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Feature

 

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titleAdvanced Installer
Hide entered sql credential in the InstallFunction log
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titleReport Manager
Direct Printing - Chrome Limitation for Console App
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titleScale
Additional parameter on uspARApplyScaleTicketWeight
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titleTest Framework
Create a function that can click menus from Header menus' dropdown
Create function that can select specific record with multiple criteria

Enhancement

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titleContract Management
Implement Price UOM in uspICAddItemShipment
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titleEnergy Trac Interface
Energy Trac Import - Error due to unavailable contract amount
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titleInventory
[Inventory Shipment] - Add Price UOM column
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titleRisk Management
Brokerage commission - If a future /option transaction has been saved , lock the broker account details
PnL-Accounting section should show the Net SO Profit - USD- which includes the Future impact also. and Net SO profit usd is not correct.

 

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titleSales
[Invoice] - Add Price UOM column - From CS to Inv
Implement Price UOM in uspICAddItemShipment
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titleScale
[Scale to IR] - Negative Total Error When Attempt to Distribute to Open Storage
[Ticket Management] - Settlement Price Missing Error At Point Of Distribution

Bug

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titleCard Fueling
CF Invoice > Remittance Page has invalid totals when multiple users
CF - Getting errors when printing Report to screen
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titleContract Management
[Ticket Management] - Zero Cost IR(s) Created From Split
[Price Contracts] - Negative Invoice Error When Attempt to Price Contract
Sales Contract to Shipment Using Add Orders Screen Unit Price is Incorrect
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titleDashboard
Error when using @ORDERBY@
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titleEnergy Trac Interface
CLONE - Invoice tax computation is incorrect on split lines
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titleEntity Management
User search screen showing incorrect Entity
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titleFramework
Custom Layouts were missing after 18.1.0419.82 upgrade
HDTN-212175 - Template changes not actually saving completely
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titleFRD
CLONE - HDTN-211875 - Zero Balances on Income Statement
[Report Builder] Previous Years Columns Not Showing Balances
Financials Reports Not calculating Amounts correctly
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titleGeneral Ledger / CM
HDTN-202525 - Trial balance has an account that shows a balance but there is no balance in GL
[Bank Deposits] Not Defaulting Location
HDTN-211399 - PRINTING GL HISTORY
Opening multiple records at one
[Batch Posting] Batch Posting Journal Entries Fails Everytime
Account Mapping - add help screen reference
[AP Print Check] - Voucher For Freight Attempts to Print Settlement
[CM Import] Upon Converting CM, the button does nothing
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titleGrain
passing wrong entity from settle storage to inventory valuation
HDTN-212061 - New outbound ticket coming out of wheat storage
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titleHelp Desk
HDTN-212353 - Portal - emails
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titleInventory
Storage Unit Import throwing warning on successful import
Lot Move is not working if Lot's ownership is storage
Inventory Adjustment - Available Qty and UOM is wrong for a lot for 'Qty Change'
Inventory Adjustment failed no UOM
Unable to post the inventory shipment IS-4
Unable to Move Lot with Ownership type as Storage
CLONE - Unable to Move Lot with Ownership type as Storage
Unable to Move Lot with Ownership type as Storage
Blank error message in distributing ticket - Sql transaction issue
Recount option in Inventory Count is not working
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titleLogistics
Company Config dropdowns for Logistics are blank
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titleManufacturing
While picking, system is not considering the lot's ownership
Error while staging a pallet if source and destination are same
Stage button should stage all available pallets when not selected
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titleMotor Fuel Tax
Deployment error 18.1DevF
OR: Error running Main Form Use Fuel Seller Report (Diesel report)
MS - Form Gas Schedule 2A does not include transactions
No record shows on Schedule LA of IL State and 1BIN of OH State
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titlePatronage
HDTN-210207 - Patronage Stock Processing is wrong
Patronage - Setup -> Item tab - All items are not listing
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titlePurchasing AP
Voucher screen does not maximize similar to 17.1 version
[Open Payables Report] Date as of does not agree with GL.
CLONE - Custom Layouts were missing after 18.1.0419.82 upgrade
Pay Voucher Details - Can't Post due to not balanced Debit and Credit
[Vendor] Console error after closing the EFT screen
Voucher - Tax for Freight Vendor is wrong
[Open Payable Detail/Open Payable] Date displayed on the header should displayed the date selected on the filter
[Purchase Order] Tax is incorrectly computed if multicurrency using percentage
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titleReport Manager
Getting errors when printing Report to screen
OR: Error running Main Form Use Fuel Seller Report (Diesel report)
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titleRisk Management
DPI - show quantities in one UOM
[Daily Position Inquiry] - Same IR Shows Twice For Different Amounts
DPR- Purchase/Sale price and basis contract should calculate based on the balance Qty
Brokerage Accounts - New Salesperson is not reflecting on the list
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titleSales
License being emailed for Origin customers
Discount details missing when payment not received for invoice
Wrong total on invoice, Missing Scale ticket number
CLONE - Terms Code - Does not calculate day of month Correctly
[Invoice Entry] - Unable to Change Shipped When Weights Is Set to Destination
Receive Payments - Incorrect Debit and Credit values
Negative Stock Quantity Error Encountered in newly Created items used in Transport Load (Terminal - Customer)
Invoice Currency Unit display is wrong
Error Installing 18.11.0426.201 on SQL2012
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titleScale
Import Delivery Sheet Grades
HDTN-211907 - Storage not calculating
Ticket Screen Fails to load
Cannot distribute Load Schedule with Freight charge
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titleSystem Manager
Terms Code - Does not calculate day of month Correctly
Change Terms column heading from "Due Next Month" to "Cutoff Days"