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22.1.0617.102 Base Release
22.1.0617.102 Base Release
Jun 18, 2022
Feature
Agronomy
Need the ability to store and hold work orders until application is complete | |
Applicator License Category | |
Need ability to create Agronomy Application Targets | |
Create CRUD Logic for AGR work order form | |
User needs the ability to enter different values in new "Crop" Table | |
Agronomy will need the ability to email work orders to applicators | |
Create SP to update the “shipped quantity” on AGWO-XX form | |
Create UOM Screen for Agronomy | |
Create Company Preference for Agronomy |
BuyBacks
Change label of FTP button to "Export Data File" |
Card Fueling
Transaction Screen > Drop Downs to Filter Records by Network | |
Import NBS Tran > Add Misc Keyboard to Default File Mapping | |
Account > Prevent Deletion of Account if Card data exists | |
CF Invoice > Print if Email is not setup fully | |
CF Invoice > Add Option to Print and Email for a Customer Contact | |
CF Tran > Ability to Manually Enter Foreign Sales | |
Import Network Tax Xref from CSV | |
add Total records read to Table look up screens. | |
Add Fields to the CF>SETUP>NETWORK>SITE> grid | |
CF Quote > Remove Redundant Setup | |
CF Report > Summary by Customer/Product/Period | |
Top Cardlock Customers > Add Options | |
CF Invoice > Add Department Grouping without Page Breaks | |
CF Invoice > Warn that Invoice cycle field is blank in CF Invoice parameters | |
Batch Unposting | |
Site Summary > Add Tax Recap to Report | |
Clean up Summary By Site report | |
CF Tran > Add Expensed Flag Item to the Transaction Screen as read only | |
Audit log not updating in CF>SETUP> | |
Site Summary Network Cost on Remotes for Original Tax versus Actual Tax collected | |
Option on CF Site Import | |
Department product summary doesn't total by product |
Contract Management
Stored Proc to Export Contracts for REST API |
Dealer Credit Cards
Energy Trac Interface
HDTN-251009 - Process Improvements - Energy Trac - Upload to Drivers |
Entity Management
Fixed Assets
There is an extra field on the depreciation methods screen which is confusing | |
Assets that have a useful life that is not whole years | |
Lock key fields once depreciation has been taken | |
Add Full month depreciation Convention | |
Fixed asset report - can you add these fields to the fixed asset creation Grid | |
Fixed Asset - Add Fully Depreciated Flag |
Framework
GL / Cash Management
Integration
Inventory
Sub ledger Transaction traceability | |
Menu - Create Menu group Tools. Move Rebuild Inventory to here | |
Inventory Receipt > UPC Lookup | |
Category - Remove Inventory type | |
Add Four GL Categories to the Commodities M2M Setup | |
Need inventory placed on hold/reserved when work order is created | |
HDTN-246699 - IC Cleanup - group all required fields together | |
Category/Item - Do not list Inventory account for WIP account selection | |
Item Search - Add category code and name in all search tabs | |
Inventory Valuation - Do not auto load the report on opening | |
Valuation Summary - Make the reporting real time | |
Valuation summary - Use the last cost for the last day of the month | |
Item -> Location - Add Active checkbox | |
CLONE - HDTN-239996 - missing storage location | |
Reverse all changes made for COEX | |
Add transaction type for AG Work Order | |
Add an option on Order type or source type for the creation of IS from AG module | |
Need to have'ysnRestrictedChemical' column exposed on [vyuICSearchItem] |
Logistics
HDTN-257338 - LS Import is not allowing to import multiple containers in a shipment |
Manufacturing
Blend Posting - Should use WIP account of FG and not RM |
Motor Fuel Tax
MD - create setup | |
MD - Create Main Form "Dealer Seller Worksheet" | |
VA - Create ASCII e-file specs for Importer Returns (BI/OI) | |
VA - Setup VA RCs | |
VA - Create a table for VA Localities | |
VA - Create ASCII e-file specs for Distributor (DS) and Wholesale (WH) returns | |
VA - Create E-file (ASCII format) for DS Return | |
VA - Create Efile (ASCII format) for WH Return | |
DC - Create setup for DC | |
GA - Create setup for GA | |
GA - Create the XML file | |
GA - Add Uncommon fields for all RC's | |
FL - Create setup for FL | |
FL - expand table [tblTFCountyLocation] | |
FL - populate tblTFCountyLocation with FL County data | |
FL - Modify TA screen > County Location tab | |
FL - Create special logic for RC 5LO and 5LO_Sum |
Payroll
iRely: Time off Request - Filter of Records | |
Time Off - Improve Title by including the Employee Name and time off # | |
HDTN-244897 - Unable to setup KY local tax rates in 192.0413.480 | |
Time Off Request - Move Approval tab | |
Add Kentucky (KY) local tax | |
Remove the confirmation message |
Purchasing AP
Accounting Period on reports (AP) | |
Voucher - Add validation if deductions are more than available. Add Available Amount | |
Posted purchase invoices reporting | |
HDTN-243182 - DTN EFT Import | |
HDTN-247646 - Pay Voucher - Add Voucher date | |
CLONE - HDTN-247646 - Pay Voucher - Add Paid to Date | |
Voucher search - Add Payment Schedule tab |
Sales AR
Sales Approvals | |
Customer > History tab - Show Transaction Date and Post Date | |
Invoice Detail - Remove the 'Return' feature from the menu | |
Invoice: Highlight check number field when cash invoice paid by check. | |
Force user to select from combobox and disable to accept entry to avoid confusion | |
Batch Printing: Enable 'Letter' filters | |
HDTN-248094 - UOM on search invoices screen | |
Add Email Button in Print Receive Payment Screen | |
Reports: Add totals & Invoice #s to the Customer Activity Report | |
Separate Email Verbiage between Invoices and Quotes/Sales Orders | |
HDTN-253583 - Remove lines when printing Address Label | |
Customer Endpoint - Locations Are Missing | |
Add Email Option in Quote & SO Screen | |
Agworks - Item and Dollar Contract Endpoint Needed for REST API |
Scale
Scheduling
Store
Update Item to Discontinued | |
Import from CSV - Store > Payment Options | |
Promotion Item List > Change Total Unit Price to Average Unit Price | |
Add Fields to Store Grid | |
Revert Mass Pricebook Changes >Incorrect Message Box | |
Export Promos to Register > Skip expired | |
Checkout > Payment Options screen | |
Store > Payment Options Screen Cleanup | |
Obsolete fields on store setup screens | |
Import from CSV - Subcategories |
System Manager
CLONE - Menu - Create Menu group Tools. Move Rebuild Inventory to here | |
Company Configuration - Move Multi-Currency out of System Manager as it's own menu item | |
Add special license menu "Sub Ledger Traceability" under Inventory -> Reports | |
Add new Menu Items in Store | |
Add Cross Reference - DCC Import Menu | |
Add Import Dealer Credit Card Menu | |
Create a new Menu Application Targets under Agronomy | |
[Menu] - Change menu command from opening report parameters to a CF screen | |
Add Menu for Agronomy Crop | |
Add Agronomy Menu "Application Type" on i21 | |
Create a menu for Applicator License Category under Maintenance | |
Add new menu for Additional Basis and Commitment Pricing under Manufacturing | |
Two changes to Company Location screen > Setup tab > Oregon Facility No field | |
Add menu for Agronomy UOM |
Transports
Changing the order of Quote Date to get the latest Quote Date on top |
Vendor Rebates
Change label of FTP button to "Export Data File" |
Bugs
Card Fueling
HDTN-249634 - Price Profile Failed to Load when selecting all Local/Network |
Contract Management
Contact Price Internal Server Error | |
[Contract] - Incorrect balance and applied qty after deleting Inventory Receipt | |
[Inventory Receipt] - Cannot re-post receipt | |
[Voucher] - Added other charges on contract not displayed in DM > Add Returns | |
[Inventory Receipt-Post] Unable to post IR generated from load shipment | |
Contract Balance does not reduce after posting Inventory Receipt |
Fixed Assets
Framework
Customer Logo changes shape | |
Console errors in Invoice and Voucher screen | |
Bank Transaction: New Transaction removed after refresh | |
Opening Screen after Saving results to a distorted screen layout | |
HDTN-257374 - Inventory View is showing loading message without closing | |
Failed to load screens | |
Menu needs to be double clicked | |
[Amendment] Unable to close the screen when multi-level groupings are applied | |
IdSvr missing | |
End User License Agreement does not show after login | |
Error when toggling the date picker | |
View, ViewController and ViewModels are not being merged properly | |
Server error when loading 21.1Dev application | |
[Vendor] - Cannot save vendor (Vendor Account No is required) | |
Editing Menus in the User Roles doesn't take effect. | |
[Portal User - DMS] Stuck in Sending Notification after adding of document | |
[Portal User -> DMS] Deletion of document - no email notif sent | |
[Search Screen] Total number of record not updating correctly when filter is applied | |
[Logistics -> Track Shipments / Documents] Multi-level grouping not available | |
[Multi-level Grouping] Hide "Select All" checkboxes |
GL / Cash Management
GL Account Detail Exports to Excel is Formatting the data as General instead of Date | |
Unable to check Unpost Preview in Bank Transaction | |
Filter Sort on Segment Accounts | |
Changing the date on a journal prompts date change too often | |
Bank Transaction: Invalid Screen behaviors | |
GL Account Detail : Unable to open Transactions | |
Stuck in 21.1 DB Upgrade |
Integration
Getting 401 back from REST service | |
Barchart - Customer GET - Server 500 error | |
Barchart - Filtering on Customer Endpoint Appears to Not Work | |
Bushel - Server 500 When Attempting Scale and Contract Filtering | |
Bushel - Questions Concerning amendmentLog on Contracts | |
Barchart - Issue with Filter on Contracts | |
Barchart - Scale Filter Appears to Return Everything | |
Contracts - Missing Contract Fields | |
Barchart - Performance Issue with Contracts Endpoint | |
Barchart - Customer Endpoint Not Returning All Customers |
Inventory
Cannot Open Selected Item | |
Item Endpoint - Missing Fields | |
Inventory Transfer - Container No. and Marks from IR is not displayed | |
Inventory Transfer to Inventory Receipt - BOL No from transfer is not displayed | |
Cannot View/Update Item Pricing | |
[Release] Issue on 21.1DEV SQL scripts commits | |
[Rebuild Inventory] - Error rebuilding inventory | |
Intercompany transactions - Debit and credit amounts are not balanced displays when posting | |
[Item Location] Invalid column name 'ysnActive' when inserting Company Locations | |
Imports and Conversions - Cannot Click Origin |
Logistics
GetLoadData function of ShipmentLoadBl is causing Postsharp build errors | |
HDTN-257126 - LS allowed to save with wrong weights in the container tab | |
HDTN-257127 - Entry Form option is throwing error in LS screen | |
HDTN-257128 - Add to pending claims on receiving first container | |
HDTN-257129 - Pending claims is getting added when container is not received | |
HDTN-257226 - Inventory view is not filling certain columns for open contracts | |
HDTN-257234 - Stripping instruction print format issues | |
HDTN-257417 - When container was not weighed, system added to pending claims | |
HDTN-257467 - Decimal difference in weights between orders tab and container tab in LS screen | |
HDTN-257472 - New fields were added instead of enabling the existing quantity and weight fields in LS | |
HDTN-258431 - Container search screen tab is not showing data | |
Unable to post Load Shipment | |
Rejected sample details were not displayed on prompt | |
Mailing Shipping instruction encounter error message | |
Error when selecting shipping line |
Purchasing AP
Sales AR
Invoice: Cash type invoice paid as ACH is not available to generate file | |
Returns associated with Basis Contracts - Impact Inventory checkbox is disabled | |
HDTN-251208 - Do not allow $0 ACH Payment Total | |
Item/Dollar Contract - Display contract overage popup when qty field is over the item qty | |
Program Fix AR side - Customer Screen: Inactivate a Credit Card | |
Dollar Contracts: Customer PrePayments affecting the dollar contract value | |
No Invoices to Import Error | |
Agworks - entityId Missing in Invoice schema | |
Agworks - Invoice Import Issues | |
Unable to post an Invoice | |
iRely: Error on posting Credit Memo | |
Failed to load item dropdown | |
Invoice Easy Automation: Failed to import PO Number | |
Intercompany - Invoice with no item in Company 02 did not post on the screen but reflected records in Post History | |
Intercompany: Invoice with single grid entry generated an inventory receipt with multiple grid entries | |
Intercompany transactions - Unable to unpost an invoice with IR not vouchered yet | |
Intercompany transactions - Invoice with no more linked IR (deleted) cannot be unposted | |
Intercompany Transactions - SQL error is displayed if inter-company location is blank | |
Intercompany transactions - Debit and credit amounts are not balanced displays when posting | |
Intercompany transactions - Feature is also applied on credits; adds stocks to both origin and destination companies | |
Intercompany transactions - IR grid details and post history entries are duplicated based on the number of tax entries | |
Intercompany transactions - Incorrect tax group is displayed in generated inventory receipt | |
Intercompany transaction - Generated inventory receipt does not pull the Freight Terms and FOB Point values | |
Intercompany transaction - Not all vendors are displayed in Intercompany Vendor ID; List is incomplete and loops | |
iRely: Invoice - Post Preview is blank | |
Intercompany transactions - 'Tax group is not existing in ' is displayed on posting | |
Intercompany transactions: Unposting validation message is not correct |
Purchasing AP
Invoice: Cash type invoice paid as ACH is not available to generate file | |
Returns associated with Basis Contracts - Impact Inventory checkbox is disabled | |
HDTN-251208 - Do not allow $0 ACH Payment Total | |
Item/Dollar Contract - Display contract overage popup when qty field is over the item qty | |
Program Fix AR side - Customer Screen: Inactivate a Credit Card | |
Dollar Contracts: Customer PrePayments affecting the dollar contract value | |
No Invoices to Import Error | |
Agworks - entityId Missing in Invoice schema | |
Agworks - Invoice Import Issues | |
Unable to post an Invoice | |
iRely: Error on posting Credit Memo | |
Failed to load item dropdown | |
Invoice Easy Automation: Failed to import PO Number | |
Intercompany - Invoice with no item in Company 02 did not post on the screen but reflected records in Post History | |
Intercompany: Invoice with single grid entry generated an inventory receipt with multiple grid entries | |
Intercompany transactions - Unable to unpost an invoice with IR not vouchered yet | |
Intercompany transactions - Invoice with no more linked IR (deleted) cannot be unposted | |
Intercompany Transactions - SQL error is displayed if inter-company location is blank | |
Intercompany transactions - Debit and credit amounts are not balanced displays when posting | |
Intercompany transactions - Feature is also applied on credits; adds stocks to both origin and destination companies | |
Intercompany transactions - IR grid details and post history entries are duplicated based on the number of tax entries | |
Intercompany transactions - Incorrect tax group is displayed in generated inventory receipt | |
Intercompany transaction - Generated inventory receipt does not pull the Freight Terms and FOB Point values | |
Intercompany transaction - Not all vendors are displayed in Intercompany Vendor ID; List is incomplete and loops | |
iRely: Invoice - Post Preview is blank | |
Intercompany transactions - 'Tax group is not existing in ' is displayed on posting | |
Intercompany transactions: Unposting validation message is not correct |
Scale
ScaleTicket endpoint - Several Array Lists Appear to be incomplete |
Store
[Register] Opening and saving register issue |
, multiple selections available,