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Version 1
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Bug
| Negative Stock Quantity Error Encountered in newly Created items used in Transport Load (Terminal - Customer) |
| Pay Voucher Details - Can't Post due to not balanced Debit and Credit |
| DPR- Purchase/Sale price and basis contract should calculate based on the balance Qty |
| Daily position inquiry - Add a new drop down 'weight UOM' and all the quantity should convert according to the selection |
| [Ticket Management] - Zero Cost IR(s) Created From Split |
| Sales Contract to Shipment Using Add Orders Screen Unit Price is Incorrect |
| Error on deployment scripts |
| passing wrong entity from settle storage to inventory valuation |
| HDTN-212061 - New outbound ticket coming out of wheat storage |
| CF - Getting errors when printing Report to screen |
| Getting errors when printing Report to screen |
| Lot Move is not working if Lot's ownership is storage |