P9 - EU-spezifische Nachrichten: Zahlprogramm, Banken, Zahlwege
The following messages are stored in message class P9: EU-spezifische Nachrichten: Zahlprogramm, Banken, Zahlwege.
It is part of development package FMZE in software component PSM-FM. This development package consists of objects that can be grouped under "ISPS: Payment program for payment requests - EU-specifics".
It is part of development package FMZE in software component PSM-FM. This development package consists of objects that can be grouped under "ISPS: Payment program for payment requests - EU-specifics".
Message Nr ▲ | Message Text |
---|---|
000 | House banks for company code & are selected |
001 | Payment currency &1 for &2 house bank accounts found |
002 | Bank chain created using FM Bank_Chain for bank key &1 in ctry/region &2 |
003 | Compare swift-code act. house bank &1 with partner bank &2 |
004 | Compare swift-code act. house bank &1 with corresponding bank &2 |
005 | Compare Swift code current house bank &1 with intermediary bank 1 &2 |
006 | Compare Swift code current house bank &1 with intermediary bank 2 &2 |
007 | House bank &1 transferred to export parameters |
008 | Bank group &1 being checked |
009 | Compare Swift code bank &1 from bank group &2 with corresponding bank &3 |
010 | Compare Swift code bank &1 from bank group &2 with intermediary bank 1 &3 |
011 | Compare bank group partner banks &1 with bank group &2 of house bank |
012 | Transfer corresponding bank &1 to export parameters |
013 | Transfer intermediary bank 1 &1 to export parameters |
014 | Transfer intermediary bank 2 &1 to export parameters |
015 | Set bank type &1 &2 &3 |
016 | Compare payment currency &1 with currencies of banks in bank chain |
017 | Intermediary bank 2 : &1 |
018 | Intermediary bank 1 : &1 |
019 | Corresponding bank : &1 |
020 | Partner bank : &1 |
021 | &1 house bank(s) in currency &2 have been taken into account! |
022 | No house bank in payment currency; use online transaction |
023 | Super region &1 selected |
024 | Select house bank &1 from super region &2 |
025 | Select house bank &1 from table for house banks per currency (TBKCB) |
026 | No house bank in Table TBKCB; online transaction must be used |
027 | Unable to create bank chain for bank key &1 in bank C/R &2. |
028 | Bank groups cannot be checked without bank chain |
029 | Cannot compare pymnt currency &1 with currency bank chain w/o bank chain |
030 | Method for selection via super region being used |
031 | There is no house bank in TBKCR for super region &1 in paymt crcy &2 |
032 | No super region &1 assigned for country/region &2 in table T005. |
033 | No bank data available in table BNKA for bank ctry/reg.&1 and bank key &2 |
034 | No swift code available for bank key &1 in country/region &2 |
035 | No country currency available in table T005 for bank country/region &1. |
036 | Compare Swift code bank &1 from bank group &2 with partner bank &3 |
037 | Inconsistencies in Table BNKA with Table TBKBC for Swift code &1 |
038 | Loop in the bank chain with routing control code &1 |
039 | Collective payment request cannot be posted &1 &2 &3 &4 |
040 | You have cancelled processing |
041 | Reversal not possible |
042 | Release of reversed documents not possible &1 |
043 | Compare routing control code current house bank &1 with partner bank &2 |
044 | Compare routing control code current house bank &1 with corr.bank &2 |
045 | Compare routing control code for curr.house bank &1 with interm.bank 1 &2 |
046 | Compare routing ctrl code for curr.house bank &1 with intermed.bank 2 &2 |
047 | Inconsistency in table TBKBC in routing control code &1 |
048 | There is no data in table TBKBC for routing control code &1 |
049 | House bank determination failed at bank role stage |
050 | There is no data in table &1 for bank role &2 |
051 | Bank dtrmtn for super region &1 and paymt curr. &2 failed at bank role |
052 | Bank determination on payment currency &1 failed at bank role |
053 | Reversal not successful &1 &2 &3 &4 |
054 | Maximum input length of 13 characters has been exceeded |
099 | |
100 | Additional log without selection after preselection not possible |
101 | No entry in table &1 for country/region &2 |
102 | There is no bank data in table &1 for house bank &2 in company code &3 |
103 | There is no account for house bank &1 in company code &2 |
104 | There is no house bank in company code &1 |
105 | There is no house bank &1 from table &2 in company code &3 |
106 | Acct &1 from table &2 for house bank &3 does not exist in company code &4 |
107 | No bank data in table &1 for Swift code &2 |
110 | Swift code &1 does not exist in bank master data (BNKA) |
111 | Error in consistency check of payment request; no UPDATE |
112 | Error during payment request update |
113 | The payment request number already exists; no UPDATE |
114 | The processing type entered (insert, modify, delete) is incorrect |
115 | Problems when updating paymnt request with FB_FI_PAYMENT_REQUEST_MODIFY |
116 | Currency &1 does not exist in table TCURC |
117 | Country/region & does not exist in table T005. |
118 | At least &1 or &2 and &3 must be filled |
119 | If &1 is filled, &2 must also be filled |
150 | Company code &1 is not maintained in the system |
151 | G/L account number &1 is not maintained in chart of accounts &2 |
152 | Clearing account with number &1 is not maintained in chart of accounts &2 |
153 | G/L acct currency &1 and clearing account currency &2 are not identical |
154 | You must enter a company code for G/L account &1 |
155 | You must enter a company code for clearing account &1 |
156 | A name for G/L acct &1 in chart of accts &2 is not maintained |
157 | A name for clearing account &1 in chart of accounts &2 is not maintained |
158 | G/L account with number &1 is not maintained in the G/L account master |
159 | Clearing account with number &1 is not maintained in the G/L acct master |
160 | Enter a G/L account |
161 | Enter a clearing acct; &1 already exists as a target account |
162 | Loops in the hierarchy structure not allowed |
163 | Clearing account &1 (company code &2) not in table TTRCD |
164 | Cash management account name for acct &1 (co.code &2) not in table T035D |
165 | A negative lower limit is not allowed |
166 | The minimum transfer rate must be higher than zero |
167 | The upper limit must be higher than the lower limit |
168 | The minimum transfer rate can be no more than the min.-max. difference |
169 | Change not allowed |
170 | Doc. no. &1 from CC &2 and fyear &3 missing in table BKPF: termination |
171 | Posting key not defined in table T030B: termination |
172 | Chart of accts not defined for company code &1 in table T001; termination |
173 | No exchange rate difference accounts defined in table T030H; termination |
174 | No payment requests found using the specified criteria; termination |
175 | You must enter a session name for batch input |
200 | Entry in database table &1 for parameters &2, &3 and &4 not found |
201 | Invalid value in parameter &1 |
202 | You have not entered parameter &1 |
203 | National crcy &1 <> specified currency &2 , no foreign crrncy designated |
204 | Table key &1 &2 &3 &4 entered already exists |
210 | Parameter check completed successfully |
211 | Database table &1 read successfully |
212 | No records read from database table &1 |
213 | Payment amount exceeds the house bank limit |
214 | Payment amount does not exceed the house bank limit |
215 | Indicator "TODAY" set; next value date not until &1 |
216 | Indicator "TODAY" set; calculated and required value date identical |
217 | Indicator 'TODAY' set, as calculated value date already overdue |
218 | Calculated time period up to specified value date is &1 days |
219 | Value date acc. to calculated date on &1 |
220 | Value date acc. to calculated date on &1 and therefore overdue |
221 | Only one payment method selected: &1 |
222 | Two payment methods selected: &1 and &2 |
223 | This payment is not yet due |
250 | Company code &1 is not maintained in the system |
251 | G/L account number &1 is not maintained in chart of accounts &2 |
252 | Clearing account with number &1 is not maintained in chart of accounts &2 |
253 | G/L acct currency &1 and clearing account currency &2 are not identical |
254 | The requested object is blocked by its own transaction |
255 | The requested object is currently blocked by user &1 |
256 | A name for G/L acct &1 in chart of accts &2 is not maintained |
257 | A name for clearing account &1 in chart of accounts &2 is not maintained |
258 | G/L account &1 for company code &2 not maintained in G/L account master |
259 | Clearing account &1 for company code &2 not maintained in G/L acct master |
260 | First amount column already reached |
261 | Last amount column already reached |
262 | Loops not allowed in the hierarchy structure |
263 | Clearing account &1 (company code &2) not in table TTRCD |
264 | Cash management account name for acct &1 (co. code &2) not in table T035D |
265 | A negative lower limit is not allowed |
266 | The minimum transfer rate must be higher than zero |
267 | The upper limit must be higher than the lower limit |
268 | The minimum transfer rate can be no more than the min.-max. difference |
269 | Account &1 in co.code &2 flagged as only relevant for cash management |
270 | Target acct for co.code &1 and currency &2 not found (table TTRCD) |
271 | System error in lock management |
272 | G/L account &1 not maintained for company code &2 in table TTRCD |
273 | Optimization for a maximum of five days in advance |
274 | Enter valid currency code |
275 | &1 is not a valid value; valid values: 0...5 |
276 | No authorization for company code &1 |
277 | Currency &1 not maintained in system |
278 | Planning type &1 not maintained |
279 | Planning level &1 is not maintained |
280 | Cash management and planning source symbol &1 not maintained |
281 | Level &1 is not part of the cash management position (source symbol &2) |
282 | Grouping &1 is not maintained in the system |
283 | More than one summarization level is maintained for grouping &1 |
284 | Target acct &1 from comp. code &2 with currency &3 has balance 0 |
285 | More than one target acct for comp.code &1 and crrcy key &2 (table TTRCD) |
286 | Maintain number ranges (number range object &1) |
287 | Payment advice notes being generated |
288 | Account number or cash management account name expected |
290 | Amount 0 is not allowed as the amount in the payment advice note |
291 | You are not authorized to create single records in company code &1 |
292 | Error from function module &1: return code &2 |
293 | Target acct &1 from comp.code &2 and currency &3 not in grouping |
294 | Value date should not be earlier than today's date |
296 | Last selected company code reached |
297 | First selected company code reached |
298 | Last selected currency code reached |
299 | First selected currency code reached |
300 | No entry exists in table &1 for key &2 |
301 | &1 &2 |
302 | Payment method &1 was determined |
303 | Planned for payment using payment methods &1 and &2 |
304 | Group payment method &2 selected for items &1 |
305 | Single payment method &2 selected for items &1 |
306 | Urgency &1 for payment of this item |
307 | No valid payment method exists |
308 | No single payment methods found for the payment run parameters |
309 | Item &1 with single payment method not yet due |
310 | Fixed payment method &1 will be used, based on due date entered |
311 | Data for house bank account &1, &2 in company code &3 is inconsistent |
312 | Planned for payment using payment method &1 |
313 | Comparison with payment run parameters: possible payment methods &1 |
314 | There is already a payment run with this program ID |
315 | For item &1, the value date was recalculated: &2 |
316 | Partner bank details in the payment request were modified &1 / &2 |
317 | No valid partner bank details could be determined &1 |
403 | Payment request is not released for posting; No update |
404 | The payment request will be released for payment |
431 | No special payment text found in table &1 |
432 | Line has not been transformed: closing delimiter missing |
433 | Codeword must be exactly 10 characters |
500 | Payment method initialization not possible |