>2 - Massenkontokorrent: Zahlungsprogramm
The following messages are stored in message class >2: Massenkontokorrent: Zahlungsprogramm.
It is part of development package FKKB in software component FI-CA. This development package consists of objects that can be grouped under "Contract A/R & A/P: Central Objects".
It is part of development package FKKB in software component FI-CA. This development package consists of objects that can be grouped under "Contract A/R & A/P: Central Objects".
Message Nr ▲ | Message Text |
---|---|
000 | *** 000-399 payment program ********************************************* |
001 | Selection condition missing from function module &1 |
002 | Function module &1 contains an incorrect selection condition |
003 | | Business partner &1 |
004 | | Account &1 |
005 | | Locked by online processing, try again later |
006 | | Contract account locked by lock key &1, payment cannot be made |
007 | | Items blocked by block key &1 will not be paid |
008 | | Balance of items due in &1 is zero |
009 | | Debit items due in the sum of &1 &2 |
010 | | Credit items due in the sum of &1 &2 |
011 | | Only debit items that can be settled in the amount of &1 &2 |
012 | | Only credit items that can be settled in the amount of &1 &2 |
013 | | ... can be settled |
014 | | ... cannot be settled |
015 | | ... can be partially settled |
016 | | Minimum amount for payment not reached, no payment |
017 | | ... also locked on the second try with online processing |
018 | | No payment possible |
019 | | --- Payment method selection --- |
020 | | Payment method &1 (in paying company code &2) is being checked |
021 | | Payment method &1 in document in this run to be ignored |
022 | | Payment methods in contract (&1) to be ignored in this run |
023 | | No permissible payment method found |
024 | | Payment method &1 permitted (&2) |
025 | | Payment method not defined for foreign currencies |
026 | | Payment method not defined for business partners abroad |
027 | | Post office bank branch details missing from FICA acct master record |
028 | | City, street, or post office box missing from business partner |
029 | | Amount not within limits allowed (&1 - &2) |
030 | | Credit items not payable by incoming payment method |
031 | | Debit items cannot be paid by outgoing payment method |
032 | | Payment with &1 print items not possible, only &2 are allowed |
033 | | Payment method for internal clearing not possible in this application |
034 | Paying company codes in different countries, for example, & and & |
035 | Only accounts with paying company codes in ctry/reg &1 are settled |
036 | Foreign bank transfer not permitted for payment method &1 |
037 | | Bank details will be checked |
038 | | Business partner does not have valid bank details |
039 | | Business partner does not have post office bank details |
040 | | Business partner has no domestic bank details |
041 | | No house bank found for payment method &1, currency &2 (co. code &3) |
042 | | Data missing in company code &1 for house bank details &2 &3 |
043 | | Optimal house bank &3 not defined for postal code &1 &2 |
044 | | Only partner banks without bank groups found |
045 | | No partner bank found for bank group &1 from house bank &2 |
046 | | Only house banks without bank groups found |
047 | | Optimization according to bank groups not possible |
048 | | House bank details &1 &2 will be used |
049 | | Bank details &1 of business partner will be used |
050 | | Bank details &1 specified in account do not exist |
051 | | ... Document &1 for amount &2 &3 &4 can be cleared |
052 | Card ID &1 specified in contract account does not exist |
053 | | Contract account locked for clearing ( &1 ), no payment |
054 | Paying company code is in another country/region (&1). No payment |
055 | | Locked items will not be paid with clearing lock &1 |
056 | | House banks are not used (time 0650) |
057 | | Payment method is not supported for foreign currencies in currency &1 |
058 | Enter a branch office for pay-in transactions |
059 | Branch office &1 does not exist |
060 | | Clearing not possible, too many items to be cleared |
061 | | Items posted with check reason &1 locked for payment |
062 | | ISR/QRIBAN data in line item &1 is inconsistent or missing |
063 | | No data found for bank details &1 &2 (partner &3) |
064 | | Bank details &1 &2 (partner &3) do not exist in bank selection |
065 | | Address missing in business partner &2 (payment method &1) |
066 | | Business partner has no bank details with IBAN |
067 | | ISR/QRIBAN payment method must be specified at item level |
068 | | Payment by business partner &1, bank &2, address number &3 |
069 | | Payment by business partner &1, card &2, address number &3 |
070 | | Payment by business partner &1 , bank &2, standard address |
071 | | Payment by business partner &1, card &2, standard address |
072 | | No card ID determined for partner &1 |
073 | | Paying business partner &1 according to payment specification |
074 | | Bank details flagged for deletion |
075 | | Direct debit limit &3 &4 already reached for partner &1 account &2 |
076 | | Direct debit limit &3 &4 already reached for partner &1 contract &2 |
077 | | ... Promise to pay &1, date &2 |
078 | | ... Document &1 for &2 &3 (from &4) can be cleared |
079 | |Clearing control incorrectly configured (document &1 &2 &3 &4) |
080 | | Clearing control has not assigned item &1 &2 &3 &4 |
081 | | Do not consider payment methods &1 in the contract in this run |
082 | No payment runs were selected |
083 | Date of creation is already determined for selected &1 payment runs |
084 | | Payment by business partner &1 with one-time payment card (&2) |
085 | | Business partner &1 was cleared with document number &2 |
086 | | Clearing of business partner &1 successfully simulated |
087 | | ... Document &1 item &2 for &3 &4 can be cleared |
088 | | ... Document &1 item &2 for &3 &4 was cleared |
089 | | Locked by online processing (user &1) |
090 | | Partner &1 cannot be paid, since partner &2 or account &3 locked |
091 | | Business partner has no bank details with SEPA mandate |
092 | | Business partner has no bank details with usable mandate |
093 | | Business partner has no bank details with SWIFT code |
094 | | Post office bank current account number contains invalid characters |
095 | Alternative payer or payer/payee; unable to check bank details |
096 | | Contract account is blocked for processing until &1 |
097 | | Clearing document simulated successfully |
098 | | Account &1 (exceptions) |
099 | | Payment made by internal settlement |
100 | | Clearing document &1 posted |
101 | Error while posting payment document |
102 | | Clearing document simulated successfully (&1, &2, due on &3) |
103 | Error during processing of promise to pay &1 |
104 | Invalid call of module FKK_OPEN_ITEM_MASS_SELECT_INIT |
105 | No authorization for activity &1 (&2) |
106 | Generic entries not supported |
107 | Parameters were not changed |
108 | Payment program terminated because of high error rate |
109 | Error in function module &2 for event &1 |
110 | Amount &2 in selection field for item &1 has incorrect format |
111 | Date &2 in selection field for item &1 has incorrect format |
112 | A selection criterium for item &1 cannot be interpreted |
113 | Invalid selection type &2 was used in item &1 |
114 | Payment method &1 does not exist in country/region &2 |
115 | Payment method &1 does not exist in company code &2 |
116 | Specify the company code or country/region |
117 | Parameters already exist for run &1 &2 |
118 | Parameters for run &1 &2 do not exist |
119 | Parameters saved - schedule run on initial screen |
120 | Parameters deleted |
121 | Processing cancelled |
122 | Interval &1 processed: &2 &3 - &4 |
123 | No intersection of interval with default parameters |
124 | User &1 is already processing this payment run |
125 | Do not choose more than &1 payment methods |
126 | Second attempt for items blocked previously |
127 | Payment method &1 is not an outgoing payment method |
128 | Payment method &1 is not an incoming payment method |
129 | Block error in interval &1 &2 - &3 |
130 | Document type for payment method &1 in country/region &2 not specified |
131 | Payment method &1 unsuitable for transfer |
132 | Bank sub-account not maintained in account determination |
133 | Error inserting table &1 key &2 &3 &4 |
134 | Payment run has been scheduled |
135 | Payment run started in debugging mode |
136 | Log for payment run &1, identification &2 |
137 | Document type for zero clearing not defined in Customizing |
138 | Define bank selection for company code &1 |
139 | Enter a valid company code |
140 | Enter bank selection using the payment program parameter |
141 | Processed items: &1 |
142 | Exceptions: &1 |
143 | Skipped items due: &1 |
144 | Skipped items of direct payers : &1 |
145 | Items skipped due to conflicting lock: &1 |
146 | Payment data for payment run &1 &2 deleted |
147 | Payment run reset |
148 | Copy templates can only be deleted under parameter maintenance |
149 | Specify a company code |
150 | Activity log not found |
151 | Test run was scheduled |
152 | Data transferred |
153 | Specify payment run date and identification |
154 | No payment groups found for payment run &1 &2 |
155 | Payment group &3 not found for payment run &1 &2 |
156 | No payment group found for &1 &2 &3 &4: Processing terminated |
157 | Format &2 of group &1 not identical to required format &3 of variant |
158 | Too many payment mediums created for this payment group |
159 | Format &1: No payment mediums created |
160 | Error in function module FKK_S_RANGE_VALUES_SET |
161 | No payment data found for document &1 |
162 | | Payment effected with payment card |
163 | Repayment requests are being processed |
164 | ...Repayment requests were found |
165 | Repayment requests were not found |
166 | Repayment document &1 was posted (request: &2) |
167 | Repayment of request &1 was simulated successfully |
168 | Repayment request &1 is being checked |
169 | Payment method &1 is not considered in this run |
170 | Bank details &1/&2 (currency &3 payment method &4) not in bank selection |
171 | | Payment card locked (&1) |
172 | | Payment card valid only from &1 to &2 |
173 | | No card data found for card &1 &2 |
174 | Define bank selection for company code &1 payment method &2 |
175 | Only enter five characters for identification |
176 | Payment run &1 &2 was created as a mass activity |
177 | Payment run &1 &2 already exists and is not a mass activity |
178 | Parameters for payment run &1 &2 not found |
179 | Please use transaction &3 to display / process run &1 &2 |
180 | OI trace: &1 - &2, &3 items, further with &4 |
181 | OI trace: &1 - &2, all read, &3 items |
182 | Repayment request &1 locked for disbursement (lock reason &2) |
183 | Enter business partner intervals that do not overlap |
184 | Enter account intervals that do not overlap |
185 | | --- House bank selection for repayments --- |
186 | Error in Customizing: Incorrect numbering type for &1 &2 &3 |
187 | Repayment request &1 blocked for payment (check reason &2) |
188 | | No debit memo notification found for &1 &2 |
189 | | Debit memo notification for &1 &2 has a different amount |
190 | | Error reading debit memo notification for &1 &2 |
191 | | Debit memo notification &1 &2 can no longer be used |
192 | | Debit memo notification not possible for repetition items (&1) |
193 | | Notification &1 &2: Items are notified for &3 |
194 | | Notification &1 &2: Items are already &3 days old |
195 | Cross-partner payment is not active |
196 | Cross-partner payment is not active |
197 | | Only payment card type &1 is to be paid (partner has &2) |
198 | ID SINGL is reserved, select another ID |
199 | Repayment request &1 already reversed for date &2 |
200 | Entry &1 &2 &3 already exists in table FKKDIJOB |
201 | Job &1 &2 did not exist in table FKKDIJOB |
202 | No entry available |
203 | Select an entry |
204 | An entry could not be deleted |
205 | No entry can be selected |
206 | Transaction terminated |
207 | Text run executed |
208 | Intersection with payment run &1 &2 |
209 | Job name missing |
210 | Job identification number missing |
211 | There is no job running with the identification specified |
212 | Jobs marked for early exit |
213 | Job is already marked for early exit |
214 | Job terminated early by user &1 |
215 | Designation does not exist for & & |
216 | The specifications for payment method &1 company code &2 are incomplete |
217 | Enter contract intervals that do not overlap |
218 | You are not authorized to use short account assignment &1 |
219 | | Payee/payer &1 blocked by sanctioned party list |
220 | | Country/region &1 blocked by sanctioned party list |
221 | Payments between country/region &1 and country/region &2 blocked by SPL |
222 | Exceptions to payment run &1 &2 were deleted |
223 | Promise to pay &1 does not exist |
224 | Number range &1 missing or incorrect for promise to pay |
225 | A promised payment date in the promise to pay appears twice |
226 | Line item &1 &2 is already included in promise to pay &3 |
227 | Document data for promise to pay is inconsistent |
228 | | Partial direct debit (&1 of &2 &3) due to reaching direct debit limit |
229 | No amount has been agreed for the promise to pay |
230 | No document type supported for charges for category &1 |
231 | Specify a payment method for credit card or delete card data |
232 | Credit card data incomplete; correction necessary |
233 | Your selections preclude payment for multiple contract accounts |
234 | Position cursor on a line that can be deleted |
235 | Multiple usage of variant with same parameters not permitted |
236 | The variant &1 you specified does not use format &2 |
237 | Payment media scheduled |
238 | Data saved and payment medium scheduled |
239 | Payment media are not automatically scheduled during a test run |
240 | Parallel processing acc. to business partner |
241 | Parallel processing acc. to contract account |
242 | Payment media were not scheduled (no variants found) |
243 | This selection is not supported |
244 | Enter bank selection before scheduling payment media |
245 | Bank selection: Enter a clear ranking order |
246 | Ranking order with company code &1 payment method &2 currency &3 unclear |
247 | Parallel processing only possible for business partner and contract acct |
248 | Enter payment methods (run &1 &2). |
249 | No cross-contract-account payment with this setting |
250 | Specify to-due date (run &1 &2) |
251 | Specify company codes |
252 | Payment data from the simulation run is lost when saving |
253 | Specify valid bank selection ID |
254 | Payment method &1 requires address details for payee |
255 | Bank selection is incomplete |
256 | Exchange rate differences will be posted automatically by the payment run |
257 | Payment medium not scheduled (only &1 of &2 intervals are finished) |
258 | Document &1 cannot be paid (payment lock &2 in account &3) |
259 | Document &1 cannot be paid (clearing lock &2 in account &3) |
260 | No consideration of payment specifications with this setting |
261 | Invalid selection by payment lot |
262 | Transfer to &1 is invalid; clarification account is &2 |
263 | Enter due dates |
264 | Validity of credit card ends before last due date |
265 | Line item &1 &2 cannot be included in promise to pay |
266 | Cash discount is not supported for promise to pay (item &1 &2) |
267 | Specify credit card data; contract account &1 contains no data |
268 | Internal error: amounts of installments disagree with original amounts |
269 | No consideration of promise to pay with this setting |
270 | No paying company code exists for company code &1 |
271 | Selection &1 for business partner does not overlap with parameters |
272 | Selection &1 for contract account does not overlap with parameters |
273 | | Business partner &1 not included in prepared selection &2 |
274 | | Contract account &1 (partner &2) not included in prepared selection &3 |
275 | Unable to automatically reverse &1 &2 |
276 | Interest adjustment for promise to pay &1 was not possible |
277 | System error: Module &2 delivers invalid values |
278 | Specify valid bank details; account &1 contains no entry |
279 | Specify bank details for partner &1 |
280 | Specify card details for partner &1 |
281 | Scheduling of payment media was terminated |
282 | Payment method &1 not allowed for ctry/reg &2/partner bank ctry/reg &3 |
283 | Prepared selection &1 does not match parallelization object &2 |
284 | Error in function module &2 for event &1 |
285 | | Payment by partner &1, card &2, prepaid account &3 |
286 | Parallel processing only possible by business partner |
287 | Invalid selection by card GUIDs |
288 | Error(s) in event 0613 (direct debit limit for partial payments) |
289 | | Mandate &1 is being checked |
290 | | Mandate &1 can no longer be used (not active or locked) |
291 | | Mandate &1 should be used |
292 | | Use of mandates was excluded by event 0653 |
293 | | Mandate &1 can be used |
294 | Bank details &1/&2 cannot be used with payment method &3 (reason: &4) |
295 | | Mandate &1 applies for account &2, not for account &3 |
296 | | Mandate &1 applies for contract &2, not for account &3 |
297 | | Mandate &1 applies for contract &2, not for contract &3 |
298 | | Mandate &1 applies for account &2, not for contract &3 |
299 | Repayment request: bank data is initialized if payment method is check |
300 | Repayment request created by clarification of credit |
301 | Repayment request created by clarification of incoming payment |
302 | Repayment request not paid yet |
303 | Payment document for repayment request &1 |
304 | Program error; payment card number &1 contains wildcard characters |
305 | Card number &1 contains invalid character &2 |
306 | Length of the IBAN entered is not correct |
307 | | Mandate &1 is outdated (last used: &2) |
308 | | Mandate &1 is outdated (not used, signature: &2) |
309 | | Mandate &1 is valid only for receivables from business partner &2 |
310 | | Mandate &1 is not valid for receivables of business partner &2 |
311 | | Payment order and accumulated withholding tax are mutually exclusive |
312 | | Payment is made according to the payment data in prepaid account &1 |
313 | | ... Prepaid account &1 |
314 | | ... Prepaid account &1 was cleared with document number &2 |
315 | No overlap with selection details |
316 | No overlap with specifications from prepared selection |
317 | No overlap with selection details (partner &1 to &2) |
318 | No overlap with selection details (account &1 to &2) |
319 | Skipped: &1 |
320 | Business partners selected: &1 |
321 | Items selected: &2 |
322 | | Due items are not collectable (direct payer) |
323 | | ... Document &1 for the amount &2 &3 &4 was selected |
324 | | Due items are not collectible (direct payer, prepaid account &1) |
325 | | ... Clearing of prepaid account &1 was simulated successfully |
326 | | ... No clearing proposal could be created for prepaid account &1 |
327 | Parallel processing only possible by business partner |
328 | Date must be at least &1 days in the past |
329 | No debit memo notifications were selected |
330 | Dunning notice &1 for business partner &2: Dunning success &3% |
331 | | Payment is made in accordance with direct debit pre-notification &1 |
332 | | No direct debit pre-notification necessary for credit balance |
333 | Error during creation of direct debit pre-notification |
334 | No debit memo notification required because balance is 0 |
335 | Start of final round due to locked SEPA mandates |
336 | Fill either credit card details only or bank details only |
337 | Cannot use payment method &1 for payment order |
338 | Start of final round due to locked contract accounts |
339 | Specify to-due date (run &1 &2). |
340 | There is no receivables balance |
341 | Could not assign new ticket |
342 | Not possible to distribute promised amount to open items |
343 | Ticket &1 is not (or no longer) valid |
344 | Account is currently being otherwise processed |
345 | It was not possible to read open items |
346 | Account was intermittently being otherwise processed |
347 | A maximum of 9999 additioanl documents can be created for a document |
348 | | Card &1 (for partner &2) cannot be used |
349 | | Alternatively, card &1 (for partner &2) is checked |
350 | Enter the due date and amount for each installment |
351 | Zero document may neither contain items nor clearing items. |
352 | Zero documents cannot be reversed. |
353 | | Alternative card &1 (for partner &2) can be used |
354 | | Card data for partner &1 in document - no alternative card possible |
355 | | Error when splitting the open item |
356 | | Tax split on disbursement not taken into account in simulation run |
357 | Document &1 cannot be reversed due to non-resetable clearing. |
358 | Reversal document &1 was reversed for payment document &2. |
359 | | Tax split: Line item &1 &2 &3 &4 was split |
360 | No check owner found for check &1 |
361 | No suitable derivation module has been registered |
362 | You have not created required data enhancements |
363 | Select at least one account assignment field |
364 | Select the type of item you want to process |
365 | > line item &1: new account assignment &2 = &3 |
366 | Logging for this interval is ended after 300 entries |
367 | > line item &1: deleted account assignment &2 = &3 |
368 | You do not have the necessary authorization |
369 | > Line item &1: account assignment was not changed |
370 | Unable to find promise to pay &1 |
371 | No valid status determined for promise to pay &1 |
372 | Internal error on withdrawal of promise to pay &1 |
373 | Specify reason for the promise to pay |
374 | &1 not supported as reason for promise to pay |
375 | Specify currency for promise to pay |
376 | Error in CONTROL Preparation (&1) |
377 | Specify company code for promise to pay |
378 | &1 is not supported as withdrawal reason for a promise to pay |
379 | Specify a suitable contract account for partner &1 |
380 | Specify the category of the promise to pay |
381 | &1 is not supported as category for promises to pay |
382 | Specify the required payment method |
383 | Category &1 of promise to pay is not permitted for partner &2 |
384 | Neither status nor level of fulfillment was changed |
385 | Status change from &1 to &2 is not supported |
386 | Procedure is not unique for promise to pay &1 |
387 | Promise &1 cannot be closed yet |
388 | Unable to determine reconciliation key for reversal of charges or int. |
389 | You cannot reactivate promise to pay &1 |
390 | You cannot set the promise to pay to active again |
391 | No data found for dunning notice &1 |
392 | Check date &1 is in the future |
393 | Specify a check date |
394 | You cannot set the promise to pay to active again |
395 | No correspondence requested for promise to pay &1 |
396 | Correspondence for promise to pay &1 already printed |
397 | Too many partial clarifications for the payment |
398 | *** No check deposit list created for check lot &1 *** |
399 | House bank details for clearing account &1 contradict parameters &2 &3 |
400 | *** 400-599 Payment Lot / Check Depositer / Payment Form *************** |
401 | Payment lot &1 is being processed by user &2 |
402 | "&1" function not possible, lot has not yet been created |
403 | "Create" function not possible, lot already exists |
404 | Data was saved - processing can continue |
405 | No data was changed: It is not necessary to save |
406 | For G/L account &1, do not specify &2 |
407 | Specify &2 for G/L account &1 |
408 | First select the items you require |
409 | Last page reached |
410 | First page reached |
411 | A zero payment amount is not permitted, the previous value remains |
412 | Enter the selection type for selection &1 |
413 | Date specification &1 is not permitted, correct your entry |
414 | Selection type &1 not defined, correct your entry |
415 | Selection details are inadequate, correct accordingly |
416 | Position cursor on valid item |
417 | Start date is in the past, correct your entry |
418 | Document &1 was posted |
419 | Program error: Payment lot does not contain a permitted lot number |
420 | Program error: Field &1 in transfer structure I_FKKZK is blank or zero |
421 | Program error: Payment lot &1 has not yet been created |
422 | Lot &1 not yet created |
423 | Lot &1 is already closed, new items are not permitted |
424 | Program error: Sub-item number &1 different to item number &2 |
425 | Program error: Additional selections for sub-item &1 numbered incorrectly |
426 | Program error: No selections entered for sub-item &1 |
427 | Program error: There is no payment belonging to this sub-item |
428 | Payment lot &1 does not have a status that allows postings |
429 | The function module for allocating the pmnt amount cannot be determined |
430 | Unable to determine an interim account for item &1 |
431 | The "close" function is not possible, lot is already closed |
432 | Job scheduling terminated - read SYSLOG for details |
433 | Posting run is complete, check status |
434 | Function &1 not possible, postings already scheduled or carried out |
435 | &1 items blocked by &2 (and/or other users) |
436 | Payment posting terminated |
437 | Position &1 blocked by &2 |
438 | No jobs found for payment lot |
439 | The status of payment lot &1 does not allow a release |
440 | Function &1 is not possible, payment lot is incomplete |
441 | Payment lot &1 cannot be deleted under the current status |
442 | You are not authorized to use function '&1' |
443 | Enter bank number/bank account number together |
444 | Contract account or business partner is blocked by another user |
445 | Function &1 is no longer permitted for the items selected |
446 | Enter the payment method for the refund |
447 | Posting on account and repayment are incompatible, correct accordingly |
448 | The repayment request &1 does not exist |
449 | You selected items that are already changeable |
450 | Field '&1' must be blank |
451 | Specify the following in the repayment request: &1 |
452 | Postings on acct are not permitted in the active distribution function |
453 | Account &1 is not permitted here, choose another account |
454 | &1 is a check lot |
455 | &1 is not a check lot |
456 | You are processing a check lot; enter the check number |
457 | Reconciliation key only modifiable for postprocessing and defects |
458 | Enter the required reconciliation key |
459 | No number range determined for payment forms |
460 | Internal error: Data for FKK_PYFORM_INSERT is incomplete |
461 | &1 payment forms deleted |
462 | Number assignment for repayment request failed |
463 | Invalid number range for payment documents, number &1 |
464 | Document &1 not found in any payment lot |
465 | Lot &1 does not have the status that permits postprocessing |
466 | You cannot enter the document number of the payment |
467 | Enter document number of payment |
468 | Document &1 is not a suitable payment document |
469 | Payment could not be automatically assigned |
470 | Payment &1 &2 does not exist |
471 | Incorrect callup of FKK_PYFORM_GET_ITEMS |
472 | Payment form &1 not yet created |
473 | Erroneous call up of FKK_PYFORM_GET_NUMBER |
474 | Document &1 cannot be displayed |
475 | Payment &1 &2 can no longer be clarified |
476 | First selection was not deleted - at least one is required |
477 | A return rules out a repayment or an alternative posting |
478 | Do not post online for repayment, return, or transfer posting |
479 | Payment &2 does not exist in lot &1 |
480 | Internal error: &1 used incorrectly |
481 | Repayment request &1 does not exist |
482 | Incorrect check number determination for payment forms |
483 | Associated payment lot no longer exists |
484 | Internal error: &1 is not a document for a repayment request |
485 | Payment assignment posted with document &1 was cancelled |
486 | Refund request &1 has already been paid |
487 | Refund request &1 was already canceled |
488 | Refund request &1 is temporarily locked by &2 |
489 | Reconciliation key &1 for lot &2 is still open |
490 | You cannot process lot &1 without a new reconciliation key |
491 | Do not specify selection type &1 twice |
492 | Enter at least one selection criterion. |
493 | Bank details cannot be determined for bank clearing account '&1'. |
494 | No bank details from house bank ID for bank clearing account &1 determd |
495 | Assign a house bank to bank clearing account &1 |
496 | Specifications for bank clearing account &1 are missing in Customizing |
497 | No form name has been defined for the check deposit list. |
498 | Check deposit list generation was terminated. |
499 | No payment lot corresponds to the selection criteria. |
500 | *** 500-599 Returns ***************************************************** |
501 | Reason for returns '&1' not found (reading in table &2) |
502 | General error in account determination. |
503 | No account found under key '&1' |
504 | No returns clearing account maintained under key '&1' |
505 | Doc no. &1: Company code &2 for returns lot does not match clearing doc. |
506 | Return type &1 does not exist as a domain fixed value |
507 | Lot does not allow a status for &1 |
508 | Type of returns lot not entered |
509 | Mixed returns lot |
510 | Return already posted |
511 | Returns lot clearing account is determined from Customizing |
512 | Returns can only be posted in the local currency (&1) |
513 | Payment document &1 with origin &2(&3) cannot trigger a returned item |
514 | The check specified cannot be found |
515 | Posting date &1 is in a closed period (CoCde &2); determine next period |
516 | Tax and tax indicator &1 do not match |
517 | Returns lot '&1' already exists |
518 | Current returns diff: & is greater than the permitted difference for & & |
519 | No jobs found for returns lot |
520 | Internal error: &1 (&2) called incorrectly |
521 | Bank key &1 not found |
522 | Place the cursor on a permitted document number |
523 | A TFK004 entry for document numbers does not exist in application: &1 |
524 | Company code &1 and house bank &2: bank return reason &3 not defined |
525 | Returns document &1 not found in any returns lot |
526 | Business partner &1 does not exist |
527 | Charge &1 corrected by the returns difference: &2 &3 |
528 | Returns amount &1 for outgoing payment larger than expected amount &2 &3 |
529 | Returns amt &1 for incoming payment smaller than expected amount &2 &3 |
530 | Returns Customizing for reason & could not be determined |
531 | Lock object for partner/contract account &1 &2 already exists (&3). |
532 | Lock object for partner/contract acct &1 &2 (&3) could not be created |
533 | Lock object for partner/contract account &1 &2 (&3) was created |
534 | Clarification document &1 for document &2 could not be reversed |
535 | Formal check ended &1 |
536 | Returns item lot/item &1 &2 not found |
537 | Call error: Attempt to post two lots in the same internal session |
538 | Function cancelled |
539 | Lot &1 does not exist |
540 | No bank or account maintained: House bank return reason cannot be entered |
541 | No function module available to determine document number |
542 | No differential entry in currency &2 for return reason &1 |
543 | Mark the line(s) you wish to delete |
544 | The existing entries could not be updated |
545 | Errors occured during deletion of entries from the database |
546 | Making entries in the database resulted in errors |
547 | No data found for lot &1, item &2-&3 |
548 | Error occurred in &1, function canceled |
549 | No entries exist for lot &1 |
550 | File &1 &2 cannot be opened |
551 | File &1 &2 cannot be read |
552 | The system cannot read or open file &1 &2 |
553 | No returns history for business partner &1 and contract account &2 |
554 | Return crcy &1 could not be converted to document crcy &2 |
555 | Posting run is currently active |
556 | Returns clearing account &1 not known in company code &2 |
557 | Account &1 is not allowed for returns in company code &2 |
558 | Selection value &1 is greater than a document number |
559 | Item &1 cannot be deleted - no document is entered in lot |
560 | Item &1 cannot be deleted from lot &2 |
561 | You can only post online from the clarification worklist |
562 | First save the changes, then repeat the command |
563 | Selection type &1 (&2) is not implemented in example module |
564 | Enter the required reconciliation key |
565 | New reconciliation key permitted only for reworking |
566 | Account &1 is not defined in the check table for clearing accounts |
567 | A clear determination is not possible for &1, value &2 |
568 | Currency of returns item is neither document nor local currency |
569 | Payment amount &1 &2 and returns amount &3 plus charges differ |
570 | There is a discrepancy between payment amount &1 and returns amount &2 |
571 | There is a discrepancy between payment amount &1 and returns amount &2 |
572 | Document &1 contains cleared items |
573 | No jobs found for returns lot |
574 | Company code required for determination of bank details |
575 | The table to be searched through is empty |
576 | Transaction terminated |
577 | Value &1 was not found |
578 | Further specifications can only be displayed for data available in system |
579 | Manual item amount (&2) is not equal to that of the RL item &1 (&3) |
580 | No item specifications available for manual posting |
581 | Error when actualizing returns log header |
582 | Postprocessing only possible for incompletely posted lots |
583 | Control total (&1) and recorded total (&2) &3 differ |
584 | No tax code specified although "Charge included tax" is active |
585 | Exit &1 (module &2) returned an error |
586 | No graduated charges found for amount from &2 &3 in returns reason &1 |
587 | Payment lot item &1 &2 is currently locked by &3 |
588 | Internal error: Payment lot item &1 &2 was not locked |
589 | Internal error |
590 | Posting date &1 is incorrect: Posting period closed in company code &2 |
591 | Position the cursor on a field in the list |
592 | Specify just one payment order |
593 | Selection &1 (payment order) is only permitted in payment order lots |
594 | Clearing account is derived automatically |
595 | This payment processing is only permitted for lots from cash desk |
596 | Enter a value in field &1 |
597 | An entry is not permitted in field &1 |
598 | Item set according to event 0259 in the clarification worklist |
599 | Function "&1" is not possible, the lot is not in postprocessing |
600 | *** 600-899 Payment Medium ********************************************** |
601 | Payment medium format &1 is not defined |
602 | Supplement &1 is not defined for payment medium format &2 |
603 | Payment medium formats transferred |
604 | Payment medium format &1 is missing the module for event &2 |
605 | External format name proposed |
606 | Maintain specifications for payment medium format &1 in company code &2 |
607 | Document type &1 is not permitted in format &2 |
608 | DME data does not exist for bank &1 in company code &2 |
609 | Format &2 is not defined in company code &1 |
610 | Company code &1 is missing issuer details for format &2 |
611 | Addit. data for CoCde &1: ID and customer/vendor EB no. missing |
612 | Codepage &1 not supported |
613 | Bank &1 in country/region &2 is missing (not maintained in table BNKA) |
614 | ISO code is not maintained for currency &1 |
615 | Enter item numbers in ascending order, starting with 1 |
616 | Enter sequence in ascending order, starting with 1 |
617 | No format supplement specified for payment method &1 in country/region &2 |
618 | Note to payee type & is not defined |
619 | Format &1 of payment run and format &2 in Customizing are not consistent |
620 | SAPscript form not entered |
621 | Place the cursor on the structure names (event modules view) |
622 | VAT registration number defined for company code &1 is wrong or missing |
623 | Payment currency &1 is not permitted |
624 | |------------------------------------------------------------------------ |
625 | Address for paying company code &1 is missing/incomplete |
626 | Program error: Event &1 for format &2 in appl. &3 not defined |
627 | Define a variant |
628 | Enter a start date |
629 | No entries found in the selection period |
630 | Incorrect access to archived data |
631 | Error in converting time zones when reading the header |
632 | Undetermined errors when reading the change header |
633 | This function is available in event 99 only |
634 | No user number is entered for bank &1 in company code &2 |
635 | Format-specific user entries are incorrect or incomplete |
636 | A unique key could not be generated for the contra record |
637 | The date for carrying out the payment is more than 34 days in the future |
638 | Not all payments could be added to the check repository |
639 | Only one recipient possible for check &1 |
640 | An entry already exists for sequence number &1 in document buffer |
641 | A payment document could not be added to the document buffer |
642 | Only PAYH/PAYHX can be used for note to payee categories 2/3, not PAYP |
643 | Only line 1 is allowed for note to payee categories 2/3 |
644 | No recipient address for document &1 |
645 | Authorization date &1 is after creation date &2 of lot |
646 | Payment amount &1 &2 is different to amount in payment order &3 &4 |
647 | Specify payment amount |
648 | Minimum number of &1 items entered automatically |
649 | Settings held |
650 | Change of specifications terminated |
651 | Enter new values; they will be copied into all items |
652 | The error specified occurred for item &1 |
653 | No errors resulted from the item check |
654 | No payment method specified for repayments |
655 | No recipient data enter for repayment |
656 | Following specification missing for payment method &1: &2 |
657 | +/- sign of amount does not permit repayment |
658 | No exchange rate specification permitted for payment in house currency &1 |
659 | Settings for short account assignment &1 are not correct |
660 | Posting to other clarification account is not permitted as first posting |
661 | Posting to other clarification account does not permit partial amounts |
662 | No bank data (or incomplete bank data) specified for payment method &1 |
663 | Select a posting date from &1 for transfer |
664 | Invalid combination of posting specifications |
665 | Entering a profit center is not allowed in company code &1 |
666 | You do not have authorization for item &1 &2 |
667 | A returns lot is only allowed to contain one currency |
668 | A returns lot is only allowed to contain one company code |
669 | Each returns lot is only allowed to contain data for one house bank |
670 | Maintain returns category completely in Customizing |
671 | There is a discrepancy between payment amount &1 and returns amount &2 |
672 | Specify expiry date in the past |
673 | Specify a due date |
674 | Specify a lower limit for the expiry date |
675 | No valid payment method for simulation of note to payee type &1 |
676 | Note to payee type &1 has been changed; save before simulation |
677 | Payment lot &1 cannot be archived; archive index not recommended |
678 | Archive index for payment lot &1 already exists |
679 | Item &1 not found in lot &2 |
680 | The data for payment lot &1 is displayed from the archive |
681 | Document &1 is not a payment document |
682 | You do not have change authorization for item &1 &2 |
683 | You do not have authorization for setting authorization group &2 |
684 | Profit center is not allowed for G/L account &1 in company code &2 |
685 | IBAN &1 and bank data &2 &3 &4 do not agree |
686 | Returns for payments at cash desk/journal allowed only with restrictions |
687 | Returns are not allowed for payments to cash desks of cash journal |
688 | Termination due to exit in &1 &2 &3 |
689 | Enter bank details ID or credit card ID also |
690 | Installment &1 is included in a payment order |
691 | Installment &1 is included in a promise to pay |
692 | Installment &1 is included in a payment specification |
693 | A payment exists for installment &1 |
694 | Reset of reversal for interest document &1 is not posible |
695 | | Promise to pay &1 &2 locked by online processing |
696 | | Promise to pay &1 &2 - installment is already paid |
697 | Payment data for already paid installments is no longer changeable |
698 | Installment &1 is already invoiced and printed |
699 | The lot could not be created |
700 | ***** 700-719 payment order******************************************* |
701 | No number range could be found for the payment orders |
702 | Payment order: Error no. &1 |
703 | | Payment order simulated successfully |
704 | | Payment order &1 created |
705 | Payment order system error: &1 &2 &3 &4 |
706 | No payment order found for item &1 |
707 | Payment order &1 not found |
708 | Payment order &1 already executed |
709 | Payment order &1 already reversed |
710 | Payment order &1 has already expired |
711 | Payment order &1 was changed |
712 | Payment order &1 is currently locked by &2 |
713 | Payment order &1 was reversed |
714 | Payment run &1 &2 cannot be deleted as there are payment orders open |
715 | Date must be at least 30 days in the past |
716 | Payment order &1 is already &2 |
717 | No selection criteria determined for payment orders |
718 | No open items found for payment order &1 |
719 | &1 payment orders can be deleted |
720 | &1 payment orders deleted |
721 | No input help available for this selection criterion |
722 | Program error: Payment form number &1 was not reserved |
723 | Maintain new settings for clarification processing |
724 | Variant &1 contains no &2, choose another |
725 | Payment run &1 &2 already contains an executed payment request |
726 | Last posting for &1 &2 was reset |
727 | Clarification case is assigned to user &1 |
728 | Specify amount or payment document in item &1 |
729 | Cardholder or validity missing in variant &1, choose another |
730 | Variant &1 is not supported; choose a valid variant |
731 | Key &1 contains invalid characters |
732 | &1 payment orders can be reversed |
733 | &1 payment orders reversed |
734 | &1 payment orders reversed, &2 payment orders not reversible |
735 | Specify lowest and highest check number |
736 | "Check number from" must be smaller than "Check number to" |
737 | Check numbers must be numerical |
738 | Payment order &1 has already been cancelled |
739 | Payment order &1 has not been reversed |
740 | *------ Manually issued checks lot -------------------------------------- |
741 | Function &1 is not possible; check lot is incomplete |
742 | Function '&1' is not possible; lot is already closed |
743 | Check lot &1 cannot be deleted in current status |
744 | Item &1 already has check number &2 |
745 | You are already in the last item |
746 | You are already in the first item |
747 | Select an item |
748 | Check number &1 already exists in the check management |
749 | Place the cursor on an item |
750 | Master data cannot be determined from &1 &2 &3 |
751 | Master data determination is not unique; specify your entries |
752 | Define a line layout variant for item display |
753 | Check number is not within the interval from &1 to &2 |
754 | No jobs found |
755 | Enter a text for the clarification |
756 | You have no display authorization for company code &1 |
757 | You have no clarification authorization for company code &1 |
758 | Item already clarified |
759 | Text reduced to 255 characters |
760 | Check Lot &1 Does Not Exist |
761 | Issued amount &1 &3 does not agree with cashed amount &2 &4 |
762 | Cashed amount &1 &3 is higher than issued amount &2 &4 |
763 | Cashed amount &1 &3 is lower than issued amount &2 &4 |
764 | Check &1 has already been cashed |
765 | Program error: Incorrect call of FKK_CR_CHECK_ISSUED_VS_CASHED |
766 | Payment method &1 is not defined for checks in company code &2 |
767 | Cannot close as there is a deviation in the control totals |
768 | No main and subtransactions maintained in posting area 1035 |
769 | No payment lock maintained in posting area 1035 |
770 | &1 encashment data transferred to clarification processing |
771 | No entries found |
772 | Select required entries |
773 | Clarification processing from Release 4.64 via transaction FPCCR |
774 | Update DFKKCRCL failed |
775 | XPRA can only run for add-on ID &1 when upgrading from Release &2 |
776 | There are encashments in different currencies |
777 | Locks could not be set |
778 | You can only reverse items that have already been posted |
779 | Specify the number of the posted document |
780 | Document &1 cannot be used as issue document for check &2 |
781 | &1 failed on table &2 |
782 | Specify a valid resubmission date |
783 | +/- sign of return amount was adjusted |
784 | Enter a document type |
785 | Program error: Could not determine check clearing account |
786 | Different currencies |
787 | XPRA may only run for Addon-ID &1 for upgrade from Release &2 or &3 |
788 | XPRA may only run for Addon &1 for upgrade between Release &2 and &3 |
789 | Function &1 only possible for items not posted |
790 | Function &2 not possible, individual items already posted |
791 | | Payment data created for partner &1 account &2 (number: &3) |
792 | Payment run &1 &2 cannot be deleted because there are open BI triggers |
793 | Bank data or format for bank account &1 (partner &2) has an error |
794 | Lot &1 item &2 does not exist |
795 | Selection value &1 exists more than once |
796 | Do not enter partial amounts here in the return to clearing. |
797 | Tax exceptions contract account only allowed for internal tax calculation |
798 | Return charge is not allowed without a business partner. |
799 | The payment amount could not be assigned completely |
800 | * 800-850 payment lot / payment form *********************************** |
801 | Repayment and clarification are mutually exclusive, please correct |
802 | Payment amount or currency missing for item &1 |
803 | Payment &2 in payment lot &1 does not exist |
804 | No default values could be given for selection |
805 | Choose new selections |
806 | Lot &1 does not exist |
807 | Place the cursor on a selection proposal |
808 | Date is in the future |
809 | No payment forms to be deleted found |
810 | Transfer posting and repayment are mutually exclusive; correct your entry |
811 | Payment on acct excludes clarification or transfer posting; correct entry |
812 | Short acct assignment &1 is not defined for transfer posting of payment |
813 | Transfer posting and clarification are mutually exclusive; correct entry |
814 | Selection value &1 is too long, enter a maximum of &2 characters |
815 | Payment form &1 not found |
816 | Formal error: Payment item &1 &2 was not blocked |
817 | Payment lot &1 item &2 is locked by &3 |
818 | Enter complete data on credit card |
819 | & is a credit card lot |
820 | &1 is not a credit card lot |
821 | You can only create credit card lots using the cash desk |
822 | Payment order &1 cancelled, now assign payment |
823 | Data for payment lot was inconsistent, automatic correction |
824 | Payment & &2 not yet posted |
825 | Selection value &1 contains non-numerical characters; correction required |
826 | For payment &1 &2, returns must be posted in the clarification document |
827 | Return &3 already posted for payment &1 &2 |
828 | Reversal not made |
829 | The type of credit memo is incorrect |
830 | Payment medium type 2 required business partner category B |
831 | Program error: incorrect call of FKK_READ_LAST_PAYMENTS |
832 | Last business partner reached |
833 | First business partner reached |
834 | Selection &1 is formally incorrect |
835 | Select at least one of the proposed selections |
836 | Select changed selection proposals before saving |
837 | Unknown error occurred during posting |
838 | Clearing account &1 in company code &2 is not permitted for &3 |
839 | Clearing account &1 in company code &2 is not permitted for &3 |
840 | Enter a payment form number or a reference number |
841 | No open items were found |
842 | Selection proposal updated |
843 | Total of partial amounts &1 exceeds payment amount, correction required |
844 | List of non-posted payments only for incompletely posted lots |
845 | Only enter the reference in combination with a bank account number |
846 | No selection category defined for &1 |
847 | Mail could not be created for transfer posting item &1 to "&2" |
848 | Workflow could not be created for transfer posting item &1 to &2 |
849 | Posting text only poss. for pymt on account, transfer posting and repymt |
850 | Cannot close as there is a deviation in the control totals |
851 | Not possible to open the lot in this status |
852 | Data for bank &1 &2 not available in system |
853 | Specify the account holder |
854 | Enter the clarification amount |
855 | No partial amounts are permitted when returning the check |
856 | Partial amount &1 was posted with document &2 |
857 | Clarification item was changed without permission |
858 | Due date is in the past |
859 | Due date falls more than 1 year in the future |
860 | Repayment request &1 was changed |
861 | No data was changed: It is not necessary to save |
862 | Select a payment method |
863 | No checks can be generated for incoming payments |
864 | Specify valid check clearing account in document &1 |
865 | Program error: Payment lot items in ascending order with gaps |
866 | Check could not be added to the check repository |
867 | Reconciliation key &1 for lot &2 is already closed |
868 | No check was generated |
869 | No payment method defined in company code &1 for outgoing checks |
870 | A check has already been cashed for clearing document &1 |
871 | Document &1 does not contain a business partner item |
872 | &1 is not a lot for payment orders |
873 | &1 is a lot for payment orders |
874 | Aassignment can only be specified for transfer posting |
875 | Total of partial amounts &1 does not correspond to posting amount |
876 | Search unsuccessful |
877 | Search terminated |
878 | No more hits found |
879 | The data for the bank account is currently being processed by user &1 |
880 | Payment lot: Archive function |
881 | Items found are now in line 1 |
882 | Next item found is now in line 1 |
883 | Previous item found is now in line 1 |
884 | Amount &2 &3 in payment order &1 is different to specified payment amount |
885 | Reversal of payment order &1 reset |
886 | Reversal of payment order &1 cannot be reset |
887 | Program error: Invalid call of FKK_PAYMENT_BATCH_REVERSE |
888 | Specify a bank clearing account |
889 | Payment specification &1 does not exist |
890 | Payment specification &1 is not supported for payment lot |
891 | Status of payment specification &1 does not permit use |
892 | Payment amount does not correspond to amount defined &1 &2 |
893 | Collective bill &1 is already selected for payment |
894 | Key &1 is only valid within clarification processing |
895 | Transfer to new clarification account &1 has taken place |
896 | Not possible to close lot due to open clarification cases |
897 | Non-allowed selection for the refill of a prepaid account |
898 | You can select by refill package only in combination with prepaid account |
899 | No entry options can be displayed here |
997 | |------------------------------------------------------------------------ |
998 | | &1 &2 &3 &4 |
999 | &1 &2 &3 &4 |