673989 | F.5D: No RF048 entry after resetting clearing |
415550 | 1KEK: wrong exchange rate differences after clearing reset |
505910 | Correction Note 409364 |
111491 | 1KEK: Valuation differences gross/net |
180906 | Logic of GLPCT update |
825347 | F.5D: Clearing date is not set in distribution tables |
434264 | Balance carryforward after transfer from previous years |
124301 | Reconciliation of AR/AP between PCA and FI |
181063 | Total Balances are wrong after running 2KES |
733870 | F.5d: Incorrect RF048 entry after reset of clearing |
154684 | SAPF180: Dividing up down payment requests |
81374 | Compare receivables/payables with FI |
107698 | Create receivables/payables in PCA |
630528 | Reconstruction receivables/payables EC-PCA |
131242 | F.5D: Valuation differences for cleared items |
553405 | F.5d: Distribution after local currency changeover |
783996 | DataSource 0EC_PCA_1: Selection by ACTIV |
81906 | Error analysis 1KEH,1KEI,1KEJ,1KEK |
858363 | Structure or restructure of Profit Center Accounting |
82782 | Line items and totals records for balance sheet accounts |
934675 | FIUT_180_APAR: Too many documents displayed |
409364 | SAPF180A: Foreign currency valuation for cleared items |
1241741 | Problems w/ 3KEH/FAGL3KEH, particularly in migration phase 1 |
73472 | SAPF180: Auxiliary programs |
1670486 | AC interface: Posting split in FI for outgoing invoices |
826357 | Profit Center Accounting and New General Ledger in SAP ERP |