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How To Fix TAN_MDCRS103 - Dividend Schedule currencies are different


SAP Error Message - Details

  • Message type: E = Error

  • Message class: TAN_MDCRS - Message class for Market Data Change Rate Set

  • Message number: 103

  • Message text: Dividend Schedule currencies are different

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  • Self-Explanatory Message

    Since SAP believes that this specific error message is 'self-explanatory,' no more information has been given.The majority of messages in the SAP system have a message text, however this is frequently insufficient to comprehend or resolve the problem.

    To make things easier, more detailed information is frequently added to describe the issue, how to fix it, and the necessary steps or configuration modifications.

    Unfortunately, there isn't any extra information in this error notice.



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Smart SAP Assistant

  • What is the cause and solution for SAP error message TAN_MDCRS103 - Dividend Schedule currencies are different ?

    The SAP error message TAN_MDCRS103, which states "Dividend Schedule currencies are different," typically occurs in the context of managing dividend distributions in SAP, particularly when dealing with multiple currencies. This error indicates that there is a mismatch between the currency of the dividend schedule and the currency of the associated financial transactions or master data.

    Cause:

    1. Currency Mismatch: The primary cause of this error is that the currency defined in the dividend schedule does not match the currency of the related financial documents or master data (e.g., the currency of the stock or the currency of the payment).
    2. Configuration Issues: There may be configuration issues in the system settings related to currency handling for dividend processing.
    3. Data Entry Errors: Incorrect data entry when creating or modifying the dividend schedule or related financial documents can lead to this error.

    Solution:

    To resolve the TAN_MDCRS103 error, you can take the following steps:

    1. Check Currency Settings:

      • Verify the currency settings in the dividend schedule. Ensure that the currency specified in the dividend schedule matches the currency of the stock or the payment document.
      • Navigate to the relevant transaction in SAP (e.g., transaction code TBB1 for dividend schedules) and check the currency field.
    2. Review Related Documents:

      • Check the related financial documents (e.g., payment documents, stock master data) to ensure that their currencies are consistent with the dividend schedule.
      • If there are discrepancies, you may need to adjust the currency settings in the relevant documents.
    3. Adjust Configuration:

      • If the issue persists, review the configuration settings in the SAP system related to dividend processing and currency handling. This may involve consulting with your SAP administrator or functional consultant.
    4. Data Correction:

      • If the error is due to incorrect data entry, correct the relevant entries in the system. This may involve editing the dividend schedule or related financial documents to ensure consistency in currency.
    5. Testing:

      • After making the necessary adjustments, test the process again to ensure that the error has been resolved and that the dividend schedule can be processed without issues.

    Related Information:

    • Transaction Codes: Familiarize yourself with relevant transaction codes such as TBB1 (for dividend schedules), TBB2 (for dividend payments), and TBB3 (for dividend history).
    • Documentation: Refer to SAP documentation or help files for detailed information on managing dividend schedules and handling currency issues.
    • Support: If you are unable to resolve the issue, consider reaching out to SAP support or your internal SAP support team for further assistance.

    By following these steps, you should be able to identify and resolve the cause of the TAN_MDCRS103 error in your SAP system.

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