Versions Compared

Key

  • This line was added.
  • This line was removed.
  • Formatting was changed.

Bugs

Expand
titleCard Fueling
801
Index Pricing > Require FieldsCLONE -
Transaction Grid > Failed to Load when searching
836
Import Transaction > Missing Vehicle #
Gzip is not working properly
837CLONE - Some transactions are not showing on invoice report
Import Multiple Files showing errors from prior imports
Could not get Local Index pricing to take for Allen County Purchasing
Expand
titleCash Management
1448
CLONE
- Vendors showing missing check record detail
- HDTN-189041 - i21 PGPipeline - Cash Management does not reflect the proper GL account as of 11/30
CLONE - No Data to Export Error on Bank Account Register
Not allowing inactive ACH accounts
Expand
titleContract Management
878
Add Futures Market in Price Contract search screen
Short created from Price Contract is not updating dtmCreatedDateTime field in futures table
Roll contract screen does not load all contracts
Slice sequence is not working
Roll contract screen does not load all contracts
Slice sequence is not working
vyuCTAssociatedFutOptTransaction should show matched lots: -
Contacts are not loading in contract screen
Expand
titleCRM
Campaign navigation bug
When we search for sales people from the opportunity screen you see duplicate enteries.
Date exported from dashboard to excel is showing as string
Expand
titleDashboard
Dashboard panel drill down gone for users with access rights to that panel
Dashboard not returning Data
Expand
titleDashboard
 Dashboard Excel Export Bug
 
Expand
titleFramework Components
12Numbers are treated as string when it is exported to excel
Users cannot delete comments
Can't export any type of file from search screens
Expand
titleGeneral Ledger
Not automatically selecting account when typing in full
Reverse Date is incorrect in GJ Duplicate
Closed Entries Are Not allowing to Duplicate or Export
Expand
titleGrain
Discount Schedule - Unable to move Discount up or down
Ticket Entry - Shrink Discount calculation
Storage - Filter by Portal User
Change the label to Price Date and the control to Date field
Contracts in Settle Storage Screen will not load due to SC-444 and SC-494 changes merged to 16.4RC
On selecting
Expand
titleInventory
On selecting
Expand
titleInventory
the sub location, or while entering gross or net weights, scrollbar moves to left
IR Replicate Balance Lots - Cannot Post when there is a tare amount
Shipment - Is allowing 'Other Charges' items to be added in item grid and throws posting error
Inventory Receipt- Lot details is missing after entering .
3016Line total and total is not converting to main currency in Inventory ReceiptWrong Inventory - 1025 FG PKG and In Transit amountsIR UOM Conversion - Wrong Debit and Credit amounts
Item -> UOM - Validate Unit Qty for inventory items. Should not be the same unit qty
Currency is not defaulted from Customer setup to Other Charge item
Price Method is Amount, Rate is 150.00
System is not getting the lot status from item configuration on receipt complete