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titleContract Management
Future month is not updating properly during slice
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titleFramework
User role screen permission is not working for Document managment screens

 

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titleGrain
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
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titleIntegration
Item change: Feed table for the modified record feed status is not changed
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titleManufacturing
Traceability - After a lot split, there is no lot traceability for the destination lot
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titleMotor Fuel Tax
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
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titleRisk Management
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
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titleSales AR
Invoice - Cannot Post Debit Memo