| Contract - Approval flow is not getting triggered when only contract item is changed |
| HDTN-264750 - System prints incorrect document in the contract search screen |
| Contract - Basis component entry fields changes order |
| [Contract] - Components without rate is no longer displayed in Other Cost tab |
| Overview - LS/LSI doesn’t show in Overview |
| HDTN-264749 Unable to save the contract |
| HDTN-262833 - Incorrect billed qty in the voucher screen and creating a voucher from inventory receipt screen |
| HDTN-263687 - Unable to save contract sequence when creating a new sequence. |
| HDTN-263610 - Pricing info blank in the contract header and seq after auto pricing from assign derivative screen |
| HDTN-264884 - Futures price is wrong during auto price fixation after assiged futures and purchase contract |
| HDTN-263605 - Quantity is not calculating for commitment sales (futures only contract) |
| Contract - Quantity cannot be reduced below price fixed quantity |
| HDTN-264745 - Price basis is incorrect in the contract document |
| HDTN-264547 - Reference Pricing UOM is blank after save and close and reopen the screen |
| Contract - Missing basis component error |
| Contract - After entering vessel details not able to save the contract |
| HDTN-265072 - Storage location is mandatory but it is blank after changing company location and save it |
| HDTN-263603 - Contract sequence No is missing in the contract release instruction document |
| HDTN-263604 - Contract Sequence Start Date and End Date are not updated after slicing it |
| Contract - Basis component not saved correctly |
| Saving Updated Contract is 14 seconds slower |
| [Contract] Incorrect Number of Containers after Slicing Contract |
| [Contract] - Incorrect schedule and available qty |
| CLONE - Contract search screen "Approved" is unchecked when contract is Approved with modifications |
| [CT] Approval Status Changed to "No Need for Approval" after Modifying Vendor Ref |
| Error Upon Printing Contract |
| [Contract Balance] Incorrect futures price and cash price after full pricing the contract |
| Contract Overview took 3 seconds slower to Export Contract Overview |
| [CT] Contract Print took 20 seconds to load |
| Contract took 4 seconds slower to Export Contract |
| Contracts - Details Tab encountered Server Time Out |
| [Contract Balance] Quantity is being double in contract balance |
| UOM reflects incorrect in Pricing |
| Duplicate entry of derivatives in Transaction History tab |