CT-6745 | HDTN-269407 - Remarks filed in Contract Print not displaying correctly |
CT-6524 | [Summary Log] Incorrect Quantity After Deleting Pricing Layer |
CT-6766 | HDTN-269672 - Contract Text - Should not be requiring pricing type |
CT-6618 | Program Fix - Incorrect pricing type after slicing sequence |
CT-6622 | Program Fix - No PBD entered for the unpriced qty settled on storage |
CT-6833 | [DPR Summary Log] - PBD is entered for Priced contract after ticket was settled to storage |
CT-6774 | HDTN-269754 - Approval rejection is popping up irrelevant messages |
CT-6816 | [Search Contract] HDTN-269986 - System is allowing to cancel sequence when it is already allocated to p or s-contract |
CT-6638 | Program Fix - [Summary Log] No Logs For Changed Qty after Re-opening Contract |
CT-6159 | CT - M2M open qty exceeded lots if the contract is rolling to another month |
CT-6798 | HDTN-269986 - System is allowing to cancel sequence when it is already allocated to p or s-contract |
CT-6606 | [Summary Log] Purchase Basis is Logged After Undistributing Ticket for Purchase Priced Contract |
CT-6727 | HDTN-268920 - speed and performance of contract grid and screen |
CT-6583 | [DPR Summary Log] - Incorrect Bucket after unposting/reposting Inventory Shipment |
CT-6713 | [DPR Summary Log] - Purchase DP bucket shows incorrect Action |
CT-6528 | Sales Basis Deliveries is recorded for priced HTA |
CT-6534 | CLONE - 20.1 - [Load In Ticket] - Voucher Was Posted upon Distribution of Ticket |
CT-6621 | [DPR Contract Balance] - Incorrect after updating qty of the HTA Contract |
CT-6632 | DPR Summary Log - Incorrect Action and Transaction Type for Create CM |
CT-6689 | [DPR Summary Log] - Purchase DP bucket shows incorrect Action and Transaction Type |
CT-6675 | Remove DMS deletion when clicking the Email > Contract |
CT-6598 | Contract - In Details tab the column Shipment Status does not show 'Inbound Transit' |
CT-6590 | HDTN-267711 - Price fixation clause to be changed in the Contract document |
CT-6539 | HDTN-267194 - System didn't trigger approval on saving the contract |
CT-6547 | HDTN-267242 - System didn't trigger approval on changing the quantity and price for P30731 |
CT-6512 | [Summary Log] No quantity in Sale Basis/Priced after editing pricing layer |
CT-6702 | [DPR Summary Log] - Incorrect value for remove sequence |
CT-6504 | Price Contract for HTA Not Showing in Price Contract Search Screen |
CT-6587 | [Price Contract] Lots Not Calculated After Second Pricing of Contract |
CT-6724 | [DPR Summary Log] Logs Entry For After Modifying Vendor Ref |
CT-6604 | [Price Contract] Cash and Final Price are Not Calculated if Basis is Not Changed |
CT-6543 | Price Contract for HTA Stays in Edited Status When Saved |
CT-6502 | Incorrect Basis After Partially Pricing HTA Contract |
CT-6401 | uspCTUpdateScheduleQuantity is returning a validation message but not fnCTValidateInvoiceContract. |
CT-6422 | [Summary Log] Quantity is displayed under Sale Priced bucket after reopening the sequence for basis contract |
CT-6518 | [Summary Log] No PBD entry after deletion of pricing for contract with applied quantity |
CT-6432 | [Summary Log] No SBD entries if pricing type was manually changed before ticket distribution |
CT-6424 | [Summary Log] Incorrect action description in Sale Priced/SBD bucket after ticket undistribution |
CT-6429 | [Summary Log] Incorrect entries upon changing manually the sequence pricing type from "Priced" to "Basis" |
CT-6469 | [Summary Log] Incomplete entries after redistribution of ticket |
CT-6414 | [Sequence] Incorrect balance/applied quantity after short closing the sequence |
CT-6406 | [Summary Log] Incorrect Sales Basis/Priced after removal of pricing layer |
CT-6446 | Amendments and Approvals - Changing Cash Price triggers the approval process but no record in Amendments tab |
CT-6280 | Incorrect hedge lots in Assigned Derivatives screen after slicing the contract. |
CT-6411 | Cannot Save and Print Contract After Entering Print Remarks - Console Error Encountered |
CT-6399 | Contract screen failed to load data |
CT-6497 | Assign Derivative - Hedge Lots is incorrect |
CT-6334 | Contract Balance Issue ( Code Fix) |
CT-6430 | [Sequence] Able to change pricing type from "Basis" to "Priced" for contract with applied quantity if screen was not initially closed |
CT-6243 | Price Fixation is not logged for contract 6460-1 for HTA contract |
CT-6465 | HDTN-265514 - Investigate cause Contract Balance discrepancy returned by LG Health checkup queries |
CT-6439 | HDTN-266564 - change of price and futures month did not trigger approval |
CT-6495 | DMS file from email is not available on the BU |
CT-6405 | [Summary Log] Incorrect action description for Sale Basis bucket with Inventory Shipment transaction type |
CT-6420 | [Cancel] Allowed to edit existing pricing for cancelled sequence if price record screen was minimized |
CT-6403 | [Summary Log] Display a log for uncancelled sequence after cancellation of other sequence |
CT-6413 | [Summary Log] Entry is under Sale Priced after undistribution of ticket with basis contract |
CT-6445 | Change of Priced Quantity creating wrong logs |
CT-6407 | Program Fix - Unable to cancel DP Contract |
CT-6549 | CLONE - Zeeland: Incorrect Values in Invoice After Posting DWG with QTY greater than the Ticket |
CT-6336 | Contract Balance Issues (Wrong Pricing Types) |
CT-6596 | [Summary Log] Displayed a Purchase Basis/Priced quantity after deletion of pricing for short-closed sequence |
CT-6418 | HDTN-266414 - DPR showing contracts in wrong bucket |
CT-6353 | Program fix - Contract Balance - Sales Basis Delivery in DPR does not match the Basis Deliveries in Price Contract |
CT-6337 | Contract Balance Issues (Short Closed CB Log duplicate) |
CT-6369 | [Contract] - HTA Contract Balance Log issue |
CT-6485 | [Contract Balance Log] - Wrong Pricing Type after pricing sales basis load based contract |
CT-6617 | [Summary Log] Displayed a quantity in Sale Basis/Priced after pricing deletion for short-closed sequence |
CT-6293 | [Contract Balance] - incorrect Futures Price |
CT-6488 | [Jenkins Test] Risk Management: ZEI_T70 - Rolling Purchase HTA Contract effect on DPR (UNSTABLE) |
CT-6552 | [Pricing HTA] - Basis not displayed in Contract |
CT-6650 | 20.1 - Minimize button appears in Price contract screen |
CT-6491 | Missing log when Sale Unit contract is manually priced |
CT-6535 | [DPR Summary Log] - Additional SBD with 0.00 value is entered |
CT-6592 | [Summary Log] No PBD entry after posting IR for partially priced contract |
CT-6306 | [Contract Balance] Incorrect contract balance after invoice return |
CT-6505 | 20.1 - Pricing Type is incorrect in Contract Balance |
CT-6627 | HDTN-267998 - Rolling contract changed basis on previously priced loads |
CT-6460 | No Data Pulled in Contract Balance if Filtered with "To Date" Only |
CT-6646 | Changing the price qty logs PBD in DPR summary log |
CT-6667 | 20.1DEV - DPR Summary Log - Cancelling a sequence resulted to an extra record with 0.00 Qty |
CT-6492 | Missing log when Purchase Unit contract is manually priced |
CT-6679 | [Summary Log] Incorrect Action for Updating Price Contract |
CT-6668 | Unit Contract - PBD logs is display after ticket distribution |
CT-6673 | 20.1DEV - [Summary Log] Incorrect action description in SBD bucket after ticket undistribution for basis contract |
CT-6371 | Purchase Basis Deliveries Discrepancy in 19.2 vs 20.1 Zeeland DPR |
CT-6687 | DPR Summary Log - SBD did not display in Basis Deliveries tab after re-opening the sequence |
CT-6711 | [Inventory Receipt-Voucher] Unable to generate voucher for partially priced contract |
CT-6681 | [Summary Log] Purchase Basis Deliveries is Logged After Distributing Ticket for Priced Purchase Ratio Contract |
CT-6694 | DPR Summary Log - Incorrect QTY after deleting the priced in contract |
CT-6682 | Seq 1 Pricing Type Changed from Priced to Ratio After Cancelling Seq 2 |
CT-6683 | [Summary Log] Incorrect bucket qty and contract balance after deletion of pricing for DWG contract |
CT-6680 | Decimal Discrepancy for Unpriced Lots After Slicing Sequence |
CT-6238 | CLONE - HDTN-264689 - Ratio Pricing in Rapid Contract Entry |
CT-6214 | HDTN-264689 - Index Pricing in Rapid Contract Entry |
CT-6342 | [Contract] - Cancelled contract is still allowed to be priced |
CT-6315 | HDTN-265458 - Price contract from Contract screen is opening for a different contract |
CT-6237 | Cannot Apply Vendor Prepayment |
CT-6320 | Voucher Prepayment - Amount Paid don't have values if the ticket has discount |
CT-6205 | CLONE - HDTN-264447 - System didn't trigger approval when Futures month got changed |
CT-6609 | HDTN-267840 - Purchase contract is not allowing to increase the sequence quantity after LS creation |
CT-6321 | Approval Porcess is Not Applied in Duplicated Contract |
CT-6286 | Futures months changed from Sep to Dec is related to this issue |
CT-6345 | CLONE - [Contract] Incorrect Number of Containers after Slicing Contract |
CT-6309 | CLONE - HDTN-264999 - Changes on "Provisional P&L" in sequence is not showing in Audit Log |
CT-6355 | HDTN-265497 - Voucher is not saving while opening existing voucher and values are modified |
CT-6285 | Contract Screen Not Refreshed After Pricing Contract |
CT-6325 | Unable to change the commodity of the contract items after importing |