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Features

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titleStore
Checkout > Do not Generate Item Markup/Downs if store is not setup
Checkout > Generate Markup/Downs for Department Discounts
Checkout Grid > Add Columns for Quick Reporting
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titleTest Framework
Parameterized option in set data, set data, set data grid, verify data grid

 

Enhancements

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titleFramework
Scale integration using Electron to get the weight
Create a public method to write/read a file in FTP
Webconfig: Remove the isRemote config
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titleInventory
Create stored procedure to update the dblBillQty
Integration - New cost adjustment method for grain industry. Price fixing of basis contract takes over an hour to post and create vouchers.
Unposting Destination Weight/Grades did not unpost and delete the existing Inventory Adjustment
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titleRisk Management
DPI Company Titled not balance on DPR Company titled
Position Detail- Basis Risk and Price Risk should match the Crush by Month
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titleScale
Export/Import of Scale Tickets and Delivery Sheets
[Destination Weight and Grades] - Dest Quantity greater than ticket quantity
Company Config: Move the isRemote config from web.config to Company Config
Ticket Screen: Put an indicator that the environment is a Remote Scale
i21 Home Screen: Put an indicator if there is an ongoing import
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titleStore
Scanner > Append Handheld Scanner Counts for Existing Inventory

Bugs

 

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titleCard Fueling
CF Invoice > MPG Calculations on DEF items that are not to be included
CLONE - CF > Statements Issue
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titleContract Management
[Contract Sequence] - Mandatory fields are not validating while duplicating a Contract with sequences
[Contract Balance Report] - Changes to contract balance report - Position month
Load based contracts are incorrect on position
DPR - Check all Date Criteria in SPs To Ensure Proper Transaction Selection
Contract Balance Report - Contract showing up incorrectly
[Load Contracts] - Scale ticket quantity not applying to contract.
price contracts -While applying arbitrage the sell market and sell month is disabled and the contract future month is not displaying in buy month
Error on SQL 2008R2 Deployment (RC Build)
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titleDashboard
Unable to load Dashboard without assigned panel
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titleGL / Cash Management
When printing a large number of checks not all of them show up in Archive as printed
Script Error on deployment of 18.32.0226.619 @ QC Server
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titleGrain
[Canadian Storage Receipt report] - error while printing
HDTN-226957 - Delivery sheet - unable to unpost
Remove the posting of Vouchers when settling DP storages
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titleHelp Desk
Project Screen does not have export function
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titleInventory
HDTN-224811 - Retail price updating issue
HDTN-224896 - Unable to process Inventory receipt- now requires gross/net uom
HDTN-225176 - Unable to post Inventory Receive
HDTN-227019 - Error posting inventory receipt
Settling DP storages take forever to finish because of Cost Adjustments
Incorrect transferred quantity against Inventory Transfer IT-9
[Voucher] - Unable to Unpost Voucher
Expiry Date column value changes when user tab out from Manufacturing Date column
System is not replicating the 'Lot Alias' while replicating balance lots in Receipt screen
IR return created Debit memo without TAX
PO to IR to Voucher (IR Voucher Button) - Cannot create voucher for purchase order
Rebuild failed with Null value error
18.3 RC BUILD - Cannot Save IR Purchase Contract Inbound Shipment
[Receipts] Error upon posting return receipts
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titleLogistics
Inventory view - When exporting to MS Excel, columns Stock Qty, Futures, Cash Price and Basis are not correctly formatted. Also, column "Total Cost" is blank.
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titleManufacturing
Can't cycle count work order
Script Error on deployment of 18.32.0227.621 @ QC Server
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titleMotor Fuel Tax
A tran is not showing in Grid but in Excel export
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titlePatronage
Volume Transactions Tab - Export Report not working
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titlePayroll
Filters are not working in Employee Tabs - Time Off Tab
18.3 [Paychecks -> Taxes Tab] Taxable Wages column missing upon importation
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titlePurchasing AP
HDTN-224692 - 1099 selection in grain voucher won't hold
Cost bucket missing
CLONE - Provide tax data when creating voucher.
CLONE - [Scale Ticket] - Unable to distribute Scale Ticket with Delivery sheet where distribution is DP Contract
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titleRisk Management
M2M- Transaction tab is not loading
DPI Fixes
Position Report - Third grid not loading data for physical contracts
Pre- Crush Detail - Net futures is wrong
Future 360 Report takes a long time to load
[DPI] Incorrect Balance Inventory
strCustomerName is NULL from vyuRKGetInventoryValuation
Future trading month- Not able to add new months
18.3- M2M- Transaction tab is not loading
Crush - To run by tblRKFutOptTransactionHistory.dtmTransactionDate
Mark to Market - Several fields are not displaying after reopen
DPI - Will not match the DPR if filtered by Position Inlcudes
Position Report - Bottom section will still show though middle section is not showing contracts.
Basis Entry not loading in 18.3Dev
Pre-Crush - Crush is not displaying
Script Error on deployment of 18.32.0228.624 @ QC Server
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titleSales AR
Ticket: Ticket level converts the whole thing two commodities into one
CLONE - [Destination Weight and Grades] - Dest Quantity greater than ticket quantity
Invoice- invoice payment info - filter (amount due not equal to $0.00) NOT working
Invoice - Payment info screen shows amount due in error
Invoice: Posted delivery not reducing scheduled quantity
Customer Prepayment: Not totaling correctly
Forgive date time discrepancy on GL
Invoice: Posting subsequent invoices takes LONGER to post
CF > Statements Issue
Inventory Adjustment is not creating upon posting Destination Weight and Grade in Scale Ticket
Invoice Return: Posting to incorrect GL accounts
In-Transit Outbound did not zero out after posting an Invoice
Batch Printing: Unable to batch print statements
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titleScale
Single Ticket Transfer Process
[Ticket Entry] - selecting a contract on the manual distribution screen does not update Grades and Weights
Direct-in ticket displays an error Object Reference not set
Next Ticket number field type
Rename location label for Transfer Ticket type
Error message shows when importing from Main server
Exporting of Delivery Sheet from Main Server is not working
Unending loading status when importing from Main server
Unable to distribute Contract Scale Ticket
[Transfer Out] - Unable to distribute Transfer Out ticket
Error when importing Ticket with associated Delivery Sheet
Incorrect Delivery Sheet associated to multiple imported Scale Tickets
Import Ticket pop-up balloon is ticking even if there is no file to import
Notification shows Import Successful even import failed
Delivery Sheet No generated is already existing
Unable to import ticket with Delivery Sheet
Auto import from Remote is not working
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titleSystem Manager
Currency Exposure - Starting number