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Manufacturing

Expand
titleManufacturing
CLONE - Yield view is calculating incorrectly for output item
System sends EDI 945 feed even if SSCC # is blank
CLONE - Receipt number is updated incorrectly
CLONE - Line item is missing if consumption method is by location in the work order staging
Incorrect Quantity on Pick Ticket
System is not allowing to produce a pallet if remaining Qty is below cases per pallet
Transfer location wrong on closed orders
No UOM for available qty
Stock Details grid is not showing value
Work order quantity is not reflecting correctly in the Work Order - Recipe Tab
System is not fetching no of labels from process attribute
Error on deployment script (New Company and Origin Base)
Error on 18.3DEV SQL Script deployment
18.3 Dev Sql Script Failing
18.3 Prod Sql Script Failed
PP Consume - Incorrect qty is displayed in PP consume screen
Application is not allowing to stage using handheld
Reason - Should fetch only active reason codes
Unable to pick a pallet thorough scanner application if the scanned pallet is available multiple same storage location name and different sub location
Application is not allowing to add pallet when task is available but not loaded
Common - Unable to differentiate Storage Units, if same name is shared among multiple Storage Units that belonging to different Storage Locations
Transfer to location is not considering categories allowed restriction set at storage unit or storage location level
Bulk Produce - Unable to hide columns in Produce and Consume grids
System is not allowing to choose item and enter Qty in the consume screen
Pallet is not merging with the existing pallet if merge on move is true
Work Order Management - Qty is not displayed for output items in Recipe tab of work order management screen
Consume and Produce Screen - Reading qty and UOM fields should not be displayed
Hide the quality related columns in the Transaction view
Unable to see cycle count status in the work order search grid
Incorrect cost adjustment when user produces items with different unit of measure
System is not allowing to produce a lot if the input item is item tracking and storage location and unit are blank
Application is allowing to complete the Task for Non lot-tracked Item
System is allowing to consume a pallet that produced from other another process and its cost is zero
PP Produce - Qty field should show Item's cases per pallet value
Load Shipment Schedules are not displayed in the Traceability.
CLONE - System is not allowing to produce a lot if the input item is item tracking and storage location and unit are blank
Traceability: Clicking on Outbound Shipment icon, system is loading Load Shipment Schedule screen but it is failed to load data
Company Preference is not working for Test Report Comments

Motor Fuel Tax

 

Expand
titleMotor Fuel Tax
Received "Timeout" error when exporting Excel with large data
Deployment error 18.3Dev
Unable to generate IN EDI File
Unable to open generated PA csv file
Billed Gallons is not being converted
No records display on L-2176 14A Schedule
18.3Dev Build#158 Deployment failed on QC server
18.3 Unable to generate MI 3724 Efile
No SC EDI File has been generated
18.3 Error when clicking GT-103 XML tab
Unable to generate GT-103 XML file
Error generating SC EDI File
No records shown on generated OR XML File
18.3 NM - In Combined Fuel Report, Schedule 1, transactions do not report correct info
Incorrect filename with no data has been generated when generating PA E File
Unable to Generate correct EDI File
OR - XML does not have Company Contact and Address info
OR - XML does not follow XPath
OH - one transaction appears twice on Sch 7AMI
OH - Exporter Return Sch 7AMI has two Inventory Transfers that do not pass filters

Patronage

 

Expand
titlePatronage
Equity Payment - Should not pass NULL Ship To

Payroll

Expand
titlePayroll
w2 - Inactive employees with term dates prior to processing year should not show up on w2 screen - 18.3
Unable to open any screen in PR module
[Paychecks] Cannot post paycheck with different WC Code
[Create Payable] Cannot create voucher from paycheck
[Paychecks] Cannot post paycheck when one earning has no WC Code
[Electronic SUI] Screen not opening

Purchasing AP

 

Expand
titlePurchasing AP
Average Cost calculating incorrectly Item 111216
[18.3] - [Vendor Import-Origin] Error with no message when converting vendors
[Basis Advance] - Ticket Rows and Vouchers Duplicated
Pay voucher details Vendor override
Vendor - 1099 Vendor - even if 1099 flag is set to no print 1099 PATR
Open AP clearing Report and Open AP clearing Report Details show vouchered receipts
"Group by with Totals" not working on the Voucher Checkoff Detail screen
Bank Account shows in red
18.3 - [Voucher Entry] - Discount % creates unusable GL Entries
[Voucher Entry] - Post a voucher then unpost and edit it, it will not post again. It just says "Please Wait"
PO prints without approval
Inbound Tax Report - Missing Vendor Name
Failed in upgrading database
Error on 18.3 SQL Script deployment
[Voucher] - Failed to open existing vouchers
[Voucher] - Failed to Load
[Future Broker/Vendor] - New Record cannot be added
[Vendor Search]- No Vendors are displaying
[Purchase Order] Tax doesn't compute
[Vendor] Newly setup of Vendor EFT details doesn't displayed on the search screen of EFT Information Tab
[Vendor Pricing] Cannot Import vendor pricing due to console error
[Voucher/Checkoff Detail]Debit and Credit are not balanced.
[AP] - Failed to load on latest DEV 18.3 build #114
[Ticket-Open Storage] Cannot Settle Transaction
[Basis advance] unable to create advance
18.3DEV Sql script error in vsts
Error on SQL SCRIPT Build compilation
Error on SQL Script deployment
Voucher - Invoice no is required but the field is disabled
Cannot Process Voucher for Purchase Contract for Bundle (Option Type) using voucher button of IR
[Voucher Batch] unable to create voucher entry
Unable to distribute ticket
AP - Script Merge 18.1DevF to 18.3Dev
[Purchase Order] Cannot process PO.
[Ticket] - Cannot undistribute ticket 2
[Pay Voucher Details] Cash refund transaction is not visible
Error in creating Pay Voucher using uspAPCreatePaymentData
Contract > Priced - Forex Rate used in Voucher is from Contract
Contract > Priced - Tax computed in Voucher is wrong
[Pay Voucher Details] Cannot Post Cash Refund Transaction. Missing Entries on Post Preview.
Contract > Priced - Cost in Voucher is wrong
Pay Voucher - Amount Paid and Payment field for Basis Advance are showing 0.00
Incorrect GL entries returned by AP's CreateClaimARGLEntries function
Voiding a foreign payment transaction resulted to unbalanced AP and GL
[Voucher] - Other charge of freight from ticket does not list scale ticket number.
[Purchase Order- Audit Log] Updated entries doesn't have audit log
[Pay Voucher Details] Cash refund transaction from sales cannot proceed on payment.
Basis Advance - Discount and Charge is wrong
Pay Voucher Details - posting payment for Basis Advance resulted to unbalanced AP and GL
Error building SQL Scripts in 18.3Prod
Voucher Checkoff Report Displays incorrectly
Negative Cost Pricing Basis Contract
[Voucher] - Incorrect amount applied
Voucher - Could not enter Invoice No,
[Open Clearing Details] Voucher duplicate accounts and amounts on post preview . Transactions cannot be posted.
Charge for Third-party vendor not showing in Add Payables screen
Script Build Error DEV/Prod
[Voucher] - Voucher Posting sp issue.
18.3PROD SQL Script Failure
The UOM of the voucher created from price contract is blank
[Ticket] - Error undistributing ticket
Cannot distribute Direct In Scale Ticket
[Basis Advance] - Incorrect Advance Calculations
[Price Contract] - Cannot save price contract: Foreign Debit and credit amounts are not balanced.
[Voucher] - Ordered and Billed Qty is displaying wrong
Expand
titleLogisticsQuality
Quality Sample - Date and Time Stamp of Received date should show according to the client time zone
COA Report - lot number not getting displayed in the report
Parent Lot Id column is missing in the quality view and lot quality view
Lot quality View - Party name column is missing
Quality View: COA Report is incomplete, so hide this button
Sample Entry: Shipment Number drop down should have additional columns
CLONE - Sample Entry: Shipment Number drop down should have additional columns

 

 
Expand
titleEntity ManagementReport Manager
intSrCurrentUserId is NULL when report is exported
CLONE - [Sales Trend Report] No report is displayed upon generating
Date format not applied to sub reports

 

 

Expand
titleRisk Management
Matching futures
[Position Report] - Sales In-Transit
Vendor Position Detail - In house is off by On hand qty in DPR grid
Position doesnt refresh when the value in position includes is changed
Void tickets are reflecting in position report
Net hedge - reflected incorrectly
DPI screen - location goes blank
[Daily Position Inquiry] - Loading issues
Delivery sheet - only first ticket is showing in DPR
Sales in transit number is incorrect
Balance inventory logic not working properly
Failed deployment of 18.3DEV Build: 18.32.0419.30
18.3 SQL Script Build Error
Future Trading Months - Activities not working on Future Trading Months
Script deployment error
Script building error
Match Derivative - Match button is disabled though with valid short and long transactions
Derivative Entry - Location issue when OTC is selected
Futures Options search screen is showing failed to load data in LDC Demo
Mach Derivatives - Selected lots are no longer available for matching in Realize transaction
Futures 360 - Futures trades is not showing on Future 360 if the Derivative Entries have previous Roll Transaction
Derivative Entry - Cannot save OTC transaction
Company Configuration - Unrealized Gain on Basis is not taking effect
Risk - Error on uspRKSyncCommodityMarketAttribute
Brokerage Account - Commission Detail does not save detail
SQL Script Merge conflict - 18.1DEVF to 18.3DEV
Risk Management - Failed to Load screens on most of the Risk Screens
newly added Derivative entry is not adding in to history table
Company Configuration - Missing GL Account defaults for Ratios
Mark to Market - Is not creating Reversal
[Position Analysis Report] Price Fixation has no details after pricing the contract
Mark to Market - M2M drill down does not work
DPI- Company ownership is not loaded in the details tab
Vendor Position Detail - is not working
Mark to Market - Error occurred when Loading in Mark to Market if Company is empty
Mark to market - Unrealized PL not loading
Consolidated P&L - Report is not loading data
18.3 - DPR Print doesn't match DPR view
Vendor Position Detail- Report does not display data
position report- Grain bank is not reflecting property for back dated
Position Report - Price Risk in the DPR is not the same with the Contract/Hedging Detail
Position Report - Deleted Entries is not showing in the report
Inventory Receipt > From Ticket - Cost is wrong due to wrong Futures Price
Derivative Entry - Cannot save new entry
RK - Script Error
Position Detail - Open Storage not adding the second ticket
Position Detail - Futures Derivative entries are added twice in Net Hedge
Position Detail - Price Risk is incorrect after doing Derivative Entries
Position Report- While distributing DP it is showing IR qty as well as DPqty - it should show DP qty only
[Daily Position Inquiry] Cannot Distribute Delayed Pricing
Position Detail - Price Risk, Basis Risk and Company Title are showing numbers
Position report- Sales basis delivery is showing double
Error on sql script deployment
Position Detail Report- ExceptionMessage=Arithmetic overflow error converting numeric to data type numeric. The statement has been terminated.
Position Detail - Does not show any data
Position Detail -Displaying Time out error

 

 

Expand
titleSales AR
Conversion - Right trim EFT account number
[Invoices] - Unable to Add Item on the Attachments tab
Reports - Accrual balance does not display the proper data and total
[Invoice] - Error On Attempt to Post Invoice
Conversion - Ship Via did not convert company owned and billed by other indicator
Invoice - Foreign currency should display if the
Sales Order Add On not work correctly
Sales Order - Non Auto Add Items are not adjusting with Ordered QTY
Realized gain or loss account in company config not set error pop up when processing multiple payment methods in POS
POS Item functions does not work
[Provisional Invoice] - Final Invoice Calcs The Wrong Amount Due
Sales Orders Not Displaying when selected from Tickets Screen
Sales Order - Auto Add & Non Auto Add Items Ordered QTY not adjusting when contract is used
Unable to drill down to debit memo
HDTN-214653 - Payment on the Invoice Grid
POS - item search - enter an item and press the find button - does not add to the grid,
Import Billable from Helpdesk times out at 30 secs.
Invoice - Add On Item Not adjusting to Shipped Quantity
Invoice displaying error message when posting
Sales Order not distributing - uspARApplyScaleTicketWeight
Priority **** - Tax Detail is Missing on all prior records
Cannot post payment due to invalid journal entries
Sales Order - Instructions tab - comments are staining
Payment receipt account balance is incorrect
HDTN-215267 - Sales AR needs - Force a cash sale entry
HDTN-215267 - Sales AR needs
HDTN-215267 - Sales AR needs
Invoice - Add On Item Not adding to contract overages
Invoice - Item for contract overages should be priced at zero
POS - save end of day
Auto Apply Credits - not applying to the proper prepaid contract
Unable to unselect contract (remove) in Sales Invoices
HDTN-215568 - POS - Remove modal mode on POS screen
Unable to Receive Payment against SI-1859 due to Debit and Credit amounts are not balanced
POS - Different items take different speeds to process
Tax Detail Missing from Batch Printing Invoices - Prints in Invoice Print
Digital Dispatcher Import > Inconsistent fields compared to manual entry
Unposted and deleted cash sales are not removed from undeposited funds
CF Transaction > Details > Not calculating taxes correctly
Customer Prepayment not calculating taxes when tax group selected
Customer prepayment not displaying in Undeposited Funds after posting of payment
Customer prepayment not displaying in Undeposited Funds after posting of payment - CLONE
Tax Exemptions are being applied to Cards that are Not Exempt
Unable to post invoices - Debit and Credit out of balance
Batch Printing Statement error on console - unsure if running or not
Batch Printing Invoices - Took 5 minutes to load 13 invoices
Calculate Service Charges by Customer Balance not considering grace period
We need to add indicator to include Write Off in Batch Printing statement type
Batch printing - Print Credit Balance uncheck still showing customer in detail tab
POS - Add the SI number to the POS Receipt
AR > Service Charge Invoice > Forgive Date
Cannot post specific transaction
Sales Order - Add-on list includes only one record when one item is used multiple times
Batch Printing - Print Credit Balance excluding credit transactions
Invoice incorrect from sales order without Contract
18.3Dev Script upgrade error
Invoice: Unable to unpost invoice
Newly created Sales Representative not shown on search screen
Provisional invoice - invoice total calculation is wrong.
SQL deployment Error
Error deploying in 18.3dev
18.3 SQL Script Publish Error
SQL Scripts - Merge conflict from 18.1 to 18.3
Duplicated Script on uspARPostInvoice
Customer - Unable to set EFT/ACH to active
Invoice - Amount due does not compute.
Data doesn't load on Create (Invoice)
[Invoice] - Different tax generated by Store Checkout and manual entry
Invoice - While creating invoice from the LS the Lots grid should not come. now it is not allowing to post
Entries for AR and Sales Account are missing
Sales Order: Unable to process to invoice
Invoice: Unable to process Provisional invoice
Customer: Unable to create/import a Transports Freight
Sales Order: Unable to create an SO
Error on creating sales invoice from load/shipment outbound
Import Billable from HD: Does not generate invoice
Sales Order: Unable to unship a partialy shipped SO
Portal User is able to view SO Details from other entities
Final invoice price is showing wrong while processing from the provision invoice
Invoice is not posting for dropship
[ Checkout ] AR - Unable to post manual checkout
Invoice: Unable to post Invoice
Receive Payments - Unable to Print, Unpost or open Unpost Preview tab
Customer - Web Portal Approvals with saved records becomes blank when screen is reopened/ refreshed
Sales Order - Screens become broken when processing SO to Invoice (customer exceeded credit limit and on 'Monitoring' code)
Import Transaction From CSV: Unable to import invoices
Invoice - Can be posted without credit limit warning (Code = Monitoring)
Receive Payment - Unapplied Amount is incorrect
On Hand turned negative after distributing Direct Out Scale Ticket
18.3Dev Script Deployment Error
[Sales Order] - Cannot process Shipment from SO
Receive Payments Screen Gives unusual journal entries
[Invoice] Customer Prepayment cannot apply to Cash Refund Transaction
Include the 'Cash Refund' on AccountsReceivable.store.InvoicesForPayment
AR Screens are not loading
Receive Payments - No values are displayed in Customer combo box list
Error on Posting Cash Refund
Invoice - i21 Screens become broken after displaying Post Preview tab screen
vyuARInvoiceTransactionHistory - Transactions are doubled
Error upon calling uspMFAutoBlend
Receive Payments: Unable to post RCV
Invoice - Rejected record can be posted
POS - SQL Error is displayed when saving a POS Return
vyuARTaxDetailReport.sql is missing
POS - Transaction can be returned multiple times
Receive Payments: Unable to print RCV
While creating provision invoice the price column is getting disabled. it should be enabled.
POS - Unable to search; Failed to Load Resources error is displayed
Console error when processing POS with multiple payment method
Internal server error when processing multiple payment methods in POS
POS payment functions does not work
Customer Statement Detail: Tax and Discount is not included in the report
[Receive Payments] - Payment Out of Balance
Not able to save Final invoice created from provisional invoice
Not able to save Sales order.
Display only Confirmed and Sent Quotes on Batch Printing
POS - Transaction is not returned when Save & Print is clicked
After invoice partial payment history table is capturing full invoice amount .
POS - Return button not functional
[Receive Payments] Cannot Open Transaction if debit memo transaction created deposit
Receive Payments: Unable to unpost RCV
POS - Paid amount in printed receipt is incorrect; discount in invoice is incorrect
Script error in 18.3 Prod 18.3.0628.66
18.3 Prod/Dev Deployment Error
Invoice - Cannot Open Add Shipment Screen
Cannot edit tax. Tax item screen would not pop up
Invoice - Tax exempt customer is taxed in an split invoice
Payment validation prevents update AR process
Invoice > from Ticket-Destination Wgt/Grade - incorrect debit/credit amount and units
POS - Unable to login when Store Number is supplied
Ticket - There is no available item to Invoice when distributing Load Out Open Storage Ticket
POS - Tax not reflected in transaction and printed receipt
Receive Payments: Internal Server Error will be displayed when triyng to delete RCV of CPP
Receive Payments: Unable to create Prepay
Direct Inventory Shipment to Invoice - Invoice Screen Lot Grid not Displaying, Cannot Post Invoice
Invoice - Price is not converted in a foreign transaction
Sales Order: Unable to Ship / generate Invoice for SO
COGS GL entries are not generated on Provisional Invoice posting
CLONE - Update AR > Unable to update AR
Credit Note is not posting in COEX DB
POS - Change due and cash tendered is not appropriately stated,
Cannot distribute Sales Order: The underlying provider failed on Rollback
Over Payment: Unable to generate report
Portal User > Payment Screen has option to Void a Credit Card Payment
Invoice - Price is not carried over when record is created from Inventory Shipment
[Checkout] manual posting caused incorrect sales in valuation
[Invoice] - Wrong Total Amount
Invoice - Auto blend - cannot post
SO to IR to Invoice using Multiple Lots - Cannot Post Invoice
GL Entries are wrong when provisional invoice is finalized and posted.
Batch Printing: Missing transaction type in batch printing filter
Quote: Unable to save/process a quote due to credit limit validation
Cannot distribute Sales Order: Not enough stock...
Customer Statements Report is not working
POS - End of day creates a bank Deposit.
Receive Payment - Unable to unpost
[Sales Invoice] Restricted CCP does not show in prepaid and credit memos

 

 

Expand
titleScale
[Ticket Management] - Changes Needed to Make Sale DP Functional
Modify Ticket Print for Transfers
Scale Fees to Delivery Sheet
Displaying wrong Delivery Sheet using hyperlink from Tickets screen
Delivery Sheet split only displaying 2 decimal positions
Delivery Sheet - Creating new sheet Date should default to current date
Delivery Sheet Net bushels incorrect after entering grades
Delivery Sheet Print - Errors, Missing information, wrong calculation
Delivery Sheet - Not Displaying Location in Grid
Delivery Sheet - using incorrect Storage Schedule when disttributing
Sales Order not distributing
Sales Order not displaying on completed ticket
Half sheet Ticket Print modifications
[Ticket Distribution] - Changing ticket type or customer/vendor does not release contract scheduled balance
Delivery Sheet, Split Error displaying
Storage location for Sales Order
Customer's Name and Address should fit in the window of a #10 envelope
Delivery Sheet, Summary section should display 2 decimal position
Tare weight should not be updated
Can't ship lot controlled item
Allow Same Excel Column to be used by multiple discount codes
Delivery Date is not match with delivery date and history date
Scale Ticket Farm/Field Not being loaded from Delivery Sheet
Print Button does not work for distributed Delivery Sheets
Delivery Sheet - not printing Grade reading and discounts
Catch invalid column upon importing of grade in delivery sheet
Delivery Sheet Split cannot be updated until Sheet is generated
Ticket Print modifications
Error deploying 18.32.0416.27
Could not use any of the Scale Station Setting to create Scale Ticket
Error on sql script deployment (02) AG
Ticket - Invalid Storage Location
Not able to distribute the scale ticket with distribution type 'Contract'
18.3DEV SQL Script Failing
Incorrect amount pass on voucher detail charges.
Unable to distribute from Delivery Sheet
Not able to distribute ticket in LDC Demo environment
Error on SQL Script Deployment
Unable to distribute Purchase Contract Scale Ticket where item is lot
Invalid Farm/Field error message when trying to distribute ticket with supplied Farm/Field data
[Tickets] Unable to access all menus
SC- Script merge issue from 18.1DevF to 18.3Dev
No Invoice and Voucher created after posting Destination Weight/Grade
Discount did not calculate on Destination Weight/Grade screen after modifying reading
Shrink Units and Net Units did not recalculate after modifying reading
Convert the strDiscountId data type to nvarchar
While distributing HOld ticket it is not storing in history table
Shrink Units and Net Units did not update on associated direct in ticket after posting a change on grades from Destination Weight/Grade screen
Unable to Unpost Destination Weight/Grade
Unable to undistribute Scale Ticket
Ticket - could not Distribute Ticket applied to DP Contract
Merging script uspDMMergeSCTables.sql error
Ticket - Could not add Contract
Failed to load resources when opening Ticket search screen using 18.3.0919.44 build
Error message when clicked on Update Local from Remote server
Inventory Shipment > from Ticket - Other Charges are wrong
Error on 18.3Prod SQL Script compilation
Ticket - could not post Destination Grades/Weight, Other Charge Expense account is asked
Spot Sale is under Storage panel in the Delivery Sheet
Time Out expired error when undistributing split ticket causing the status was changed to 'Reopened'
Unable to distribute transfer in scale ticket for lot item
Unable to undistribute Direct In Scale Ticket
Unable to distribute Direct In scale Ticket
Grade Import failed: Object Reference error message
Discount charges are not calculating in Inventory Receipt after Delivery sheet distribution
Cannot distribute Direct In Scale Ticket
[Ticket] - Cannot void ticket
Unable to open existing Delivery sheet
Discount Schedule is not displaying when selecting Sales Order
Ticket Not Found error message when initially select Contract
Cannot open Overdue Scale Ticket notification
Ticket Not Found error message when initially select Load
Cannot distribute Load In Scale Ticket for lot item
Inventory Receipt- Fees does not have Amount
Farm field no is not printing in single line
Expand
titleStore
[Invoice] Unable to determine the exact error upon Posting and UnPosting
[Store] Payment Option
[Store] Unable to enter tax total details
18.3DEV SQLScripts failed in VSTS
18.3DEV SQL scripts failed in VSTS- uspSTCheckoutRadiantISM
[Mark up/down] unable to post/preview (item manage)
[Store] unable to enter item in tax totals tab
[Checkout] unable to post manual checkout
[Checkout] Unable to post automatic checkout with passport
[Checkout] double posting in manual checkout
[Checkout] - Configure Passport TLM
Expand
titleSystem Manager
Change the label name to Licensed
Starting Numbers using the wrong location
No available menu in GL.
Delivery Sheet creating wrong Delivery Sheet Number
Web portal user role not saving properly
Web portal user role does not have All Controls
Split needs to display 3 position
User Profile- Default Location Name and Id doesn't update upon modifying Current User's Default Location on System Manager
Export for tax code table/grid doesnt work
Menus - Original Menus are Not Displayed After Upgrade
Portal User Roles > Missing Controls to Hide/Disable Custom Tabs
Portal user Roles > Control Permissions are showing in Triplicate
Portal user Roles > Control Permissions are missing for some My Company Grids
Batch post cannot read property responsetext of null
Unable to enable portal access for a customer
Cash sales Invoices error in batch posting
Netherlands missing
Refreshing browser clears user location
Custom Home page shouldn't be tied to user's location
Deferred Payment - Add deferred selection on specific date terms code
tblSMBuildNumber didnt update after successfull deployment
Error on 18.3 Deployment script
18,3 DEV - 18.32.0525.134 build is not opening any screens
[SM] unable to create subsidiary company
Error in db upgrade (Fortbooks)
18.3 Dev SQL Script Failing in 03 and NC
Error on reports with showCriteria=true
TM Order - Unable to Print Report on First Attempt
Update db of subsidiary company is error in #116
Expand
titleTank Management
Event Automation is not showing Event correctly
Internal Server Error message when trying to add new consumption site
Delivery fill report not printing
Event history tab in consumption missing Event Description
Unable to build script
Expand
titleTransports
18.3 - Cost displaying on screen does not match actual cost Used
TR posting errors out and not responding
TR Load screen > Receipts area > Total Freight is incorrect
Receipt > Item Tax Detail does not show all decimals for Tax Rate
Transport Load - Unable to Post TR Transaction due to Error Message
Unable to Send Email (Invoice) in Transport Load
[Batch Printing] Unable to print Transport Quote using Transaction ID
Unable to Post Transport Load
TR search screen not refreshed after TR Posting/Unposting