Solution : https://service.sap.com/sap/support/notes/182038 (SAP Service marketplace login required)
Summary :
This SAP Note addresses issues related to the add-on patch SAPKIPBC05 or SAPKIPBD05 for SAP Banking 4.02A when utilizing Local Currency Pricing (LCP). Corrections from November 3, 1999, to December 20, 1999, are consolidated in this note. Users are instructed to apply the add-on patch through SPAM transaction after ensuring the latest SPAM update is installed. CRT delivery methods are specified along with the necessary transaction details. Further guidance and dependent information can be obtained from SAP Notes 53902 and 115568 and through the SAPNet - R/3 Frontend add-on view.
Key words :
respective hot packages/lcps, symptom collective note, additional key words, 02a solution apply, latest spam update, release sap banking 4, sap banking 4, hot package 32, transaction spam, patch sapkipbc05
Related Notes :
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| 195176 | Addition to Note 194346 for Release 4.02 |
| 192939 | Char.derivtn: EDT and FO maintenance are different |
| 191785 | You cannot delete view in the background |
| 190690 | Portfolio hierarchy: Error when changing/adjusting |
| 190672 | Setting run ID in global memory (batch run, acct balancing) |
| 190660 | Direct input risk obj: generate version in test run |
| 190628 | Required entry fields Other periodicity |
| 190268 | BAPI_PAYM_ITEM_GET_LIST does not return any sales |
| 190054 | Back testing: Reading saved datasets |
| 189888 | Condition groups in old period (performance) |
| 189863 | Currency changeover of the limit |
| 189617 | Error in opportunity contribution on daily basis |
| 189614 | ALM: Assets/liabilities for variable business |
| 189491 | Rel.4.02: Opport. interest for simulated businesses |
| 188997 | Error w/statement BCA postings for FI line item |
| 188994 | Incorrect message class 1E message 463 |
| 188872 | Checking the authorization types |
| 188777 | Account balancing: Incorrect status 'terminated' |
| 188727 | NPV sgl val.anlys: Termin. entering Mrkt data shift |
| 188685 | Inconsistent sel.of trans. via No.simulation run |
| 188684 | No beta mapping for the credit limit |
| 188360 | NPV of short positions in complex classes |
| 188314 | Direct charge for account closure |
| 188300 | Floaters not displayed in gap analysis |
| 188201 | Error messages with initial currency generated |
| 188054 | Statistikrechner berücksichtigt nur einen Index |
| 188029 | SEM Banking: Lock table overflow dur.positn update |
| 187587 | Inactive accounts during Euro changeover |
| 187061 | VaR: Error w/missing volatility data |
| 186981 | Required field check for bank statement receivers |
| 186944 | A/c balancing:+/- sign err for credit interest(STC) |
| 186884 | Short dump in function RM_CALL_OPTION |
| 186697 | End-of-day processing: selecting blocked accounts |
| 186580 | +/- sign error short position interest/index future |
| 186474 | Stdg.ord.: Termintn when created w/ number assignmt |
| 186398 | Collaterals amount: currency ignored |
| 186298 | Enhancing BKK_PAYM_TRANS_END: Double process.check |
| 186187 | Optimize limit definition |
| 186175 | Termination fin.object: PERFORM_TOO_MANY_PARAMETERS |
| 186109 | Incorrect currency with external key figures |
| 186009 | RM-SA: Wrong fixed interest rate period for loans |
| 185825 | SEM-Banking: Net present value costing of orders |
| 185802 | SEM-Banking: Termintn of position determ. (E00564) |
| 185664 | ALM:First interest condtn starts aft.maturity start |
| 185643 | ALM: Standard interest calculation method |
| 185607 | Error message type when assigning valuation rule |
| 185271 | Issuer risk determination for bond options |
| 185136 | No check of amount authoriztn for a/c balancing |
| 184889 | ALM: Simulated interest payments for accounts |
| 184745 | RM-SA: Incorrect closing net cash flow positions w/ horizon |
| 184493 | Return to display condition allocation incorrect |
| 184449 | Interest not added to closing balance |
| 184408 | EGP: no negative basic key figures can be entered |
| 184265 | Short dump w/statement f.BCA postings for FI doc |
| 184188 | Reconciliation BCA items / FI totals (F974) |
| 184159 | Cash Concentration: Terminatn w/ restart simulation |
| 183827 | Dialog free selections not displayed |
| 183800 | Calculatn accuracy w/ net present value calculation |
| 183704 | FDÜ: Foreign exchange: Field ZUONR not transferred |
| 183413 | No authorization: Display payment order |
| 183364 | Access to hierarchy maintenance |
| 183163 | Performance improvements in single transaction check |
| 183106 | EDT: Variable transaction:loss of condition changes |
| 182954 | Payment note deleted for external payment orders |
| 182774 | Short dump during IBAN generation |
| 182755 | Currency translation index future |
| 182581 | Incorr.volatility read from new volatility database |
| 182501 | Address line for business partners in reporting |
| 182111 | Error message in nostro account balancing |
| 176153 | Cap selection for RISK |
| 173948 | BDT, DI: err when postprocessing incor.records |
| 173376 | Additional flag in interface BTE 00010310 |
| 171658 | Fixed caplets in gap analysis |
| 170692 | inSight - connection does not work correctly |
| 161227 | Basic reports for limit management, risk management |
| 133875 | Net present value for caps with expired caplet |
| 53902 | Conflicts between Support Packages and add-ons |