SAP Messages

Id Title
T1149 No flow type for cash settlement
T115 Object & has old restart logs. Please edit online
T1150 Choose flow type for cash settlement
T1151 Transaction cannot be edited without flow type for cash settlement
T1152 No flow type for position change
T1153 Choose flow type for position change
T1154 Transaction cannot be created without flow type for position change
T1155 No flows can be blocked for transaction
T1156 Exercise date not yet reached
T1157 Exercise date exceeded
T1158 No underlying assigned to transaction
T1159 Internal number assignment necessary for underlying transaction no.
T116 Test activation of $ $ was successful
T1160 No need to save, as no changes made
T1161 Transaction no longer active
T1162 Error when updating calendar
T1163 Activity reversed! Can only be displayed
T1164 An exercise transaction still exists
T1165 Interest settlement activities are still active
T1166 Error when generating ALV field catalog
T1167 Activity already reversed
T1168 Interest settlements already exist for this transaction
T1169 Not all selected flows could be deleted
T117 Force mode only allowed for conversion request
T1170 No history exists
T1171 No flow type for purchase/sale flow
T1172 Choose flow type for purchase/sale flow
T1173 Transaction cannot be created without flow type for purchase/sale flow
T1174 Option already exercised
T1175 Option already expired
T1176 Saving transaction & was not completed
T1177 Interest rate adjustment date must be after 'valid from' (&)
T1178 Interest fixing date must be after 'valid from' (&)
T1179 Error in net present value calculation (&)
T118 Table conversion program without compare run (inactive)
T1180 Interest calculations not all carried out
T1181 No knock-in level entered yet
T1182 No knock-out level entered yet
T1183 Enter a reference interest rate
T1184 Transaction is not a forex transaction
T1185 No transaction was found for the selection criteria
T1186 Product category & is not supported as an underlying
T1187 Evaluation type & does not exist
T1188 Evaluation type &1 is not assigned to product type &2
T1189 Product type & is not assigned to any evaluation type
T119 (Target table type was modified again by table $)
T1190 No. of days for fixing do not match reference interest rate (&)
T1191 Calendars entered do not match reference interest rate (&)
T1192 No items have been selected
T1193 With activity & transaction is complete
T1194 Transaction has already been terminated
T1195 Transition from &1 to &2 is not permitted for this transaction
T1196 Enter premuium currency and amount!
T1197 At least one order position must exist
T1198 There are only &2 positions in sec. acct &1
T1199 The are no positions in sec. acct. &1
T120 Not all views for $ $ could be retrieved
T1200 Flow type for chosen status type not permitted
T1201 Flow type is main flow
T1202 No status created for this request
T1203 Define settlement before exercising
T1204 Calendar &1 has only been maintained upto year &2
T1205 Activity reversed - Transaction no longer active
T1206 Financial transaction &1 saved with underlying &2
T1207 End of exercise period not yet reached
T1208 Exercise date not yet exceeded
T1209 Expiration period is exceeded
T121 Compare module contains empty nametabs for $ $
T1210 Premium has no payment date
T1211 'Start of lead time' later than 'End of hedging period'
T1212 'Start of lead time' same as 'Start of hedging period'
T1213 'Start of hedging period' later than/same as 'End of hedging period'
T1214 'Start of lead time' later than 'Start of hedging period'
T1215 No premium percentage rate or amount determined
T1216 Fixing date cannot fall after start of hedging period
T1217 Termination date falls after or at end of contract term (&)
T1218 Termination date falls before or on contract start date (&)
T1219 Flows exist that were posted after &
T122 Nametab of table $ with status $ does not exist
T1220 Order execution is outside validity period & to &
T1221 Activity does not allow a termination
T1222 There are interest rate adjustments after termination date
T1223 Termination date is later than start of hedging period
T1224 Inconsistency for interest rate adjustment date & of transaction &
T1225 There are no interest rate adjustment dates for the given selections
T1226 Error when generating the dynamic field selection for &
T1227 Contract date must lie between start and end of term of the order
T1228 Product type & does not belong to OTC interest rate instruments
T1229 Transaction is not an OTC interest rate instrument
T123 Indexes for $ $ must be edited
T1230 Activity is not defined for the transaction
T1231 No currency entered for the reference interest rate
T1232 Termination only possible after &
T1233 Enter a flow type
T1234 Enter the currency
T1235 Changes to the nominal amount only possible before &
T1236 Transaction &1 has already been replaced
T1237 There are no interest adjustment details
T1238 No calendar is assigned to the currency
T1239 Premium has no 'effective from' date
Lines 540701 to 540800 of 607611 entries
1 5,406 5,407 5,408 5,409 5,410 6,077