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Check Customizing Settings

This report program enables you to check that the settings in Customizing for the securities area are consistent and plausible.

The error messages displayed can have one of the following four priority levels:

The report program checks in particular the settings for the flow types, the product type control, the account determination, the company code and the number ranges.

The long text for the error messages tells you which settings you should check again.

Example

The report program determines that no exchange was defined in Customizing and displays the following error message :

Short text:
No exchanges are defined
Long text:

Diagnosis

The Customizing check has found that no exchanges were defined.

System Response

You cannot enter prices/rates using these settings since they are maintained per exchange.

Procedure

Contact your system administrator.

Procedure for System Administration

Check the settings for the exchanges in Customizing by choosing Define Exchange.

Recommendation

We recommend that you execute this program once you have completed your settings and before you go live with the system.

Activities

1. Enter the company codes whose settings you want to have checked.
2. You can restrict the program to certain priority levels:
If you do not make any entries here, the system checks all the priority levels.
3. Start the program.
4. The system generates a list of the error messages. Double-click a message to go to the related long text.