| 1356238 | Error MN 311 when settling customer agreement |
| 1356780 | Corrections to Note 1356238 |
| 433752 | Error when checking for release to accounting |
| 197417 | Message 06167 when settling an arrangement |
| 324686 | Message MN145 during rebate arrangement settlement |
| 195730 | Message MN684 in rebate arrangement settlement |
| 485130 | Arrangement status for interim settlement set incorrectly |
| 457035 | Incorrect doc. status if document not relevant to accounting |
| 324705 | Msgs MN781 or MN164 with settlement of rebate arrangement |
| 458695 | Man. correction f. customer BillDoc income w/ partial settl. |
| 388716 | Value dates in the general billing interface |
| 383600 | Income updating from settlement document not executed |
| 192598 | Aggregation/sort levels maintaind incorrctly |
| 386157 | Shrt dmp CONVT_OVERFLOW or BCD_FIELD_OVERFLOW durng settlmnt |
| 437429 | Message SG105 List settlement documents, setting up incomes |
| 325341 | Incorrect exception processing of user exit LWBON003 |
| 387044 | Problems for distribution of income on tax code, plants |
| 353546 | Settlement of incorrect incomes via vendor billing documents |
| 72199 | Problem analysis update business volume data |