| 1399920 | IRE Payback amount calculation incorrectly before rounding |
| 1468460 | IRE: the system does not create the new N (notice) record |
| 1394016 | RECN: Accrual/deferral and deletion flag |
| 1257820 | Set deletion flag: Term of contract not yet elapsed |
| 1473525 | IRE:N record (notice) is not created-->corr for note 1468460 |
| 1539219 | Message RECN 028: Count of contracts is not correct |
| 1510569 | Accruals/deferrals and DLFL: Case with accruals only |
| 1514417 | Wrong IRE amount for 'One time payment' after renewal |
| 1410080 | Error for DLFL for contract and dependent sec deposit agrmt |
| 1453166 | Incorrectly calculated IRE payback amount |
| 1400494 | Fix 50 % IRE payback amount in RECN transaction |
| 442093 | Physical deletion of EH&S ALE change pointers |
| 418185 | Long runtimes for report RC1PHDEL in master data matchup |
| 1429324 | Improvement of the runtime behavior of RC1PHDEL |
| 1262725 | Archiving CO data |
| 433831 | General contract conditions:valid-to date check |
| 1548853 | Archiving contracts: Check for open items |
| 1501269 | Deletion flag can be set despite planned records |
| 1004412 | Function module API_RE_CD_GET_CASHFLOW_CN |
| 1259402 | Condition calculation by area for parcels |
| 918399 | SELECT on condition table without index |
| 1264209 | Cash flow archiving does not set deletion indicator |
| 1494103 | IRE: N record is not calculated |
| 1592640 | Earmarked funds and internal contracts |
| 1549613 | Accrual/deferral and deletion flag: Deactivated contracts |
| 1309430 | Conditions: Extension with own fields |
| 1546901 | Cash flow when displaying an archived contract |
| 1489201 | Not possible to select deletion indicator for cash flow |
| 1259663 | BAdI cash flow: New method |
| 391443 | Taking tables w/ GUID format into account durng phy.deletion |
| 1270056 | Due date for follow-up postings is not required |
| 1503487 | Archiving cash flows: Deletion indicator despite accr./def. |
| 1399271 | Proposed conditions for contract offers |
| 1550835 | Archiving contracts: Note 1548853 and PSCD |
| 1384936 | Date of first posting cannot be changed |
| 978413 | Tax calculation in frequency term change |
| 1466272 | Document display: Displaying RE document after archiving |
| 877543 | Displaying the period breakdown of tax rates |
| 780581 | Invalid cash flow w/ service charge settlement |
| 902071 | Documents for real estate contracts in BP overview |
| 1550836 | Archiving of contracts: Note 1548853 and PSCD |
| 780804 | RERAAP010 and RERACA004 with backdated notice |
| 1011538 | Cash flow: Tax type and tax group |
| 1522848 | Incorrect cash flow after cash flow archiving |
| 1426217 | Follow-up posting records for foreign curr. and shift rule |
| 1003934 | RFVICNTAX01 for using user fields |
| 1555626 | Temporary object number is not changed |
| 1602923 | Incorrect due date for follow-up postings |
| 1497995 | Due date for follow-up posting is not requested |
| 1483949 | Reading contracts from archive: Database buffer incorrect |
| 1466506 | Display of archived cash flow records |
| 837281 | Receivable for period in which AP amount 0 was missing |
| 1604196 | RECN: Detailed display for differing measurements |
| 1500682 | No cash flows displayed after archiving |
| 1575764 | Changing cash flow item status |
| 1041167 | Cash flow: Tax calculation date for credit memos |
| 1000621 | PS-CD: Account relationship when creating contract account |
| 1408070 | 'First Posting From' and deleted conditions |
| 999565 | Cash flow: Date for tax calculation |
| 1516045 | IRE: Incorrect length of term for one-time pymnt and renewal |
| 1454091 | 'N' type IRE record for posted payback amounts |
| 980623 | FMCACOV: Correspondences for rental agreements |
| 1018266 | Cash flow: Date for tax calculation (2) |
| 682479 | Runtime improvement for the worklist generation |
| 381138 | Doubled key entries in the table ESTDO |
| 1348469 | BAPI_FORMULA_CHANGE_MULTIPLE status changes in Scope of Appl |
| 676490 | Runtime optimization for saving value assignments |
| 1551044 | BAdI condition: New method for changing due date |
| 1393969 | Contracts w/o agents are not selected |
| 1565527 | Deleted conditions: Calculation and distribution entries |
| 488040 | Conversion of condition amounts in display currency |
| 1629875 | Expiration date when continuing adjustments |
| 825477 | Change to settlement participation in settlement period |
| 883358 | Message RECD 166 when updating the cash flow |
| 932809 | Termination when deactivating a contract |
| 1584252 | Configuring message REAJME 099 |
| 1418897 | Business partner: Transferring object address |
| 424696 | Missing deletion indicators not set for status records |
| 920426 | Installment payment and alternative reconciliation accounts |
| 949913 | Adjustment term and error message REAJME011 |
| 877708 | No status data record numbers in the API error table |
| 990478 | RF-FX: Change in behavior - First posting from |
| 994382 | PS-CD: Returns - Payment method not changed in all terms |
| 400765 | Output of lang. dependant ident. before lang. independence |
| 915780 | Deleting the cause hierarchy in the incident/accident log |
| 1451336 | Preventing entries for date for first posting at cond. level |
| 1574699 | FAQ: Vacancy, notice, renewal |
| 358107 | Reading substance data for final report generation |
| 892613 | Transaction variants and screen variants are not possible |
| 1449875 | Determination of translation date for follow-up postings |
| 1529454 | Runtime improvement during monitoring |
| 1487869 | Objects w/ deletion flag or deletion indicator in adjustment |
| 943130 | Converting OH data for the health surveillance protocol |
| 1007744 | PSCD: BP assignment - message REBPBP 043 is unclear |
| 1483801 | CL_EXM_IM_RECN_CONTRACT_FAS13 and changing the contract |
| 1008505 | PSCD: Unnecessary message "BP does not exist in role" |
| 946305 | After migration RE-Cl->RE-FX: Error REITOR005 |
| 456245 | Substance assignments of reports are not inherited |
| 874191 | Evaluation of specification changes |