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