Feature

To allow screen/controls to be disabled for Admin roles in SM module


Enhancement

Item Import and Vendor Import: On updating any fields, it should write to the Audit Log
Reverse changes in MFT-767
Broker account screen - user must select to date so that commissions are populated in 360


Bug

Calculated Gross price is not correct
Future month is not updating properly during slice
User role screen permission is not working for Document managment screens
Voucher > from Settle Storage - Incorrect Debit and Credit values for Storage Fees
Voucher > from Settle Storage - Discounts with Disc Charge Type of Percentage used AP Clearing account
Voucher > from Settle Storage - incorrect GL entries recorded in GL Account Detail
Item change: Feed table for the modified record feed status is not changed
Traceability - After a lot split, there is no lot traceability for the destination lot
Performance improvement for generating Outbound transactions
OR - Gas Report Sch 2 has duplicate transactions
OR - Gas Report Schedule 2 is not displaying transport load transaction when Customer Ship to State <> OR
TC-1 coverage report - if user selects a book , show only the sub books connected with that book
TC-2 Match derivatives - When user clicks on offset for the selected trade - the trade is for Dec 18 but the month reflected on match screen is dec 19
Periodic clearing house report- "Todate" is filter is not working
[Future 360] Unrealized Tab doesn't reflect transactions
[Derivative Entry] Internal Trade No doesn't automatically generated
[Future 360-TC2] Future 360 Issues
TC-2 Coverage report not loading data
Invoice - Cannot Post Debit Memo

 

 

 

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