Solution : https://service.sap.com/sap/support/notes/141175 (SAP Service marketplace login required)
Key words : 
successfully installedlegal change patch 32 inclusive lcp-crt 32, enhanced oil-retail ale scenarios, listed legal change patches individually, split movements-based netting, customer-material info record, apply legal change patches 33, profile parameter   rdisp/max_wprun_time, ii svp 2 online documentation, specific/isoil/notes/note, legal change   patches
Related Notes : 
       
| 332654 | IS-OIL / IS-MINE / IS-CWM: Overview of SAP Notes | 
| 150071 | Application test in IS-Oil 3.1H with HP/LCP 39 | 
| 142981 | TD ASTM and 0 qty; reason code; excise duty value | 
| 142428 | TD Transfer of carrier from route stage to shipm. | 
| 142421 | TD Update of partner table OIGSPA | 
| 142387 | TD Change proposal at load/delivery confirmation | 
| 142202 | TD Determination of shipment cost type | 
| 141874 | IS-OIL: ED incorrect for final 'zero GR' w. 2-step transfer | 
| 141323 | Enqueue dequeue handling in F&A repository | 
| 140729 | Oil-Retail Business Framework 3.1H | 
| 140577 | Item cat not redetermined when create w. ref to contract | 
| 140574 | Multiple Ship-to's and Manual Conditions in Contracts | 
| 139802 | Invalid cost center is posted | 
| 139732 | MAP-Field OIC_TIME added to structure OILBVBAKKO | 
| 139705 | Cost conditions (VPRS) not transferred to COPA | 
| 139632 | G4039 in activity input planning | 
| 139548 | Error with UoM processing in TD Vehicle creation | 
| 139426 | wrong due date in VKDFS after formula change (F&A) | 
| 139420 | Fee determination error when accessing w/o KOMP | 
| 139198 | background billing, IS-OIL BOMs , differential inv. | 
| 139032 | CO-PA char. 'Ship-To' versus IS-Oil field 'Ship-To' | 
| 139003 | short dump when range table is getting too big | 
| 138782 | MM-SRV: Output of service entry sheets | 
| 138728 | TD Shipment costing based on discharged qty | 
| 138593 | short dump while converting wbs from internal to external | 
| 138584 | JV Billing extract (invoice): Error GJ539 | 
| 138390 | JV billing exists: Calculation of net amounts | 
| 138277 | TD collective note for IS-Oil Release 1.0D | 
| 138152 | JV EDI inbound: Error F8021 | 
| 138027 | Group cond. - repricing invoice verification | 
| 137944 | SAPSQL_ARRAY_INSERT_DUPREC or wrong year in VBA | 
| 137719 | New Bank Switching Performance Problem | 
| 137430 | User exits for IS-Oil TD shipments not working | 
| 137168 | TD Collective Note for IS-Oil release 1.0D | 
| 136755 | JV only documents (JVJV) and VBA | 
| 136689 | TD Scheduling Document Overview: Wrong data display | 
| 136108 | Fees not copied during delivery due list processing | 
| 135913 | No tax code proposal from PO item for fees at IV | 
| 135862 | JV Equity adjustment: Posting date not checked | 
| 135853 | VBA by venture leads to posting to original cost object | 
| 135773 | TD collective Note for IS-Oil Release 1.0D | 
| 135618 | JADE - Only delivers 13 months of Data | 
| 135361 | IS-Oil: Excise duty conditions in customer price list | 
| 135005 | Exchange rel. LIA doc. only displays 23 line items | 
| 134941 | IS-OIL Avoid input via help pickup for blocked fields | 
| 134843 | IS Oil: MBST, document date cannot be specified | 
| 134452 | non-operated cash call due date not appearing on posting | 
| 134226 | Dump in program LV61AU37 - field too small | 
| 133936 | Billing document: Fee total not updated | 
| 133822 | JV billing: Net amount incorrect in RGJVBILL | 
| 133802 | Billing document not released to accounting | 
| 133577 | EURO conversion and currency averaging | 
| 133521 | Program dump - MR01 | 
| 133517 | Goods receipt reversals | 
| 133316 | PO history order price unit quantity incorrect | 
| 133229 | Netting fails after cancellation of billing doc. | 
| 133178 | TD Collective Note for IS-Oil release 1.0D | 
| 133169 | Multiple inter companies incorrectly returns e285 | 
| 132755 | Wrong local vendor amount when tax is entered by user | 
| 132491 | Wrong netting document displayed | 
| 132363 | VBA should allow cost object analysis and netting | 
| 132309 | Creation of multiple zero invoices | 
| 132216 | backgr. billing canc.due to missing exchg.rate(F&A) | 
| 132126 | TD Automatic stage assignment for documents | 
| 132123 | TD Account. data not copied to shipm. cost doc. | 
| 132115 | TD Transfer of partner from route and route stage | 
| 131939 | Better performance for VF04/VF06 | 
| 131935 | Credit memo for GR reversals not possible | 
| 131536 | BUDAT on OIA08 for LIA not filled in certain cases | 
| 131423 | more than 1 cost objects are filled in posting | 
| 131261 | Incorrect update of Table OIAFE by TD loading | 
| 131239 | Exg SD contract item details copied from wrong agreement | 
| 131103 | TD Error at document item quantity assignment | 
| 131077 | Correct billing document quantity fields | 
| 131007 | Plant selection in Exchanges reports | 
| 130940 | Irrelevant non-cash switch is not updated in VBA table | 
| 130875 | IS-OIL: wrong update of quantity licenses | 
| 130850 | VF06: Performance of background invoice processing | 
| 130727 | Zero amounts when processing billing plans | 
| 130702 | Capture JV only docs if VBA table is used for bank switching | 
| 130490 | JV Suspense: No postings to networks | 
| 130477 | JV EDI inbound: Table T8JDX not filled | 
| 130476 | Cutback: Different amounts in TSL and HSL | 
| 129824 | TD Pricing error when changing shipment cost doc. | 
| 129773 | TD Wrong message during maintenance of Table TVFP | 
| 129752 | MM-SRV: IS-Oil Commitment, removal of entry sheet | 
| 129202 | JV billing: No data extracted for consolidated invoice | 
| 128567 | JV cutback: Networks not recognized in cutback | 
| 127186 | CI/NPI statement includes cleared items in balforward | 
| 125279 | include group NPI in automatic posting account selection | 
| 123911 | gray out nonopshare per year for sus posted ventures | 
| 123388 | SAPFGJN2 does not check for errors after call transaction | 
| 120130 | summation option Reclass pgm fills bseg-projk | 
| 118629 | sapmgjvd - performance tuning create/change venture | 
| 118614 | Correction to Overhead burden rate delete line | 
| 116143 | SAPMGJVD -replace error message GJ222 with GJ288 | 
| 115671 | CI/NPI clearing problem | 
| 114823 | Modify message GJ285 | 
| 113601 | Valid WBS element before saving | 
| 113250 | JV billing: Data with zero amount selected | 
| 107484 | cash call "hold & exit" due date uses pterm op/nop | 
| 105023 | Report to correct field EKBE-OIIMATV | 
| 104358 | Calculate due on date from payment terms | 
| 102608 | JOA - posted egrup changes use customize_message | 
| 102505 | "Hold&Exit" of CashCalls incorrect for blocked vent | 
| 102496 | allow pgm to delete operator code > 10 lead blanks | 
| 79796 | JV Billing (data extract): Messages for JIB mapping | 
| 53136 | Support Packages and IS-Oil / IS-MINE / IS-CWM - information |