Control
Release Date | 06th 09th October 2023 | |
HO ERP Version | 12.17.3 | |
POS Version | 2.17.x2 | |
Web Database Compatibility Version | 1.19 | |
Features & Enhancements | 0102 | |
Bug Fixes | 133119 | Navigation |
Info |
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Compatible POS Release Note - Release Note 2.17.2 |
Features
Dev ID
Description (Module)
33682
While scanning item in edit is showing negative Alert message in bundle. (Bundle)
33677
POS sender client is experiencing persistent timeouts when making calls to the HO API. (Live Sync)
Dev ID | Description | |
---|---|---|
1 | 33363 | Importing of report formats for printing POS reports has been relocated from the Ginesys Launchpad to Ginesys WebModule: POS Management - Utilities - Configure - Report Layout Importer Earlier the Report Layout Importer was in Ginesys Launchpad and has now been moved to POS Management > Utilities. |
Bugs
To know more please read - How To: Import report format (.rpt) file for printing POS Reports | ||
2 | 33584 | The same certificate number in all the related vendors is now accepted in GinesysModule: Procurement - Setup - Vendor Earlier different certificate numbers had to be maintained on record in the system for each vendor. Now, The same certificate number in all the related vendors is accepted. |
Bugs
Dev ID | Description | |
---|---|---|
1 | 33682 | While scanning item in edit mode it is showing negative Alert message in bundle.Module: Bundle |
2 | 33664 | Sender Client failed to |
take Backup |
Module: Live Sync |
3 |
33661
POS Bill send failed in LiveSync while gathering Credit notes tagged in POS bills reconcile adjustment. (Live Sync)
33658
Fix For Server Button is not working in POS (Ginesys POS)
33654
Gatherer not retrying failed records automatically. (Live Sync)
33644
Unable to remove data sync send and receive data at POS. (Data Exchange Dashboard)
33640
In Transfer In, the Batch/Serial scan option is not available in the Scan Window under the 'Select Packet' option. (Transfer IN)
33636
33654 | Gatherer not retrying failed records automatically.Module: Live Sync | |
4 | 33617 | Slowness observed when opening a Delivery Challan (DC) with a High Item Count (18k items)Module: Delivery Challan (Adhoc) |
5 | 33614 | While saving Job Receipt, the system is throwing an error - "Cannot Save record: Reason: column ambiguously defined"Module: Job Receipt |
6 | 33611 | RATE is not being updated through Production (Conversion) entry in the INVITEM table.Module: Production |
7 | 33600 | Unable to save the Opening Ledger entry after modification.Module: Ledger |
8 | 33596 | While changing Rate in the Purchase Invoice, the system is showing an Unresponsive behavior.Module: Purchase Invoice |
9 | 33594 | After modifying a Job Receipt, while saving the document, the system is throwing an error - " |
33622
Unable to Post Online Invoices - Error ORA-20001: Document Width Exceeds Specified Width. (Online Invoice)
33617
Slowness When Opening a Delivery Challan (DC) with a High Item Count (18k items) (Delivery Challan Adhoc)
33614
check constraint (VFPL.C_PRDJOBBOM_CONSUMEDQTY) violated"Module: Job Receipt | ||
10 | 33591 | System is getting slow while populating item through selecting Select Item GRC document.Module: Purchase Invoice |
11 | 33588 | Duplicate Priority has been found in a Price List Exception details.Module: Price List |
12 | 33579 | Sales Invoice Print Option is Not OpeningModule: Sales Invoice |
13 | 33576 | PAYTM Plugin error at server @CMS(Urgent)Module: Plugin manager |
14 | 33573 | While printing a report from DC Adhoc, the system is throwing an error - " |
33611
RATE is not being updated through Production (Conversion) entry in the INVITEM table. (Production)
33600
Unable to save the opening ledger entry after modification. (Ledger)
33596
While changing Rate in the Purchase Invoice, the system is showing an Unresponsive behavior. (Purchase Invoice)
33594
After modifying a Job Receipt, while saving the document, the system is throwing an error - "check constraint (VFPL.C_PRDJOBBOM_CONSUMEDQTY) violated" (Job Receipt)
33591
System is getting slow while populating item through selecting Select Item GRC document. (Purchase Invoice)
33588
Duplicate Priority has been found in a Price List Exception details. (Price List)
33579
Sales Invoice Print Option is Not Opening (Sales Invoice)
33576
PAYTM Plugin error at server @CMS(Urgent) (Plugin manager)
33573
Report file was not found at D:\GSL\GINESYS12\Shared\Reports."Module: Delivery Challan Adhoc | ||
15 | 33570 | While modifying a Job Receipt, the system is throwing an error - "Cannot Save record: Reason: not a GROUP BY expression"Module: Job Receipt |
16 | 33567 | Sales order is not getting opened. error: An Internal error occurred during your request.Module: Sales Order |
17 | 33564 | Purchase Term is showing blank in Service Debit Note.Module: Service Debit Note |
18 | 33705 | List of Sites Not Displayed During Release or Revert in SettlementModule : Settlement Authorization |
19 | 33555 | Goods Return saving multiple at the same timeModule: Goods Return Challan |
20 | 33711 | Unable to import data for DC Against OrderModule: Data import > DC Against Order |
21 | 33552 | While modifying any site in POS Management, it's getting error.Module: Site |
22 | 33549 | While saving the Take Away entry, the system is throwing an error - |
33570
"Maximum number of expression in a list 1000"Module: Take Away | ||
23 | 33508 | While importing the items through CSV file in GRC, the system is throwing an error - " |
33567
maximum number of expressions in a list is 1000"Module: Goods Receive Challan | ||
24 | 33505 | Service Invoice Adhoc - Wrong document no created in Auto TDSModule: Service Invoice Adhoc |
25 | 33438 | While releasing the GRT, the system is throwing an error - "Error executing records: Reason: An internal error occurred during your request |
33564
Purchase term is showing blank in Service debit note. (Service Debit Note)
33561
Unable to update anything in site master (Site)
33558
Return against Bill information is not properly synced after 12.14.3 (POS Data Sync)
33555
Goods Return saving multiple at the same time (Goods Return Challan)
33552
While modifying any site in POS Management, it's getting error. (Site)
33549
While saving the Take Away entry, the system is throwing an error - "Maximum number of expression in a list 1000" (Take Away)
33527
Unable to Modify Quantity in Get Pool for Value-Based Slab Benefit Type Promotion During POS Bill Saving (POS bill)
33508
While importing the items through CSV file in GRC, the system is throwing an error - "maximum number of expressions in a list is 1000" (Goods Receive Challan)
33505
Service Invoice Adhoc - Wrong document no created in Auto TDS (Service Invoice Adhoc)
33438
!"Module: Goods Return Challan | ||
26 | 33350 | Job Order has been saved with incorrect Scheme_docno.Module: Job Order |
27 | 33347 | Discrepancy in the Job Order entry, where the Job Order quantity is showing more than the Lot quantity.Module: Job Order |
28 | 33344 | Inventory performing very slow.Module: Bundle |
29 | 33338 | System stuck in Sales Debit Note EntryModule: Sales debit note |
30 | 33329 | The system is not allowing Excess Receive Against Order through Import Barcode in GRC.Module: Goods Receive Challan |
31 | 33323 | Item Creation through Data Import IssueModule: Data import (CREATEITEM) |
32 | 33708 | Getting error while Import Price List - Exception DetailsModule: Data import - Price List - Exception Details |
33 | 33314 | While opening the Reference Site in the Sub Ledger Opening form, the system is not showing the tagged Unmanaged Site for the specified Customers.Module: Opening Sub Ledger |
34 | 33311 | While doing GRC getting errorModule: Good Receive Challan |
35 | 33305 | While generating the Job order, the system is throwing an error - " |
Cannot Save record: Reason: An internal error occurred during your request!" |
33383
Adjusted POS Debit Note Still Appears in Unadjusted Debit Note Window (POS debit Note)
33350
Job Order has been saved with incorrect Document Scheme Number (Job Order)
33347
Discrepancy in the Job Order entry, where the Job Order quantity is showing more than the Lot quantity (Job Order)
33344
Inventory module performing very slow. (Bundle)
33338
System Stuck in Sales Debit Note Entry (Sales debit note)
33329
The system is not allowing Excess Receive Against Order through Import Barcode in GRC. (Goods Receive Challan)
33323
WEB: Item Creation through Data Import Issue (Data import (CREATEITEM))
33317
There is an error occurring while retrieving POS data from the HO during the recovery process. (POS Recovery Manager)
33314
While opening the Reference Site in the Sub Ledger Opening form, the system is not showing the tagged Unmanaged Site for the specified Customers. (Opening Sub Ledger)
33311
HO: While doing GRC getting error (Good Receive Challan)
33305
While generating the Job order, the system is throwing an error - "Cannot Save record: Reason: An internal error occurred during your request!" (Job Order)
33302
Unable to Upload Purchase Order (PO)via Excel Import. (Data import)
33292
There is an issue in Bulk Generate Barcode in GRC (Goods Receive Challan)
33289
Error while entering new rate slab in Bill-By-Bill Wise Printing of Bill By Bill Wise Printing (Print Bill By Bill Wise Printing)
33286
Error in Stock Entry while approving the price amendment. (Stock Entry)
33283
While importing rate slab from excel, the system is throwing an error - "Invalid Data" (Data Import)
33280
Custom Clearance Form data getting erased while modifying. (Custom Clearance Form)
33277
Error in importing the Bulk E-Way Bills (Data Import)
33274
Excel import in GRC showing an error while trying to import location. (Goods Receive Challan)
33271
Unable to view Opening Balance and General Settings tabs in Ledger Confirmation Entry (Ledger Confirmation Entry)
33268
System is throwing error while creating GRC (Goods Receive Challan)
33265
System is not showing the tags of customer, site, and bank in the subledger opening form. (Subledger Opening Form)
33262
Error in Price List Exception (Price List)
33259
Sales Return Opening Balance is not reflecting properly. (Sales Return)
33256
Problem in sending data from HO (HO Data)
33253
Payment Entry Made against Invoice not Showing in Unadjusted Documents (Payment Entry)
33250
Issue in Purchase Order Import (Data Import)
33247
Unable to open data entry form (Data Entry Form)
33244
Unable to import data through CSV in GRC (Goods Receive Challan)
33241
Customer Ledger detail is not showing properly (Customer Ledger)
33238
Data Entry Forms not showing entry at site (Data Entry Form)
33235
Issue in taking customer ledger in print (Customer Ledger Print)
33232
Error in Transaction Report Print (Transaction Report)
33229
Error in Job Receipt Export (Job Receipt)
33226
Problem in Importing Site Data (Data Import)
33223
While generating reports, the system is throwing an error - "Maximum number of expression in a list is 1000" (Report Generation)
33220
Error in Opening the Voucher (Voucher)
33217
Unable to export data from Bulk F-Entry (Data Export)
33214
Issue in Import Data through Excel in GRC (Goods Receive Challan)
33211
Error in Updating the Tax Details (Tax Update)
33208
System is throwing an error while creating a new financial year. (Financial Year Creation)
33205
Problem in importing the data in Web - GRC (Web-GRC)
33202
Error in generating the Audit Report (Audit Report)
33199
Unable to take the PDF print of the Bill Wise Receipt Outstanding Statement (Bill Wise Receipt Outstanding Statement)
33196
Problem in modifying the Job Receipt (Job Receipt)
33193
Error in Importing Customer Data (Data Import)
33190
Unable to open the Document Entry Form (Document Entry Form)
33187
Error in Exporting the Data to Excel (Data Export)
33184
Problem in Importing Supplier Data (Data Import)
33181
Unable to save the document in GRC (Goods Receive Challan)
33178
Error in Exporting Data from GRC (Goods Receive Challan)
33175
Problem in Modifying the Transaction (Transaction Modification)
33172
Unable to generate the Stock Valuation Report (Stock Valuation Report)
33169
Error in Creating the Financial Year (Financial Year Creation)
33166
Problem in Importing Supplier Data (Data Import)
33163
Unable to take the PDF Print of the Bill Wise Outstanding Statement (Bill Wise Outstanding Statement)
33160
Error in Exporting Data from Bill Wise Outstanding Statement (Data Export)
33157
Problem in Importing Data for Bill Wise Outstanding Statement (Data Import)
33154
Unable to Save the Document in Bill Wise Outstanding Statement (Bill Wise Outstanding Statement)
33151
Error in Exporting Data from Bill Wise Outstanding Statement (Data Export)
33148
Problem in Modifying the Transaction in Bill Wise Outstanding Statement (Transaction Modification)
33145
Unable to Generate the Stock Valuation Report (Stock Valuation Report)
33142
Error in Creating the Financial Year for Stock Valuation Report (Financial Year Creation)
33139
Problem in Importing Supplier Data for Stock Valuation Report (Data Import)
33136
Unable to Take the PDF Print of the Bill Wise Outstanding Statement for Stock Valuation Report (Bill Wise Outstanding Statement)
33133
Error in Exporting Data from Bill Wise Outstanding Statement for Stock Valuation Report (Data Export)
33130
Problem in Importing Data for Bill Wise Outstanding Statement for Stock Valuation Report (Data Import)
33127
Unable to Save the Document in Bill Wise Outstanding Statement for Stock Valuation Report (Bill Wise Outstanding Statement)
33124
Error in Exporting Data from Bill Wise Outstanding Statement for Stock Valuation Report (Data Export)
33121
Problem in Modifying the Transaction in Bill Wise Outstanding Statement for Stock Valuation Report (Transaction Modification)
33118
Unable to Generate the Stock Valuation Report for Stock Valuation Report (Stock Valuation Report)
33115
Error in Creating the Financial Year for Stock Valuation Report for Stock Valuation Report (Financial Year Creation)
33112
Problem in Importing Supplier Data for Stock Valuation Report for Stock Valuation Report (Data Import)
33109
Unable to Take the PDF Print of the Bill Wise Outstanding Statement for Stock Valuation Report for Stock Valuation Report (Bill Wise Outstanding Statement)
33106
Error in Exporting Data from Bill Wise Outstanding Statement for Stock Valuation Report for Stock Valuation Report (Data Export)
33103
Problem in Importing Data for Bill Wise Outstanding Statement for Stock Valuation Report for Stock Valuation Report (Data Import)
33100
Unable to Save the Document in Bill Wise Outstanding Statement for Stock Valuation Report for Stock Valuation Report (Bill Wise Outstanding Statement)
33097
Error in Exporting Data from Bill Wise Outstanding Statement for Stock Valuation Report for Stock Valuation Report (Data Export)
33094
Problem in Modifying the Transaction in Bill Wise Outstanding Statement for Stock Valuation Report for Stock Valuation Report (Transaction Modification)
33091
Unable to Generate the Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report (Stock Valuation Report)
33088
Error in Creating the Financial Year for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report (Financial Year Creation)
33085
Problem in Importing Supplier Data for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report (Data Import)
33082
Unable to Take the PDF Print of the Bill Wise Outstanding Statement for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report (Bill Wise Outstanding Statement)
33079
Error in Exporting Data from Bill Wise Outstanding Statement for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report (Data Export)
33076
Problem in Importing Data for Bill Wise Outstanding Statement for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report (Data Import)
33073
Unable to Save the Document in Bill Wise Outstanding Statement for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report (Bill Wise Outstanding Statement)
33070
Error in Exporting Data from Bill Wise Outstanding Statement for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report (Data Export)
33067
Problem in Modifying the Transaction in Bill Wise Outstanding Statement for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report (Transaction Modification)
33064
Unable to Generate the Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report (Stock Valuation Report)
33061
Error in Creating the Financial Year for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report (Financial Year Creation)
33058
Problem in Importing Supplier Data for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report (Data Import)
33055
Unable to Take the PDF Print of the Bill Wise Outstanding Statement for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report (Bill Wise Outstanding Statement)
33052
Error in Exporting Data from Bill Wise Outstanding Statement for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report (Data Export)
33049
Problem in Importing Data for Bill Wise Outstanding Statement for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report (Data Import)
33046
Unable to Save the Document in Bill Wise Outstanding Statement for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report (Bill Wise Outstanding Statement)
33043
Error in Exporting Data from Bill Wise Outstanding Statement for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report (Data Export)
33040
Problem in Modifying the Transaction in Bill Wise Outstanding Statement for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report (Transaction Modification)
33037
Unable to Generate the Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report (Stock Valuation Report)
33034
Error in Creating the Financial Year for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report for Stock Valuation Report (Financial Year Creation)
33031
Module: Job Order | ||
36 | 33302 | Unable to Upload Purchase Order (PO)via Excel Import.Module: Data import |
37 | 33299 | While opening a particular plugin master 'Paytm' system is generating below error and opening the record where site allocation area is showing blank.Module: Plugin Manager |
38 | 33296 | Internal Error When Opening Users - "An Internal Error Occurred During Your Request"Module: Users |
39 | 33293 | Consumed Qty has been updated with more than Issued Qty in the PRDJOBBOM table.Module: Job Receipt |
40 | 33290 | New Site Creation Issue in ERPModule: Cloud MPOS Sites |
41 | 33287 | Last modified by not getting changed in "Roles" optionModule: Roles |
42 | 33284 | Error When Saving Plugin Manager in Edit Mode - "Cannot Save Record: Reason: Undefined"Module: Plugin Manager |
43 | 33281 | In the Summary panel of GRC, the Invoice Quantity is showing wrong.Module: Goods Receive Challan |
44 | 33278 | After scanning an item in the Manual Mode in DC, the item is not getting disappeared.Module: Delivery Challan Adhoc |
45 | 33275 | While clicking on the "Populate" button at set barcode in the GRC form getting errorModule: Good Receive Challan |
46 | 33272 | Unable to Delete Purchase InvoiceModule: Purchase Invoice |
47 | 33269 | Slowness in importing data for Finance: Document Adjustment (AR Voucher only)Module: Finance: Document Adjustment (AR Voucher only) |
48 | 33263 | Two different Sales Return has been generated against a same GRT.Module: Sales Return |
49 | 33257 | While releasing the Sales Return document, the system is throwing an error.Module: Sales Return |
50 | 33254 | AP Vouchers Created via Excel Import Not Showing in Document AdjustmentModule: AR/AP voucher |
51 | 33251 | While tried to save the AP voucher with the payment mode as 'Cheque', System restricts with error.Module: AP Voucher |
52 | 33248 | Unable to Modify a Saved AP VoucherModule: AP Vouchers |
53 | 33242 | While creating Service Invoice Adhoc, Site button is not working and window getting hanged.Module: Service invoice adhoc |
54 | 33239 | While generating a Job Receipt, the system is throwing an error - "value too large for column "KORA"."GLOBAL_SEARCH_IDS"."CHAR_ID3" (actual"Module: Job Receipt |
55 | 33230 | Filter is not working in the Sales Persons form.Module: Sales Person |
56 | 33227 | While creating Job order, the system is throwing error - "Working Plan not found pending for below items or Different Jobber is assigned for the first process in plan. XXXX"Module: Job Order |
57 | 33224 | The system should not throw any Doc Date and Doc No. related alert/ Validation if the Purchase Debit Note is released from the list page.Module: Purchase Debit Note |
58 | 33221 | Slowness and Error During Site-Wise Price Control Excel ImportModule: Data import (PRICE_CONTROL) |
59 | 33218 | System is taking time while saving a document in price control.Module: Price Control |
60 | 33215 | Error Encountered During Price Update at Extinction in Price ControlModule: Price Control |
61 | 33212 | While marking Extinct the records in Price Control, the system is throwing an error - "Unable to get a stable set of rows in the source tables"Module: Price Control |
62 | 33209 | While copying the Site information in the Price Control form, the system is throwing an error - "user requested cancel of current operation"Module: Price Control |
63 | 32754 | While releasing the Sales Return document, the system is throwing an error.Module: Sales Return |
64 | 32751 | After deleting a Service Invoice against a Service Order, the Status of the Order was not updated.Module: Service Order |
65 | 32748 | While saving a Job Receipt in the edit mode, the system is throwing an error - "Mismatch found in Completed Quantity"Module: Job Receipt |
66 | 32742 | While opening AP Voucher form, the system is throwing a blank error window.Module: AP Voucher |
67 | 32733 | While saving Sales Return, the system is throwing an error - "Some Invoice (s) are modified/return/deleted from another session"Module: Sales Return |
68 | 32726 | After generating Job Order Cancel, the Issue Stock Point is not showing in the Component window of the Job Order Cancel form.Module: Job Order Cancel |
69 | 32723 | After selecting the Service, the system is throwing an validation - "Site information is tagged for the service. Change in ledger will clear site details. Please confirm." in Service Invoice Adhoc form.Module: Service Invoice Adhoc |
70 | 32611 | Audit Trail Not Showing User Name for Voucher Audit Export ReportModule: Finance API |
71 | 32602 | Restored backup but unable to resume Live Sync, getting an errorModule: Live Sync |
72 | 32594 | While creating Job order, the system is throwing error - "Working Plan not found pending for below items or Different Jobber is assigned for the first process in plan. XXXX"Module: Job Order |
73 | 32552 | While selecting a document in the WIP transaction for deleting, the system is throwing an alert message - "No Document is selected."Module: WIP Material Transaction |
74 | 32546 | Error Occurs When Searching by Category 1 in Select Item - Internal Error ORA-20111Module: Sales / Transfer Order |
75 | 32327 | While searching Job Order No. in the Job Receipt, the system is no showing full Job Order qty.Module: Job Receipt |
76 | 32080 | FG Cost is not reflecting correct value for many FG item(s).Module: Job Receipt |
77 | 32077 | While importing BOM, the system is throwing a Processing error - "ORA-00001: unique constraint (DFPL.U_PRDBOMDET_BOM_SEQ_CI_PR_CODE) violated"Module: Data Import |
78 | 32072 | Update Description for Finance Sub-Ledger Opening Outstanding ImportModule: Data import (FINOPDOC) |
79 | 32069 | While clicking on the 'Site' button in the Service Invoice Adhoc form, the system is not throwing any responsive behavior.Module: Service Invoice Adhoc |
80 | 32067 | While generating Lot based - Non Standard Job Order by searching an item, the system is throwing an error - "Working plan not found pending for below items. Unable to populate these. XXXXX""Module: Job Order |
81 | 32064 | The charge factor amount is showing wrong in the GRC form.Module: Goods Receive Challan |
82 | 32058 | When attempting to open s such as Sales Invoice, an error is encountered stating "maximum number of expressions in a list is 1000". It happens while the user having more than 1000 allocated sites.Module: Sales Invoice |
83 | 32055 | While saving Sales Return, the system is throwing an error - "Some Invoice (s) are modified/return/deleted from another session"Module: Sales Return |
84 | 32051 | Error Occurs When Opening User Profile by Logging in as a Specific User - 'An Internal Error Occurred During Your Request'Module: User Profile |
85 | 32048 | Pending Service Amount is showing wrong while generating Service Invoice Against Order.Module: Service Invoice Against Order |
86 | 32042 | Error "Incorrect Syntax Near the Keyword 'left'" While Printing BarcodeModule: Barcode printing |
87 | 32039 | System is generating an error while attempt to revert POS Settlement from HOModule: POS Settlement at HO |
88 | 32031 | While creating batch-serial item through Ginesys import system generates an error as.. Cannot Save record: Reason: table or view does not existModule: Import |
89 | 32029 | The system should not throw any Doc Date and Doc No. related alert/ Validation if the Purchase Debit Note is released from the list page.Module: Purchase Debit Note |
90 | 32026 | While importing GRC Adhoc, the system is throwing a processing error - "Data inconsistency / Zero Rate Item."Module: Data Import - GRC Adhoc |
91 | 32023 | While tying to pass WIP Clearance entry, the system is taking too much time.
|
92 | 32018 | While applying sorting on the Barcode field in the drop-down list of Non-standard Component item in Working Plan form, a particular Barcode is not showing sorting wise.Module: Working Plan |
93 | 32012 | While authorizing the Job Order by saving the document, the system is throwing an error - "unique constraint (VFPL.U_PRDJOBBOM_JC_AI_LC_SEQ_CI) violated." |
94 | 32009 | While importing Price List - Exception for Non-batch items, the system is throwing a validation - "Batch/Serial no. required for the item. Please rectify and try again."Module: Data Import - Price List - Exception |
95 | 32005 | While importing an Item master for updating details for the item, the system is throwing a validation - "Inventory entry exist for this item. Modification of inventory tracking mode is not allowed."Module: Date Import - Create or Modify Item |
96 | 31999 | Error Occurs When Saving Sales Service Invoice - Transaction Rolled Back, Check Constraint Violation (BIZO.C_SALSRVMAIN_SDOCNO). |
97 | 31995 | Incorrect charge amount is showing in auto-generated Purchase Debit Note.Module: Debit Note |
98 | 31792 | While creating a Job Order against a Working Plan, the system is showing "No Data Found".Module: Job Order |
99 | 31786 | The system should not throw any Doc Date and Doc No. related alert/ Validation if the Purchase Return is released from the list page.Module: Purchase Return |
100 | 31763 | While searching an item by 'Select item' option, the system is showing 0 Stock quantity if the item contains negative stock.Module: DC Adhoc |
101 | 31760 | While saving a Service Invoice Adhoc, the system is throwing an error - "One or more service(s) are marked as invalid. Please revalidate before save."Module: Service Invoice Adhoc |
102 | 31757 | While cancelling a Job Order, the Cancel Quantity is not being updated in the PRDJOBBOM table.Module: Job Order Cancel |
103 | 31754 | While clicking on the Category2 column in the BOM, the system is throwing a pop-up message - "NAME."Module: Bills Of Materials |
104 | 31751 | The 'Save & Release' option in Purchase Debit Note is not working properly.Module: Purchase Debit Note |
105 | 31743 | Error Occurs While Calculating Salesperson Incentive: 'Cannot Save Record - Reason: Please Select Site'.Module: Calculate Incentive |
106 | 31694 | DC Adhoc through Excel import generating a mismatch of rates due to defined exception condition in the Price List is not working as expected.Module: DC Adhoc |
107 | 31421 | The system should not allow inputting any future date in LR Date with respect to the LR Entry date. "LR. Document Date cannot be greater than Entry Date."Module: Incoming LR |
108 | 31110 | Total Amounts Not Displayed in Grid Footer for Amount-Related Columns.Module: POS Settlement Authorization |
109 | 30932 | While saving a Job Receipt, the system is throwing an error - "Cannot Save record: Reason: Unable to save. Required quantity cannot be less than issued quantity."Module: Job Receipt |
110 | 30802 | AR Voucher import validation fails when multiple voucher date and instrument date is provided when voucher reference is not mapped.Module: Data Import - AR Voucher |
111 | 30787 | Error 'No Response from Server' while removing user-defined field from Ginesys HO application.Module: User Defined Fields |
112 | 30183 | While modifying quantity in Job Receipt, the system is throwing an error - "Cannot Save record: Reason: Unable to save. Required quantity cannot be less than issued quantity."Module: Job Receipt |
113 | 29383 | Data Sync Failed at HO end: The issue has been identified with the data synchronization process at the Point of Sale (POS) system. Although live sync is enabled and data is being received at the POS, there is a failure in syncing the data from the POS.Module: Data Sync |
114 | 29258 | Incorrect Sub-ledger Opening Balance Import Across Different OU and Owner Sites.Module: Sub-Ledger |
115 | 33716 | GRT details not updated properly in database, when changed from one GRC to another GRC of different vendorModule: Goods Return Challan |
116 | 33738 | While saving AR voucher from short cut key, multiple document are created from same user.Module: AR Voucher |
117 | 32656 | Auto Settlement in Pending State After Auto-Update - ORA-06575 Error: Package or function DB_PRO_AUTO_SETTLE_UNPOST is in an invalid state.Module: POS settlement |
118 | 32516 | Customer's closing point is not matching with the Customer's Loyalty Point Report at HO and point showing from POS end (POS UI)Module: Data Sync |
119 | 33558 | Return against Bill information is not properly synced after 12.14.3Module: POS Data Sync |