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Comment: Reverted from v. 4

 

Bugs

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titleSales
Customer Activity Report taking a long time to print.
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titleCash Contract Management
Checkbook out of balance when voiding check with different void date than check dateError in upgrading database[Bank Reconciliation] - Bank Account balance has difference
HDTN-207384 - issues with w2 file - 17.3
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titleCredit Card Reconciliation
 Default Location is being used when selecting vendor in Dealer Credit Card
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titlePayroll
Tank Management
Orders pricing is wrong when item uses Promotional Pricing.
Origin Sync - Credit Memos not applying correctly to Delivery History