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