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Bug

No record display when running MF-360 Schedule 5 and SF-900 Schedule 5
Conversion - Customer Comments ptcmtmst not converted
[Employee] Amount for linked earning is not reflected automatically
[Employee] Editing Account Number on Direct Deposit Tab Removes Encryption
Pay Vouchers not showing any vouchers
Next Julian Delivery date for all sites getting reset on every sync
ET Export - TankManagementSites export has wrong data for tax code
CLONE - Unable to Post Transport Load - Negative Inventory not allowed
Position Detail- Net payable and NP unpaid qty is not showing correct. 

 









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