Release Date | 04 July 2017 |
HO Version | 11.124.6 |
Web Database Compatibility Version | 1.9 |
Features & Enhancements | 00 |
Bug Fixes | 10 |
Navigation |
Serial | Dev ID | Issue Tracker | Description |
---|---|---|---|
1 | 30585 | N.A. | 30585 Miscellaneous Issue report not showing any data after version updateModule: Inventory - Requisitions - Miscellaneous Issues Reported Version: 11.123.0 Scenario: 1. Create Multi OU (Organization Unit) . 2. Create entry for Miscellaneous Issues against every OU.. 3. Check Miscellaneous Issue register report. 4. Observe that no data is being displayed. |
2 | 29068 | N.A. | 29068 Transfer Out Register report not working properly.Module: Sales and Distribution - Consignment - Register - Transfer Out Register Report Reported Version: 11.118.3 Scenario: Check with huge data of manage site where GRC has been made at POS site . |
3 | 30049 | N.A. | 30049 Sales Return summary register showing wrong value at ledger wise summary section.Module: Sales and Distribution - Outright - Registers - Sales Return Register report (Summary) Reported Version: 11.118.5 Scenario: Sales Return summary register showing wrong value at ledger wise summary section. |
4 | 30340 | N.A. | 30340 Site level Inventory valuation report showing errorModule: Inventory - Analysis - Inventory Valuation Reported Version: 11.122.0 Scenario: 1. Go to Inventory Valuation report . |
5 | 30378 | N.A. | 30378 Sub ledger confirmation report showing wrong value compared to sub ledger closing balance .Module: Finance - Documents - Account Confirmation (for sub ledger) Reported Version: 11.123.0 Scenario: 1. Go to Finance - Documents - Account Confirmation (for sub ledger ) report . 2. Select sub ledger such that there is more than one entry for one document against that sub ledger in 3. Error is displayed. |
6 | 30740 | 30740 Inventory Status Report showing wrong balanceModule: Inventory - Analysis - Inventory Status Reported Version: 11.124.2 Scenario: N.A. | |
7 | 30320 | 30320 During creation of Item default HSN code is being incorrectly savedModule: F5 (Item - Definition) F6 (Item - Combination) Inventory - Item Definition - Item Creation Reported Version: 11.121.0 Scenario: Whenever an item was being created or defined then the default HSN code was getting saved instead of the actual code as defined in the Item Master. | |
8 | 30207 | 30207 Context not resetting the status after terminating the COGS processModule: Admin - Utilities - COGS Engine Reported Version: 11.121.0 Scenario: 1. Context not resetting the status after terminating the COGS process. | |
9 | 30524 | 30524 User unable to run COGS if previous month is not closedModule: Admin - Utilities - COGS Engine Reported Version: 11.123.1 Scenario:
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10 | 30365 | 30365 Transfer IN Against Transfer Out taking lot of timeModule: Sales and Distribution - Consignment - Transfer In (Agst Transfer Out) Reported Version: 11.123.0 Scenario: Transfer IN Against Transfer Out was taking lot of time to be saved. |