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Enhancement

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On Storage reflects the settled quantity even if dis. type is DP
title
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titleGrain
Card Fueling
Import CSU > Default Card Types

CLONE - Import Vehicles from CSU > Skip if Vehicle # is 0s

CLONE - Import Cards from CSU > Errors on same card assigned to different customer

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titleRisk ManagementMotor Fuel Tax
OR - Change some Configs for Gas Report Main Form RC

OR - Additional XML changes

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titleRisk Management
DPI- Open Storage should look at Maintain Storage history

Bug

 

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titleCard Fueling
Recalculate Transaction > Incorrect group adjustment value
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titleContract Management
TC-1 for a ratio contract how did basis populate in the pricing type in sequence ?
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titleGrain
Change the percentage type discount code to show the reading with % sign appended
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titleMotor Fuel Tax
OR - XML issues
Position Detail - (Purchase Price Contract)Avail for spot sales and basis risk are not the same in the DPR and Position Detail
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titleRisk Management
[DPI] Delivery sheet transaction doesn't account beginning balance

Daily Position Inquiry - Loading forever and with console error

Position Report - Net hedge - reflected incorrectly
Position Detail - Position Won't Load due to time out error
Position Detail - Warehouse Ticket is not opening
Position Detail - Receipt Number is not displaying
Position Report - Purchase Basis Delivery does not reflect correctly against receipt qty
Position Report - Wrong In house, Company Titled and DP due to missing Load out
Position Detail - (On hold) On hold Qty does not account On Hold Load out qty
Position Report - Position Report will not load if there is letters in Receipt No field of Collateral screen
Position Detail - (Spot Sale) In house and Company Titled does not account the Load out
Position Detail - (Spot Sale) In house and Company Titled should show correct transaction nos in drill down
Position Detail - (Open Storage) In house is incorrect after Load in - out for customer storage
Position Report - (Open Storage) In house is incorrect after partial settlement in storage
Position Detail - (Grain Bank) Settle Storage does not display the In house and Company titled correctly
Position Detail - (Warehouse Receipt ) After Settle Storage, the In house is incorrect in DPR grid and position detail
Position Detail - (Warehouse Receipt ) After Settle Storage, the In house is incorrect after Load out

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titleSales AR
8445Unable to import Billable from HelpDesk
Receive Multiple Payments: Auto apply credits is prompting to filter the customer
8488

[

Billable] - Unable to import if customer's warehouse is inactive

Scales-Distribute] Overage quantity did not reflect on the duplicate line when scale ticket quantity exceeds ordered quantity