or SNA) and the logon type in the target sys
    Type T (TCP/IP) destinations are connections to external programs that use the RFC API to receive 'Remote Function Calls'. You must specify the host name and the pathname of the program to be started. The communication method depends on how you select the program location.
    Type H is the HTTP connection to R/3 system
    Type G is the HTTP Connection to external server

  • Whats the difference between a German Tiger install DVD and a English one ?

    Title says it all really.
    Apples online store gives an option of German or international English Tiger (Intel). If I get a German DVD (the local language) can I install in English or not?
    Delivery time tot the international English goes up from 24hrs to 5 days
    TIA.

    You can install English language files for Tiger from the German Tiger installation DVD. The difference between the packages is likely the fact that the documentation which comes with the package is in a different language; you will get German documentation with the German package, and English documentation with the English package.
    (13797)

  • WHATS THE DIFFERENCE BETWEEN IN MAC BOOKS  MD212B/A AND ME865B/A

    can you explain the difference between the 2 macbokk pro model numebrs MD212B/A and ME865B/A

    OVERVIEW
    Introduced     October 2013
    Discontinued     --
    Model Identifier     MacBookPro11,1
    Model Number     A1502
    EMC     2678
    Order Number     ME864LL/A (2.4 GHz with 128 GB storage) ME865LL/A (2.4 GHz with 256 GB storage) ME866LL/A (2.6 GHz with 512 GB storage)
    OVERVIEW
    Introduced     October 2012
    Discontinued     October 2013
    Model Identifier     MacBookPro10,2
    Model Number     A1425
    EMC     2557
    Order Number     MD212LL/A (2.5 GHz with 128 GB storage) MD213LL/A (2.5 GHz with 256 GB storage)

  • Whats the difference between ABAP stack, ABAP+Java stack and Java stack

    Hello,
    I have a nagging doubt about the difference between the ABAP stack, ABAP+Java stack & the Java only stack. I believe that the method of applying the kernel for all the 3 types is different.
    Also can we apply the ABAP support packs through JSPM.
    Please put some light on this.
    Thank you

    Hi Zaheer
    ABAP Stack
    AS ABAP is used to provide the ABAP foundation of SAP NetWeaver.
    Part of AS ABAP is the Search Engine Service (SES), which enables users to search for
    business objects using Search and Classification (TREX). SES accesses Search and
    Classification (TREX) functions through the Search and Classification (TREX) ABAP
    client. SES replicates the business objects from the ABAP application to Search and
    Classification (TREX), so that it can apply Search and Classification (TREX) search
    functions to them. When a user enters a search query, the Search and Classification
    (TREX) system responds to it, not the database for the ABAP application. For more
    information, see the document Installation Guide – SAP NetWeaver TREX Single Hosts /
    Multiple Host.
    Java stack
    AS Java is used to provide the Java foundation of SAP NetWeaver. Among the key
    capabilities of AS Java are:
    • J2EE Engine – a J2EE 1.3-compliant application server for running enterprise
    applications. In addition to the pure J2EE standard technologies, the J2EE
    Engine implements complementary technologies, such as Web Dynpro or Web
    Services, that are targeted at supporting large-scale, real-business application
    development projects.
    • SAP Composite Application Framework Core (CAF Core) is a service-oriented
    architecture for building and deploying composite applications. It enables
    modeling of different service types – entity services that represent a domain
    model, application services that implement business logic, and external
    services that offer connectivity to back-end services by means of remote
    function calls (RFCs) or Web services. Usage type AS Java comprises the CAF
    Core runtime environment, while design time tools are part of the SAP
    NetWeaver Developer Studio.
    • Web Dynpro is the user interface technology for developing professional
    business applications for mobile as well as for desktop clients. Web Dynpro
    applications can easily be integrated into SAP NetWeaver Enterprise Portal,
    providing a unified layout for the end user as well as enhanced navigation
    support. Web Dynpro also allows, for example, the development of interactive
    forms using the Adobe document services.
    • Adobe document services is a set of runtime services that provide a range of
    form and document creation and manipulation functions such as:
    • Converting XML form templates (created using Adobe LiveCycle Designer)
    to PDF and various print formats
    • Setting Adobe Reader rights to enable users to fill in and annotate forms,
    save and print them locally, and include digital signatures for authentication
    using the free Adobe Reader software
    Extracting data from SAP applications into Interactive Forms and transferring form data
    back into SAP applications using XML
    ABAP + Java Stack
    Contains both functionalities.
    I hope this helps
    Regards
    Chen

  • Whats the difference between executing a package from SQL and Visual Studio?

    Hi,
    We have a package that is currently failing to run when deployed to SQL. This has been tried from a schedule and also executed manually both are failing.
    I have tried from Visual studio running on various machines (windows 8, server 2012) and in all cases run perfectly.
    I am trying to understand the differences between deploying to SQL and running from VS so maybe I can figure out why this is happening.
    I have the following errors when I run from SQL.
    DTS_E_PROCESSINPUTFAILED - all errors like this point to the 'Sort' tasks in the script
    dts_e_processinputerror not enough storage is available
    I have tested in four environments and all fail from SQL but not from VS!
    Last night I tried from my laptop and executed the package from SQL - it didn't fail but was still running in the morning so I terminated. Note this takes around 20 mins running from VS! why would it be so quick from VS but fail or take so long on SQL?
    The test running at the moment is on a server with dynamic memory currently at 14GB. I decreased SQLs RAM to 4GB and it hasn't failed yet but has been running for two hours. Before changing this the package failed after a short time.
    I thought it may have something to do with running from a virtual machine but doesn't explain why it couldn't run locally on my laptop.
    All ideas welcome :) Many thanks,
    Davina

    I will try to address issues one by one
    The error doesn't seems to be related to SSISDB configuration mode. It may be because of
    Change in package definition (please confirm that the package which you are running on your laptop is the same on your msdb? - reload your SQL package from MSDB in BIDS/SSDT and recreate your source and destination components)
    As your error message shows, "not enough memory available" (may be because of multicast)  - Usually you can override this error by restarting SQL Server [not an optimal solution but it work & if that work it shows that your package fills
    the memory - Keep an eye on task manager]
    Make sure that your statics on table are updated [run EXEC sp_updatestastics] 
    Make sure your indexes are not de-fragmented [run rebuild indexes]
    If you are dealing with many rows may be 40000 * 12 (because of multicast) = 4,800,000 rows the try to separate package. 
    Check your excel file format/column data type is correct
    Check user permission who is running the job has required permission on folder/file.
    Understand that sort is a blocking transformation and it requires all your data in memory before it sorts. so, if there are large number of rows then your complete memory will be occupied. 
    Difference between Visual Studio & BIDS/SSDT
    Nothing much, other than BIDS runs on 32 bit while jobs on 64 bit (but there run time environment are configurable, though) 
    There shouldn't be any performance difference until your
    package is on network location because transferring data to the network may slow the package. If package runs on SQL Server it uses SQL buffer pool to fetch data via SQL statement and then SSIS works on its own memory allotment. 
    Hope this will help you to understand and fix the issue.
    Glad to help! Please remember to accept the answer if you found it helpful. It will be useful for future readers having same issue.

  • What is the difference between Recon. Account and Alternative Recon. Accoun

    hi
    any body please tell me . What is the difference between Recon. Account and Alternative Recon. Account.

    Hello sairama,
    Reconciliation account- For each subledger account , you must keep at least one reconciliation account in the general ledger. When you post to an account in the subledger, the system automatically posts to the corresponding reconciliation account. The "Receivables from goods and services" account is an example of a reconciliation account for customers. Enter Customer in the Reconciliation account for account type field. Enter a Vendor in this field for a vendor reconciliation account. Using the reconciliation account procedure, it is possible to create a balance sheet and a profit and loss statement at any time, since the amounts posted to subledger accounts are also posted automatically in the general ledger.
    During regular reconciliation, you check whether the balance of the reconciliation account matches the balance of the corresponding subledger account.
    You define reconciliation accounts by specifying in the G/L account master record the account type (such as fixed assets, vendor or customer) for which the account is to be used. In this way, the account can only be assigned to accounts in the corresponding subledger. You set the assignment of the subledger account to a reconciliation account in the master record of the subledger account. You cannot post to reconciliation accounts manually .
    ============================================================
    Alternative Reconciliation account- Special G/L transactions are identified by a special G/L indicator. The system uses the specifications (posting key and special G/L indicator) to determine the alternative reconciliation account.
    When you post a special G/L transaction, the system does not post to the normal reconciliation accounts but instead automatically to alternative accounts, that is, special G/L accounts. Consequently, you do not transfer the balances of these accounts either. Instead, the system posts to the appropriate accounts automatically when the open items are transferred.
    Hope I had been able to help you. Please assign points.
    Rgds
    Manish

  • What is the difference between PO Charge Account and PO Accrue Account ?

    Hi
    On Requistion's Distribution screen , there is a A/c codes exists : PO Charge , Accrue, Budget & Variance .
    Can anyone explain me the exact purpose of the same and what is the difference between PO Charge Account and PO Accrue Account ?
    regards
    Thanks
    SD

    Hi Sanjay,
    Here is the OA help (11i) :
    Entering Purchase Order Distributions:
    6. Enter the purchasing accounts. When you save your changes in this window, Purchasing uses the Account Generator to automatically create the following accounts for each distribution:
    Charge: the account to charge for the cost of this item in the purchasing operating unit
    Accrual: the AP accrual account in the purchasing operating unit
    Variance: the invoice price variance account in the purchasing operating unit
    Destination Charge: the account to charge for the cost of this item in the destination operating unit
    Destination Variance: the invoice price variance account in the destination operating unit
    Note: The last two accounts are created only if the receiving destination operating unit is different than the purchasing operating unit and there is a transaction flow defined between the two organizations.
    If you are using encumbrance control, Purchasing also creates the following account for each distribution:
    Budget: the encumbrance budget account
    The Account Generator creates these accounts based on predefined rules. See: Using the Account Generator in Oracle Purchasing.Hope it helps
    Xavier

  • What is CoPA , what is the difference between Cost based, Account based

    Hi
    what is Copa, what is the difference between cost based , Account based copa,  where we can use. 
    can you send me please related document.
    Thank you
    Anil

    Hello
    Profitability Analysis (CO-PA) enables you to evaluate market segments, which can be classified according to products, customers, orders or any combination of these, or strategic business units, such as sales organizations or business areas, with respect to your company's profit or contribution margin.
    The aim of the system is to provide your sales, marketing, product management and corporate planning departments with information to support internal accounting and decision&#8209;making.
    Two forms of Profitability Analysis are supported: costing-based and account-based.
    ·        Costing-based Profitability Analysis is the form of profitability analysis that groups costs and revenues according to value fields and costing-based valuation approaches, both of which you can define yourself. It guarantees you access at all times to a complete, short-term profitability report.
    ·        Account-based Profitability Analysis is a form of profitability analysis organized in accounts and using an account-based valuation approach. The distinguishing characteristic of this form is its use of cost and revenue elements. It provides you with a profitability report that is permanently reconciled with financial accounting.
    You can also use both of these types of CO&#8209;PA simultaneously.
    Check this link for more help
    http://help.sap.com/erp2005_ehp_02/helpdata/en/7a/4c48c64a0111d1894c0000e829fbbd/frameset.htm
    reg
    *assign points if useful

  • What is the difference between credit memo in invoice year and in next year

    Hi!
    I'm new here.I'm study SAP ERP.I don't know what is the difference between credit memo in invoice year and credit memo in next year (asset accounting).Can you show and give me an example, please!
    Thanks and best regards!
    Edited by: dinhtuan on Jun 28, 2010 3:10 PM

    Hi,
    Maybe have a look at the SAP Help for further information (http://help.sap.com) : e.g. 'Posting Credit Memos Integrated with Vendor'  or 'Posting a Credit Memo Offset Against a Clearing Account' 
    Transaction type 105 for credit memo on current acquisition made in the current year, posting key 75. Or transaction type 160 for credit memo on acquisitions from prior years. posting key 75.
    Note: determine if the asset was acquired in the current fiscal year or in a closed fiscal year (Display asset values).
    If the asset was acquired in a fiscal year that is now closed, correct the past depreciation using a write-up (in that case check out and refer to Posting Write-Ups).
    I hope this helps.
    Kind regards,
    Brigitte

  • What is the difference between these two reports MC.1 and MB5L

    Hi
    what is the difference between these two reports MC.1 and MB5L?
    what is the Purpose of each report?
    Material ledger is activated for this plant, we found some amount difference between these two reports, my client accounting department used to compare these two reports while year end/month end closing
    Thanks
    Raju

    MC.1 will give you the report for plant analysis as per plant .
    MB5L report will give you list of stock value as per G/L account wise.

  • What Is The Difference Between Save As Self-Contained Movie and Exporting

    What Is The Difference Between Save As Self-Contained Movie and Exporting a Video as a Quicktime File

    Save As places the file inside a .mov container. No re-encoding.
    Your still have the option to save this file as "self-contained" (all the parts travel with the file) or "reference" (small file sized movie that merely "points" to the movie parts).
    A reference movie can't play if the source files can't be found. If they are moved or deleted the reference movie will fail and it can't be re-created.
    Exporting is done to convert one QuickTime format to another. Typically you do this with a high quality source file. Exporting previously compressed files is a bad idea that leads to unpredictable results.
    QuickTime doesn't open WMP formats without third party software help (Flip4Mac is one). You can't convert (export) WMP formats without paying extra fees to upgrade their software.

  • Whats the difference between ALL and FIRST  in Multi Inserting

    SQL> Drop Table Sales;
    Table dropped.
    SQL> Drop Table Accounts;
    Table dropped.
    SQL> Drop Table Research;
    Table dropped.
    SQL> Create Table Sales As Select * From Emp;
    Table created.
    SQL> Create Table Accounts As Select * From Emp;
    Table created.
    SQL> Create Table Research As Select * From Emp;
    Table created.
    SQL> Truncate Table Sales;
    Table truncated.
    SQL> Truncate Table Accounts;
    Table truncated.
    SQL> Truncate Table Research;
    Table truncated.
    SQL> Select * From Sales;
    no rows selected
    SQL> Select * From Accounts;
    no rows selected
    SQL> Select * From Research;
    no rows selected
    SQL> Insert All
      2  When Deptno=10 Then
      3  Into Sales (Empno,Ename,Job,Mgr,Hiredate,Sal,Comm,DeptNo)
      4  When Deptno=20 Then
      5  Into Accounts (Empno,Ename,Job,Mgr,Hiredate,Sal,Comm,DeptNo)
      6  When Deptno=30 Then
      7  Into Research (Empno,Ename,Job,Mgr,Hiredate,Sal,Comm,DeptNo)
      8  Select * From Emp
      9  .
    SQL> /
    16 rows created.
    SQL> Select * From Sales;
        EMPNO ENAME      JOB             MGR HIREDATE        SAL      COMM    DEPTNO
         7782 CLARK      MANAGER        7839 09-JUN-81       100                  10
         7839 KING       PRESIDENT           17-NOV-81       100                  10
         7934 MILLER     CLERK          7782 23-JAN-82       100                  10
         7999 ABCDEFGH   JOB            7839 09-FEB-06       100         0        10
    4 rows selected.
    SQL> Select * From Accounts;
        EMPNO ENAME      JOB             MGR HIREDATE        SAL      COMM    DEPTNO
         7901 SMITH      CLERK          7902 17-DEC-80       100                  20
         7566 JONES      MANAGER        7839 02-APR-81       100                  20
         7788 SCOTT      ANALYST        7566 19-APR-87       100                  20
         7876 ADAMS      CLERK          7788 23-MAY-87       100                  20
         7902 FORD       ANALYST        7566 03-DEC-81       100                  20
          123                                                                     20
    6 rows selected.
    SQL> Select * From Research;
        EMPNO ENAME      JOB             MGR HIREDATE        SAL      COMM    DEPTNO
         7499 ALLEN      SALESMAN       7698 20-FEB-81       100       300        30
         7521 WARD       SALESMAN       7698 22-FEB-81       100       500        30
         7654 MARTIN     SALESMAN       7698 28-SEP-81       100      1400        30
         7698 BLAKE      MANAGER        7839 01-MAY-81       100                  30
         7844 TURNER     SALESMAN       7698 08-SEP-81       100         0        30
         7900 JAMES      MANAGER        7698 03-DEC-81       100                  30
    6 rows selected.
    SQL> Truncate Table Sales;
    Table truncated.
    SQL> Truncate Table Accounts;
    Table truncated.
    SQL> Truncate Table Research;
    Table truncated.
    SQL> Insert First
      2  When Deptno=10 Then
      3  Into Sales (Empno,Ename,Job,Mgr,Hiredate,Sal,Comm,DeptNo)
      4  When Deptno=20 Then
      5  Into Accounts (Empno,Ename,Job,Mgr,Hiredate,Sal,Comm,DeptNo)
      6  When Deptno=30 Then
      7  Into Research (Empno,Ename,Job,Mgr,Hiredate,Sal,Comm,DeptNo)
      8  Select * From Emp
      9  /
    16 rows created.
    SQL> Select * From Sales;
        EMPNO ENAME      JOB             MGR HIREDATE        SAL      COMM    DEPTNO
         7782 CLARK      MANAGER        7839 09-JUN-81       100                  10
         7839 KING       PRESIDENT           17-NOV-81       100                  10
         7934 MILLER     CLERK          7782 23-JAN-82       100                  10
         7999 ABCDEFGH   JOB            7839 09-FEB-06       100         0        10
    4 rows selected.
    SQL> Select * From Accounts;
        EMPNO ENAME      JOB             MGR HIREDATE        SAL      COMM    DEPTNO
         7901 SMITH      CLERK          7902 17-DEC-80       100                  20
         7566 JONES      MANAGER        7839 02-APR-81       100                  20
         7788 SCOTT      ANALYST        7566 19-APR-87       100                  20
         7876 ADAMS      CLERK          7788 23-MAY-87       100                  20
         7902 FORD       ANALYST        7566 03-DEC-81       100                  20
          123                                                                     20
    6 rows selected.
    SQL> Select * From Research;
        EMPNO ENAME      JOB             MGR HIREDATE        SAL      COMM    DEPTNO
         7499 ALLEN      SALESMAN       7698 20-FEB-81       100       300        30
         7521 WARD       SALESMAN       7698 22-FEB-81       100       500        30
         7654 MARTIN     SALESMAN       7698 28-SEP-81       100      1400        30
         7698 BLAKE      MANAGER        7839 01-MAY-81       100                  30
         7844 TURNER     SALESMAN       7698 08-SEP-81       100         0        30
         7900 JAMES      MANAGER        7698 03-DEC-81       100                  30
    6 rows selected.Both inserting insert the same records then whats the difference between ALL and FIRST clause in multi insert DML
    Khurram Siddiqui
    [email protected]

    Hello
    From the docs:
    ALL
    If you specify ALL, then Oracle evaluates each WHEN clause regardless of the results of the evaluation of any other WHEN clause. For each WHEN clause whose condition evaluates to true, Oracle executes the corresponding INTO clause list.
    FIRST
    If you specify FIRST, then Oracle evaluates each WHEN clause in the order in which it appears in the statement. For the first WHEN clause that evaluates to true, Oracle executes the corresponding INTO clause and skips subsequent WHEN clauses for the given row.
    ELSE clause
    For a given row, if no WHEN clause evaluates to true:
    * If you have specified an ELSE clause, then Oracle executes the INTO clause list associated with the ELSE clause.
    * If you did not specify an else clause, then Oracle takes no action for that row.
    See Also:
    "Multitable Inserts: Examples"
    Restrictions on Multitable Inserts
    * You can perform multitable inserts only on tables, not on views or materialized views.
    * You cannot perform a multitable insert into a remote table.
    * You cannot specify a table collection expression when performing a multitable insert.
    * In a multitable insert, all of the insert_into_clauses cannot combine to specify more than 999 target columns.
    * Multitable inserts are not parallelized in a Real Application Clusters environment, or if any target table is index organized, or if any target table has a bitmap index defined on it.
    * Plan stability is not supported for multitable insert statements.
    * The subquery of the multitable insert statement cannot use a sequence.
    So given this the following example shows the difference:
    SQL> CREATE TABLE dt_test_insert_base as select rownum id from dba_objects where rownum <=20
      2  /
    Table created.
    SQL> CREATE TABLE dt_test_insert_1 (id number)
      2  /
    Table created.
    SQL> CREATE TABLE dt_test_insert_2 (id number)
      2  /
    Table created.
    SQL>
    SQL> INSERT ALL
      2     WHEN rownum <=15 THEN
      3             INTO dt_test_insert_1 (id)
      4     WHEN rownum >=10 THEN
      5             INTO dt_test_insert_2 (id)
      6  SELECT
      7     ID
      8  FROM
      9     dt_test_insert_base
    10  /
    26 rows created.
    SQL>
    SQL> SELECT * from dt_test_insert_1
      2  /
            ID
             1
             2
             3
             4
             5
             6
             7
             8
             9
            10
            11
            12
            13
            14
            15
    15 rows selected.
    SQL> SELECT * from dt_test_insert_2
      2  /
            ID
            10
            11
            12
            13
            14
            15
            16
            17
            18
            19
            20
    11 rows selected.
    SQL>
    SQL> TRUNCATE TABLE dt_test_insert_1
      2  /
    Table truncated.
    SQL> TRUNCATE TABLE dt_test_insert_2
      2  /
    Table truncated.
    SQL>
    SQL> INSERT FIRST
      2     WHEN rownum <=15 THEN
      3             INTO dt_test_insert_1 (id)
      4     WHEN rownum >=10 THEN --This condition is ignored until the value of id is > 15
      5             INTO dt_test_insert_2 (id)
      6  SELECT
      7     ID
      8  FROM
      9     dt_test_insert_base
    10  /
    20 rows created.
    SQL> SELECT * from dt_test_insert_1
      2  /
            ID
             1
             2
             3
             4
             5
             6
             7
             8
             9
            10
            11
            12
            13
            14
            15
    15 rows selected.
    SQL> SELECT * from dt_test_insert_2
      2  /
            ID
            16
            17
            18
            19
            20HTH
    David

  • Whats the difference between data in customer data management dashbord and customers under sales?

    Hi,
       In the navigator>sales i have a menu customers, there i can see accounts (customers) and contacts, however in the navigator>Customer data management under menu Customer data management dashboard i have organizations and persons. Whats the difference between the information shown in one place and in the other? Why is the information shown with different names in different menus?
    thanks

    Hi, The present project has the requirement to Delete the data from Sales Force objects.Have following set up: 1. Parent Objects2. Child Objects3. Cloud Data Synchronization tasks to delete these objects Parent and Child have LOOKUP relationships between them.Deleing data from Child objects did not give any error. Tried 2 scenarios to delete data from Parent object: Scenario 1: Tried to delete to data from PARENT first before deleting CHILD.                  Result: Failed Scenario 2: Tried to delete to data from PARENT after deleting CHILD.                  Result: Failed Error mesge received in both cases: "Error loading into target [SF_Object] : Error received from salesforce.com. Fields []. Status code [DUPLICATE_COMM_NICKNAME]. Message [Too many records to cascade delete or set null]." Kindly help to resolve this error and suggest a method to delete data from PARENT salesforce objects. Please feel free to ask for more inputs, if required.

Maybe you are looking for

  • Logic Pro 7 won't Launch

    I have Logic Pro 7.0.1. Also have Logic Pro 8 and Logic Pro 9.1.1. Logic 9.1.1 is working great. My problem is I have some songs created in Logic 7 that can't be opened in 9. It gives me this message "Please load first into Logic Pro version 7.2.1 or

  • CCMS alert emails for failed jobs

    Hello All What are the steps to set a ccms alert for failed jobs? Also is it possible to set ccms to warn us of long running jobs. I would like to set the sysem so that we get a email notification on any failed jobs or long running jobs. I appreciate

  • Help Files CS4

    How can i access Help files in CS4 if i do not have internet access?

  • Post install problem. Changes to the state or options of DB SUSDB can't be made at this time. DB Is in single-user mode.

    Hi, Have you ever come across this problem before. Changes to the state or options of DB SUSDB can't be made at this time. DB Is in single-user mode and a user is currently connected to it. It's preventing the post WSUS installation task from complet

  • IDVD AUDIO ENCODING .. APPLE NEEDS TO FIX IT!

    It would be nice if they would reply to this. I cannot complete my projects. After trying EVERY TIP on this 200 + posts on the subject ( except pulling my RAM out ).. I have found only one solution: Using iMovie .. save back to your camcorder.. then