FTI_LDB_MESSAGE - Messages for TR OLTP Reporting Using Logical Databases

The following messages are stored in message class FTI_LDB_MESSAGE: Messages for TR OLTP Reporting Using Logical Databases.
It is part of development package FTI_LDB in software component FIN-FSCM-TRM-TM-IS. This development package consists of objects that can be grouped under "Logical Databases for the R/3 CFM Information System".
Message Nr
Message Text
000Internal error --> Termination
001Enter an evaluation type
002Enter a currency translation type
003Select at least one product group
004Enter a display currency
005Enter a reference date
006No authorization for company code &1, product type &2, valuation area &3
007Enter the number of the secondary index
008Enter a valid selection period
009Select at least one key figure in the report
010No data is read from the operative valuation area!
011Product group "Securities" is not selected
012Product group "Loans" is not selected
013Product group "OTC (MM, FX, Derivatives)" is not selected
014Product group "Listed derivatives" is not selected
015Enter a rate/price type
016Evaluation only possible for the operative valuation area
017Evaluation optimized for the parallel valuation areas
018No data was selected
019------> Messages for Valuation Area &1 <------
020No data was selected from valuation area &1
021Inconsistent Selections for Listed Derivatives in Valuation Area 1
022Inconsistent Selections for Product Type, Product Cat. or Contract Type
023Enter the number of the secondary index for the class
024Access optimization is deactivated -> long runtimes
025"Key Date" field is missing in the report definition
026Enter a key date
027Enter an industry system
028Enter an evaluation currency
029Error selecting by product type (Customizing error)
030Selection returns an empty hit list
031Select at least one key figure representing a payment
032Customizing missing for payment relevance of update types
033The system no longer fills the fields you are requesting
034Error determining leading currency for currency pair &1/&2
035This indicator for rate calculation has not been maintained.
036The rate calculation indicator is read from the company code data
037Memory ID is not in the selections in LDB_PROCESS
038Enter a valuation method
039Key date reference is missing in the selections in LDB_PROCESS
040Valuation area 001 does not allow selection by posting date
041For "Posting Date" key date reference: no simulative valuation
042For "Posting Date" key date reference: position trend only
043Process Reversed Flows option only available for key date reference 2
044You cannot convert field selection for &1
045Field &1 is read from class data for securities transactions
046Enter a valid key date
047Enter a key date reference
048Requested field &1 does not exist in &2 node structure fields
049Select Hedge Position Type
050Update type &1, valuation area &2: Incorrect profit/loss customizing
051Missing profit/loss type for update type &1, valuation area &2
052Simulative valuation for key date reference "Posting Date"
053Month End Indicator was set for the &1.
054Please verify that the Month End Indicator is omitted intentionally.
055Memory ID for error messages not supplied
061&1 cannot be calculated for ID number &2
062Effective interest method is not valid for ID number &1
063ID number &1 is a floater: Interest rate may not be fixed
064Effective interest cannot be calculated for ID number &1
070Task &1: Flow with Bustrans ID &2 is not included (table TRLV_TRANS2)
071Task &1: Position IDENTIFIED_OID &2 from DIFT_POS_IDENT is not included
072&1 short dumps: parallel processing was terminated
073Cannot select scenario and shift simultaneously
074Select buffer control as 'risk management data recalculated'
075Multitasking: Active, Tasks: &1, Package size: &2, Server group: &3
076Multitasking: Inactive, Package size: &1
077Task &1: Index from: &2, Index to: &3, Index last: &4
078Last package in process.
079&1 &2 &3 &4
080Errors and terminations
081Warnings
082Information and status messages
083Multitasking: Active, Tasks: &1, Package size: &2, Host name: &3
084Wait for free task and process the package again
085Maximum size of a data package for data transfer is reached
086Business transactions processed from index &1 to index &2
087Multitasking: max. no. of tasks &1; no. of tasks in use &2
088Initialization failed: Switch to single task processing
089Initialization failed: Cancel process
090&1 in company code &2, valuation area &3 is only initialised for &4
091The position shown is the sum of all positions
092The position shown is not at sub position level
093The hedge positions are shown without Hedge ID
100Messages for simulating valuation of a position (see long text)
101Simulated valuation is not supported in old hedge accounting
102Locked quantities cannot be calculated for hedge accounting
103Cannot determine locked quantities
104Valuation already exists at key date &1
110No exchange exists for ID number &1
111Any exchange of class master data was used for security ID &1
112Home exchange of class data was used for security ID &1
114More than one rate maintained for sec ID &1 on &2. Selection is random.
115For sec.ID &1, no price has been maintained on &2 with price type &3
130Partner attribute selection is inconsistent or contains errors
131No attributes could be determined for partner &1
148Parameter "Interpretation Leading Currency" cannot be set here
149Field "side of transaction" must be included in query definition
150Parameters "only references" and "split syndicate" cannot be combined
151You can only process a reference type
152You must specify a reference type
153Ref. category only evaluated for option "only transactions in references"
154Reference only evaluated for option "only transactions in references"
156Transaction &1 (company code &2) is included in more than one reference
160Query contains the field RATING or SOL_INS
161&1 is overflow for Spot Rate of Transaction &2 in company code &3
162&1 is overflow for Rate of Forex Transaction &2 in company code &3
163&1 is overflow for field &2. Use field &3 to display.
180*---Messages for Commodity--180 to 185--*
181Data is not available for the selected commodity key &1
200*--- Messages for RAPIs --- messages 200 - 249 -----
201No transaction found for this key
202Transaction Is Not Active
203Transaction is not an OTC transaction
204More than one transaction found for this key
205OTC transaction: Serious or unspecified selection error
206No transaction (securities or futures) found for this key
207Transaction (securities or futures) is not active
208Transaction is not a securities or futures transaction
209More than one (securities) transaction found for this key
210(Securities) transaction: Serious or unspecified selection error
211Evaluation type does not exist
212Transaction has not been created or no longer exists for key date
213Transaction does not yet exist for key date
214Selection error for transaction &1
215No lot attributes for lot ID &1
216Sub Position UID is not provided
217**********THX Hedge********
218Hedging relationship &1 not found
219Notional value does not exist for hedging relationship &1
220Hedged items not found for the hedging relationship &1
221Hedging instrument not found for hedging relationship &1
222Effectiveness test data not available for hedging relationship &1
223Hedging profile details not found for &1
224More than 1 effectiveness test ratio available for eff test of HR &1
225No business transaction category available for hedging relationship &1
250Error messages - Hedge Accounting LDB (250 - 275)
251You do not have authorization in company code &1
275
276
301Enter a valuation area
302There is no position management data for &1 - &2 - &3
303Position mgmt information does not exist for securities transactions
304There is no position management information for non-OTC transactions
305There are no positions for transaction &1 in company code &2
306Customizing settings missing for product type &1: Interest calc. method
307Enter a company code
308Enter a security ID number
309Enter a securities account
310Enter a loans contract number
311Enter a futures account
312Enter an ID number for a listed derivative
313Enter a transaction
314No positions were selected
315Product category is empty
316Effectiveness test method has not been assigned for product type &1
317Enter a hedging relationship number
318Effective Log UUID is missing
319Enter a remaining term based on
320Pure delta InfoSource indicator is set; No data selection
330
350*---Messages for FLP (350 to 360)----
351No underlying loan found for company code &1 , deal number &2
380*-------> Parallelization (380-399) <---------
381Enter a valid server name; default is &1
382Enter a valid group name; default is &1
383Enter a valid task number; value will be changed to the maximum: &1
384Enter a valid package size; value will be changed to the default: &1
385Application and report mode do not have a value
386&1 uses value '&2' from &3
387Parallelization failed, ensure validity of Cust. settings or user input
388Default value not found; enter a valid server name
389Default value not found; enter a valid group name
390Maximum value not found; enter a valid task number
391Default value not found; enter a valid package size
392Parallelization is not available due to missing task no. in Customizing
400Messages for hedge LDB --------------------
401Non-single hedge values are not calculated for single hedge &1 in CoCd &2
403Hedging relationship does not exist for specified date
410*-------> Parallelization BATCH (410-430) <---------
411Packages to process: &1
413Package size changed from &1 to &2 for performance reasons
414Started package &1
415Finished package &1; &2 seconds used
416Internal error for package &1 with status &2
417Error for package &1; try run in serial mode
418All parallel packages are sent to the servers, waiting for processing
419All parallel packages finished
420&1 packages run in serial mode
421Started serial package &1: company code: &2, secure ID &3
422Finished serial package &1; &2 seconds used
423Started package &1: &2
424Started serial package &1: &2
425Started package &1: company code: &2, secure ID &3
426Company code: &1, secure ID &2
427Started &1 Time: &2
428Ended &1 Time: &2
429Time used: &1
430Number of items: &1
431Started Valuation Area: &1 Time: &2
432Ended Valuation Area: &1 Time: &2
433Amount of Buy/Sell Exchange Flow displayed in Position Currency
434Simulation for zero positions is not possible
435Simulation after zero position date &1 is not possible
898This program has not been released or is not maintained
899This program is old and is not part of the standard system
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