Solution : https://service.sap.com/sap/support/notes/157620 (Connexion à SAP Service Marketplace requise)
Mots Clés :
fi line item display, real data inconsistency occurs, cash management totals records, line item display, open item accounts, -open item accounts, real data inconsistency, prerequisites fi postings, 'parked items' button, drilldown bank accounts
Notes associées :
150047 | KUN:Value date bank posting not equal to cash managemnt date |
65309 | Cash Managemt/Forcst: procedure after data inconsistencies |
17165 | ABS: Reconcile cash position with the G/L account transactio |