526482 | Vendor credit memos posted by transaction FB05 not reported |
490485 | OI processing: All columns are displayed |
1073742 | FB05: System variant not taken into account |
580618 | FB05: Error mssg F5787 due to inconsistent withholding tax |
442588 | No withholding tax information in the documnt after clearing |
1341817 | RFUMSV25: Partial payment w/ partially deductible income tax |
1533237 | FB05/down payment: Incorrect tax amount in local currency |
196943 | FEBA: Items not cleared automaticly durg batch input |
188782 | Selctn itms bank sttmnt sbsqunt prcssng |
751319 | RFUMSV25 - Posting key debits/credits incorrect |
165724 | F110: Update termination F1805 when clearing |
849676 | FB05, FB01: Window size is changed |
1247640 | RFUMSV25: Error F5 078 when batch input session is running |
323102 | F5263 with batch input, items not active |
1119897 | RFUMSV25: Partial payment for active document splitting |
574714 | BW extraction 0FI_GL_4 blocks online transactions |
1639236 | Error AA 571 during clearing of down payments |
113933 | Error G4024 / g4016 in clearing with different acct |
892440 | Differences after euro changeover: Bal <> zero in clearing |
92204 | G4017 with Interco payments to non Isoil Companies |
1513596 | RFUMSV25: FB01 transfer posting w/ active document splitting |
1322800 | FB05: Corrupt sorting of customer-specific fields |
407746 | Differences after euro conversn: balance <> zero for clearg |
697643 | FF747 if clearing with cash discount |
617197 | FBA7 / FBA6: Message 7Q338 for down payment |
174257 | Changeover a/c crcy: Inconsistency Cash Management |
113185 | G4024 in clearing FI and MM open items |
87188 | Clearing only MM documents brings G4016 |
1369338 | RFUMSV25: Different document type for clearing documents |
603353 | FB05/FB1K: Warning message for clearing with W/Tax |
1259205 | FI: Document number gaps in FI documents due to error msgs |
518059 | Differences after euro changeover: Balance <> Zero |
598514 | FB05: Incorrect withholding tax w/ external document number |
393145 | Short dump TABLEVIEW_DUP_COLUMN_INDEX in SAPDF05X |
217250 | Withholding tax w/payment transactions |
446159 | Wrong exch rate diff w/cross-company code clearing |
432280 | Account assignment in the document |
455824 | SG105 or SG111 for incoming and outgoing payment in FI |
68410 | Post-selection of open item |
307237 | Clearing OI: withholding tax line item disappears |
1441695 | FB05: FKBER is not transferred despite clearing rule |
401855 | Incoming/outgoing payment: incorrect cash discount amounts |
1459191 | FB01: Default acct assignment from OKB9 despite field status |
168541 | SCS etc.: BTCI transf.post.AP incorr. actual princpl |
167874 | SCS/ext.HEsett./sls-bsd RA: BTCI transfer posting AP |
756928 | FB05 - F5060 with clearing of cash discount items w/ tax |
318782 | Gap in document number assignment for FS215/FS216 |
83285 | No CO account assignment in clearing lines |
385228 | Cursor branches to field which is not ready for input |
359369 | Incorrect cash discount determination / clearing |
202078 | FS216 when reversing a vendor invoice |
921658 | FB02: FKBER deleted in index tables |
898246 | FI: Clearing rules are ignored |
94911 | Batch input: Double documents after update RC 255 |
394996 | BER: Clearing open items in CML via FI transactions |
358487 | Actl data in plan: initl/increasd primry csts rcrds |
391048 | F5060 Clearing net-posted invoices |
165307 | Incorrect automatic lines for clearing entries |
107852 | Cost elements transf post: CO/RE & RE a/c assignmnt |
126873 | Reversal of clearing documents |
428391 | Inexplicable document number gaps in FI (II) |
1254760 | J_1HDTAX:Incorrect partial payment transfer incase of NewG/L |
111447 | Carry-forward of residual items/partial pymt: F4745 |
1313244 | FB08: Document number gaps when working in several sessions |
536881 | Overflow when clearing with FB05 |
17649 | Selected items are inactive for FB05 |
116247 | Credit management: differences after upgrade to 4.0 |
604809 | Payment requests for documents already cleared |
1506951 | RERAPPRV: Clearing of open items |
585513 | Inexplicable document number gaps in FI (III) |
207446 | FB60: Document with empty vendor can be posted |
911979 | RFUMSV25: Rate payment by bill of exchange |
1431707 | Vendor clearing: Update termination with F1 805 |
128697 | RFUMSV25 revised version on sapservX |
356865 | List of possible fields for clearing rules in FI |
396134 | Differences aftr euro changeover: balance <> zero w/ payment |
571504 | Deduction of the input VAT from 1.1 2003 (Slovakia) |
1331317 | EhP3: Authorization check for profit center |
331202 | Required field check for automatically genrtd clearing items |
1460367 | New G/L Roll-out for SCC Japan |
411064 | Clearing customer/vendor: F5060 due to balance in 2nd LC |
96227 | Problems with dialog boxes for exiting or deleting |
48814 | OI processing: Showing additional fields? |
307060 | F-03 generates different clearing documents |
201970 | No entries in value table TBKKTIME |
1228601 | FB05: When are certain display variants used? |
151867 | Agreement numbers in clearing items |
300929 | User settings for table control in OI processing |
493238 | 4.6: Open item processing: Display additional fields? |
486201 | Update termination w/ clearing because of memory bottleneck |
173610 | Why is a zero line generated for clearing? |
1377736 | FB01-Transfer posting for deferred tax w/ document splitting |
37844 | Performance: document number assignment RF_BELEG |
860302 | Bottleneck during clearing |
648267 | FSCM-DM: Open item processing enhancements |
104491 | FB03: Amounts in same currency are different |
175014 | Clearing causes different results |
213558 | RFUMSV00: Message in country currency |
1600667 | Transactions that conflict with themselves |
90512 | Postings TR-TM / TR-LO / FI: field transfer |