| Daily Position Report: Drill Down Changes |
| Risk by type- Futures is showing the double value |
| Risk position Inquiry- Data is not loading |
| Physical P&L by Sales contract- Future impact screen is not populating any value |
| Position Report - Commodity Label is not changing when printing the report |
| Position Report - Position wrong when Contract is short closed |
| Delivery Month Blank on Drill Down |
| Contract showing in the wrong bucket |
| Contract is wrong on the position |
| Position Report - Sales Basis is incorrect if shipment is made after the Contract is Priced |
| Position Report - Company Titled on First Screen Doesn't Match the Detail Screen |
| Position Report Detail - Net Physical Position Purchase Basis Delivery |
| Future 360 - Visualization View - Combined position by trading month by market |
| Completed Contract showing on DPR |
| Contract in the wrong month and wrong qty |
| Physical P&L by sales contract- supplier invoice value is going wrong |
| Pre-Crush Position Detail - Contract in wrong month |
| Pre-Crush Position Detail - Company Owned Drill-down is incorrect |
| Customer Position Detail - Displaying Net Payables |
| Position Report - Purchase HTA and Sales HTA contract are duplicating |
| Position Report - New commodity created is not showing in the report |
| Position Report - Settlement and Unposting Settlement will double the DP settlement in Company Title |
| [PreCrush] Sales in Transit is missing |
| Position Report - CT balance does not show transaction while the the DPR shows data |
| [Future Market] Alert on successful generation of future/option months is missing |
| [Future Market] Cannot add additional future/options month. |
| Error on SQL Script deployment on SQL 2008r2 |