| Code |
Meaning |
Description |
| ASSET_NOT_ADJUSTABLE |
Asset is not adjustable |
The Asset lines sent earlier for this PA assets is not adjustable |
| ASSET_NOT_COMPLETE |
Incomplete asset information |
Complete information about the asset not available in PA |
| ASSET_NOT_POSTED |
Original Asset not posted |
The Original Asset lines sent earlier for this PA assets are not posted |
| CIP_NOT_XFERD_TO_GL |
The CIP Cost has not been interfaced to GL. |
The CIP Cost in this Asset Line has not been transferred to GL |
| DEPRN_NOT_FOUND |
Current Depreciation period is not found for book |
Current Depreciation period is not found for book |
| ERROR_IN_GROUP_RET_ADJ |
Error in Group Retirement Adjustment procedure |
Error in Group Retirement Adjustment procedure, see Log for details. |
| FUTURE_DPIS |
Future Period Date Placed in Service |
The Date placed in service for this asset belongs to future period in FA |
| INVALID_RECVR_PA_DATE |
No open or future PA period matches the receiver PA date. |
There is no open or future PA period for the given Expenditure Item Date. |
| PA_SLA_AC_CR_FAIL |
SLA Accounting Event Creation failed |
SLA Accounting Event Creation failed |
| PA_XLA_NOT_FINAL_ACCT |
Original transaction is not accounted in final mode |
Original transaction is not accounted in final mode in SLA |
| TARGET_NOT_ADJUSTABLE |
Target asset is not a valid Group Asset in the Asset Book. |
Target asset is not a valid Group Asset in the Asset Book. |
| TARGET_NOT_COMPLETE |
Book Type Code and Retirement Target Asset must be specified. |
Book Type Code and Retirement Target Asset must be specified. |