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