SAP S/4 Hana Public Cloud

Articles

7579 - New Create COA and Trading Partner
7607 - MAI Due but AWBA Not Due
7640 - Cannot Run Exchange Rate Revaluation for Sep and Oct
7648 - FC Valuation GL A/C 12302000 has no reversal posting on 01.07.2025
7723 - New COA
7739 - Cannot see due account data in "Customised display line item - General Ledger"
7772 - Customized reporting apps and most of the apps aren't working
7906 - Request for Billing Cancel Permission
7986 - To Create New Distribution Channel for MAI Company_1
7993 - To Create New Distribution Channel for MAI Company_2
7994 - Add Column in Customer Statement PDF Form_All Company
8022 - Credit Exposure Wrong Amount_MAI Company
7591 - To see MAI,AWBA DUE Report
7604 - Open status & balances in "Manage Customer Line Items"
7623 - Auto Post Goods Receipt when create Sales Order Return
7628 - Profit Center Codes of two item codes cannot be changed
7636 - Move to Share Segment
7637 - Posted Rest and Reversal G/L account 21302000
7651 - Can see other credit segment data
7655 - To assign 1000 company code
7670 - To create new storage locations for Wisarra (1210), MAI (1410)
7705 - To Create 2 New COA
7708 - MSCN Company_ Not Due Blocked but customer has exceeded the due limit
7746 - New COA Payable Affiliated Account For Pyinsa
7751 - EVO Company_To change useful life when posted depreciation run
7757 - Missing Copy Button in Sales Area Tab for Manage Customer Master Data
7770 - Millco New Storage Location
7780 - Characters Incorrect When Print The Physical Inventory Document
7788 - To update some fields in the print form of Physical Inventory Document
7804 - Incorrect Storage Location Description MSCN Company_2400
7879 - Clear Outgoing USD advance payment with the MMK Invoice
7888 - Different COGS Amount 0L and 2L when run the actual costing
7907 - To create new distribution channel & assign to 16SO
7913 - Issue with Incorrect Storage Location Name in Printed Material Document_MSC Company
7917 - It appears as due ahead of the due date
7925 - New payment terms creation
7944 - To See Customer Name1, Name2 in Sales Volume-Flexible Analysis Report like Customer Master data_1
7978 - Consignment Issue CCIS Type Not Blocked for DUE LIMIT
7992 - To See Customer Name1, Name2 in Sales Volume-Flexible Analysis Report like Customer Master data_2
8000 - New payment term creation
8015 - Wrong Revenue Account for Pyinsa
8039 - Error Post General Journal Entries for Pyinsa Company
8063 - To Change Storage Location Name
8066 - To test credit limit in testing Tenant
8082 - To create new storage location for Millco
8117 - Different Amount shown in Customised Display Line Items in General Ledger
8118 - Create new customer group 2
8142 - Create new customer group 3
8186 - To create new storage location
8210 - Create new customer group 2 and group 3
8241 - Create payment term creation
8254 - Not Allow for Post Automatically Only COA 21730000
8291 - Fixed Asset NBV Transfer
8303 - To create new storage locations
8306 - Create new customer group 2
8316 - To import new cds view and query in production tenant
8345 - New payment term creation
8370 - Foreign Currency Valuation Error for Customer Value (PYSA3210)
8380 - Transfer New Business Roles to Testing/Production Tenant
8397 - Create new customer group 1, 2, 3
8444 - To create new storage location
8460 - Create new storage locations
7393 - Unable to select alternate account for Supplier Invoice posting
7397 - Error Message on tax code
7412 - Error message from entering "Create Incoming Invoice"
7415 - Unable to run GST report
7422 - Foreign currency valuation for bank not posted in GL
7424 - Unable to clear downpayment from customer manually
7444 - GST posting
7513 - Period 10 was not opened
7534 - Unable to key in billing plan is SO, and unable to access PO
7543 - Unable to post final invoice (billing document)
7567 - New Storage Location & Delivery date issue
7568 - New COA
7569 - To create new storage location for ASIC
7577 - New Create COA
7580 - Production Goods Receipt cannot cancel
7582 - Unable to post journal entry
7594 - Period 11 not open as scheduled
7596 - Create Incoming/Outgoing Invoices - Menu Layout
7605 - Print a batch of Journal Entries
7606 - GL Transactions Listing queries
7608 - Access to create payment term
7630 - Unable to key in billing plan is SO for 2nd line item
7681 - To update material group 1 and material group 2
7703 - Ticket Report for October and November 2025
7731 - Additional opening balance journal
7733 - Add 3 Column in Account Statement PDF Form_All Company
7755 - GST - run status, generated with errors
7756 - Capitalizing multiple invoices in AuC
7764 - Opening balance opening error
7774 - Open Period for 2026 P1 company code 1310
7787 - query on message prompt
7813 - Company code 1610 - Opening balance posting error for vendor
7815 - Change Request - PO approval process
7825 - Vessel name was cut off for Final Invoice's COO and PL
7837 - Not able to schedule recurring posting periods
7855 - Revaluation of foreign currencies balance to SGD (Functional Currency)
7857 - unable to received phone Two-Factor Authentication passcode
7858 - process 1 unable to create new SO
7862 - Automatic Account Determination
7866 - Ticket Report for December 2025
7894 - Start of new fiscal year – reset of journal entry sequential numbering
7898 - Extend customer role to a supplier and related issues
7904 - Test_TMI_Opening Balance Error
7908 - Delivery Not Blocked for Overdue Invoices – Customer 1000040
7918 - Manage Automatic Payment - In Valid Payment Method
7935 - To create new storage location for PyinSa
7936 - Aging Report for Accounts Payable and Receivable
7938 - RPA process not working
7939 - Reprocess Bank Statement Items
7941 - Issue on SAP-Preliminary Billing Document for projects from VA - Integration
7943 - Create bank statement
7979 - Issue on SAP-Preliminary Billing Document for projects from VA - SAP escalation
7980 - S4 test system setup different from S4 Production system
7987 - Close Period for Product Master
7988 - Wrong profit center tagged to the main project and cannot be amended
7989 - Duplicate invoice number due to reset of journal entry numbers in new fiscal year
7990 - Support on year-end closing activities
8001 - Can't login to SAP
8002 - User Access & Clarification for GR-Bsd IV
8005 - SAC not fetching data
8007 - Unable to key in billing plan is SO, for 2nd line item
8012 - New transaction with material - VCM
8018 - Fwd: ACS Customer Statement (SAP 13) – New Form Customization and CR Scope,Mockup
8023 - RPA process not working
8025 - To reset the password for your Identity Authentication service
8026 - Change GL account description
8027 - Unable to back post Outbound delivery/goods issued
8028 - Create 2 additional user accounts for Vanguard support service
8031 - Cannot save Sales Order
8032 - The running order of the PBD items is incorrectly arranged.
8033 - Post Goods failed due to Exchange rate
8043 - Error Actual Costing Run for ASIC Company (1600)
8055 - Issue with Service Entry Sheet Approval
8057 - RPA - Process 4 - Incorrect Mapping
8062 - Storage Location Name of 01SP is wrong
8068 - Transaction balance and transfer of dividend payout to Retained earning
8069 - Reconcile file Changes - Pending UAT
8076 - New configurations
8084 - Create new asset class
8093 - New Account add for Actual Costing Run_MAI
8096 - Fw: SAP Error/Issues - March 5, 2026
8099 - UAT - CJO, Shipping, Billing
8102 - Assistance Required: Incorrect WBS Number
8104 - Incorrect Invoice Number Captured
8110 - New transaction with material - Ethylene
8114 - PO Terms and condition typo
8115 - New User Creation
8116 - Adding New Fields in Project Integration with VA - PMG
8126 - Role Authorization Request: "External Invoice Reference Query"
8132 - GST report - "generated with errors"
8141 - Error Messages Prompted When Creating PO
8143 - Query on Updating Profitability Segment After Project Release
8144 - Create segment, profit-center and cost-center for ACT (1210)
8145 - new material group:
8147 - Sub-WBS number not in running order
8149 - PO Terms and condition typo
8150 - Discrepancy in Billing Name Between Customer Master Data and FI Invoice
8164 - S4 check for duplication of invoices in Manual and RPA
8169 - Clear FI document
8170 - HICG 1010 - Mizuho USD Ledger Balance Incorrect
8173 - Invoice Packing List and COO not enough display word count
8179 - Upload material price error
8183 - TR#AVYK900288 - Transport new GL account
8187 - Audit adjustment for 2025 relating to AUC
8189 - PO - No Description
8190 - GL COA (AVYK900291 & AVYK900293)
8196 - 500 Internal Server Error
8197 - Runtime Error - Run Revenue Recognition - Project
8198 - Group Reporting for May 2025
8199 - Reversal and Reposting of Supplier Invoices (Incorrect WBS Element)
8201 - Allow Postings to G/L accounts with open item management
8204 - Purchase Order Item Text alignment issue
8205 - SO print queue cant be initial
8208 - Cancellation of Billing Document
8213 - Goods issue error
8220 - Analyze Project Financial Booklet - Enterprise Projects
8221 - Billing Cancel Permission
8230 - Excel download
8246 - RPA - Process 2&3 - PO cannot be created
8247 - Compatibility of SAP upload
8252 - Change user roles
8261 - Discrepancy in Billing Address Between Customer Master Data & FI Invoice
8262 - Unable to Amend the ID in the Project
8263 - Material master wrong sales org
8264 - Unable to Amend WBS Element in Sales Order – Assistance Required
8266 - WBS Number not sequentially adding in Enterprise Project
8267 - Unable to create PO via Process 2&3
8268 - Create 78 new GL accounts
8281 - To change description for customer group
8283 - Create a new GL account (AVYK900315) and rename the GL account description
8285 - Create new material
8293 - Approval of Purchase Order
8304 - Fixed Asset Expense Control
8305 - Report Request: Consolidated PO Report with Purchasing Document, Reference PO, CJO, JO, Customer PO, and Style
8307 - Change of users role
8309 - Review of Financial Figures Post Revenue Recognition – Project 1020202600123
8311 - Lacking WBS Budget
8318 - AVYK900323 - New G/L account creation
8323 - To create new storage locations
8324 - Issue with Customer Open Line Items Upload
8325 - Import custom query into production tenant
8328 - Error message
8333 - Assign business role
8337 - Import custom query into production tenant
8339 - AVYK900327 & AVYK900329 - New G/L & Changed G/L description
8340 - New COA 07.05.2026
8341 - SAC - Story does not show data
8346 - Cannot pick up the instock batch while processing Post Good Issue using Change Outbound Delivery
8352 - Query to SAP: Inability to Save Custom Layouts in "G/L Account Line Item Display G/L View"
8356 - Query on Upload Customer Line Items
8364 - Sales Order update via RPA not possible
8372 - warning message in sales order creation
8373 - Improve billing
8381 - Import custom query into production tenant
8382 - AVYK900331 new G/L account creation
8384 - Transport Request for COA Description Change
8387 - Change user roles
8392 - Re: CHANGE OF USER ACCESS
8394 - Upload customer open item
8396 - New COA for Other Payable USD
8402 - WARNING MESSAGE “PROJECT ELEMENT EXIST”
8403 - Incorrect Bank Details shown on FI invoice For entity 1010
8408 - "No activities has been posted during actual costing run" Error Message occur during the first step of Actual Costing Run for MILLCO Company.
8411 - Request to Update Company Address for Wisarra (1200)
8412 - Guidance on Posting Additional Supplier Invoices Post Project Completion
8427 - To create a new distribution channel
8433 - Unable to process purchase requisition to PO
8445 - To Create & Rename Customer gp1,3
8449 - User creation for IT auditor from external financial auditor
8453 - House bank reflected incorrectly in the customer invoice
8456 - Assistance Required : Sponsorship Billing Invoices with GST
8457 - Import version 102 into production tenant
8459 - Assign the G/L Account Financial Statement Version
8464 - How to automatically call and display the supplier's bank account information on the Purchase Order
8470 - Create new customer group 3
8471 - Purchase Order Header's Custom Field - Impact Fee Checkbox and Purchase Order Output Form Requirement
8472 - PO’s Approval Notification by email to PO's Approver
8473 - More Fields to be displayed in Manage Sales Quotations Report
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Sub Categories

7640 - Cannot Run Exchange Rate Revaluation for Sep and Oct
7986 - To Create New Distribution Channel for MAI Company_1
7994 - Add Column in Customer Statement PDF Form_All Company
7655 - To assign 1000 company code
7670 - To create new storage locations for Wisarra (1210), MAI (1410)
7705 - To Create 2 New COA
7770 - Millco New Storage Location
7907 - To create new distribution channel & assign to 16SO
7917 - It appears as due ahead of the due date
7978 - Consignment Issue CCIS Type Not Blocked for DUE LIMIT
8063 - To Change Storage Location Name
8066 - To test credit limit in testing Tenant
8082 - To create new storage location for Millco
8186 - To create new storage location
8241 - Create payment term creation
8254 - Not Allow for Post Automatically Only COA 21730000
8303 - To create new storage locations
8345 - New payment term creation
8380 - Transfer New Business Roles to Testing/Production Tenant
8397 - Create new customer group 1, 2, 3
8444 - To create new storage location
7397 - Error Message on tax code
7422 - Foreign currency valuation for bank not posted in GL
7513 - Period 10 was not opened
7534 - Unable to key in billing plan is SO, and unable to access PO
7569 - To create new storage location for ASIC
7594 - Period 11 not open as scheduled
7596 - Create Incoming/Outgoing Invoices - Menu Layout
7608 - Access to create payment term
7630 - Unable to key in billing plan is SO for 2nd line item
7774 - Open Period for 2026 P1 company code 1310
7787 - query on message prompt
7825 - Vessel name was cut off for Final Invoice's COO and PL
7837 - Not able to schedule recurring posting periods
7855 - Revaluation of foreign currencies balance to SGD (Functional Currency)
7858 - process 1 unable to create new SO
7862 - Automatic Account Determination
7894 - Start of new fiscal year – reset of journal entry sequential numbering
7935 - To create new storage location for PyinSa
7943 - Create bank statement
7989 - Duplicate invoice number due to reset of journal entry numbers in new fiscal year
8007 - Unable to key in billing plan is SO, for 2nd line item
8018 - Fwd: ACS Customer Statement (SAP 13) – New Form Customization and CR Scope,Mockup
8032 - The running order of the PBD items is incorrectly arranged.
8055 - Issue with Service Entry Sheet Approval
8062 - Storage Location Name of 01SP is wrong
8076 - New configurations
8093 - New Account add for Actual Costing Run_MAI
8114 - PO Terms and condition typo
8144 - Create segment, profit-center and cost-center for ACT (1210)
8149 - PO Terms and condition typo
8164 - S4 check for duplication of invoices in Manual and RPA
8173 - Invoice Packing List and COO not enough display word count
8183 - TR#AVYK900288 - Transport new GL account
8189 - PO - No Description
8190 - GL COA (AVYK900291 & AVYK900293)
8201 - Allow Postings to G/L accounts with open item management
8204 - Purchase Order Item Text alignment issue
8264 - Unable to Amend WBS Element in Sales Order – Assistance Required
8323 - To create new storage locations
8325 - Import custom query into production tenant
8337 - Import custom query into production tenant
8340 - New COA 07.05.2026
8352 - Query to SAP: Inability to Save Custom Layouts in "G/L Account Line Item Display G/L View"
8356 - Query on Upload Customer Line Items
8384 - Transport Request for COA Description Change
8411 - Request to Update Company Address for Wisarra (1200)
8427 - To create a new distribution channel
8445 - To Create & Rename Customer gp1,3
8453 - House bank reflected incorrectly in the customer invoice
8457 - Import version 102 into production tenant
8470 - Create new customer group 3
8471 - Purchase Order Header's Custom Field - Impact Fee Checkbox and Purchase Order Output Form Requirement
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