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Rest API Blocks Installation of Automatic Tax Update
Symptom
Attempting to Install the Automatic Update via the Workstation Update tool. Get the following error message
Please close the following Applications before starting installation
Abila.MIP.Advance.OutofProc.RemoteProvider
Abila.MIP.Advance.ServerMIPAdvanceService
Product Line
Transfer Process Interrupted Disposing of Assets That Have Not Been Fully Depreciated
Symptom
Attempting to transfer a disposal of an asset that is not fully depreciated and getting the error message:
“The transfer process was interrupted and did not complete. The process has been rolled back”
Product Line
NpsAc32.exe - System Error: "code execution cannot proceed because edgegdi.dll was not found" using the MIP Workstation Updater
Symptom
While downloading a state tax update in the Abila MIP Worstation Update Tool, the following error message is displayed:
Product Line
Why does Bank Reconciliation use Document Date rather then Effective Date?
Symptom
Why does Bank Reconciliation use the Document Date as the item's cut-off date instead of the Effective Date?
Product Line
Why can't I edit posted documents in MIP Fund Accounting?
Symptom
Why can't I edit posted documents in MIP Fund Accounting?
Product Line
System Printing Checks for Direct Deposit Employees
Symptom
When doing a payroll for Direct Deposit Employees, voucher formats are not available on the dropdown and the system is wanting to print a check.
Product Line
REST API process Cannot be Executed due to Insufficient Rights with User with Full Rights
Symptom
Attempting to make a REST API call and getting a message about insufficient rights. The UserID used by the REST API has full rights to the processes involved.
Product Line
NAE or Fund Balance account has a different balance on filtered vs unfiltered report
Symptom
I am having problems with the balance for my Fund Balance/ Net Asset Equity (NAE) account. When I run a report that includes all my accounts, I look at the balance for my NAE account and it is one value. I then run the same report filtered for my NAE account and get a different balance. Why are they not the same and which one is correct?
As an example, I am running a trial balance for the entire organization vs a General Ledger filtered for the NAE account.
Product Line
Social Security Maximum Earnings are not Correct
Symptom
Social Security Earnings for people who have reached the Maximum Social Security Earnings are incorrect. It maxed out at the prior years amount, not the current years amount.
Product Line