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Enhancement

Do not allow closed Contract to be assigned in Derivative Entry

Bug

Dashboard: Imported panel AP from iGuide does not display data in i21
Dashboard: Imported panel Petro - Customer Balances from iGuide stuck in loading
[settlment report] - Tickets with portions of the quantity at different prices is not calculating correctly on the report.
[Settle Storage] - Voucher detail lines are being doubled and tripled.
[Settlement Report] - Details are being doubled and tripled.
[Quarterly SUI] Total Gross from Paychecks Screen differs from the total Gross in Quarterly SUI
Open AP clearing report not printing detail when using as of date
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