How To Fix J2157 - &4 Impossible de générer le flux de paiement pour les prêts/emprunts &


SAP Error Message - Details

  • Message type: E = Error

  • Message class: J2 - Message Class for Development Class JBT

  • Message number: 157

  • Message text: &4 Impossible de générer le flux de paiement pour les prêts/emprunts &

  • Show details Hide details
  • Quelle est la cause de ce problème?

    No cash flow could be generated for loan &V1&.

    Réponse du système

    The transaction is marked as erroneous.

    Comment corriger cette erreur?

    Check the loan conditions and see if you can possibly generate
    a cash flow with the ONLINE transaction.
    Possible causes of this error are:
    - No principal repayment conditions have been set
    - End of term has not been defined
    - End of term cannot be determined
    - Term or interest rate is missing
    - A negative principal repayment appeared
    Pay special attention to the following points:
    The beginning of the fixed interest period must be defined.
    (-> conditions header)
    The interest calculation method must be available.
    (-> conditions header)
    The end of the fixed interest period should be defined. If this is not
    the case, then at least the end of the term must be known.
    (-> conditions header)
    Flow types must be set up correctly for disbursements in Customizing.
    In Customizing, a flow type must be set up correctly for residual
    amounts (residual = disbursement - principal repayment).
    IS-B cash flows must contain at least two flows. (Ensure that the
    desired flow type is marked as relevant for the calculation in
    Customizing.)
    No flows in the cash flow may exist before the commitment date (or the
    beginning of the fixed interest period).
    For variable loans, a yield curve for calculating forward rates must be
    entered in Customizing (in advance) for the given reference interest
    rates. The Customizing settings of the yield curve must allow the
    calculation of forward rates. The values corresponding to the yield
    curve must be maintained for the date relevant to the forward rates.
    For variable loans, interest rate adjustment 'relative to each
    reference interest rate' is not supported because future adjustment
    dates are not known. Therefore no appropriate forward rates can be
    calculated.
    When making a settlement calculation, the simulated disbursement cannot
    fall outside the fixed interest period.

    Extrait du message d'erreur du système SAP. Copyright SAP SE.


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