create_acct_complete_m Error Messages
- Last updated
- Save as PDF
Overview
The following error messages can be generated by create_acct_complete_m.
1001: unexpected error
1004: authentication error
Associated Inputs: auth_key, client_id, client_no
1010: missing required parameters, Missing input: (object-name) is required with assignment_directive ($AriaNo)
Associated Inputs: all required inputs, typically one of the following: custom_rate_per_unit, custom_rate_seq_no, status_cd, dunning_state, userid, acct_no, client_acct_id, assignment_directive, billing_group_no, client_billing_group_id, threshold_billing_rule_no, client_threshold_billing_rule_id
Alternate Message Output
1010: username is required
1010: first name is required
1010: last name is required
1010: email is required
1010: roles are required
Associated APIs: create_user_m, get_user_details_m, delete_user_m, update_user_m
Associated Inputs: username, first_name, last_name, email, role_no
1012: invalid input format
Associated Inputs: client_receipt_id
Additional Comments: This value must be unique for a client and must be alphanumeric. A previously used client_receipt_id can be reused if all those previous calls have failed (with an error_code other than 0/OK), if the client parameter NEVER_ALLOW_USED_RECEIPT_ID = FALSE.
Alternate Message Output
1012: email is invalid
1012: include_archived_user is invalid
1012: status is invalid
Associated APIs: create_user_m, get_users_m, update_user_m
Associated Inputs: email, include_archived_user, status
1016: invalid input, acct_no: (acct_no) is not a valid long, assignment_directive: (assignment_directive) is not a valid long, “billing_group_no: (billing_group_no) is not a valid long, threshold_billing_rule_no: (threshold_billing_rule_no) is not a valid long
Associated Inputs: alt_service_no_to_apply, assignment_directive, auto_skip_to_next_bill_date, client_billing_group_id, custom_rate_service_no/custom_rate_client_service_id, plan_instance_no, plan_instance_service_no, client_plan_instance_id, client_plan_instance_service_id, plan_instance_no, plan_instance_service_no, client_plan_instance_id, client_plan_instance_service_id, plan_instance_service_no, eligible_plan_no, eligible_service_no, email, force_master_bill_date_reset, fulfillment_only, include_master_plans, include_supp_plans, include_billing_groups, include_payment_methods, include_master_plans, include_supp_plans, include_billing_groups, include_payment_methods, invoice_no, length_months, end_date, limit, limit_records, modify_directive, contract_plan_instances_update, modify_directive, contract_plan_instances_update, offset, percent_amount, percent_eval_plan_instance_no, client_percent_eval_plan_instance_id, percent_eval_service_no, client_percent_eval_service_id, phone_ext, work_phone_ext, plan_unit_inst_status_cd, plan_units, reason_code, start_date, end_date, start_date, end_date, status_cd, acct_no, assignment_directive, billing_group_no, threshold_billing_rule_no
Additional Comments: This error can be caused by the wrong type of input, for example, text in a numbers-only field, an or specifying a value other than one of the documented allowable values.
- For the get_order_m API, this is the error code returned when the user passes an invalid order value for the <status_filter_cd> input which is other than the allowed values (0/null, 1, 2, 3, 4 and 5).
- For the bulk_cancel_order_m API, invalid input can occur with the <order_status_directive> argument. Allowed values are 0, 1, 2, 3, 4/null, 5 and 6.
- For the get_acct_coupon_details_m API, invalid input can occur with the <include_all_active> input parameter (values are 0, 1 or NULL).
Alternate Message Output
1016: username cannot be longer than 30 characters
1016: first_name cannot be longer than 30 characters
1016: last_name cannot be longer than 30 characters
Associated APIs: create_user_m, update_user_m
Associated Inputs: username, first_name, last_name
1017: invalid password
Associated Inputs: password
Additional Comments: The password does not meet the parameters set by the client.
1023: userid is missing or invalid
Associated Inputs: user_id
Additional Comments: You must enter a user_id if the client is not enabled to automatically generate them.
1024: invalid date format
Associated Inputs: bill_birthdate, birthdate, degrade_date, initial_credit_date, invoice_line_reversing_date, service_fulfillment_date, queue_date, start_bill_date, end_bill_date, start_date, end_date, stmt_birthdate, bill_birthdate
Additional Comments: All date inputs must be in yyyy-mm-dd format.
1031: can not pass in an alternate starting date AND alternate billing day
Associated Inputs: alt_bill_day, alt_start_date
1033: a parameter that represents a true or false value contains invalid input
Associated Inputs: alt_collect_on_approve, alt_send_statement_on_approve, cancel_orders_on_discard, cascade_action, do_auto_discard, do_collect, change_status_after_coll, reset_dates_after_status, disable_existing_on_update, do_write, exclude_terminated_plan_inst, include_all_rate_schedules, include_plan_hierarchy, retrieve_bundled_nso, retrieve_included_nso, include_translations, include_inactive_items, include_invoice_activity_eligibility, include_rs_summary, include_translations, include_service_supp_fields/include_product_fields/, include_plan_instance_fields/include_plan_services/, include_surcharges, include_void_transactions, include_voided, invoice_unbilled_usage, is_unlinked_refund, record_cc_on_auth_failure, retrieve_excluded_usage, send_email, usage_pooling, do_write
1046: invalid tax exemption level code
Associated Inputs: tax_exemption_level
Additional Comments: Note that tax_exemption_level is only used with Aria's internal tax engine.
1049: Billing or Plan changes not allowed due to the account status, Cannot add assignment for account with status code -99, Cannot add assignment for account with status code 0
Associated Inputs: N/A
Additional Comments: This message indicates a processing problem.
1053: invalid notification template group id
Associated Inputs:billing_group.notify_template_group
1057: The create_acct_complete_m API is not supported because your client parameter Account_EOM_Enabled is set to False.
1058: Too many accounts. Please reduce the number of accounts to be under <limit>.
Associated Inputs: N/A
1065: account cannot be created because inputs related to account or Plan structure were not specified.
Associated Inputs: acct_no
Additional Comments: The API input is missing acct rows.
1066: Locale name does not exist in the system.
Associated Inputs: locale_name
1067: Locale no does not exist in the system.
Associated Inputs: locale_no, master_plan_instance_no
1068: Combine invoices must be either 1-Long Cycle or 2-Short Cycle or 3-Consider Client Param.
Associated Inputs: combine_invoices
1069: Long cycle (Combine invoice) is not available, since Plan instance has Plan rollover or contract rollover or future Plan changes in the middle of the cycle or while generating a pending invoice.
1500: Unsupported bank/country code for this payment method.
Associated Inputs: proc_status_code, proc_status_code, bank_country_cd
Additional Comments: Added in support of ACH payments via Direct Debit (country code must be US).
3003: could not create invoice
Additional Comments: Could not create a preview invoice due to account status, plan status, or other processing error. Please contact Aria Customer Support.
3008: pending invoice was created, but auto accept failed
3010: skus must have have units greater than zero
3017: pro-ration period cannot be greater than Plan billing interval
3098: Negative Charge Line Items are not allowed.
3100: Future invoice cannot be created as there is an existing contract changes or Plan unit instance fulfillment going to happen in the period.
4006: invalid pay method
Associated Inputs: alt_pay_method, pay_method_type, pay_method_type
4008: invalid expiration date
Associated Inputs: alt_pay_method, cc_expire_mm, cc_expire_yyyy, credit_expiry_date, pay_method_type
Additional Comments: Dates must be in yyyy-mm-dd format.
4009: invalid cc number
Associated Inputs: cc_number, alt_pay_method, cc_num, pay_method_type
4010: invalid bank draft info
Associated Inputs: bank_acct_no, bank_routing_no, alt_pay_method
Additional Comments:
- The client parameter BANK_DRAFT_INDICATOR must be enabled.
- Bank_acct_no and bank_routing_no are required.
- Valid bank_routing_no from Aria's ABA lookup in case of US address.
- Bank_routing_no must be numeric.
- For US, bank_routing_no should be 9 digits in length (left padded with zeros).
- Bank_routing_no must pass checksum validation.
4011: cc authorization failed
Associated Inputs: alt_pay_method, cc_number, cc_expire_mm, cc_expire_yyyy, pay_method_type
Additional Comments: $1 authorization has failed.
4017: duplicate payment method client defined id.
Associated Inputs: client_payment_method_id, new_client_payment_method_id
Additional Comments: This value must be unique at the client level.
4019: Invalid Bank Account Type.
Associated Inputs: alt_pay_method, bank_acct_type
4022: invalid cc id
Associated Inputs: pay_method_type, cc_id
4032: cc_id is required.
Associated Inputs: cc_id, pay_method_type
Additional Comments: cc_id is required for this payment processor.
4044: Missing a required value. Please check that either bank_account_no, bank_routing_number or agreement_id is present.
5001: duplicate entry
Associated Inputs: acct_no, userid, reference_code
Additional Comments: The acct_no or userid of the new account is already in use or the reference_code of a payment matches an existing value.
5003: invalid notify method
Associated Inputs: notify_method_no
5004: invalid responsibility level cd
Associated Inputs: resp_level_cd
Additional Comments: Resp_level_cd=4 is not supported in Aria Billing Cloud.
5005: invalid parent account no
Associated Inputs: senior_acct_no
5007: invalid currency cd
Associated Inputs: currency_cd, Currency code of Threshold Billing Rule does not match Account. Rule: AriaNo ($AriaNo)
5008: invalid userid length
Associated Inputs: user_id
Additional Comments: This error is based on the client parameters MIN_USERID_LENGTH and MAX_USERID_LENGTH.
5009: userid contains illegal characters
Associated Inputs: user_id
Additional Comments: Only alphanumeric characters are allowed.
5010: userid is reserved
Associated Inputs: user_id
Additional Comments: You must select another user ID.
5011: userid is taken
Associated Inputs: user_id
Additional Comments: You must select another user ID.
5012: password is too short
Associated Inputs: password
Additional Comments: This error is based on the client parameter MIN_PASSWD_LENGTH.
5013: password is too long
Associated Inputs: password
Additional Comments: This error is based on the client parameter MAX_PASSWD_LENGTH.
5014: password contains invalid characters
Associated Inputs: password
5016: password not strong
Associated Inputs: password
Additional Comments: The password must be at least eight characters in length and must contain at least one alphabetic and one numeric char.
5017: invalid iso country code
Associated Inputs country, bank_country_cd, bill_country
5019: error recording balance forward
Associated Inputs: balance_forward
Additional Comments: This indicates an error in the balance forward transaction creation.
5020: alternate billing day must be between 1 and 31
Associated Inputs: alt_bill_day
5021: invalid test acct indicator
Associated Inputs: test_acct_ind
5023: number of supp field values does not meet required minimum number of values
Associated Inputs: supp_field_value
Additional Comments: The number of values given for a given field must meet the min values criteria set at configuration.
5024: number of supp field values exceeds maximum number of allowed values
Associated Inputs: supp_field_value
Additional Comments: The number of values given for a given field must meet the maximum values criteria set at configuration.
5026: supp field value already exists
Associated Inputs: supp_field_name
Additional Comments: The same name was provided more than once with the same value.
5029: invalid item or sku
Associated Inputs: filter_item_no, filter_client_item_id, client_sku
5030: Child account's Currency is not matching with Parent account's Currency
Associated Inputs: currency_cd
5031: Child account of this account cannot be set as its parent.
Associated Inputs: senior_acct_no
Additional Comments: The given senior_acct_no must not be a child account.
5033: Invalid parent account user id.
Associated Inputs: senior_acct_user_id
5034: Invalid parent client account id.
Associated Inputs: senior_client_acct_id
5036: Client Account ID is already assigned to other account
Associated Inputs: client_acct_id
Additional Comments: This validation occurs only when the client parameter CHECK_CLIENT_ACCT_ID_ALREADY_TAKEN is enabled for the client.
5039: Invalid RevRec profile ID.
Associated Inputs: revrec_profile_id
5040: Invalid RevRec client-defined ID.
Associated Inputs: revrec_client_defined_id
5041: Invalid invoicing option provided
Associated Inputs: invoicing_option
5048: Responsible account number/identifier is mandatory when master_plan_instance's resp_level_cd is not self pay (does not equal 1). Alt: Missing senior account number/identifier.
Associated Inputs: senior_acct_no, resp_level_cd
Additional Comments: Senior account number is mandatory when master_plan_instance.resp_level_cd is not equal to 1.
5051: The responsible Master Plan Instance number/identifier must be from an ancestor account. Alt: the responsible Master Plan Instance number/identifier is not associated with the senior account number; The responsible Master Plan Instance number/identifier must be from an ancestor account.
Associated Inputs: resp_master_plan_inst_no, parent_acct_master_plan_inst_id
Additional Comments: The responsible mpi_no must be from the senior/parent account.
5052: Product field is not mapped to the Plan you have specified. Alt: Invalid product field
Associated Inputs: plan_instance_fields_info.field_name, field_name
Additional Comments: The field is not mapped to the Plan.
5054: The Account Contact name, Billing Contact name, and Statement Contact name must be the same for consumer accounts.
Additional Comments: The first name, middle initial and last name of account contact, billing contact and statement contact must be the same when consumer_acct_ind = 1.
5059: Invalid Product Field Value.
Associated Inputs: field_value
Additional Comments: The value must be from the configured allowed values.
5061: Number of Product Field value exceeds maximum number of allowed values.
Associated Inputs: field_value
Additional Comments: The value must meet the configured maximum values.
5062: Number of Product Field values does not meet required minimum number of values.
Associated Inputs: field_value
Additional Comments: The value must meet the configured minimum values.
5070: Invalid Legal Entity no
Associated Inputs: legal_entity_no
5071: Invalid Client Legal Entity ID
Associated Inputs: client_legal_entity_id
5072: Either legal_entity_no or client_legal_entity_id is required
Associated Inputs: legal_entity_no, client_legal_entity_id
Additional Comments: When the LEGAL_ENTITY_MASTER client parameter is enabled and the client has a legal entity defined, then this is mandatory.
6003: could not validate billing information
Associated Inputs: pay_method_type, cc_auth_amount
Additional Comments: There was an error during the $1 authorization attempt.
6004: validation not supported for this payment method
Associated Inputs: alt_pay_method, seq_no
Additional Comments: Only payment methods 1 and 13 are supported.
6005: invalid supplemental field
Associated Inputs: supp_field_name
Additional Comments: Unknown field name.
6007: CVV Declined
Associated Inputs: backend, related to payment_method.*
Additional Comments: $1 authorization has failed due to CVV.
6008: Address verification declined
Associated Inputs: backend, related to payment_method.*
Additional Comments: $1 authorization failed due to billing address.
6009: CVV timeout - retry
Associated Inputs: backend, related to payment_method.*
Additional Comments: $1 authorization failed due to CVV check timeout.
6010: Address verification timeout - retry
Associated Inputs: backend, related to payment_method.*
Additional Comments: $1 authorization failed due to billing address check timeout.
6021: Invalid state_prov entered
Associated Inputs: bill_state_prov, state_prov, stmt_state_prov, bill_state_prov
6022: invalid supp field value
Associated Inputs: supp_field_value
Additional Comments: Value is empty or not from the configured allowed values.
6027: IBAN is alphanumeric and is 16 to 34 characters in length
Associated Inputs: iban, alt_pay_method_iban
6029: Bank swift code is alphanumeric and is 8 or 11 characters in length
Associated Inputs: bank_swift_cd, alt_pay_method
6031: BBAN is numeric and up to 16 digits
Associated Inputs: alt_payment_method, bank_acct_no
6032: Bank ID code is numeric and up to 10 digits
6033: Bank branch code is numeric and up to 10 digits
Associated Inputs: bank_branch_cd
6034: Basic bank account number or IBAN is required for Direct Debit
Associated Inputs: iban, bank_acct_no
6045: Account can have only one active NETS payment method.
Associated Inputs: payment_method_type
7027: Master Plan Instance cannot be created without billing group
Associated Inputs: billing_group_idx/cdid
Additional Comments: Billing_group is mandatory when master_plan_instance.resp_level_cd = 1.
7028: duplicate billing group client defined id.
Associated Inputs: client_billing_group_id, new_client_billing_group_id
Additional Comments: This value must be unique at the client level.
7029: The new_client_dunning_group_id field contains the ID of an existing dunning group.
Associated Inputs: client_dunning_group_id
Additional Comments: This value must be unique at the client level.
7030: The new Master Plan Instance must be associated with a dunning group. You must enter a dunning group when associating a Master Plan Instance.
Associated Inputs: dunning_group_idx/cdid
Additional Comments: Dunning_group is mandatory when master_plan_instance.resp_level_cd = 1.
7031: Invalid dunning_process_no
Associated Inputs: dunning_process_no
7032: Single order billing not allowed because Plan instance status prevents it
Associated Inputs: plan_instance_status
Additional Comments: This error occurs in the following situations:
- The Plan instance status code allows billability and the invoice option is "NONE".
- If the Plan instance status does not allow billability.
7033: Invalid client defined dunning process id
Associated Inputs: client_dunning_group_id
12001: Account group does not exist
Associated Inputs: group_no, acct_group_id
Additional Comments: An invalid seq_function group_id was entered.
12005: Account belongs to collections based group using same payment method
Associated Inputs: collections_acct_group_no
Additional Comments: Two collection groups that have different processors share a payment method.
12010: Client account group does not exist
Associated Inputs: collections_acct_group_no, client_acct_group_id, alt_client_acct_group_id
12012: Collection group does not exist
12013: Collection group identifier does not exist
12016: Billing group belongs to collections based group using same payment method
14001: invalid Master Plan no
Associated Inputs: plan_no
14002: invalid Supplemental Plan no
Associated Inputs: plan_no
14005: invalid Plan service combination
Associated Inputs: custom_rate_service_no, custom_rate_service_id
Additional Comments: The given Plan number and service number combination for master and Supplemental Plans is not valid.
14006: invalid rate schedule no
Associated Inputs: acct_rate_schedule_no, mpi_rate_schedule_no, master_plans_detail, alt_rate_schedule_no, supp_plan.alt_rate_schedule_no
14012: Alternate rate schedule's currency does not match the account's currency.
Associated Inputs: alt_rate_schedule_no, client_alt_rate_schedule_id
Additional Comments: The alt_rate_schedule currency does not match the account currency.
14013: New Plan does not have a rate schedule with a currency matching the account's currency.
Associated Inputs: alt_rate_schedule_no, acct_currency
Additional Comments: The given rate schedule currency does not match the account's currency.
14014: When entering custom rates, the end sequence number of one tier must immediately precede the start sequence number of the next tier. Alt: invalid rate tier structure
Associate Inputs: custom_rate_to_unit, custom_rate_seq_no
Additional Comments:
When entering custom rates, the tiers must be continuous, that is, the end sequence number of one tier must immediately precede the start sequence number of the next tier. In addition, the rate schedule must have the same number of units in each tier, and the same number of tiers, as the schedule on which it is based. From_units must be greater than - and less than to_units.
14015: The custom rates for services other than usage and recurring types can have only one tier with rate_seq_no set to 1, the from_unit set to 1 and to_unit left empty. Alt: custom from and to units not supported for given service_no
Associated Inputs: custom_rate_from_unit, custom_rate_to_unit
Additional Comments: For the custom rate sequence, the "from" unit in one tier is not immediately after the end unit in the previous tier. Tiers are not allowed for other than recurring and usage services.
14019: usage_accumulation_reset_months must be from 0 to 99 Alt: invalid usage accumulation reset months value
Associated Inputs: usage_accumulation_reset_months
Additional Comments: The accumulation months is not between 0 and 99.
14022: Supplemental Plan violates Plan exclusion group
Associated Inputs: plan_no
Additional Comments: The Supplemental Plan is not matched with the Master Plan exclusion group.
14027: The end units of final rate tier is not infinity
Associated Inputs: custom_rate_to_unit
Additional Comments: The custom rates final unit must be infinity.
14033: Invalid Promo Code
Associated Inputs: promo_cd
14035: Invalid client Plan id
Associated Inputs: client_plan_id, custom_rate_client_plan_instance_id
14036: Invalid client service id
Associated Inputs: client_service_id, client_plan_instance_service_id, client_percent_eval_service_id, custom_rate_client_service_id
14038: Invalid client Master Plan id
Associated Inputs: client_resp_master_plan_inst_id
14039: Invalid client rate schedule id
Associated Inputs: client_alt_rate_schedule_id, rollover_client_rate_sched_id
14040: No Universal Place Holder rate schedule for this currency
Associated Inputs: acct_rate_schedule_no, mpi_rate_schedule_no, master_plans_detail.alt_rate_schedule_no
supp_plan.alt_rate_schedule_no
14043: Invalid Plan instance rate_seq combination
Associated Inputs: custom_rate_from_unit, custom_rate_to_unit
Additional Comments: If the from/to units are not specified, the given rate_seq_no must be a valid rate_seq_no.
14051: Invalid Plan status for the new Plan
Associated Inputs: plan_instance_status, status_cd
14055: Missing senior Master Plan Instance number/identifier
Associated Inputs: resp_master_plan_inst_no and client_resp_master_plan_inst_id, resp_lvl_cd, parent_acct_master_plan_inst_id
Additional Comments: If resp_level_cd is not 1 and no responsible Plan instance number or ID was entered.
14059: The senior Master Plan Instance cannot be responsible for another Plan instance because it is set to Parent Pay
Associated Inputs: resp_master_plan_inst_no and client_resp_master_plan_inst_id, parent_acct_master_plan_instance_no
Additional Comments: The responsible Plan instance is a child pay,
14063: duplicate Plan instance client defined id.
Associated Inputs:client_plan_instance_id, new_client_plan_inst_id
14071: Master Plan Instance information is missing
Associated Inputs: plan_instance_no, client_plan_instance_id, master_plan_instance_no, client_master_plan_instance_id
Additional Comments: Both plan_no and plan_id must be entered. Master Plan Instance is required if the invoice_no is not provided.
14073: Invalid responsibility Master Plan Instance index
Associated Inputs: resp_master_plan_inst_idx
Additional Comments: The idx must be present in the master_plans array input.
14077: Account status not support Plan provisioning.
Associated Inputs: status_cd
Additional Comment: The current status of the account does not allow provisioning.
14078: Master Plan Instance status not support Plan provisioning.
Associated Inputs: status_cd
Additional Comments: The current status of the Master Plan does not allow provisioning.
14079: Supplemental Plan instance status not support Plan provisioning.
Associated Inputs: supp_plan.status_cd
14084: Invalid rate schedule. Please verify start date and end date of provided rate schedule.
Associated Inputs: alt_rate_schedule_no, alt_rate_schedule_id
14085: Mandatory child Plans are not included in the input. Please correct this and try again.
14086: Plan Units cannot be below the minimum required units for this child Plan.
Associated Inputs: plan_units
14087: The maximum number of allowable units has been exceeded.
14107: Invalid Service Number.
Associated Input: custom_rate_service_no
14132: Custom rates cannot be assigned for this non-provisioned status.
14135: The Responsible Master Plan Instance provided is queued for assignment and not allowed to be used for payment responsibility.
14310: Enter a Bill Lag days between +/- Plan's Billing Interval.
Additional Comments: Invalid input: For bill lag days, Enter a number between +billing interval and - billing interval days.
14311: Enter a Bill Lag days less than/equal to Plan's Billing Interval.
Additional Comments: Invalid input: For bill lag days, Enter a number less than/equal to billing interval days.
15002: coupon expired
Associated Inputs: coupon_codes, coupon_cd
15006: Duplicate surcharge number in input
Associated Inputs: acct_surcharges, mpi_surcharges, mp_surcharge_no
15008: Invalid surcharge rate schedule no
Associated Inputs: rate_schedule_no, mp_rate_schedule_no
15009: Invalid surcharge number
Associated Inputs: surcharge_no, mp_surcharge_no
15011: The coupon code provided for this account or Master Plan does not match its specified Coupon Applicability Scope, which determines whether the coupon is available at the account level, the Master Plan Instance level, or both.
Associated Inputs: coupon_cd
15012: Coupon code has already been applied and cannot be used again.
Associated Inputs: coupon_codes
15013: The surcharge provided for this Account or Master Plan does not match its specified Surcharge Applicability Scope, which determines whether the surcharge is available at the account level, Master Plan Instance level or both.
Associated Inputs: mpi_surcharges, mp_surcharge_no
15014: Duplicate Surcharges found.
Associated Input: mp_surcharge_no
15015: Surcharge can't be assigned because its application scope is payment method
Associated Inputs: mpi_surcharges, mp_surcharge_no
15017: Invalid client surcharge id
Associated Inputs: surcharge_updates > client_surcharge_id
15018: Duplicate client surcharge id in input.
Associated Inputs: surcharge_updates > client_surcharge_id
16011: This account is ineligible for new contract creation because it has a universal contract in effect.
Associated Inputs: acct_no, client_acct_id
16013: Unsupported contract type
Associated Inputs: contract_type_no, type_no
16018: Universal contract cannot be created because all Plan statuses on this account are Suspended, Pending Cancellation, Cancelled or Terminated.
16019: Multi Plan instance contract cannot be created because the given Plan instance statuses on this account are Suspended, Pending Cancellation, Cancelled or Terminated.
Associated Inputs: plan_instance_no, client_plan_instance_id
16021: The currency for the contract completion rollover target rate schedule must match the currency on the account.
Associated Inputs: rollover_rate_sched_no/rollover_client_rate_sched_id
16029: The contract start date must be on or after the effective date of the account (account creation date, account start date or retroactive start date) covered by the contract.
Associated Inputs: contract_start_date, start_date
16030: The contract start date must be on or after the earliest effective date (plan assignment date or retroactive start date) of the Plans covered by the contract.
Associated Inputs: contract_start_date, start_date
16033: The contract end date cannot be today or earlier (whether provided as input or calculated based on the contract term and start date).
18005: Invalid Template number
Associated Inputs: alt_msg_template_no, cn_alt_msg_template_no, alt_inv_template_no, alt_stmt_template_no
18006: Invalid client template id
Associated Inputs: client_cn_alt_msg_template_id, client_alt_msg_template_id, client_alt_inv_template_id
18010: Invalid Credit Memo Template number
Associated Inputs: credit_memo_template
Additional Comments: The credit memo template must be mapped to the "CM" template class.
18011: Invalid Rebill Template number
Associated Inputs: rebill_template
Additional Comments: The rebill template must be mapped to "RB" template class.
20026: agreement id OR credit card info is required
Associated Inputs: pay_method_type, bill_agreement_id, cc_num
Additional Comments: The pay_method_type is "13", the bill_agreement_id is null and cc_num is null.
20031: agreement id is mandatory for this payment method
Associated Inputs: pay_method_type, bill_agreement_id
Additional Comments: The pay_method_type is "29" and the bill_agreement_id is null.
23013: Invalid usage threshold applicability
Associated Inputs: usage_threshold_applicability
Additional Comments: The usage_threshold_applicability is not in, "ut" or "up".
25001: failed to calculate taxes
25003: Provided inventory item is not bundled with the Plan definition
Associated Inputs: client_sku
Additional Comments: You have entered an invalid inventory item.
25005: Inventory item units must be equal to or greater than the minimum quantity defined in the Product Catalog
Associated Inputs: item_units, plan_no, client_plan_id
25006: Total inventory item units must equal the number of Plan units assigned
Associated Inputs: item_units, plan_no, client_plan_id
25007: Inventory item units must be equal to or less than the maximum quantity specified in the Product Catalog
Associated Inputs: item_units, plan_no, client_plan_id
Additional Comments: The NSO type is individual and the item_units is less than the maximum quantity specified in the product catalog.
25010: One or more provided inventory items are Inactive.
Associated Inputs: client_sku
25020: Illegal characters entered
Associated Inputs: All character field inputs like firstname lastname, dunning_group_name, comments, etc.
25023: Primary payment method is required.
Associated Inputs: pay_method_type, pay_method_name, client_pay_method_cdid,bill_agreement_id
Additinal Comments: There must be a primary pay method before setting up a secondary pay method. When the primary pay method is removed, then the secondary becomes primary.
25025: Backup pay method cannot be different than primary pay method
Associated Inputs: new pay_method_type, primary_payment_method_no, backup_payment_method_no, client_primary_payment_method_id, client_backup_payment_method_id
25026: Primary pay method cannot be different than backup pay method
Associated Inputs: new pay_method_type, primary_payment_method_no, backup_payment_method_no, client_primary_payment_method_id, client_backup_payment_method_id
25030: When override_bill_thru_date is specified, alt_bill_day cannot be used.
Additional Comments: override_bill_thru_date, alt_bill_day
25031: When override_bill_thru_date is specified, status_until_alt_start cannot be used (defaults to Inactive).
Associated Inputs: override_bill_thru_date, status_until_alt_start
Additional Comments: If override_bill_thru_date is given, then the status_until_alt_start must be NULL.
25032: The override_bill_thru_date must be in the future, must be after the alt_start_date, retroactive_start_date, or effective_date (if provided), and cannot exceed one recurring billing interval in the future.
Associated Inputs: override_bill_thru_date, alt_start_date, retroactive_start_date, effective_date
Additional Comments: Override_bill_thru_date is before alt_start_date, retroactive_start_date, or effective_date.
25033: When override_bill_thru_date is specified, invoicing_option must be configured to be Perform Prorated Invoicing.
Associated Inputs: override_bill_thru_date, invoicing_option
25043: Primary payment method does not support secondary pay method.
Associated Inputs: new pay_method_type, primary_payment_method_no, backup_payment_method_no, client_primary_payment_method_id, client_backup_payment_method_id, pay_method_type
Additional Comments: The primary_client_payment_method_id is not 1, 2, or 13) and the backup_client_payment_method_id is not null.
25044: Secondary payment method type must match the primary.
Associated Inputs: new pay_method_type, primary_payment_method_no, backup_payment_method_no, client_primary_payment_method_id, client_backup_payment_method_id
Additional Comments: The backup_client_payment_method_id is not 1, 2, or 13.
26012: Invalid client-defined billing group ID.
Associated Inputs: client_billing_group_id
26014: Invalid client-defined dunning group ID.
Associated Inputs: client_dunning_group_id
26019: Provided primary payment method idx or primary payment method client defined id is invalid
Associated Inputs: primary_payment_method_idx, primary_client_payment_method_id
26020: Provided secondary payment method idx or secondary payment method client defined id is invalid
Associated Inputs: backup_client_payment_method_id, backup_payment_method_idx
26021: Invalid billing group idx
Associated Inputs: billing_group_idx
26022: Invalid dunning group idx
Associated Inputs: dunning_group_idx
26024: The account status provided is not supported when your client parameter Account_EOM_Enabled is set to True.
Associated Inputs: status_cd
26025: Invalid billing group idx or client-defined billing group id. Each Master Plan being assigned must be associated with a billing group.
Associated Inputs: billing_group_idx, client_billing_group_id
26026: Invalid dunning group idx or client-defined dunning group id. Each Master Plan being assigned must be associated with a dunning group.
Associated Inputs: dunning_group_idx, client_dunning_group_id
26028: Duplicate Plan instance index in input
Associated Inputs: plan_instance_idx
Additional Comments: The same plan_instance_idx was submitted twice.
26031: Client payment terms id not found.
Associated Inputs: client_payment_term_id
26032: Payment terms is not available for the account.
Associated Inputs: payment_terms_no, payment_terms_name, client_payment_term_id
Additional Comments: The payment_terms_no must be mapped to the acct_group_no.
26034: Payment terms not found.
Associated Inputs: payment_terms_no, payment_terms_name, client_payment_term_id
26035: Invalid Payment option.
Associated Inputs: payment_option
Additional Comments: The payment_option is not "TERMS" or "METHODS".
26036: Payment Terms Required.
Associated Inputs: payment_option, payment_terms_no, client_payment_term_id
Additional Comments: The payment_option is "TERMS" and the payment_terms_no or client_payment_term_id was not entered.
26037: EAN GLN number and EAN GLN requisition numbers are required for EAN GLN Payment Terms.
Associated Inputs: payment_terms_no, payment_terms_name, client_payment_term_id, ean_gln_num, ean_gln_requisition_num
Additional Comments: The payment_terms_no is valid and requires that ean_gln_num and ean_gln_requisition_num values are entered, but these values were not entered.
27004: invalid Plan unit instance id
Associated Inputs: client_plan_unit_inst_id, new client_plan_unit_inst_id
27005: The service provided is not a fulfillment based service.
Associated Inputs: service_no
Additional Comments: The entered service_no must be a a fulfillment based service.
27007: The fulfillment date should not be provided before account creation date
Associated Inputs: fulfillment_directive, service_fulfillment_date, acct.created
Additional Comments: The fulfillment_directive is immediate and service_fulfillment_date is before the acct.created date.
27015: Plan Unit Instances is not supported because your client parameter Enable Plan Unit Instances is set to False. Please contact Aria Customer Support with questions about the Enable Plan Unit Instances client parameter.
Associated Inputs: plan_unit_instances_row
Additional Comments: The plan_unit_instances_row is not null and the client parameter "ENABLE_PLAN_UNIT_INSTANCES" is false.
27016: Since this account does not have a retroactive start date, the service fulfillment date must be the same as the current date when fulfillment_directive = 1.
Associated Inputs: fulfillment_directive, service_fulfillment_date
Additional Comments: The fulfillment_directive is immediate (1) and the service_fulfillment_date is not the current date.
27017: Eligible service no/service id is required when Eligible fulfillment date/fulfillment directive is specified.
Associated Inputs: service_fulfillment_date, fulfillment_directive, client_service_id, service_no
Additional Comments: Service_fulfillment_date and fulfillment_directive were entered and the client_service_id or service_no was not entered.
27018: Whenever fulfillment_directive = 1 is used, all service fulfillment dates provided for the fulfillment-based services associated with a given Plan instance must be the same date.
Associated Inputs: service_fulfillment_date
Additional Comments: The service_fulfillment_date must be the same for all unit instances.
27019: Invalid fulfillment directive as the account start date is in future.
Associated Inputs: fulfillment_directive (1), alt_start_date
Additional Comments: The fulfillment_directive is immediate (1) and alt_start_date is in the future.
27022: Since this account has a retroactive start date, the service fulfillment date must be on or after the account's retroactive start date and on or before the current date when fulfillment_directive = 1.
Associated Inputs: fulfillment_directive, service_fulfillment_date, retroactive_start_date
Additional Comments: The fulfillment_directive is immediate (1) and service_fulfillment_date falls before the retroactive_start_date.
29001: The service location provided is not valid.
Associated Inputs: svc_location_no, item_svc_location_no
Additional Comments: The given service location is not available for the client.
29002: The client service location id provided is not valid.
Associated Inputs: client_svc_location_id, client_item_svc_location_id
Additional Comments: The given service location ID is not available for the client.
29003: The service location provided has been disabled or deleted and cannot be associated with a Plan instance.
Associated Inputs: svc_location_no, item_svc_location_no
Additional Comments: The given service location must be active.
29004: Provided contact idx is invalid.
Associated Inputs: contact_idx, bill_contact_idx, stmt_contact_idx, dest_contact_idx, item_dest_contact_idx
Additional Comments: When there is no matching map index available for acct_contact_idx, contact_idx, bill_contact_idx, stmt_contact_idx, dest_contact_idx, item_dest_contact_id, this error occurs.