>U - Massenkontokorrent: Utilities
The following messages are stored in message class >U: Massenkontokorrent: Utilities.
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 | *** Messages for change documents *** |
001 | Enter the required object class |
002 | Enter an object ID |
003 | Position cursor on valid item |
004 | No changes |
005 | Specify a selection for the date of creation |
006 | Subarea &1 is currently being processed in a parallel run |
008 | Documents processed successfully: &1 |
009 | Failed documents following amount check: &1 |
010 | Failed documents due to error during update: &1 |
011 | Failed documents due to competing locks: &1 |
012 | &1 |
013 | Subarea &1 with &2 documents could not be processed due to lock |
014 | RFC destination for update not found |
015 | Processing is stopped due to the reported error |
016 | A communication error occurred during update |
020 | *** Messages for compare programs *** |
021 | Company code & is productive |
022 | No data was deleted for the company codes specified |
023 | Enter the required company codes |
024 | You do not have authorization to delete the transaction data |
025 | You are not authorized to start the reconciliation program |
026 | You are not authorized to change the summary records |
027 | Enter at least one selection value |
028 | No data was selected |
029 | Totals are incomplete, correction only with company code restriction |
030 | Spool list created |
031 | Select at least one transfer process |
032 | Enter a different posting date for &1 company code &2 &3 |
033 | No posting period is open for different posting date &1 (&2) &3 |
034 | Enter at least one reconciliation key |
035 | Limit your selections for &1 |
036 | G/L adjustment program is currently being used/blocked by user &1 |
037 | Differences were found |
038 | Differences were exported - export key: &1 |
039 | Reference key &1 is not unique, display function is not possible |
040 | *** Messages for interval distribution *** |
041 | User & is currently carrying out distribution into intervals |
042 | Intervals for program ID & are currently being processed |
043 | All intervals already processed |
044 | The combination program/program ID/job ID/interval is invalid |
045 | Variant & (&) does not exist |
046 | User & does not have authorization to release this job |
047 | Job cannot be created |
048 | Program &1 ID &2 does not exist |
049 | Interval table cannot be copied |
050 | Error in job step |
051 | Specify interval size or number of intervals |
052 | Object & unknown |
053 | Variant name &1 is reserved: Enter a different name |
054 | Enter the desired variant |
055 | Enter the required object |
056 | & intervals were successfully created |
057 | Object name &1 is not permitted: Correct entry |
058 | Job cannot be deleted |
059 | Specify either reconciliation key or key for mass run |
060 | Select only one analysis process |
061 | Variant & ( & ) is noot created yet |
062 | Variant & ( & ) already exists |
063 | Technical setting maintenance was canceled |
064 | No intervals found for program & ID & |
065 | No log for job & |
066 | No job found |
067 | No method found for dividing intervals for object &1 |
068 | Distribution into intervals was terminated |
069 | User &1 is currently using this variant |
070 | No error found |
071 | Interval &1: Upper limit must be greater than lower limit |
072 | Interval &: Upper limit must come before next upper limit |
073 | Do not schedule more than &1 jobs |
074 | Error in temporary data for program & ID & |
075 | Variant & cannot be changed |
076 | &1 lock error (user &2) |
077 | Program run &1 &2 not found |
078 | All jobs for run &1 &2 were completed |
079 | Jobs for &1 &2 are still running |
080 | No job found for run &1 &2 |
081 | Internal error: Invalid parameter transfer |
082 | Job &1 cannot be changed |
083 | Monitor job stopped |
084 | Method &1 not supported for interval creation for object &2 |
085 | No data found for division into intervals |
086 | There is no variant &2 for object &1 |
087 | Variant &1 ( &2 ) was deleted |
088 | Variant &1 ( &2 ) was re-generated |
089 | Year &1 is invalid |
090 | No totals records exist for reconciliation key &1 |
091 | Specify the reconciliation accounts to be checked |
092 | Choose a check |
093 | G/L account posting to receivable from FI-CA, document &1 |
094 | G/L account posting to receivable from FI, document &1 &2 &3 |
095 | No valid reconciliation account found |
096 | Adjustment not possible for restriction via &1 |
097 | General ledger adjusted successfully |
098 | Adjustment has already been carried out |
099 | No adjustment data exists |
100 | *** Messages for data transfer *** |
101 | File &1 cannot be opened |
102 | File &1 is empty |
103 | Error in file: Data record category &1 unknown (line &2) |
104 | Error in file: The first data record must be type 0 (line &1) |
105 | Error in file: Type 1 must come after data record type 0 (line &) |
106 | Error in file: Type 2 must come after data record type 1 (line &) |
107 | Error in file: Type 2 or 1 must come after data record type 2 (line &) |
108 | Error in file: Client &1; current client is &2 (line &3) |
109 | Error in file: Line &1 is longer than structure &2 |
110 | Error in file: Line & terminated with &, NO-DATA is & |
111 | Error in file: Table &1 in data record cat. &2 not valid (line &3) |
112 | Enter a reconciliation key |
113 | Reconciliation key &1 already exists |
114 | Enter an ID |
115 | ID & already exists |
116 | Enter a file name |
117 | ID & does not exist |
118 | No errors in ID & |
119 | All data with identification &1 was processed |
120 | File has been changed: Restart not possible |
121 | The number & contains invalid characters |
122 | Time & is not valid |
123 | Position cursor correctly |
124 | The data has been transferred |
125 | Data has been saved |
126 | No other errors exist |
127 | You cannot display any possible entries here |
128 | User &1 is already processing document transfer &2 |
129 | Cluster & not found |
130 | Reconciliation key & cannot be reserved |
131 | Reconciliation key & cannot be opened |
132 | Document transfer is running, cannot generate |
133 | &1 &2 &3 &4 |
134 | Document & is incorrect (item &) |
135 | User &1 is already using payment lot transfer &2 |
136 | Payment lot transfer is running; generation not possible |
137 | Error in file: Type 1, 2, or 3 must follow data record type 2 (line &1) |
138 | Error in file: Type 1, 2, or 3 must follow data record type 3 (line &1) |
139 | Payment lot header & is incorrect (line &) |
140 | Payment lot item & is incorrect (line &) |
141 | Enter a valid date and a valid time |
142 | Event 0950: Error in payment item |
143 | File &1 generated |
144 | Returns lot transfer &2 is already being used by user &1 |
145 | Returns lot transfer running - generation not possible |
146 | Returns lot header &1 contains an error (line &2) |
147 | Returns lot item &1 contains an error (line &2) |
148 | Name of application server &1 is invalid |
149 | Fields KTOSL/KSCHL contain invalid values &1 / &2 |
150 | Payment lot &1 posted |
151 | Returns lot &1 posted |
152 | Error in file: 1, 2, or 3 (line &1) must follow data record type 4 |
153 | Incorrect records for identification &1 were already deleted |
154 | False number of decimal places in field &1: &2 expected, &3 delivered |
155 | File version could not be determined |
156 | Error in file: Data record type 3 must follow OI item (line &1) |
157 | Error in file: Data record type 4 must follow G/L item (item &1) |
158 | Error in file: Data record type 4 must be foll. by type 1,2, or 4 (itm&1) |
159 | Check deposit header &1 is incorrect (item &2) |
160 | Error in file: Data record type 2 must be followed by type 2 (item &1) |
161 | Check deposit transfer &2 is being used by user &1 |
162 | Error in file: Data record type 5 must follow G/L item (line &1) |
163 | Error in file: Type 1, 2, or 4 must follow data record type 5 (line &1) |
164 | Data element &1 for counter with ID &2 does not exist |
165 | No text defined for data element &1 of counter with ID &2 |
166 | Data element &1 does not exist |
167 | Returns lot &1: Items can no longer be added |
168 | Error in file: Type &3 must not follow data record type &2 (line &1) |
169 | No errors found |
170 | Status redetermined for all enhancements |
171 | Enhancement for field &1 is not active |
172 | File &1 has already been transferred |
173 | Error in file: Payment lot ID &1 used twice (line &2) |
174 | Invalid combination of MWSKZ, TXJCD, and KSCHL (&1 &2 &3) |
175 | Duplicate tax item - MWSKZ &1 TXJCD &2 and KSCHL &3 are already in use |
176 | Tax percentage rate &1 does not correspond to Customizing (&2) |
177 | Interval &1 |
178 | Data transfer type &1 not supported |
179 | First enter data transfer type |
180 | Too many errors - extended log deactivated |
181 | Reconciliation key &1 was opened |
182 | Reconciliation key &1 cannot be closed |
183 | Reconciliation key &1 was closed |
184 | Number of incorrect documents: &1 |
185 | Number of correct documents: &1 |
186 | Number of posted document: &1 |
187 | Document Number &1 |
188 | From document number &1 to document number &2 |
189 | ******** Statistics ******** |
190 | Number of incorrect lots: &1 |
191 | Number of correct lots: &1 |
192 | Documents without BP item are not allowed with active tax reporting |
193 | There is no currency with ISO code &1 and at least &2 decimal places |
194 | No open posting period for alternative posting date &2 |
195 | Special period &1 is closed |
196 | Document itemization is possibly limited |
197 | Number of Processed Lots: &1 |
198 | &1 intervals were successfully created |
200 | *** Messages for display of sums from GL *** |
201 | Enter a reconciliation key |
202 | No reconciliation key fits the selection criteria |
203 | Select fewer than &1 reconciliation keys |
204 | No documents exist for these selection criteria |
205 | Choose at least one display option |
206 | No differences found |
207 | Transfer &1 does not contain any items |
208 | Reconciliation key &1 was incompletely transferred |
209 | Select only one display option |
210 | No intervals and excludes are allowed for reconciliation key |
211 | Action cancelled by user |
212 | &1 totals records found |
213 | &1 totals records deleted |
214 | Reconciliation key &1 cannot be automatically corrected |
215 | Select a valid line |
216 | G/L transfer not executed for selected reconcilation key |
217 | No G/L documents found for these selection criteria |
218 | Transfer not executed for selected reconciliation key |
219 | Reconciliation key &1 is locked by another user |
220 | Reconciliation key &1 already transferred |
221 | Data for posting area &1 in company code &2 is incomplete |
222 | Reconciliation keys successfully transferred |
223 | Only some reconciliation keys were transferred |
224 | Transfer not possible for reconciliation key selected |
225 | Differences found for reconciliation key &1 |
226 | Reconciliation key &1 corrected successfully |
227 | Reconciliation key &1 not checked; totals records were deleted |
228 | Error in correction for reconciliation key &1 |
229 | Corrections for reconciliation key &1 not transferred |
230 | Reconciliation key &1 not checked; local currency was changed over |
231 | Balance <> 0 for document &1 in reconciliation key &2 |
232 | Reconciliation key &1 not checked; documents already archived |
233 | Reconciliation for reconciliation key &1 |
234 | Could not check reconciliation key &1 |
235 | You are not authorized to change the COPA transfer |
236 | Document &1 successfully reversed in accounting |
237 | Internal error in routine &1 |
238 | You are not authorized to reverse postings in general ledger |
239 | You are not authorized to adjust postings in general ledger |
240 | Do not specify company code when reversing adjustment data |
241 | Offsetting posting successful, real reversal not possible; error &1 &2 |
242 | No additional message exists for entry |
243 | Reversal for &1 not possible; documents already archived |
244 | Company codes with missing authorization will not be considered |
245 | No differences found for reconciliation key &1 |
246 | Update not possible; reconciliation key &1 already transferred |
247 | Program &1 cannot be executed |
248 | Reconciliation key &1 is not reconciled |
249 | Data for non-deductible tax is inconsistent for document &1 |
250 | Segment &1 is not supported for company code &2 |
251 | Segment could not be derived for account &1 &2 |
252 | Range &1 already assigned to job &2 -> Job &3 canceled |
254 | Object type &1 unknown in object repository |
256 | Reversal f. &1 not possible after installation of SAP Simple Finance 1503 |
257 | Make sure you have access to all archives before deleting |
258 | Different settings for alternative posting date or periods |
259 | You do not have authorization to display posting totals and documents. |
260 | Deletion date &1 is not permitted in company code &2 |
261 | Fiscal year &1 cannot be deleted for company code &2 |
280 | The entered access key is not valid |
281 | The entered access key has expired |
282 | You did not enter an access key |
283 | Only SAP can generate an access key |
284 | Year of asset value date &1 for asset &2 not unique (reconcil. key &3) |
285 | No fixed asset clearing account can be derived for asset &1. |
286 | Posting to asset &1 with G/L account &2 is not possible. |
287 | Posting not possible: acct &1 deviates from fixed asset clearing acct &2. |
288 | Posting to asset &1 is only possible with line item and single document. |
289 | Segment for account &2 &3 not maintained (reconcil. key &1) |
290 | Error in loan calculation: installments divided incorrectly |
291 | No standard segment can be determined for account &2 &3 (reconc. key &1) |
300 | *** Messages re: Transfer of Bank Statement Data to Payment Lot *** |
301 | No electronic account statement corresponds to the selection criteria. |
302 | You have not selected an electronic account statement. |
303 | There is no electronic account statement with ID &1. |
304 | House bank acct &1 &2 in CoCde &3 is not assigned to a bank clrg account |
305 | Bank clearing account for house bank acct &1 &2 in CoCde &3 not unique |
306 | No free key up to no. &1 found for the payment lot |
307 | No free key up to no. &1 found for the returns lot |
308 | Enter an identification for the transfer run |
309 | Run &1 at date &2 already completed. |
310 | Account statement transfer terminated |
311 | File &1 cannot be closed |
312 | File created for &1 &2 &3 |
313 | Neither payments nor returns were selected for transfer |
314 | Choose different file names for output files |
315 | Acct statement item &1: &2 item(s) deleted in module for event &3 |
316 | Enter an existing run ID and date for &1 |
317 | Restart not possible because run &1 was completed at date &2 |
318 | Error processing not possible: run &1 at date &2 had no errors. |
319 | Acct statement transfer &2 &3 is being used by user &1 |
320 | Run &1 and date &2 have not yet been created. |
321 | Error &1 when updating control data for run &2 from &3. |
322 | Restart: There is no &1 with key &2 |
323 | Log for transferring account statement &1, run ID &2 |
324 | Restart run &1, account statement &2 &3 will be output again on file |
325 | Restart run &1 for account statement &2 &4 for acct statement item &3 |
326 | Acct statement item &1: Error when inserting item in &2, item &3 |
327 | File &2 for &1 opened. |
328 | &1 &2 created |
329 | &1 &2 closed. |
330 | &1 &2 posted. |
331 | Transfer of account statement &1 terminated at item &2 |
332 | &2 item(s) transferred to &1. |
333 | Key &2 used to create &1. |
334 | &1 |
335 | Event 0960: Errors in return lot item |
336 | Specify at least the company code for account statement selection |
337 | There is no incorrect item for item &2 from account statement &1 |
338 | Error when writing incorrect &1 (for statement &2 item &3): &4 |
339 | Error when updating incorrect &1 (for statement &2 item &3): &4 |
340 | Error when writing error message (for statement &1 item &2): &3 |
341 | Item &1 from account statement &2 tranferred to &3 &4. |
342 | Item already transferred to &1 &2. |
343 | Position cursor on the line you wish to delete |
344 | &2 item(s) incorrect (not transferred to &1). |
345 | &1 &2 not completed because there are still errors. |
346 | Run &1, date &2 interrupted. Choose "Restart" to continue processing |
347 | Run &1, date &2 currently being processed by user &3 |
348 | Run &1, date &2 currently in progress |
349 | Run &1, date &2 already scheduled |
350 | Account statement already transferred to &1 &2 |
351 | Account statement already used in run &1 of &2 |
352 | Acct statement already transferred to payment lot &1, returns lot &2 |
353 | &1 &2 not registered in administration record for transfer run |
354 | Administration record for run &1, date &2 could not be actualized |
355 | Administration record for run &1, date &2 cannot be created |
356 | The &1 name can occupy a maximum of ten spaces when splitting in the lot |
357 | Select a block size </= &1 as only a maximum of 99 lots are created |
358 | &1 &2 already exists |
359 | Payment lot &1: No more items can be added |
360 | Log for processing account statement from MultiCash files |
361 | Error reading MultiCash files |
362 | Transfer of MultiCash file terminated at record number &1 |
363 | Statement file: &1 |
364 | Line Item File: &1 |
365 | Error Closing Reconciliation Key &1 |
366 | Account Statement Item &1: Error Posting Check Encashment |
367 | Statement File Contains Different Data to First Start of Run |
368 | Lot prefix &1 already assigned to business transaction type &2 |
369 | &1 &2 is complete and has been released |
370 | Customizing for error processing is incomplete &1 |
371 | MultiCash statement file contains following account statements: |
372 | Reconciliation key &2 is used for posting &1 |
373 | &2 &1 posted |
374 | &2 &1 defective (not posted) |
375 | Run &1 &2 ended with errors; call up error processing |
376 | Restart not possible, run &1 &2 ended, errors to be processed |
377 | Run &1 &2 is already being used to transfer a MultiCash file |
378 | Run &1 &2 is already being used to transfer an account statement |
379 | Item &1 from account statement &2 clarified without transfer in &3 |
380 | Item &1 from account statement &2 must be corrected and transferred |
381 | &1 &2 &3 |
382 | Payment advice note lot &1: Items can no longer be added |
383 | Missing Customizing in table TFK028G (&1 &2 &3) |
384 | &1 items not transferred |
385 | Maximum number of 99,999 items in account statement &1 exceeded |
386 | Transfer of bank statement &1 was scheduled |
387 | No connection to distributed system of account balance possible. |
400 | *** Messages about transfer to CO-PA *** |
401 | Enter a reconciliation key |
402 | No reconciliation key found for transfer |
403 | Reconciliation key &1 is not closed |
404 | Too many errors - transfer was terminated |
405 | Document &1 currently being edited by user &2 |
406 | Select data for transfer |
407 | Internal error: &1 &2 &3 &4 |
408 | Currency key for a parallel currency is not defined for company code &1 |
409 | Document &1: Repetition not allowed |
410 | Reconciliation key &1 is locked by user &2 |
411 | Reconciliation key and status of transfer to CO-PA: |
412 | ------------------------------------------------------------------------- |
413 | &1 &2 |
414 | You do not have authorization to start transfer to CO-PA |
415 | CO posting period &1 (&2) is blocked for &3 (&4) |
416 | Limit your selections for &1 |
417 | Error transferring cost accounting (CO-PA) for reconciliation key &1 |
418 | Transfer not possible for reconciliation key &1 |
419 | Reconciliation for &1 not possible; local currency was converted |
420 | Reconciliation not possible for controlling area &1 |
421 | Error in transfer for reconciliation key &1 company code &2 |
422 | Reconciliation key &1 company code &2 transferred successfully |
423 | Transfer reconciliation key &1 company code &2 |
424 | Transfer reconciliation key &1 |
425 | Error during transfer for reconciliation key &1 |
426 | No correction possible for archived reconciliation key |
427 | Separate transfer to Profitability Analysis (CO-PA) no longer necessary |
428 | Correcting the transfer is not possible (see long text) |
429 | Transferring data to the general ledger is not possible (see long text) |
462 | Corresponding item category does not exist |
463 | No entries selected |
464 | Unable to delete line & |
465 | Internal error |
466 | No lines selected that can be added |
467 | Too many lines selected |
468 | Changes cannot be saved |
469 | Line must not be changed |
470 | No search exists for field &1 |
471 | Too many characters entered in the input field |
472 | Changes were saved automatically during transfer |
473 | No changes were made |
474 | No F4 help exists for field &1 |
480 | Number of entries transferred from table DFKKBIC: &1 |
481 | No old entries found |
482 | &1 |
483 | Records with errors were deleted |
485 | Use Report RFKKBI_FILEEDIT |
486 | Some lots could not be deleted |
500 | *** Messages for transfer posting *************************************** |
501 | Enter the required businss partners/countract accounts |
502 | Enter the business partner number |
503 | Enter the contract account number |
504 | Contract account &2 for business partner &1 does not exist |
505 | Business partner &1 is being processed by user &2 |
506 | Contract account &1 is being processed by &2 |
507 | User &2 is processing documents for business partner &1 |
508 | User &2 is processing documents for contract account &1 |
509 | Transfer is not possible |
510 | Internal error when reading master data |
511 | No items for transfer were found |
512 | Contract accounts &1 &2 created for different applications |
513 | Contract accounts &1 &2 have different account types |
514 | Different authorization groups for accounts &1 and &2 |
515 | Different partner/company IDs for accounts &1 and &2 |
516 | The items can be transferred |
517 | Address number/bank details without alternat. business partner in doc. &1 |
518 | Original and target partner / account are identical |
519 | Internal error in transferring items |
520 | Items successfully transferred |
521 | This item has already been entered; delete |
522 | Multiple target partners / accounts not permitted for &1/&2 &3 |
523 | Number assignment for transfer has failed |
524 | Tables DFKKOP and DFKKOPW are inconsistent |
525 | Error in updating the change documents |
526 | Database error in &1 &2 |
527 | &1/&2/&3 are simultaneously original and target partner/account/contract |
528 | Different company code groups for accounts &1 and &2 |
529 | Error in business partner item in document &1 |
530 | Program error: COMMIT WORK not permitted |
531 | Transfer not possible; open payment order for document &1 |
532 | Transfer not possible; check workflow active for document &1 |
533 | Contract &2 is currently being processed by user &1 |
551 | Select a line |
552 | No items found |
553 | Enter reason for transfer |
554 | Position the cursor correctly |
560 | ******** Messages for F4 Help Exits ************************************* |
561 | Select one field from the parameters list as a search help field |
562 | Error when reading search help parameters from screen &1 to program &2 |
563 | Error when updating search help parameters screen &1 program &2 |
600 | *----- Messages; transfer manually issued checks lot -------------------* |
601 | Check lot transfer is running; generation is not possible |
602 | Check lot transfer &2 is being used by user &1 |
603 | Check lot item &1 is incorrect (item &2) |
604 | Check lot header &1 is incorrect (lot &2) |
605 | Program Error: Field &1 in Transfer Structure I_DFKKCMK is Initial |
606 | Program Error: Check Lot Items Not Sequential |
607 | Status of check lot &1 does not permit release |
608 | Check lot &1 is being posted |
609 | Check has no status that permits the addition of items |
662 | Internal error: Incorrect call of function module &1 |
700 | *----- Transfer to other company code -------* |
701 | Selection of company code not possible |
702 | No paying account relationship selected |
703 | Selection of currency not possible |
704 | Selection of payment method not possible |
705 | Selection of paying company code is not possible |
706 | Company code &1 and payment method &2 are not compatible |
707 | &1 is not permitted for company code &2 |
708 | Transfer posting terminated |
709 | No open items selected |
710 | Entry for &1 is only permitted in the selection parameters area |
711 | No variant exists |
712 | Transaction FPU2 not permitted for application &1 |
713 | Transaction FPU5 not permitted for application &1 |
714 | You are not authorized to display intervals |
715 | List was updated |
716 | Last upper limit will be adjusted |
800 | *----- Year-end closing posting -------* |
801 | Company codes have different fiscal year variants |
802 | Not all standard periods of company code &1 are closed |
803 | Posting date and document date in fiscal year to be closed |
804 | Report is obsolete - use year-end closing in FI |
805 | The program is obsolete. Use transaction &1 |
810 | The system creates intervals dynamically |
811 | Parallel processing object does not support entry of interval size |
812 | The number of intervals must be between 1 and 86400 |
814 | Error when accessing archived totals records |
815 | Archived totals records are not considered |
880 | The local file cannot be processed in the background. |
881 | Managing data in this client is not permitted |
899 | &1 &2 &3 &4 |
999 | &1 &2 &3 &4 |