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Bug
| CLONE - CF Batch Posting: Some transactions are tried to post twice. |
| POS: Post return, the screen not coming back to main screen |
| CF Batch Posting: Some transactions are tried to post twice. |
| POS: Return transaction |
| POS : END OF DAY is calculated wrong |
| POS: Unable to pay transaction if it was previously on hold. |
| Cannot export Excel with "object reference .." error |
| IN - GT103 report is broken by the patch provided in MFT-1288 |
| TC-2 issues with coverage report |
| Unable to Print reports from coverage inquiry and average price is incorrect |
| Futures 360 - doesnt load data |
| Coverage inquiry- Report is not loading |
| Sourcing report - Cash contracts to be included in sourcing report |
| Ticket - Description and Resolution are disappearing |
| Adjustment - shows wrong Available qty |
| Settle Storage - Negative Discount entries are wrong |
| Traceability: Unable to see the traceability for lots having more transactions |
| Contract: Slice with multiple sequence, system is not sending the feed |