Bank Transaction: Status are in correct
GL Reallocation - Changes did not reflect on Audit log
HDTN-286059 - SAP to iRely : STOCK_CREATE
HDTN-276207 - Acknowledgment Feeds (PO, LSI, LS)
HDTN-276210 - Failure Mail Setup (PO, LSI, LS) to configured mail Id’s
Inventory Adjustment - Internal Server Error when Importing the Opening Balance
Load / Shipment Schedule - From LSI the computed PAD is not displayed in contract CLOSED