FM_FAGL_REORG - Reorganisation Haushaltsmanagement
The following messages are stored in message class FM_FAGL_REORG: Reorganisation Haushaltsmanagement.
It is part of development package FM_FAGL_REORGANIZATION in software component PSM-FM. This development package consists of objects that can be grouped under "Reorganization: FM Part".
It is part of development package FM_FAGL_REORGANIZATION in software component PSM-FM. This development package consists of objects that can be grouped under "Reorganization: FM Part".
Message Nr ▲ | Message Text |
---|---|
000 | Account assignment characteristics updated in FI could not be determined |
001 | Restrictions of reorganization plan &2 do not contain company code &1 |
002 | Fiscal year variant is not determined for company code &1 |
003 | Fiscal year variant is not determined for ledger &1 |
004 | Reorganization date must be the first day of a fiscal year |
005 | No FM area was specified |
006 | Objects of company code &2 are not permitted |
007 | Prior period of company code &1 is still open |
008 | FY variant of CoCode &1 differs from FY variant of FM area |
009 | Error when checking account assignments |
020 | =====Balance Determination for Foreign Currency Valuation ====== |
021 | Internal error while determining foreign currency balances for doc. &1 |
022 | Account for foreign currency valuation was not determined for doc. &1 |
023 | Ledger for foreign currency valuation was not determined for doc. &1 |
024 | Acct or ledger for foreign crcy valuation was not determined for doc. &1 |
025 | Foreign currency valuation: Document &1 could not be read |
026 | Unexpected result during determination of foreign crcy balances, doc. &1 |
027 | Error when reading data for company code &1 |
028 | Internal error when determining foreign currency balances in &1 |
029 | Related ledgers in ledger group &2 could not be determined |
100 | =====Determination and Reassignment of Assets============================ |
101 | No selection criteria could be determined for the fixed assets |
102 | No company code was determined using the general restrictions |
103 | Internal error: Account assignments contain the character * |