Solution : https://service.sap.com/sap/support/notes/128498 (Connexion à SAP Service Marketplace requise)
Mots Clés :
/3 customizing -> treasury -> treasury management -> loans -> transaction management -> flow types -> define flow types -- setting, /3 customizing -> treasury -> treasury management -> loans -> functions -> accounting -> basic settings -> define account determination -- assignment, /3 customizing -> treasury -> treasury management -> loans -> functions -> incoming payments -> ip postprocessing -> assign flow types, /3 customizing -> financial accounting -> general ledger accounting -> business transactions -> open item clearing -> define accounts, accounts payable -> business transactions -> incoming payments -> manual payment receipt -> define tolerance groups, accounts payable -> business transactions -> incoming payments -> manual payment receipt -> allocate tolerance groups, /3 customizing -> financial accounting -> accounts receivable, posting record general ledger, loans subsidiary ledger, 00 dem posting record subsidiary ledger
Notes associées :
480963 | NBZ:no clearing possible with minor differences |
421878 | EUR: Composite note - euro in Loans Management |
134354 | IP Postprocessing: planned record ID not deleted |
133754 | IPD: incorrect sessions and confirmation in subledger |
133075 | IPD: Target exchange rate type is ignored |
132291 | IP Postprocessing: error 68584 |
129931 | IPD/PPIP: Various changes in payment transactions |
128458 | PPIP: display in release is incomplete |
128235 | PPIP: Message 'BSEG-VBUND not in the screen' |
127500 | IP Dist: program error for bank statement |
127222 | IPD: flds BKPF-XBLNR, BSEG-ZUONR filled incorrectly |
127065 | Postprocessing incoming payment: error 68075 |
124254 | Euro system function corrections in Loans |