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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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