Solution : https://service.sap.com/sap/support/notes/521751 (Connexion à SAP Service Marketplace requise)
Mots Clés :
tax - tax remittance grn - garnishment remittance ben - benefits remittance wcb - workers' compensation remittance bac - business area, -cycle process rec - reconciliation int - interfacing doc -, party remittance frequently asked questions msc - miscellaneous, party remittance issuesthe original master note 121138 serves, party remittance documentation faq -, -party remittance involves, frequently asked questions, party remittance, -party remittance, resolve general issues
Notes associées :
946847 | Time deposit: Error when posting to reference account |
935125 | ERP 2005 and up: error 3G203 when creating 3nd party posting |
926746 | MSC: Short dump due to empty garnishment tables |
899293 | MSC: Error in posting run download after note 878052 |
895988 | GEN: Enqueue set in test mode on 3PR posting |
878052 | MSC: Incomplete output for remittance posting runs. |
876805 | MSC: Work site error during evaluation run |
873669 | MSC: Older partial acknowledgements not finished |
869379 | MSC: Undesired COMMIT WORK causes duplicate entries |
864061 | MSC: Remittance acknowledgement for too many entries |
862101 | MSC: Cost distribution corrections ERP 2005 SP01 |
857258 | MSC: Acknowledgement currently not working properly. |
856905 | MSC: Reconciliation program print and details issues |
851992 | MSC: Technical Clean-up |
847082 | MSC: ALV variant incorrectly defaulted |
843439 | MSC: Remittance posting run does not fill symb. acc. |
836050 | MSC: Performance issues with undo program |
821802 | MSC: Create posting run causes double postings |
821240 | MSC: Store evaluation run not rejected in process model |
786828 | MSC: TemSe not created after applying note 776624 |
783874 | MSC: RPCIPQ00 - Reorganization of simulation data |
783011 | MSC: Reconciliation short dump after exit implementation |
776624 | MSC: On demand regular gets rejected instead of skipped |
761000 | MSC: Paying company code |
751006 | MSC: Direct FI due date update incorrect |
747637 | MSC: ALV layout changes after first selection |
732313 | MSC: Reconciliation detail printout |
717984 | MSC: Remittance maintenance reduction |
717341 | 3PR: "Define remittance rule limit" activity added to IMG |
709276 | MSC: Incorrectly accelerated negative amounts |
700188 | PD7A: Multiple payroll area evaluation shows incorrectly |
696032 | MSC: Reconciliation summary printing problem |
684696 | MSC: Membership fees for payee type '7' not processed |
676220 | MSC: Due date for linked payees does not change |
669980 | MSC: Reconciliation background printing |
647576 | MSC: Undo failed with wrong error message |
631306 | REC: Employee Detail & Additional info entries not aligned |
628158 | MSC: Incorrect text, docu for PRCL 68 specifications. |
627779 | MSC: Missing selection texts for RPURMPK0 |
624031 | MSC: Wrong status after undo |
622440 | INT: Third party remittance error may not display correctly |
621255 | TAX: Correction of Note 541724 ($100,000 rule) |
617508 | MSC: Missing acknowledgements (Head/branch office vendors) |
613605 | MSC: Remittance status "acknowledgement failed" although ok |
612643 | MSC: IT0221 adjustments due date defaulted to check date |
612614 | MSC: Performance problems with Store evaluation run |
612160 | MSC: HR Payee Eval. run not assigned to a Personnel No. |
612136 | MSC: Acceleration of due items too late |
610813 | FAQ: Remittance advice info in FI (garnishments, etc.) |
610343 | MSC: Reconciliation report details "Additional information" |
609920 | GRN: Retrocalc. of garn. not remitted correctly. |
601552 | MSC: Acknowledgement run shows incorrect update entry |
600458 | MSC: Short dump & runtime issues in Reconciliation program |
595008 | MSC: Membership and union dues remittance |
593732 | MSC: Number of employees only 1 digit on reconciliation run |
593380 | MSC: User exit for remittance advice forms and segment text |
589917 | MSC: Company code and vendor missing in recon details |
588203 | GEN: Reconciliation program does not print details |
586929 | MSC: Recon. Report displays same data for multiple EEs |
583741 | MSC: Remittance status in release 4.70 only numerical |
583475 | MSC: Accelerated payee items already posted to FI |
583446 | MSC: Code changes in FI module for HR note 541724 |
581814 | MSC: Table error in program RPURMP00 |
581804 | MSC: Account type causing errors after note 541724 |
573211 | 3PR: Menu path corrections |
541724 | TAX: Accelerated linked payees already posted and others |
497365 | GEN: Undo eval. program fails to clear all tables. |
452240 | GEN: Supplemental changes to note 398596 |
447303 | INT: HR <-> FI Remittance acknowledgment update enhancement |
426479 | GEN: Reversing posting runs: incorrect error message |
421367 | BEN: RT processing errors out on $0.00 amounts |
418134 | Q&A: This Note contains all Canadian Master Notes! |
412517 | GEN: System applies incorrect remittance rule. |
392559 | GEN: Remittance posting documents deleted |
392443 | Third-party remittance: Reversal of posting documents |
391899 | GEN: Accelerated postings on linked documents. |
389081 | GEN: acknowledgement, company codes posting |
386835 | GEN: Further enhancements to Note 374558. |
381332 | GEN: Prob. after LCP 40B/50, 45B/34, 46B/16, 46C/07 |
374558 | GEN: Incorrect threshold limit reached for 3rd P.R. |
360191 | INT: Distributed FI vendor maintenance |
339408 | GEN: Poor RPCALCK0 performance when running schema K500 |
334224 | Important notes for creating indexes |
326737 | GEN: Long run-times for RPURMU00 |
324293 | TXO: Tax remittance outsourcing fixes |
323922 | INT: FI -> HR Acknowledgement revision |
323567 | OCP: 3PR process model shows error instead of rejection |
312174 | OCP: Off-cycle remittance evaluation duplicated |
310774 | GEN: Inconsistent behaviour in TemSe file for evaluation |
310764 | OCP: TemSe spool error during off-cycle batch processing |
308863 | GRN: Posting status for third party remittance |
306833 | GEN: Updates to third-party remittance documentation |
302616 | GEN: Undo run option "Reset number range" confusing |
301139 | GRN: Garnishment changes 46C |
300023 | GEN: IMG wage type maintenance (logical view) |
214729 | GEN: You cannot assign a vendor within the IMG. |
206432 | GEN: Conversion program RPUUMS00 |
203276 | PCP0: Business area for postings from payroll |
196840 | OCP: Off-cycle adjustment check cannot be voided |
191141 | GEN: Error message unclear when rejecting eval. run |
189280 | GEN: Short dump in technical views: V_51RA_A, V_5URC_A |
184614 | GEN: TemSe file name missing in 40B |
181116 | GEN: SPOOL_TEMSE_ERROR in "Store eval. run" (RPURMU00). |
179505 | GEN: Configuring vendor texts (table T51RH), 4.5B and up |
176425 | Third party remitt.:undef. wh. symb.acc. posted to |
166514 | OCP: Special payroll evaluation run correction. |
164640 | GEN: Client copy for T51RJ not allowed. |
163911 | GEN: Remittance rule selection fails for begin date |
163657 | BEN: Benefits processing to change in future releases. |
162428 | GEN: Missing payroll log form routines for Canada |
160515 | OCP: Off-Cycle Cancellation, reversals versus voids. |
159701 | GEN: Check voiding problem with/without using 3PR. |
154947 | Off-Cycle Batch program does not execute 3PR. |
154021 | GRN: Printing garnishment info on vendor chk./adv. |
152629 | GEN: Check voiding problem when using 3PR |
149206 | GEN: Check voiding problem when not using 3PR |
148699 | GEN: 3rd-party remittance, incorrect symbolic account assig. |
137477 | Enhanced functionality: Tax Remittance Outsourcing. |
135401 | GRN: Check number missing in garnishment reconciliation |
127190 | INT: US Tax Remittance Outsourcing |
125581 | MEM: Remitting membership fees. |
123318 | GEN: 3PR currency problem and symbolic accounts |
121138 | FAQ: Third-Party Remittance |
119865 | Q&A concerning posting from payroll in Release 4.x |
116523 | Q&A: How to customize Payroll Accounting postings in Rel.4.x |
109761 | GRN: RFFOUS_C for garnishment checks on FI system |
109620 | F5808 Bus.area is required field f.G/L account & & |
105546 | GEN: Customer specific transfer interval 'Z' |
102279 | TAX: Incorrect payment amount selected on Form PD7A-RB. |
74656 | OCB: Preventing duplicate posting of on-demand regular |
41294 | Business area in customer/vendor item |