| Position Detail - Add Delivery Month and rename Month to Futures Month |
| Mark to Market - Contract Basis not calculating correctly |
| Net Gain/Loss incorrect |
| M2M: Summary tab rounds totals |
| Purchase Basis Delivery impacted Net Futures Position |
| Sourcing report - calculation errors |
| [Future Market] Can't generate Option Months |
| Position Report - In house is incorrect |
| Options and not Delta Adjusted |
| Currency Exposure- Stock tab is missing |
| Risk Report by type-Derivative entries are not showing in the futures section in the report |
| Select All on Match Derivatives doesn't total |
| [Match Derivative] Prices do not display out far enough |
| [Coverage Inquiry] Position Report |
| [Mark To Market] Net Gain/Loss not displaying for Inventory type |
| Position Details - Contracts Details Section is not Changing with Date |
| Position Report - Commodity and Date selected |
| Purchase In Transit incorrect |
| Position Detail - Qty does not convert into UOM correctly |
| Position Detail - Some transactions are not showing when using back date |
| Lines are not staying in the right section |
| Position Report - Contract will not work in 'as of' date basis |
| Position Report - Net Futures Position is incorrect |
| Currency Exposure - Error when saving from Non-USD Open Sales |
| Position Report - Error running the report viewer |
| DPR (Position Detail) - Company Titled is incorrect when filtered by Vendor |
| Position Detail - Company Titled is incorrect when filtered by Vendor |
| Crush Position Detail - Purchase Basis and Sales Basis are missing in the Crush By Month Grid |
| Position Detail is not loading |
| Pre-Crush detail - Months are not sorted correctly |
| Pre crush Detail - Report is not working when you click Print |
| [Future Market] Cannot update future market with product type |
| Pre Crush Detail - Purchase HTA is displayed at the bottom |
| Position Report -> Crush Detail - Contract will not work in 'as of' date basis |
| Position report - Error on console |
| Position Report - Open qty is wrong when multiple pricing is made |