Message Number list used by SAP ABAP Program IFTR_CL_CF_REPAYM_IMP (Treasury Finanzgeschäft: Klasse für die Bearbeitung von Zinsen (Imp.))
SAP ABAP Program IFTR_CL_CF_REPAYM_IMP (Treasury Finanzgeschäft: Klasse für die Bearbeitung von Zinsen (Imp.)) is using
# Object Type Object Name Object Description Note
     
1 Message Number  FTR_GUI - 302 Repayment rate is greater than or equals 100 percent
2 Message Number  FTR_GUI - 304 Correct the repayment currency
3 Message Number  FTR_GUI - 305 Enter a repayment amount or a repayment rate
4 Message Number  FTR_GUI - 322 Select the condition type for instalment repayment
5 Message Number  FTR_GUI - 323 Select the condition type for annuity repayments
6 Message Number  FTR_GUI - 328 Enter the repayment form
7 Message Number  FTR_GUI - 329 Correct the repayment form
8 Message Number  FTR_GUI - 330 Final maturity date not permitted for instalment and annuity repayments
9 Message Number  FTR_GUI - 365 Transaction cannot be processed w/o condition type for final repayment
10 Message Number  FTR_GUI - 899 Error &1 &2 &3
11 Message Number  T4 - 013 Choose condition type for final repayment