| 436077 | Cont.crcy chgovr:incor.a/c determ.for a/c-relatd bal.corrctn | 
| 426364 | ECCC: Contract currency changeover via batch input | 
| 390707 | EUR: Error F5703 w/contract currency changeover | 
| 450215 | ECCC: Dunning data not transferred to currency swap posting | 
| 406337 | ECCC: checks for loans not posted | 
| 114778 | EURO contract currency change over and IPD control | 
| 446861 | REP/cont crcy chgovr:RFVDAST0 rep.errors for no valid reason | 
| 439480 | ECCC: Reset with rolled over loans not possible | 
| 446136 | ECCC: Change documents are written incorrectly | 
| 439123 | EUR:calculation date of the remaining capital adjustmt flows | 
| 492752 | ECCC:postings are missing after implementing Note 447530 | 
| 492691 | ECCC:correction report RFVD_CORR_BALANCETRANSFER | 
| 395781 | ECCC: update in the Cash Management | 
| 135014 | ECCC: OI on alternative payers | 
| 415457 | EUR: Contract currency changeover - Balance in local crcy | 
| 364418 | EUR:Incorr.exch.rate gains/loss.aft.euro contr.crcy chgovr | 
| 398769 | EUR: limit values exceeded with reset | 
| 382982 | EUR: Limit values for euro adjustment flows are exceeded | 
| 436861 | ECCC: Balance corrections for capital transfer flows | 
| 458696 | EUR: Exceeding the limit values for the adjustment flows | 
| 137816 | ECCC: balance corrections for incomplete data | 
| 447586 | Contract currency changeover:balance correction by accounts | 
| 436899 | VWU: Termination 64751 "Assignment for flow category XB..." | 
| 439907 | Contr.crcy chngovr:planned record update and mass changeover | 
| 1165806 | Enhancing the contract currency conversion | 
| 409525 | EUR: incorrect correction of interest calculation capital | 
| 440702 | ECCC: Account assignment reference is not changed | 
| 425106 | ECCC: incorrect amount for past balance sheet transfer | 
| 459319 | ECCC: Error 6E058 (premium/discount) | 
| 111785 | Crcy swap disc./prem.w.EURO cntract crcy changeover |