FSTCP_FWTR - Message Class for Forward Securities Transaction
The following messages are stored in message class FSTCP_FWTR: Message Class for Forward Securities Transaction.
It is part of development package FTT in software component FIN-FSCM-TRM-TM. This development package consists of objects that can be grouped under "R/3 application development for Treasury forward trading".
It is part of development package FTT in software component FIN-FSCM-TRM-TM. This development package consists of objects that can be grouped under "R/3 application development for Treasury forward trading".
Message Nr ▲ | Message Text |
---|---|
001 | Transaction &1 in company code &2 is not a securities transaction |
002 | Transaction &1 in company code &2 does not exist (possibly archived) |
003 | Transaction code is not valid for the selected product category |
004 | Not possible to create a sales order for zero bonds |
005 | This function is not available for activity category &1 |
006 | It is not possible to change the data |
007 | No settlement planned for this processing category |
008 | Reversal cannot be executed |
009 | Processing is not possible since transaction has been concluded |
010 | Reversal cannot be performed since references exist to transaction |
011 | Posting information missing for flow with flow type &1 |
012 | Internal error: Incorrect processing mode |
013 | Date fields are not compatible with class data |
014 | Processing of zero bond transaction (sell) only possible in dialog mode |
015 | Not all transactions are displayed due to missing authorization |
016 | Transaction can only be created as a contract |
017 | 'Securities account' field must be filled for contract or settlement |
018 | Processing only possible for transactions in contract/settlement status |
019 | Class &1 has Status &2 |
020 | Function not possible since securities account has not been entered |
021 | Processing cannot continue until partner is entered |
022 | Calculation cannot be performed |
023 | Interest calculation method actW/252: Interest calendar must be filled |
024 | Internal error during TRD update |
025 | Internal error: No TRD business transaction found |
026 | Number of units and nominal amount may not be negative |
027 | ID number &1 does not belong to product type &2, but to &3 |
028 | Flow with flow type &1: Date error |
029 | General valuation class must be filled |
030 | Securities account &1 blocked until &2 |
031 | Internal error: No data found for OTC option |
032 | Product type &1, transaction type &2: No number range assigned |
033 | Product type &1, transaction type &2: No number range for underlying |
034 | The date is overwritten with the date of the original transaction |
035 | Sale produces short position |
036 | You can sell a maximum of &1 |
037 | A short position exists |
038 | There is a short position that is not permitted |
039 | Only &1 available due to disposition block |
040 | Reversal produces a short position on &1 |
041 | Date of the margin/fee before the contract conclusion date |
042 | Calculation is not possible before term end of class &1 |
043 | Only class of product type &1 is valid (currently: &2) |
044 | Only class of quotation type &1 is valid (currently: &2) |
045 | Only class of issue currency &1 is valid (currently: &2) |
046 | Transaction &1/&2: Not all flows have been released for posting |
047 | Transaction &1/&2: Some flows have not been released for posting |
048 | Only memos can be changed |
049 | Reversal is not possible; transaction is part of a netting transaction |
050 | Error when assigning TR flow type &1, +/- sign &2 |
051 | Error when assigning TR flow category &1 to securities flow category &2 |
052 | Error when assigning SEC flow type &1 |
053 | Flow type &1 not available for contract type &2 |
054 | Date check for &1 |
055 | Flow type &1 is not allowed -> see F4 Help |
056 | Error assigning update type to flow type &1, sign &2, contract type &3 |
057 | Error during assignment of flow type for update type &1 |
058 | Accrued interest flow: Flow type &1 not allowed |
059 | For the position update, an update type must be assigned to open flow |
060 | For the position update, an update type must be assigned to close flow |
061 | No information exists for the underlying transaction |
062 | Update types are not defined for position change of the underlying |
063 | Manual release is reset by the change |
064 | Quantity or nominal amount cannot be empty or 0 |
065 | Transaction category & is not defined for current product type |
066 | Prod. type cannot be used as underlying because more than one trans type |
067 | Transaction category & is not permitted for underlying transaction |
068 | Securities account &1/&2 not permitted for current transaction category |
069 | Manually entered accrued interest flows have been deleted (not permitted) |
070 | 'Without Accrued Interest' indicator is set |
071 | +/- sign &1 not permitted for flow type &2 |
072 | Currency unit &1 not defined |
073 | Payment date must be &1 or &2 |
074 | Activity category "order" not defined for transaction category & |
075 | Nominal amount is not within permitted limits |
076 | Internal error: Fixing of a redemption schedule factor failed |
077 | Nominal factor has value 0 for calculation date &1 |
078 | No assgmt update type: FlowType &1, +/- sign &2, ProdType &3, TransTyp &4 |
079 | Market price of old stock was updated |
080 | Cash flow display not possible, since no securities account available |
081 | Nominal factor &1 differs from current value &2 |
082 | Nominal factor &1 is overwritten with current value &2 |
084 | Price &1 is not a multiple of tick &2 |
085 | Internal error: Main flow is not unique |
086 | Internal error |
087 | Flow type is not defined for base flow |
100 | Securities transaction &2 created in company code &1 |
101 | Securities transaction &2 changed in company code &1 |
102 | Securities order &2 executed in company code &1 |
103 | Securities transaction &2 settled in company code &1 |
104 | Securities order &2 set to expiration in company code &1 |
105 | Securities transaction &2 reversed in company code &1 |
106 | Customer-specific enhancement: error in amounts |
107 | Error during currency translation |
108 | Class & not permitted as underlying transaction |
109 | No accrued interest flow type defined for +/- sign &1 |
110 | Posting of transaction &1 &2 failed |
111 | Function not possible |
120 | Condition type &1 has not been assigned a flow type |
121 | Generated flow is regenerated after deletion |
140 | Amount in local currency and local exchange rate updated |
150 | Transaction &1 in company code &2 is already fixed |
151 | Transaction &1 processed successfully in company code &2 |
200 | Product category &1 does not belong to prod.cat. 'security as underlying' |
300 | Data is inconsistent |
301 | See note 90016. |
302 | Restart changeover |
303 | No data was selected for changeover |
304 | Currency was converted successfully |
400 | Data is incomplete due to insufficient authorization |
800 | Flow type &1 already defined |
801 | Flow type &1 created successfully |
802 | Flow type &1 already assigned to at least one transaction type |
803 | Transaction type &1 created successfully for product type &2 |
804 | Flow type &1 assigned to transaction type &2, product type &3 |
805 | Update termination: Program is terminated |
806 | Transaction types created successfully for flow type &1 |
807 | Conversion not possible since order executions still exist |
808 | There is no data to be converted |
809 | You must settle or delete execution &1 in company code &2 |
810 | Error during conversion: Company code &1, order number &2 |
811 | Error in class data for transaction &1 in company code &2 |
812 | Error in securities account master data for transaction &1 in CoCd &2 |
813 | Transaction &1, company code &2: Transaction type cannot be derived |
814 | Transaction &1, company code &2: Transaction flow type cannot be derived |
815 | Transaction &1, company code &2: Error in number assignment |
816 | Transaction &1, company code &2 converted: Transaction number &3 |
817 | Transaction &1, company code &2: Test run executed successfully |
818 | Transaction &1, company code &2 already converted (transaction no.: &3) |
819 | Company code &1, product type &2: Planning levels assignment converted |
820 | Initialization failed: Tables not converted |
821 | Table &1 not converted |
822 | Convert table &1 |
823 | Not possible to determine transaction flow type for SEC flow type &1 |
824 | Entry for flow type &1 with +/- sign &2 already exists |
825 | System error when writing table &1, SY-SUBRC = &2 |
826 | Number of data records converted: &1 |
827 | Number of data records not converted: &1 |
828 | Account symbol &1 already defined for application &2 |
829 | Replacement of account symbol &1 for chart of accounts &2 already exists |
830 | Assignment for flow category &1 (condition group &2) already exists |
831 | Transaction &1, company code &2: Error during conversion |
832 | Position management procedure entry already exists |
833 | Internal error (table AT02A): Contact SAP |
834 | Enteries Missing in System table AT02A for Product Category &1 |
888 | &1 &2 &3 &4 |
889 | Termination: &1 &2 &3 &4 |
899 | Error: Inform SAP |