NON_CASH_ADJUSTED
Can anyone help me to understand what this error message means after execute a posting?
2 events generated a recoverable failure.                                                                                           
    673693 NON_CASH_ADJUSTED                   330629 Program error occurred while retrieving information from the base             
                                                      query table.                                                                  
                                                      Please contact your system administrator.                                     
                                                      Additional information :                                                      
                                                      Table name : AX_AP_INV_DISTS_V                                                
                                                      Table alias : CAXAPINDIV                                                      
                                                      Where clause : INVOICE_DISTRIBUTION_ID =                                      
                                                      Send_message returned ORA-01403: no data found                                
                                                                                                                                    
    694295 CASH_ADJUSTED                       216925 The distribution plan ROUNDING did not return an accounting key               
                                                      flexfield identifier.                                                         
                                                      Please revise the plan definition in the translation scheme that              
                                                      corresponds to this event type.  
Just need to inform that we 're on ebs 11.5.9