Enhancement

OR - XML changes
OR - Exclude CF Trans whose Type = Extended Remote
POS: ADD on ITEMS are not working

Bug

Invoice History > Running Balance Remittance Page is not correct
CF Invoice History > Print is showing discount break down excessively
Contract Screen: Sequence grid layout is taking more time to load.
* marks are not showing for mandatory fields in Contract sequence and Price contract screens
[Maintain Storage] - Displays -0 in Running Units column if full net units was settled
Rebuild failed - Return date warning
[Voucher] - Cannot create voucher
Position Details: Contracts display by futures month should be by delivery month
Risk position inquiry- Unfilled trades should not show in the risk position inquiry
[DPI] Remove running balance on Inquiry by detail - Ownership Change
POS : Return receipt is not displaying negative
POS : Payout (-) qty transaction
POS - Freight Term / Tax point
POS: Cash returns with negative qty is not being updated
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