mO SharemO Share

Released Bug Fix for HO Part-2

Bug Name

Ticket ID

Development ID

Release Note

Bug Name

Ticket ID

Development ID

Release Note

"An unhandled application error occurred on the current thread... " - Error message is displaying while trying to print POS Bill where Mode of Payment is 'Credit Card'

141558

106480

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/3458498564

Web page is not opening properly when Report configuration is not correct

136518

1206

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/3437690896

"Unable to pass job order due to insufficient stock of assembly/sub assembly item." - Error message has been showing while trying to create third Job Order after canceling it

130557

1037

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/3437690896

In Job Order, sometimes required BOM qty is not populating

 

1194

Excess Quantity is getting received when Sub Assembly item is present in

 

1192

In Job Order Cancel module, component return window is opening for Pull on Completion

 

1184

Multiple issues are appearing in Job Order regarding selection of Assembly and Component items manually from Working Plan

 

1158

Invoice qty is not being updated in Sales order after creating Sales invoice against that particular order

137052

1157

Total item quantity in GRT is getting different from GRC

136850

1155

"An internal error occurred" - Error message is displaying while searching for any option after setting Temporary Document No in List View page

137669

1154

"Show Component Items" button is taking time to open in Job Order Cancel

132736

1123

Job Order Cancel is showing successful without creating cancel entry in the list view

133923,139349

1122

"Issue of Assembly / Sub Assembly item is pending" - Error message is displaying while trying to modify Job Receipt for second process

 

1120

Quantity is not getting updated in Job order modification mode

 

1119

Incorrect update of pending quantity on deletion of Job Receipt entry

 

1117

Unable to modify the process for Sub Assembly Items

 

1116

Job Receipt Quantity column not getting updated for assembly components

 

1114

User is unable to generate the Order for next process where Working Plan has multiple processes

130375

1113

Unable to receive the excess quantity in Job Receipt

133684

1103

Tabbing order is not working properly in Service Invoice Adhoc

130264

1040

"LV_GST_E_INVOICE" - Incorrect column name is showing in LV_SALINV_REF_DOCS

 

106386

"Error in report execution" - Error message is displaying while trying to print Sales Invoice Document report where 'OTHERS' type customer is tagged to AR/AP type ledgers

132547

106021

Two Destination Site parameters with different values are showing in Sales Return Register-Date Wise report

 

105991

"DbConnect Exception Specified cast is not valid" - Error message is displaying when ITEM_TAX_RATE column has multiple digits after decimal in Purchase Return Invoice report

131429

105982

"ERROR: Cannot reference a cell with an aggregation while referencing cell is part of an aggregation" - Error message is showing while trying to run the report

124830

105979

Unable to insert values in some fields of Purchase Order Tracking Detail report

130707

105966

Tax amount of Online HO Sale is not showing in Stock Book Summary report

129068

105957

Bank name is not showing in LOV (List of Values) when record number is more than 100 in Bank Reconciliation report Statement

127551

105951

Columns are calculating wrong value when any field kept blank instead of 0 in POS Order Detail report

125965

105939

Item level Remarks are not showing in #Conversion Production# document report

126992

105871

Line level charge is not being calculated properly in Sales/Transfer Order and Sales Invoice

131649

1062

When the application is being hosted in a Custom Port, value of  "Report Role" is not loading in User master

135024

1130

Close button is not working after saving Purchase Order

134063,135251,135286

1124

ITEM outbound event needs rectification - Error message is showing when blank item name is being sent through GDS Outbound

134965

1118

Profit and Loss B/S ledger balance transfer issue and amount mismatch in Closing and Opening Balance Sheet

 

1111

"Cannot saved Record: Reason: maximum number of expressions in a list is 1000" - Error message is showing when creating Job Order for more than 1000 items

133121

1101

"Due Date" is being allowed when it is less than "Order Date" in Job order

133887

1099

UDF information of POS Order is not showing in POS Order Analytic Report at HO

125965

1095

Last Process is getting deleted when orders for all the other processes is place except the last one

 

1093

"Cannot Save record: Reason: transaction rolled back integrity constraint (TTLT.R_FINTAG_POSTCODE2) violated - child record found" - Error message is displaying when trying to remove any un-tagged purchase Invoice

132926

1089

Created By field if getting mismatched in List View and Document view (Edit Mode) of Cancel Order

133828

1087

Charge is not being calculated correctly when Item is select by Copy Order option in Sales / Transfer Order

132951

1085

Additional Cess Rate option is not accepting 0 as value in GST Additional Cess

 

1084

Already defined values are getting changed when user modifies a single value BOM

132289

1078

"Cannot Save record: Reason: cannot update .... to NULL". - Error message shown when modifying WIP Material Transaction document

132424

1077

In Job Order module Item information block of select item is repeating cat3 value in cat 6 column

132322

1075

"An internal error occurred" - Error message is shown when Service Invoice Adhoc is created

 

1074

'SQL command not properly ended' - Error message is shown when giving a remark within single quotations

132433

1071

TDS Applicable and TDS Source are not being updated through Vendor master and Customer master excel import

132265

1068

Unable to Print Barcode directly from Goods Receive Challan (GRC)

131948

1063

Special character like "-" is not being accepted in the Document No. field of Outgoing LR

130692

1057

Unable to create Gate Entry with past date

130393

1051

"Invalid Scheme Doc no." - Error message is displaying while trying to create Delivery challan against order using data import

131040

1043

" "PUTAWAYREF0_"."UDFSTRING10","TAKEAWAYRE0_"."UDFSTRING10" and "BINADJUSTM0_"."UDFSTRING10" " - Error message is displaying while trying to do WMS Put Away, Take Away, Bin Adjustment after updating to version 12.5.1

130705

1039

"Cannot read record" - Error message is displaying while trying to create and populate item in Goods Receive Challan (GRC) after updating to version 12.4.6

129592

1036

Unable to issue partial Job Receipt

129574

1034

Wrong validation message is being displayed while trying to saving WIP Material Transaction for more than 1000 items

129083

1032

"Cannot Save record: Reason: Difference in account posting. Unable to save." - Error message is displaying while trying to modify Sales Credit Note

129907

1028

"Populate Site to All Items" button is not allocating quantity of items properly in Master Plan

129744

1025

"Error executing records: Reason: Difference in account posting. Unable to save." - Error message shown when item rate has 3 places after decimal

128564

1015

Export to Excel is not working in Service Invoice Adhoc

128184

1005

"Amount cannot be greater than <amount>" - Error message displayed when saving Service Invoice (Adhoc)

126759

979

While printing a set barcode with multiple sets, the total qty of the first set(display grid wise) is getting printed in all stickers

125178

966

Values of Owner Site and Reference Site is changed vice versa in list view of Service Invoice Adhoc

125558

964

"Amount cannot be greater than 92.80" - Error message is displayed when trying to change site in Charge master in Service invoice Adhoc

124965

961

A blank validation page opens when importing E-commerce - Fulfilled by Seller Sale

123861

908

E-invoice inapplicable B2C documents showing in e-invoice generator due to which the user is not able to create EWB for those documents

123315

902

"<Organization Name>:TAG_ADMSITE_SHRTNAME, Either site is invalid/extinct or site is not assigned to the user" - Error message is shown while import purchase service invoice below validation error is coming

120767

814

"Database error : -1403: ORA-01403: no data found" - Error message shown when making TDS Journal entry

116121

698

The format of Subledger Confirmation report is incorrect

133472

106012

Sub ledger name is not showing in custom reports

131978

106015

Order Status Report - report description is not showing

 

106003

Bin Wise Item Stock Summary - report description is not showing

 

106000

Item Costing - report description is not showing

 

105997

"Detail"- is showing in report name when "Show Detail=No" is set

 

105994

"Show Amount Above" - parameter is not working for multiple transaction of same Sub Ledger for same Bank in Receipt Register Summary report

130564

105972

Certain columns are not showing in POS bill related MOP report

 

105948

Rate is showing wrong value when Adjustment Quantity is 0 in #Stock Adjustment Summary# report

128122

105942

Jobber Name is not showing in Job Item Details report of Production

129077

105918

CESS Rate is showing wrong value in EMG GST E-Invoice Utility & GST E-Invoice GRT reports

127795

105907

#Bank PDC Analysis# report is showing blank

126192, 127551

105895

Remarks of item is not showing in Cube based report of Conversion Analysis

126992

105874

#Ledger Details - Cost Centre# and #Ledger Details - Cost Centre - Linked# reports are getting mismatched due to different sorting

126015

105865

Cash Bank Book report is showing wrong value when Sub Ledger-Employee is not being tagged with AR Ledger

125450

105847

Date format of Sub Ledger Detail report is getting changed after exporting to Excel

126049

105787

Item details is not showing in Store Audit Journal Report

120819

105470

Check Box related errors have been observed in Price Control operation

128402

1013

Sequence of all Operation in Working Plan is getting re-sequenced when a Process is deleted

127784

1052

 Ginesys Web Application is getting logged out immediately after login with Partner User

 

1072

Coupon offer ID is not being saved while doing redemption at POS end through EMR integration

128312

1065

"Server Error in '/GINESYSWeb' Application" - Error message is displaying while opening Report Header Footer in Allocation Group

131989

1064

HO to POS sync is lagging when multiple Promotions is assigned or changed to a particular site

132080

1060

Site fetch performance is lagging for all operations in Finance

 

1059

"Cancelled Quantity should be a multiple of the Scan Unit for one or more item(s). Unable to proceed" - Error message is displaying while creating Cancel Purchase Order of which Scan Unit is less than 1

131246

1054

RSP defined in Item Master is being overwritten by MRP in Price Control

130800

1047

Document Date related errors have been observed in some operations of Procurement

129464

1045

"No output generated" - Error message is displaying while trying to generate Print document report

130446

1044

Unable to create Goods Receive challan (GRC)

130537

1042

Wrong Component Item has been populated in Bill of material (BOM) after being copied

130749

1041

"Consume [quantity] cannot be greater than tolerance [quantity]" - Wrong alert message is being shown when tolerance quantity is not provided

129632

1030

Searching and Sorting is not working properly in Category field Of Select Item Window

129595

1026

"Invalid GL" - Validation message is showing while trying to import Finance sub ledger opening outstanding(Class name)

127883

1023

" "A"."LGT_DOCDT" " - Error message is displaying while searching for the value in Gate Entry lookup of Job Receipt

128929

1021

Loyalty point discount amount is not showing correctly for third party loyalty while creating Sales Return in POS

128274

1017

"Site cannot be published with out web database." - Error message is displaying while trying to publish Zwing POS without creating Web Database

122387

999

Item Rate is not showing up to 3 decimal places in Purchase Order

129683 

1029

Currency symbol is not showing as per Order currency in Charge Summery of Purchase Order

127885

1097

 User is getting logged out while using in-form Release button

129168

1046

Unable to create sales invoice of system date when Delivery Challan is created on previous accounting year

128186

1011

In PLUTUS integrated System Mode of Payment (MOP) detail is not populating in the bill and it could not be saved

 

1008

"Reason: There was some error in SQL (Code level) for updating PRDWIPMAIN table." - Error message is displaying while trying to save Outgoing LR entry when WIP transaction document is tagged

128040

1007

Some of data are not getting uploaded at the time of GSTR1 filing

127580

1003

Item details are not showing in Item Grid when Items are searched by Speed Search

127672

1002

Unable to save Service Debit Note

127377

1001

Updated information is not showing in Item Master

127084

998

Unable to save the Season details while creating Season in the Season Master

127417

996

"Cannot save record: Reason: Duplicate cheque cannot be added." - Error message is displaying while saving General Voucher in Edit mode

127189

995

Multiple Stock adjustment entries are created for multiple clicks on Update button in Update Stock Positions

127431

989

"Cannot save record: Reason: The Sum of the document adjustment amount and cash discount amount is not matching with the debit amount." - Error message is displaying while saving AP Voucher

125562

987

TDS Applicability is always showing 'Yes' in the Add mode of the Purchase Invoice

 127696,128026

986

Stock of all types of stores are showing in Online Stock window when Search by Name with Stock is selected

126267

985

"Either Settlement not done at Store or not yet posted at Head office in the range selected" is shown when Calculate button is being clicked in Salesman Incentive but either Settlement is not done at store end or not yet posted at Head Office

115940

984

Wrong charge is calculated in Purchase Order (PO)

 

983

"Cannot save record. Reason: error encountered -12899 at T_PRDWIPMAIN error during execution of trigger. during WIP entry saving" - Error message is displaying trying to save Job Order / Job Receipt

126067

982

"Finance module is required for this type of entry. Please contact your system team." is shown when adjustable document is present but license Finance module is not available

117138

981

"Invalid Scan Unit, Scan unit can not be negative or zero" - Error message is displaying while trying to import data Item Creation / Item Modification

118770

969

''Error executing records: Reason: An internal error occurred during your request!" - Error message is displaying while searching the document in the E-way bill module

125726

968

"No record found" - Error message is displaying while trying to approve Promotion at HO end

124386

950

Unable to take revert action on a Transfer Out Document that has been reverted from POS and for which IRN is already generated

123112

900

Document information icon (Question mark in red colour) is not showing in Goods Receipts

 

898

"Cannot Save record: Error: An internal error occurred during your request!" - Error message is displaying while trying to create Season

118902

865

After Document Adjustment of AR/AP Journal type transaction the document is getting untagged

121981

829

Smart Search is not working in "Reference Site" lookup

119488

753

UDF String naming convention is showing wrong for a few List view (LV)

129367

105930

Some errors are showing during report execution after update to latest version

126838

105901

Report Role & Folder Security is not working in the local system with updated Software Version - 12.4.6

 

105898

Default 'Report Role' is not showing in the User detail entry form

 

105889

"DBConnect Exception ORA-06550: ... " - Error message is displaying while trying to open Open Documents Logistics Pending report

 

105892

Cash Bank Book Report  is showing wrong when Sub Ledger-Employee is not tagged with AR Ledger

125450

105847

Net amount is showing wrong in Composite GST Report when Entry Source is Service Invoice

 126956

105841

Net amount is showing wrong in Composite GST Report when Entry Source is service Debit Note

126679

105830

Two columns are missing in EMR Submit Status Reports

126486

105818

Date format of #Sub Ledger Detail# Reports changed after exporting to Excel

126049

105787

Opening Balance is not matching with previous day's Closing Balance in POS Customer Outstanding Ageing

124157

105712

POS Customer with same name but with different code is getting grouped in the POS Customer Outstanding Ageing Report

124157

105709

Cost Rate column is not showing in GINVIEW.LV_MISC_ENTRY_RECEIVE Report

 

105679

"Show Blanks" option is showing in Credit Note Analysis Analytics report

123221

105651

"ORA-12899: Value too large for column ..." - Error message is displaying while trying to run WIP Valuation report

120980

105637

"ORA-06502: PL/SQL: numeric or value error: character string buffer too small" - Error message is displaying while trying to run Sub Ledger Detail (Printable) report

123395

105631

"DBConnect Exception ORA-03113: end of file of communication channel..." - Error message is displaying while trying to run the 

114135

105625

"ORA-06502: PL/SQL: numeric or value error: character string buffer too small ORA-01422: exact fetch returns more than requested number of rows" - Error message is displaying while trying to run the Ledger Detail Report

122039

105622

Component GST Register Report is not showing data sometimes while To Date and From Date is given

122741

105619

'#POS Customer Outstanding#' Report description is not showing correctly 

 

105574

Output is not showing for POS: Goods Return entry type in Component GST Register report

121702

105562

"DBConnect Exception ORA-01489 ..." - Error message is displaying while trying to run Sales Order Report

122035

105515

Omni Channel Sales Entry is not reflecting in Composite GST Report

121693

105512

Debit Note Analysis Report is showing NULL for POS

121427

105509

Different Opening balance is showing for different Working Dates though Report Date range is same in Ledger & Subledger Confirmation

120310

105477

VMI reports is not showing all the Vendors name

114754

105206

Open Goods Return (Debit Note Pending) report is showing wrong Invoice Details

114927

105170

E-Invoice was generated using the Supplier Address Details as present in Organization Master in EasemyGST Portal and not from the CSV file sent from Ginesys

 

947

Nature of Ledger is not changed according to Ledger Group

115575

105253

Performance issue in Create Item button behavior

114515

105062

Extinct Item is not showing in Items without Price Chart window in Purchase Order

125380

967

 "Supply type can not be change Pull on completion when the assembly item is selected as component item" - Error message is displaying while trying to change Supply type as Pull-On completion in Job Order

125367

962

UDF fields are not getting filtered in Promotion

125298

957

"Value was either too large or too small for an Int32." - Error message is displaying while trying to send data from HO to EMR

124765

953

Salesperson name is not populated at the time of return when Middle Name is null

124753

952

Received quantity is not showing While Importing Barcode against an Order in GRC

124549

949

"No response from server" - Error message is displaying while trying to define Service Rate for the Item

124576

948

Logistic status is not getting updated in newly added Logistic No. while in Gate Entry modification

117869

944

"data length exceeded for column doc_scheme_format" - Error message is displaying while importing Credit Journal

123876

934

Unable to change Factor in Sales Invoice

124022

933

Voucher Bill View is not opening

124091

926

First Charge is changing upon changing the second Charge in Purchase Order

123979

925

Snapshot quantity is getting wrong update in Audit Plan

 

924

The third-party loyalty page is not opening at the POS site

120630, 86099, 117645

923

Status of Service Order Invoice is  pending although Invoice booked against the same Service Order

123909

922

"The wait operation timed out" was occurring during saving the Audit Journal

117705

920

VAT is not calculated in Sales Invoice

123856

913

The "Split" type Conversion is not showing in the Conversion Type module list

 

912

User is unable to change the Stock points

 

911

'Invalid Shipping GSTIN Category ....' - Error message is displaying while updating Shipping details in Un-Managed site through Import data

123468

907

"Cannot Save record: Reason: Name is already in use" - Error message is displaying while trying to edit and save Managed Site

123721

906

HSN code is not populating in grid after creating the Item in GRS

123790

905

"The numbering scheme's document type is not matching with the module." - Error message is displaying while trying to tag Document Scheme "GST (Reverse Invoice)"

123063

904

UDF Sequence issue in Purchase Order module

123511

901

No alert message is displayed in Item Creation at the time of Data Import though the mandatory fields are not filled

 122959

878

Online sale quantity is not showing for Track Secondary site in POS Analytic Report

118449

867

 "KFCS.INT$PKG_STORUNMOWN" - Error message is displaying while importing data of Owned Store Sale

120658

864

Performance issue in Import Excel for Issue and consumption tab for Production and bundle module respectively

 119236

850

"Cannot Save record: Reason: The following Challan(s) are invalid Challan No. (DC No)/Challan Barcode ( Challan Barcode ) is for Managed Site Name" - Error message is displaying while trying to create transfer order through Transit via

121077

806

Several transactions mail is not going to respective receiver as per Ginesys Mail notification setup

121078

803

 "ORA-12899: value too large for column "SABH"."STAGING_POSBILLCN"."CNNO" (actual: 26, maximum: 25)" - Error message is displaying while trying to receive sync at HO

117735

759

"Report file was not found at C:\GSL\GINESYS12\Shared\Reports" - Error message is displaying while trying to preview Delivery Challan document report after adding a new Delivery Challan

117396

706

"String or binary data would be truncated." - Error message displayed when Sync receive failed at Store

115625

700

Mode Of Payment detail in same Analytic Report is showing mismatched results in POS and HO

110513

699

"Some of the items included in this journal is already existing in some active journal. Cannot activate." - Error message is displaying while trying to activate the Audit Journal

115516

688

TDS Amount is not being rounded off to the upper value

 

2482

Customer Loyalty opening and Closing point for Ginesys Loyalty is not showing in POS bill print

123327

917

"Total receive schedule quantity cannot be greater than total order quantity." - Error message is showing while trying to save Receive Schedule and Item Set is not scanning

122525

868

Audit Plan is not showing while trying to update Snapshot Quantity

123091

896

Site information is not showing from the second row onwards in Price Control

123111

895

VAT Expenses ledger is getting overwritten by Transfer Out Ledger in Customer

123183

894

Although single Cube is selected, Stock Book Summary Cube based report is not running

119447

105385

"The XDL diagram is not applicable to this XML document ... " - Error message is showing while trying to run Inventory Status Summary-Image Wise report keeping Price From & Price To parameter blank

121570

105481

Description is not clear for POS Customer Outstanding report

 

105467

Sub Ledger Detail report is not showing as per entry sequence

120075

105453

All the reports related to Stock Book summery cube are opening very slow due to performance issue

 

95360

Return year is showing wrong value for previous financial year while checking status in E-invoice

123044

883

Unable to print a particular file in Print LR Barcode

120474

882

Sales Person Last Name is not showing for a particular item in Return Against Bill

 

880

Unable to modify the quantity In Job Order

120156

872

The available quantity is showing zero in edit mode for Job Order Cancel

121351

871

While trying to open any Document in In General Voucher it is taking huge time

116722

870

"Cannot read records Reason: An internal error occurred during your request" - Error message is displaying while trying to open any document under Sales Service Invoice in edit mode

118923

863

Unable to define the Component Quantity with more than 3 decimal place in Bill of Material

121146

860

Unable to change Stock Point value for Reprocess and Adhoc type order in Job Order Cancellation Component window

121220

859

Sales Service Invoice is generating wrong Scheme Doc No. while importing file through Excel

119016

858

Unable to save Site Master when replenishment source is having more than 1000 sites in Manage Site window

122553

857

Order lookup of Select Order Item window is not showing pending Order in Delivery Challan Against Order

121907

856

"Maximum number of express 1s 1000" - Error message is displaying while trying to modify a GRC which has more than 1000 items

122633

855

Negative Stock checking is not working properly in Stock Point Transfer modification

122590

854

"You are not allowed to enter date "......" and "........" after" - Error message is displaying while trying to authorize the order in Service Order authorization

119666

853

Service lookup is showing only Order type services instead of all type of services in Sales Service Invoice

117771

848

For Sale Service Invoice IRN QR Code is not displaying in report

122006

847

In Sales Return, GST rate is not showing as per SLAB while trying to change the discount percentage

11719

845

Destination Site lookup is taking time to open in Sales Order Cancel

119299

841

Item Quantity is showing wrong while the user trying to tag item through the Excel import for manage site in Sales Return

117346

840

"Invalid Charge Amount for Service..." - Error is displaying while trying to save an entry in Service Invoice against document

119299, 118033

839

"An internal error occurred on your request" - Error message is displaying while trying to filter the Date field in Stock Point Transfer list page

119839

838

"The numbering scheme's document type is not matching with the module. Unable to tag" - Error message is displaying while trying to tag Credit Note and Debit Note document no scheme in Sales Credit Note and Sales Debit Note module respectively in Document Scheme window

122349

837

"First-generation failed, please contact EasemyGST" - Error message is displaying while generating E-Invoice

122421

836

"Invalid Value" - Error message is displaying while trying to type the supplier name in Vendor field

117196

834

Job receipt is not being allowed with zero (0) service rate

117059

833

TDS Round Amount is posting wrong value in TDS Journal

 

828

Purchase Return and Purchase Invoice cannot be created for already settled dates

116243

827

"An internal error occurred during your request" - Error message is displaying while trying to reopen the list page of Sales Service Invoice

114563

826

Auto TDS Journal Entry is showing Scheme Document value for Connected Site instead of Owner Site

121561

821

User is not receiving POS SMS (as per new Govt. approved Template)

121543

820

Duplicate entry is being created at the time of General Voucher creation

122171

819

In Purchase Debit Note all the records are not showing after exporting to Excel

121252

813

"Cannot Save record: Reason: Invalid Trade Group. Please select Trade Group LOCAL.Billing customer is not selected or GST state is not provided in billing customer, so you can only select the following trade groups: Local & Export." - Error message is displaying while trying to create a new owned sale by selecting a billing customer

119925

812

"The total debit should match the total credit in a journal" - Warning message is displaying while trying to create a AP/AR Journal with a decimal value

121325

810

"Item(s) quantity is greater than pending quantity" - Error message is displaying while trying to import the .csv file in GRC

121533

809

Service Ledger Reference Site is getting an insert for the TDS ledger instead of the Connected Site for the TDS ledger

120722

802

Single record is not searchable in Destination Site field of Delivery Challan (Adhoc) page after pressing "Enter" key

120774

801

Print Preference option is not showing in Receipts module

120231

798

"<Terminal name> is not a valid terminal." - Error message is displayed while accessing the Planning Module

120521

797

"Could not execute query[SQL: SQL not available]" - Error message is displaying while trying to search sale invoices in E-invoice generator module

120677

796

"WebClientPrint Error: The URL ... is not valid (Status Code: 200)" - Error message is displaying while trying to Print barcode level for previous year GRC document

119532

794

RSP value is not showing in GRT of MS-CO-OM-TS site in Sales Return

120442

793

Rate is not populating in Item Details grid of Purchase Order after doing Import Excel

120546

792

Amount field is not showing value in Gate Detail block while it is tagged with logistic in Gate Entry module

117710

789

Unable to create a Job Order after Canceling a Job Order

120498

786

Wrong Calculation is showing in Sales Order

120818

784

Unable to set different GST rate in multiple tagged Sales invoice in Sales Return

120360, 117239

779

Decimal value is not accepting in Job Cost field of Cost Sheet

120583

776

While creating the auto Purchase Debit Note the GST percentage is changing automatically

118565

773

Category Grid is not getting refreshed in edit mode for Item Definition

120018

764

Credit Note amount is showing twice at store report if paid through multiple mode of payments

116955

760

City, TDS Applicable and TDS Source are not getting updated while trying to import Customer master data through Excel

117991, 120012

732

"An internal error occurred during your request! during Season creation" - Error message is displaying while trying to save a session in web for a particular date

118779, 118947, 119004

723

Entry date is getting changed and Document Numbering Scheme is getting blank after creating AP voucher with past date

118259

719

Data sync has failed at store due to database problem

117363

705

General Ledger population taking time when selected from drop-down in any form in Finance

115026

689

Unnecessary vertical space appearing between two rows of promotion names in Promotion list view

98291

570

Section is not getting printed in barcode while giving print from GRC

 

563

Extinct Item is showing after Scanning with OEM_BARCODE

 

441

Return Rate in local GRT is not showing when the HSN has not been calculated

 

105203

Inventory Status Ledger web report is having multiple issues

120913

105459

Miscellaneous Entry No. is not showing in the report which is created from the cube

120940

105456

Credit Journal/Debit Journal Document report is not showing General Ledger Information as per entry sequence

120038

105450

"ORA-12899: value too large for column ..." - Error message is displaying when a Particular filed value is more than 1000 characters in Ledger Detail

119155

105351

"ORA-12899: value too large for column "MISRETAIL"."T$RETAILSALE_10"."BILLING_CUSTOMER_NAME" - Error message is displaying while trying to refresh the Retail Sale Detail in Cube Manager

118418

105348

Document Quantity in Service Invoice in showing wrong information

115572

105335

Net amount of Sale Service Invoice is showing wrong in Composite GST Report

116257

105332

Original order quantity and Pending order quantity is showing 0 and negative value respectively in Purchase Order Analysis

117308

105326

Error is showing in Sales Return Tax Summary

118026

105323

Wrong data is showing in Purchase Order Tracking Detail

115840

105277

Alignment issue is happening in some bank cheque

114638

105265

Data of LWTD_QTY field is not showing any data as per given information

113845

105262

 ITEM CODE is not showing in the Stock Movement analytics report at Store end

114443

105215

Agent Parameter LOV is not showing in Sub Ledger Details & Sub Ledger Summary Report

115110

105200

AR/AP Voucher Document report is having Clearing Adjustment & Total issue

115820

105197

Data is not flowing in Voucher (AR/AP) Document - Linked Report

115028

105176

Opening and closing balance is showing wrong while selecting more than one financial year in Sub Ledger Summery

112685

104952

Data is getting mismatched in WIP Valuation Report

106634

104879

Barcode is not printing as populated sequence

 

795

Basic value is wrongly calculated as zero in Sales Order

 

780

Error executing records: Reason: Unable to find a constructor to use for type...... - Error message is displayed when releasing Sales Service Invoice

120579

778

In Incoming Logistic, Invoice No. field should be unique as consignee, Invoice no, Invoice date and year wise

 

772

Zero rate item is not allowed - Error message is displaying while trying to save an entry of an item which has zero rate

 

766

The system is getting hanged while the user verifies the stock between 5 to 6 digit

 

749

"Site amount must be equal to Service amount" - Error message is displaying while trying to save Service Invoice against Order

 

754

Distance value was passing in the wrong format

 

105409

Address field being broken up due to inclusion of special characters or pressing the Enter key

 

105409

Incorrect validation message was shown when address had more than 100 characters

118023

105409

User is getting an error while creating the Gate Entry

 

747

"Issue Date should be open Accounting year" - Error message is showing while the user trying to issue the LR from Workbench on last Accounting Date

 

746

Sale service invoices getting saved as GST not applicable

 

745

"Unable to update Item Stock. The given key was not present in the dictionary" - Error message is displaying while the user is updating the Stock Audit

 

744

Same PO generating twice with different PO Numbers if click twice on "SAVE" button

 

743

Unable to change scan unit from Manage and data import

 

742

User is Getting log out from the web while trying to upload a photo for the item through the capture image option

 

741

"An internal error occurred during your request!"-Error Message is showing while trying to open the working plan module

 

740

TDS Document is generating with Zero amount while the user posted the entry from the list page

 

739

"An Internal error occurred"-Error message is displaying while sorting on Sequence No column in Bin Master

 

738

"Cannot save record"-Error Message is displaying while trying to save the AP Voucher in Edit mode

 

737

While printing any GRC of last accounting year, an error message is showing

 

735

Service Invoice Against document (logistic) is showing only connected Site in Site detail

 

734

Stock Entry is not showing in list page while entry is saving without item scanning

 

731

LR Issue, LR Cancel, and Gate Entry is generating on system date instead of Working Date

 

729

"An internal error occurred during your request!" - Error Message is displaying while selecting transporter in the E-invoice generator

 

727

"You're trying to decode an invalid JSON String" - Error Message is displaying while trying to copy from any Form in Finance

 

722

Item sequence is getting changed while creating item through PO import excel

 

721

Partner user not able to Login on Vendor Portal

 

720

Open button is showing disabled while trying to release inventory month

 

718

Problem in HSN clubbing logic at the time of E-way upload in E-way bill generator

 

717

 Online Sale Figure is not reflected in Online Sale Summary Report type

 

716

Document Adjustment round off problem in Manage Adjustment window

 

714

Debit Journal/Credit Journal round off problem in Adjustment Entry window

 

713

All applicable sites are not showing in Site window

 

712

All General Ledger is not showing in General Journal, General Voucher, Debit Journal, Credit Journal

 

711

General Ledger drop down window is taking excessive time to open in General Journal, General Voucher, Debit Journal, Credit Journal.

 

710

Same instrument number could not be provided in multiple vouchers despite single consolidated cheque being made to the bank

117712

709

"Cannot save record:" Error Message is showing while saving Debit Journal with Site Import

 

704

Printing Division instead of Section while printing barcode from web

 

702

"Finance Month is already closed. Unable to pass entry" - Error Message is showing while user trying to create AR Voucher from Import Excel option

 

696

The group name is not showing while doing return against the bill

 

693

Document scheme number is not populating properly while importing Goods Receive (Adhoc)

 

692

"Only other class type sub-ledgers allowed here" - Incorrect Error message is showing If there are any other class type sub-ledgers available and unable to import the file

 

691

Bill discount amount is taking the wrong value when return item is available in the last row of the bill

 

690

"WebClientPrint Error: The URL...is not valid (Status Code: 200)"-Error Message is displaying while giving print packet barcode and also print to file is not generating

114943

677

Select Document is hiding behind 'Adjustment Entry'

 

676

"Cannot Save record: Reason: More than one Store Location found" - Error is showing While creating a sales invoice

114322

672

Data not getting uploaded in EMG for GSTR1 filing

 

670

In Advance Filter, Value field is not showing properly

 

569

Unable to scan set barcode in Confirm Picklist manual scan

 92235

565

After sorting item barcodes as per CAT(1/2/3/4) and then update UDF text field, it's getting saved but in item master it's not reflecting

89008

551

Online sale getting pushed also when inventory month is closed

88458

550

1st Process item component showing Pull-on-Order instead of Pull-On-Completion

116860

105241

"Service Order Information contains invalid data"-Error message is displayed while saving the entry

116342

105329

The system is getting an error "....data dictionary" while updating item stock from Verify/ Update plan operation

 117950

105314

"....Child record found"-Error message is showing while the user delete the item from Order detail block

117988

105311

User unable to allocate Adhoc item to Manage Site

117960

105308

Close button is showing disabled

117187

105305

Document No. field is not accepting duplicate value. It should be unique for Year wise - Transporter wise

117300

105302

In Sales Return, after modification GST charge from Invoice block, is not getting effected in the entry

117077

105298

WIP details not found in WIP Clearance

117539

105295

Category information not shown in Component Item Details window of Job Order Cancel 

117421

105292

Delivery Challan Against Reservation quantity is getting mismatched with Scanning quantity

 

105289

The Select Item window should not close after the population of the item in Job Order and Job Receipt

 

105286

Job Order Cancel document cannot be modified

 

105283

The system is getting an error "An internal error occurred during your request" while user authorized the document

117303

105256

Using Set Control file, total set quantity is not showing

115633

105173

Error Message- WebClientPrint Error: The URL ... is not valid (Status Code :200)

116602

105250

"Stock for some of the item(s) is getting negative. Cannot proceed."- Error message is displayed while Posting the entry from the list page

116463

105247

System is not allowing to cancel PO although the order status is partial pending

116743

105235

No Data is populated in Grid of Allocated Site(s) after importing from import Excel process

116254

105194

TDS Amount in Invoice and TDS Journal is getting mismatched, while Auto TDS journal is creating from Service Invoice(Adhoc/Against Doc) module

115922

105161

 Calculated charge amount is becoming zero (0) if Charge factor is provided to next document level charge

115412

105147

Unable to issue components from WIP Material Transaction

 

105138

User is not able to check the total quantity and amount

115446

105132

Unable export to Excel in the Return Wizard

115069

105129

GST factor not updated when user modify item rate

114727

105126

An error is throwing on Click of Generate button

115421

105117

User unable to allocate Adhoc item to store

115189

105113

A.OUNAME - Error message is displayed when searching for site name in Site lookup

114823

105101

Item quantity is populating as round quantity in printing

115290

105098

Service is not changed after removing the present service

 114795

105087

Selected Stock point data is not reflected on selecting GRC as document type in print Barcode Label

114800

105077

Department is showing wrong In Purchase Order form

114704

105074

All the Sales invoices are populated in Outgoing LR instead of the filtered Sales invoices of the selected Consignee

114517

105056

User is able to select Adhoc Items although "Allow Adhoc item selection in Receipts" is unchecked in User Profile

114722

105052

Item quantity should be <= Pending quantity in PO - Alert message is seen when GRC Against Order import Excel is getting an error

113884

105046

Cannot save record - Error message is showing while creating GRC in Mixed mode

113751, 114679

105043

System is checking document date for duplicate value 

113883

104980

The system is getting an error at the time of importing new Purchase Order

109326

104922

Book Quantity is not picking as per Site wise and Loccode wise

109692

104733

Good Receive Challan cannot be saved after modification

116566

105244

Issue Stock point getting blank after saving Job Order

116859

105238

User unable to open site schedule in service detail block in Service Order

116646

105221

AR/AP Voucher Document report is having multiple issues

115820

105197

Customer-Vendor Outstanding Ageing Analysis is showing wrong slab

 115927

105280

Performance issues in some of the web reports

117399

105377

Incorrect amounts reflected in Sales Invoice Register - Customer Wise (Summary)

115995

105320

Purchase Return Charge Summary report format has issues

116768

105271

Bank Balance As Per Book column in BRS report is not showing any data, in case of reconciled data

116800

105268

Purchase Order Status Site wise report having multiple issues

 116756

105229

Charge Ledger / Subledger not tagged with connected site - Error message incorrectly shown when importing Sales/Transfer Order

 

104955

Restricting of AR/AP sub ledger in Debit Journal based on assign organization and replenishment source site tagging

 

443

Agent & Transporter name is showing blank for DC Against Order import

84794, 100835

84848

Wrong Vendor Name displayed during editing of new item created by importing Purchase Order module

117096

80255

Wrong validation message showing in Purchase Order import

45586

22011

Proper validation message is not displayed while importing new or modified items

86034

87172

Error occurred while processing staging data... - Error message showing when user is trying to import Serial Barcode for Item creation

84793

85283

Header level charge not getting round - off 

106391

104557

Related Working Plan data not reflected in Sales/Transfer Order custom report due to technical issues

117096

 

Item images are showing - 'Error loading image button' in Inventory Status Summary - Image Wise report

 

105065

Parameter ((VendorName) is not showing as String and Procedure PROC$SALLEGSUMM is not accepting the String value in Sales Invoice Ledger Summary Report

93622

105027

DBConnect Exception...' - Error message is shown while running the Inventory Status Summary - Image Wise report

 

105024

Parameter (AgentCommission) is not showing as String and Procedure PRC_RI$AGENTCOM is not accepting the String value in Agent Commission Report

108921

105021

Customer names are not showing in Customer Name Parameter LOV in Customer History

105552

105001

POS Site parameter issue is shown in Pre Promotion Analysis report

109205

104995

WIP Valuation report showing wrong valuation

106634

104879

Store stock point data is coming ahead of Transit stock point data in Item Barcode History Date Wise Document

110526

104845

PDC till date parameter is showing wrong in Bank PDC Analysis

 

104776

Wrong data is showing in POS Analytics Miscellaneous Issue/Receive

106189

104773

Object & Joining are missing in Stock Point Wise Ageing Analysis cube

106021

104770

Line Item ID is not coming serially in EMG GST E-Invoice Register

 

104719

UDF6 to UDF10 columns are not available in report POS Bill view

103132

104706

'DbConnect Exception ORA-00904:"GINVIEW"."LV_HSN_SAC_RATE_APPL"."UK": invalid identifier ...' - Error message is shown in Data Source

 

104702

'DBConnect Exception...' error message is shown while user executing Component Order Status report

 

104603

Job Receipt Costing and Working Plan Cost Sheet are showing wrong costing value

 104953

104526

Over due days value is showing wrong alignment in Assembly Order Status (Ledger)

 

82263

Alignment issue in PDF format in BIN wise Item Stock Summary

 

56970

CAT filter is missing for Pending Order Status web report, as per D2K

112196

104964

POS Customer Outstanding output is not showing as per given Date range 

 

104961

Opening is not showing in POS Customer Outstanding report

110251

104958

Report Formats are showing wrong in Ledger Confirmation & Sub Ledger Confirmation web reports

113196

104940

Wrong tax is calculating in Purchase Invoice Document Report

89709

104931

Wrong stock is showing in Item Wise Quantity report

92434

104928

'DbConnect Exception ORA-01476: divisor is equal to zero' - Error message is shown while running the Goods Receive Register report

93414

104919

'Wrong metadata in EX_MDREPORTFILTERCONFIG for TV_CUSTOMER_MASTER_LABEL' - Error message is shown while running the Customer Master Label report

94289

104916

Ledger is populating and removing repeatedly on pressing Backspace key

111505

104937

Item quantity is rounding off while printing barcode in GRC

115290

105098

Selected Stock point data is not reflecting in print Barcode Label for GRC

114800

105077

Sales invoices are not getting filtered by Consignee name in Outgoing LR

114517

105056

User is able to select Adhoc Items although "Allow Adhoc item selection in Receipts" is unchecked in user profile

111505

105052

Item Qty. should be <= Pending qty. in PO - Error message is showing while importing Goods Receive (Against Purchase Order)

113884

105046

Cannot save record. Reason: error(s) in array DML -  Error message displayed while creating GRC in Mixed mode

113751, 114679

105043

Stock Point Type lookup is showing Site as a type

114294

105018

Display Stock checkbox in Select Item is not showing stock for GRC and Purchase Order 

113788

104984

Cannot Save record: Reason: Plan Quantity cannot be less than Order Quantity - Incorrect error message is displayed while item quantity is updated in Working Plan

133174

104971

Charge Ledger / Subledger not tagged with connected site - Incorrect error message being shown when importing Sales Order/Transfer Order for unmanaged site

113616

104955

 Quantity is not populated in item information grid if Job Type is Plan based Non-Standard

113611

104943

Incorrect IGST reflected in Sales Return

111843

104934

Consignee city is not populated in Station To field although Consignee selected has city defined

112688

104909

Delivery quantity can not be more than pending quantity - Error message is incorrectly and user is unable to populate items in grid of Delivery Challan Against Order in FIFO Mode

112860

104906

Gate Entry is not populated although consignor is Gate Entry applicable

111878

104900

Item is not populating in the main grid after creation from GRC

111835

104897

Calculate Charge button is not working in Sales Invoice

112199

104888

Transporter(s) GSTIN State is different to that of the Consignor/ site(s) GSTIN State...... - Error message incorrectly displayed in incoming LR

111544

104882

In edit mode, Category is not displayed in LR and Double records are added automatically upon adding one record to incoming LR

111170

104848

Book Quantity is not showing as per Site wise and Loccode wise

 109692

104733

An internal error occurred - Error message is displayed when saving Job Receipt

 

104685

Round off not calculated for header level charge

106391

104557

Sales order is not opened after updating the version 11.153.10.

106680

104546

Auto Transit Delivery Challan (DC) does not show any item information

106860

104523

Item against pending order is not showing in entry in Delivery Challan Against Order

106209

104447

Stock Entry is taking non-plan item from Import Barcode option

105366

104396

Duplicate LR getting created 

 

104323

Negative stock is not checked when user populate item through import barcode mode in Delivery Challan Adhoc

104925

104274

Negative stock alert fired for on FIFO mode set item population when stock already exists

102899

103812

Application is taking too long time to populate data when user selects option "verify physical stock entries" from verify/update wizard

100267

101906

GST factor does not updated when user modifies item rate 

99252

100192

Invalid document type defined. For MS-OO-CM site, only "Procurement: Purchase Return" is allowed - Error message being shown incorrectly when searching documents for E-Way bill generation

111505

679

Error: Cannot save record: Reason: When reference site is not consignment mode... - Error message showing while taking Reference Site type Unmanaged Customer Owned Site & Sub Ledger type Customer in all Finance forms

113367

671

Set-off button is not working in Document Adjustment form in Finance module

113249

669

Cannot Save record: Reason: Invalid Trade Group......- Error message shown when incorrect entry is generated in Fulfilled by Seller through Excel import

112974

667

No values are showing in the ledger or sub ledger dropdowns of any Finance module forms

 

666

HSN/SAC code is not printing while printing barcode labels through Ginesys Web (v12)

110970

661

Cannot save the record: Reason: Method arguments are not valid. See validation Errors for details - Error message shown in Retail Sale when saving Owned store sale with rate in decimal value

109336

650

An internal error occurred during your request! - Error message shown in Fulfilled by Seller when records are sorted based on Net Amount

103147

588

Price Type Standard Rate not getting updated while updating vendor master through Excel import

86788

532

Could not load type 'Ginesys.UI.Report.ReportPreview' - Error message shown when trying to see Sales Invoice Document Report

111239

104794

Category name is showing different in Category master and Item master

89644

94413 

Invalid validation message is showing while importing Sale Service Invoice

 98612

100259

Wrong validation is shown when effective rate goes negative on saving of an entry in GRC

105005

104621

HSN code note is showing in edit mode in Purchase Invoice

 

104429

Sometimes charge is calculated wrongly and saved on creation of an entry in Sales Invoice

106206

104469

List page for Bundle operation in Inventory is taking long to load

105153

104326

List page for Split operation in Inventory is taking long to load

105135

104284

Charge factor is wrongly changed during GST factor modification if GST charge is same but factor is different in Sales Invoice

104682

103886

Bundle entry is not showing in list view if user updates process details in Process master

103841    

103849

'Day is already settled. Please change the entry date...' - Error message is shown and user is unable to post the document once Invoice Date is settled in either manual or auto Purchase Invoice (PI)

102789

103770

UOM and Tax Group were not auto-populated even when there is only a single article within the selected Department when creating or modifying items

89527

103822

Negative stock alert is shown for FIFO mode set item population when item stock already exists in Delivery Challan Against Order

102899

103812

Item Rate is getting wrongly calculated when user sort column wise in Price Detail window in Delivery Challan Adhoc

   102507

103788

Auto Debit Note is not created when multiple items are selected and multiple charges are applicable during creation of entry in Purchase Invoice

102262,105157,105565

103785

 Locked value is not cleared after closing the session in all fields of Create Item form in Inventory module

102759

103773

'Value too large for column "GINARCHIVE"."RI$PAYRECREG"."DOCUMENT_REMARKS"'- Error message is shown in Payment Register Details and Payment Register Summary reports

105208

104387

All Amount summation are showing wrong in Sales Return Register - Date Wise report

104775

104366

Character range of all the Address fields are not correct in GST E-Invoice Utility Register

105150

104314

Multi OU printing issues in the following modules while running all the below mentioned reports

 

103662

Component "icode" and BOM Quantity value not showing in Custom Report

 95551

102824

 Document reports are showing blank while user selecting multiple document of different OU

 

104128

Wrong report name is shown in the place of Interest Calculation - Sub Ledger(Customer)

 

94320

Component are showing double Qty in report and component details are showing below of assembly item's details in Job Order Letter

 

82266

POS Customer Outstanding Report is showing wrong while opening the report

 99529

101996

Objects/Categories are missing in the report server

95482

100277

Bill Wise Outstanding report is showing blank while user selecting a particular customer

 99077

100274

Retail E-COM Fulfilled by Seller Default report is not working

98406

100207

'ORA-12899 : value too large for column' - Error message is shown in Ledger Detail report

99049

100204

RSP From and RSP To Columns name are showing wrong in the LV_SALPRICELIST_EXCEPTION Data Source 

91726

98689

Order status report is taking long time to open in Inventory module

 95710

98686

GRT Default document in POS has a few issues

95803

97129

Mismatched values in Profit and Loss Periodic report and Cost Centre (Tabular) report

90775

96889

All multiple cube related web reports showing multiple data for same entry if no particular cube is selected

 

96470

Wrong quantity is showing in Auto email of Sales Invoice

91726

96458

All the reports related to Stock Book Summary cube are opening very slowly

 

95360

Error: DbConnect Exception ORA-04063:view "GINVIEW.LV_BILL_HEADER" has errors in WebReports.Api.Data.DbConnect.Schema ....- Error message is shown Store Sales Person Incentive Summary and POS Bill Register Report is run

88909

90209

POS Executive Report could not be found in intended location

 

87154

While creating GRC in POS with a 13 digits barcode its displaying only 12 digits

106574

0000621

Values in the drop-down of the field Module are not displayed in a sorted order

 

0000606

'Cannot resolve the item. Reason: An internal error occurred during your request' - Error message is shown and unable to cancel purchase order against shipment tracking

89944

0000603

Drop-downs of Role Name & Role Policy Name is showing in list view of User Assignment

 

0000598

'An internal error occurred during your request!' - Error message is shown while typing anything in sales team name in assign organization site

103960

0000595

Username column is showing blank in User Assignment display grid

103492

0000591

Predefined default UDF value is not showing in POS site after allocation

 101001

0000590

'An internal error occurred during your request!' - Error message is shown if sort by net amount in fulfilled by seller

103147

0000588

The search text is getting removed after opening the drop down in Item master

 

0000585

Unable to search items through category field from manage item in Inventory

94502

0000584

Regenerated APIKEY is not showing in the user's record

 

0000580

'Cannot Save record: Reason: integrity constraint (MAIN.PRDPRRATE_ITEM_R02) violated' - parent key not found' - Error message is shown while saving Process Master with Rate

100952

0000579

'Cannot Save record: Reason: integrity constraint (MAIN.PRDPRRATE_ITEM_R02) violated' - parent key not found' - Error message is shown while saving Process Master with Rate

100952

0000578

Global search is not working properly in Bin Master

101375

0000577

Stock Point Type of store is displaying blank in edit mode

99974

0000575

User is able to delete or remove the copied integrated MOP even after processing the payment in Ginesys POS

86582

0000571

Section is not getting printed in barcode while giving print from GRC

83816

0000564

 Unable to select year & month for sync to EaseMyGST

92908, 92843

0000562

Coupon offer is not working properly at POS site

90309

0000559

Error occurred while calling EasemyGST API...' - Error message is shown and unable to generate E Way bill

89633

0000554

'POS Analytics - Warning : ORA-00979: not a GROUP BY expression...' - Error message is shown and unable to open Sale Stock Report - POS Analytics

89615

0000553

Return items quantity is showing positive value in Franchise (secondary) sales

 87429

0000548

'Procedure or function spPOSPayDropUpd has too many arguments specified' - Error message is shown and unable to modify payment drop in POS

88496

0000545

The payment is getting accepted again while pressing enter after processing the payment from third party integrated MOP in Ginesys POS

86582

0000544

Search option working only by Description 1 (column) field in Item master display list

 85399

0000529

Released transaction documents are getting reverted having E-Invoice information

 

0000528

"Failed to enable constraints. One or more rows contain values violating non-null, unique, or foreign-key constraints.' error " - Error message shown while opening POS drawer summary report

 84701

0000526

Unable to export Audit Trail data

 84078, 85257, 83932,

0000523

In Fulfilled by Seller, rate is not getting populated at the time of scanning items

 84678, 84366

0000522

Invalid document type defined. For MS-OO-CM site, only "Procurement: Purchase Return" is allowed - Message is being erroneously shown when owner site is modified before save

82113

0000518

Fulfilled by Seller page is opening slowly

 84243

0000517

"ORA-00001: unique constraint (BKHO.PSITE_POSPAYDROP_PK) violated " - Error message shown on sync after POS Recovery

83728

0000514

POS recovery from HO got stuck at "Stock - Checking whether Global Credit Note posting is required"

83417

0000512

Recalculate Tax not reflecting Online Sale impact

83980

0000511

Stock related reports are showing wrong in HO

 86582

0000508

Software is getting hanged while adding new cube in cubeset and action LOV is not opening also in Cube Manager

82736

0000506

0000094 Failed to enable constraints...... - Error message is showing when Remarks is too large in Pay In/Out

68599

0000094

Duplicate entry is generated while clicking on save of Purchase Invoice

100824

103511

Saved Transfer Out document is taking too time to open

101189

102572

Date wise individual filter is not working in Delivery Challan Adhoc

100140

101909

Negative stock alert is shown when already stock exists during item scanning in Delivery Challan Against Reservation

100107

101900

Incorrect user showing in Created by field under panel information in GRT

100102

101791

Duplicate item validation is shown while deleting some items in GRC in edit mode

100158

100294

User profile - 'Allow Ad-hoc item selection in Receipts' in procurement module is impacted in delivery challan against order alternate mode

98709

100210

Incorrect applicable amount is calculated after auto creation of Purchase Debit Note entry

 

100002

Online Sale related impact was missing from Recalculate Tax

 

0000511

'Invalid document type defined. For MS-OO-CM site, only "Procurement: Purchase Return" is allowed' - Error message is shown while opening the E-Way Bill Generator page

 

0000518

Master search option is not working for display list in Petty Cash Head

 

0000521

'Data export failed...' - Error message is shown while exporting Audit Trail data

 

00000523

Finance register cube is not getting refreshed

 

0000509

Search option is not working for Description (2,3,4,5,6) in Item Master - Display View

 

0000529

Performance issue while import 'E-commerce - Fulfilled by Seller Sale' 

 

0000543

Rate is not populating at the time of scan item in fulfilled by seller

 

0000522

Return items qty is not coming in negative value in Franchise (Secondary) sales

 

0000548

UDF is not updated for bulk update in item master

 

0000551 

Value of Created By and Created On fields are getting updated by the value of Modified By and Modified On fields in edit mode of production document

97686

99675

Cursor is not moving from scan section after occurring validation in Delivery Challan Against Order

97194

99649

User able to modify and save destination site in edit mode where items are already exists against order

96008

99326 

An error message is shown on saving of Transfer Out when multiple delivery challan and same item exists in single transfer out entry.

95464

98555

Incorrect rate is populated if user modify date (set as past date) in adhoc sales return

94644

96661

Negative stock alert is not showing after consuming total stock

93718

95408

'No response from server' - Error message is shown while the user open production list page

93601

94867

'Some Invoice (s) are modified/return/deleted from another session' - Error message is shown when user update a sales return document with partially received packet

93492

94858

Negative stock alert is shown while scanning items in GRT Against Receipt and Wizard mode, even item stock is already exists.

92629

94410

Append operation is not working when user populate duplicate barcode in main item grid under Duplicate Item window in GRC Against Order module

  92641,95766

94462

Net Amount is showing wrong for 'Wholesale' mode in Company Sale Analysis cube

83292

90191

Unable to print the Sales Invoice Document from Web report module

93950

95471

$ sign is wrongly placed in Composite GST Report name

 

94317

Deleted Document Register report is placed in wrong location

 

94314

Net Amount calculation is showing wrong in Purchase Invoice Register report

93114

95073

RSP is not showing in Goods Receive Register report

93114

95249

HO SALE QUANTITY and NET HO SALE QUANTITY columns are showing different value for same site and same date range in Stock Book Summary report

92434

95363

Same GSTIN GRT Document is showing in EMG GST E-Invoice Register

93088

94837

UQC is not showing when specified condition is not satisfied in EMG GST E-Invoice Register

93221

94815

Taxable amount is mismatched in EMG GST E-Invoice Register 

92083

94792

Stock Book Stock Point Wise cube showing multiple records against same Barcode, Sitecode and Stockpoint code

89720

93729

Cash Bank Book Report and Bank Reconciliation Statement report's ledger balance are not matching 

91620

93726

'Cell [L13] has the autosum flag however the cell contents are not valid for autosumming' - Error message is shown while running the Purchase Return Register report

91353

91958

'ORA-06502 : PL/SQL numeric or value error:...' - Error message is shown while running the Sub Ledger Detail report

87503,88964

91907

E-Commerce Sale Register report is taking long time to execute

86695

91781

GRT-Adhoc document reports showing blank while running the report

89330

91429

Owner Site Address is missing in Transfer Out document report

 

90715

Doc. Date field is wrongly showing in Sales Invoice (GST) Document report  

 

90703

'Invalid filter value' - Error message is shown while selecting value from filter of Sales Invoice Register - Customer Wise report

 

90483 

'Index was out of range' - Error message is shown while running Sales Invoice Register Date Wise report

 

90480

'Object Reference not set...' - Error message is shown while running Stock Audit Verification report

 

90460

Credit Card Amount not showing in LV_POSBILL_SUMMARY datasource

88050

90287

Line level changes column is showing zero for Transfer Type managed organization owned consignment site to managed organization owned consignment site in Site to Site Movement

 

90185

 POS customer's GSTIN number is not showing in Retail Sale Detail Cube

88448

89909

Document Adjustment report is not running in Web Reports module

 83899, 73033

89813

Few columns are not present in data sources of Store Sale Periodic Growth Report

 

88160

Negative stock alert is not working in Stock Point Transfer module for Import Barcode option

89530

93214

Error occurred when user want to view an entry from list view which is created on a year which is already closed..

90973

93697

MRP value gets populated in RSP when user created invoice against return through import barcode

90973

92027

Item code did not appear in message window in scan item module when scanning incorrect item

90973

91976

Financial posting not reflected in database on Transit In posting

90744

91937

Header & Footer did not allow more than 500 characters in Report Templates

90297

91823

Adjustment amount can't be more than Net Amount value. - Error message was displayed on saving due to incorrect round off calculated against adjustment amount in Purchase Return

90636

91665

While importing barcode with zero quantity, application converted the quantity to scan quantity

84256

85420

Percentage based charge factor not accepting values up to three decimal places in Charge master for normal charges as well as tax component

 

90903

factor not reflected in charge summary after changing item / invoice level

89826

90793

Item scan not working in Delivery Adhoc

90053

90733

Negative stock checking is not happening in Modify mode if quantity remains unchanged

89530

90688

Error details: Cannot Save record: - Error occurred on save if user scans duplicate Challan barcode

89970

90679

Stock Audit not working on large number of items

89375

90329

Logistics No field LOV showing LRs for all sites

89153

90323

In Print Document module, Doc. No. field is showing blank for Track Secondary site type

87701

87290

'Error: DbConnect Exception ORA-04063...' - Error message is shown in Store Sales Person Incentive Summary and POS Bill Register report

88909

90209

Some issues are found in E-way-bill Details section of released Generic E-Invoice Utility Report

 

89838

Some more issues are found in Generic E-Invoice Utility Register report

 

89798

Some issues are found in Generic E-Invoice Utility Register report

 

89921

The Term Code is not saved in Database when user save GRT which is against GRC

 

87737

Unable to update Stock Position against Stock Plan from Stock Audit wizard

88918

89937

Transfer In document is taking long time to open which is created against managed site

88287

89726

Unable to proceed further when user remove the tagged GRC from GRT in edit mode

 

89696

Unable to save Sales Return document in edit mode if same item exists in multiple packet and multiple quantity

88048

89554

Released transaction documents are getting reverted despite having E-Invoice information

 

528

Column ''GSTEInvoiceId'' does not belong to table GSTEInvoice - Error message wrongly displayed when  GST E-Invoice cancel information is getting downloaded in HO

 

527

Unsent Void Bill was not getting synced to EMR (Loyalty Data Re-send to Third Party)

 

525

Settlement related information is not getting displayed at Site master Web and BI report

 

524

Fulfill by seller taking too much time to load

 

517

Closing quantity of Sale Stock analytic report is showing wrong value at HO

 

516

Finance register site cube failing to refresh when the organization has multi OU present

 

509

HSN/SAC code is not getting displayed in HSN/SAC master display List

 

507

Promotion is not visible for Extend Timeframe LOV

 

501

A few columns were missing in Transfer Out

 

85172

BOM Qty & Component Cost Rate are not showing up to seven and three decimal places respectively in Cost Sheet

 

81608

Process row is not showing in bold Bills of Materials

 

81605

BOM Qty is not showing up to seven decimal place in Bills of Materials

 

81599

Multiple Route for Single Item is showing wrong in Bills of Materials

 

81596

Adhoc Working Plan is not showing in Assembly Status report

 

81590

BOM Creation Date is not getting updated after modification in Bills of Materials

 

81602

Objects and Joins are missing in various reports

 

84473

Document reports are not opening while running report from different report server

 

77894

ExecuteQuery function is not working in scheduled output

 

58531

Some packets are not populating in the main window after selection from the Search Packet window

86979

87226

Internal error occurred when user modify vendor in GRC which logistics applicable

87046

87122

Stock quantity showing zero when user populate item through import bar code module under Add item window

85097

85810

No data found - Error message shown while selecting Destination Site in Sales Invoice when site is not having tagged City master

85556

85883

The Audit Plan is automatically getting activated after an error message is seen when a huge number of items are included in the plan

 

86160

Incorrect charge re-calculated when multiple charges are defined in Term tagged in Purchase Invoice

85175

86907

No response from server - Error message see when trying to load Split/Bundle list view

85322

85543

Multiple issues were present in E-Invoice

 

85859

Multiple entry numbers are generated on subsequent saving in various modules

83756

84538

'Cannot save record, Reason Duplicate item rate combination exists' - Error message is shown when user create GRC with different set code but the set is created with the same item and same purchase order

84519

84449

'An internal error occurred' - Error message is shown while user doing import file with quantity column mapping in GRC Against Order

84476

84107

Sometimes stock is not updated properly in Sales Invoice edit mode when user changes Destination Site

 

84371

'Unable to update stock' - Error message is shown when user cancel the Delivery Challan for which the month has been closed

84343

84098

'Document date must be less than Entry date' - Wrong validation message is shown in Document Date field in Purchase Return 

83969

83726

Short/Excess Amount is not changed when user populate GRT(Packet) details by clicking on 'Receive Selected packet' button without providing it manually

83660

84089

Rate column of Item Information section is not updated in Split module for new item creation

84003

83537

Duplicate items are getting created for same combination

80499

77299

Duplicate items are getting created for same combination

80169

83560

DC Against Order not showing in LOV of DOC Printing

82741

80276

Error occurs in Purchase Order for DATE UDF

81131

77502

Unable to import Customer via Import Excel as previously non-mandatory column was showing as mandatory

80696

75948

Department wise filter for search not working in PO Authorize module

78434

74006

Error showing for Unmanaged Franchise (Secondary) Store Sale import

78439

73429

Wrong Item Name showing in Purchase Order

78623

72916

 

Data Inconsistency - Error message is showing when importing last financial year's DC Against Order for unmanaged site

78840

72881

RSP is showing wrong in import print document for imported Delivery Challan Adhoc

78326

72125

Multiple issues in document printing for multiple documents

78596

71942

Allow change of Sales Term - User profile check not working in Sales Order

 

70529

Invalid category 1 creation due to creation of new item through Purchase Order module

74792

62714

"Reference Site Short Name is not applicable." - Incorrect validation message showing while importing General Voucher for Outright mode Franchise Store

70382

53546

Unable to make General Voucher entry in the previous accounting year through import Excel

41940

22206

Sale Qty, Transit Qty and Stock Qty are showing zero in Retail Sale & Stock report while user selecting 'Show sold items only' as False

81287

84110 

Duplicate records showing in HSN details if items having same HSN in Transfer In document report

84226

84128

Date wise opening and closing balance showing wrong in case of back dated entries in Sub Ledger Detail report

82870

83540

Date sequence is not showing properly in WIP Movement report

 

82257

Agent wise sub ledger selection is not present in Sub Ledger Detail Report

83222

82606

'ORA-01422: exact fetch returns more than requested number of rows' - Error message is shown while refreshing the Finance Register site cube

80724

80605

'Error occurred. ORA-00979: not a GROUP BY expression' - Error message is shown while refreshing the Cube Composite GST Report 

80854  

80602

Few reports are showing blank while selecting Ledger and Sub Ledger as filter option

81788

80258

'Error: in enttype => PJC glcode...' - Error message is shown in ENTRY_REF_LEDGERS column of Finance Register Cube, Finance Register SL Cube and Finance Register Site Cube

80739

78558

Total of Pending Quantity not showing while selecting Order Items in Delivery Challan (Against Order)

 

46122

'This month is already closed, further transaction is not allowed' - Wrong validation message is shown while releasing the Purchase Invoice from edit mode

82731

80270

'Internal error occurred during your request' - Error message is shown while user selecting document type 'Job Order Component Item (Production) on searching from Select Item option 

82924

80611

Performance issue in Purchase Invoice and Sales Invoice in ledger population at the time of charge calculation

79425

81581

'Cannot save record Reason : Error in array ...' - Error message is shown while the user saved the Purchase Invoice

83155

82165

Incorrect charge is calculated when the user gives individual item wise charge 

83000

81593

'Internal error occurred during your request' - Error message is shown while user authorize the Production entry for Managed Track Secondary type site

82980

80617

Jobber name is not showing if connected site is Managed Track Secondary type site

82930

80623

Charge Details not getting updated in SI if user changes the term in Sales Invoice against order document

82802

80656

E-way bill was not generating from Ginesys for transfer to own store within the same GSTIN

 

0000505

An internal error occurred during your request - Error showing While saving Promo Definition

 

00000504

Deposit/Refund Bill is not showing in Deposit/Refund Bill View even after completion of sync from POS and HO

 

00000488

HO - Store Entry type wise stock mismatch validation is violating

 

00000500

'Cannot Save record: Reason: An internal error occurred during your request!' - Error message is shown while saving a document after tagging an existing Document Numbering Scheme rather than selecting new one

 

00000495

Export to Excel is not creating the file

82305, 82125

79276

Sometimes Job Receipt entry is being displayed multiple times in the Process master

80321

79273

Stock in date column is not updating as per company profile setting for new item in Item master

81978

79252

Record count and Total Quantity footer pane is not displayed if large number of items are taken for stock entry 

81999

79184

Item having similar combination cannot be split and following messages are shown -  Item with icode already exists or Duplicate Item data between <item 1><item 2> 

82051

79122 / 75875

Cube name having a special character is not refreshing 

81890

79119

Item Rate showing "0" while importing Barcode

 

79113

Population of Pending GRC and items from Select Receipt window or FIFO mode has performance issues

81707

79000

In Select Receipt window of Invoice, all pending quantity is getting an error if the item has ('') value with character in category field

81771

78997

Wrong GST % is getting calculated in Sale Return Module

81865

78891

Instock point and Outstock point is showing disabled

81980

78858

Track Secondary sites showing in look-up list of Purchase Invoice

81780

78601

Invalid negative stock message showing in Edit mode

81082

78528

Multiple records are being generated for one transaction on double click on the Generate button

81706

79319

Opening Balance is showing wrong while account balance fetching from last year's Closing Balance, Credit value is not showing negative and Balance is showing wrong

80739

78939

Date format is showing wrong in many reports

 

67902

Ledger Detail Web report is not working

79929

76008

Purchase Order Analysis cube showing only modified PO document records

66374

76077

Opening data is not showing in the Cost Centre Analysis report 

 

76080

Stock Quantity is not matching in Item Barcode History Date Wise Document report and Item Costing report for same item in same site

79570

75600

Slab information is not coming accurately while creating a custom report based on HSN-SAC-GST Rate, HSN-SAC-GST Applicability and HSN-SAC-GST Slab objects in Taxwise Stock report

79046 

78555

'No output generated' - Error message is shown while opening Service Invoice Against Document in Document report

81402

79125

'Error : DBConnect Exception ORA-00942 : table or view does not exist' - Error message is shown while running Store Performance report

81592

78457

Footfall column is showing wrong value in Store Performance Register report

82393

79303

'Wrong number or types of arguments...' - Error message is shown while opening the Bank Reconciliation Statement  

82319

79360

Sometimes the saved sales invoice is not opening

81120

76065

'An internal error' - Error message is shown while user searching items from Select Item option without giving Stock Point in document block

81105, 81034

75939

'No record found' - Error message is shown while selecting Destination Site in Sales Invoice

80887

75678

'Price Basis not found' - Error message is shown while bulk items are populating in Transfer IN module against GRT from store

80658

75654

Incorrect tax amount is shown while generating the report in Sales Invoice

79891

75594

Stock qty not getting checked at the time of item scanning in Stock Point Transfer

 79476, 80691

75588

Serial No. parameter is not printing as per the required functionality in Print Barcode Label

80278

75508

Charge is not calculating properly if invoice having multiple charges in Sales Return module 

80116

73956

'An internal error occurred during your request!' - Error message is shown while user populating items from Select Item in Bundle module

79977

73953

'Price list not found' - Error message is shown while bulk items are populating in Sales Invoice

79465

73950

User is unable to modify Source Stock point in edit mode in Stock Point Transfer

79665

73799

Some values are not coming in Scheme Document No. pop up during excel import

80494

77305

GST not calculating properly in Sale Invoice module

81323

77310

Unable to set-off GRC from Goods Return Wizard module

80494

75663 

Incorrect message showing while trying to reserve stock

78566

0000474

Incorrect error message showing when importing large number of items for Put Away

78566

0000475

Date is not showing in list view of Stock Reservation

 

0000476

Error coming while opening Goods sent to site

 

0000477

Section is not printed when a single item is printing from Print Barcode Label in GRC

75924

0000473

Transite Via is not showing in Replenishment Source

80210, 79711 

0000480

Organization Site is not showing in opening stock site list view

79505

0000478

'Item property: <property_name> - not found in prototype.' - Error message is shown while verifying Control File in GRC

77616

0000481

Unable to modify OEM barcode from GRC in Edit mode

74697

0000482

Deposit/Refund Bill is not showing in Deposit/Refund Bill view even after completion of sync from POS and HO

80793

0000488

All the documents reports are running very slow

 

61344

Sometimes all the menu or part of the menu is disappearing after saving the repository tab in the report

 

60438

'ERROR LOADING IMAGE' - Error message is shown while running document report from web transaction module like Sale Invoice

 

73824

'Conditional Format Error: Conditional format return value ...' - Error message is shown while running the Cash Balance Planning Detail reports without providing the Date From and Date To 

 

67271

Data are scattered while exporting Cash Bank Book to PDF

 

67320

Reference Date format is showing wrong in Purchase Order Status Site Wise if document number is available

 

67862

From Date and To Date field showing wrong date format in Open Goods Return (Debit Note Pending)

 

67865

Date is showing as Date Time format in Miscellaneous Entry

 

56886

Date is showing as Date Time format in Conversion-Pending Invoices

 

56968

Decimal value is showing in Category field rather than Numeric value

 

67896

Report Header Date placement is not showing as per Ginesys Convention

 

67899

'Data received upto' field is not showing any Date in Stock Point Stock Qty - Item Group

 

67857

E-invoice related column is missing from Purchase Return Header

 

73559

The system is not allowing to save the document if Net Amount is zero on saving of Sales Invoice, Sales Return, Transfer IN & Transfer OUT documents

78352         

72907

Wrong Stock Point saved from Stock Point Transfer Entry

79262

73106

Sometimes system is not responding when user populates items from Goods Return in Managed Site

78793

73255

RSP value is getting updated with the listed MRP value while saving of Sales Return

79103

73040

 Sometimes Verify and Update Stock Audit Plan is not working properly

79129

73258

Quantity is not populating in the Bundle module

78996

73243

System is not allowing to cancel linked Delivery Challan

74327

72618

'An internal error occurred during your request' - Error message is shown on document release

78796

72614

Search Criteria is getting closed and the search criteria values are cleared after populating the items in Sales Return

74327

71199

Stockin Date  is not updated in the Item master when the Items are created from Split module

76992

71930

Net Amount and Quantity are showing negative in all GRT while creating GRT through wizard

78274

72291

'An internal error occurred during your request' - Error message is shown if selected GRC item charge having factor value null in Goods Return Challan Wizard

78311

72156

The charge is calculating from Term instead of selected GRC when users modify Goods Return Challan against GRC

78163

72024

'Unable to update Stock' - Error message is shown when GRC is tagged Purchase Invoice

78445

72147

GST Charge ledger is populating from source site GSTIN number instead of owner site GSTIN number

78394

72446

MRP column is getting updated with Listed MRP value while items are selecting from FIFO mode

78472 

72348

Sync Data not showing for Track Secondary Site

 

0000442

Billtostate and Shiptostate become null while generating ewaybill number against Transfer Out

 

0000468

Gift Vouchers Expiry Date is not updating to Web Database

 

0000465

'An internal error occurred during your request!' - Error message is shown while searching for sales term in Un-managed site in Sales & Distribution module

77588

0000469

F8 button is not working in Price Control - Item Wise

74063

0000428

Extinct site is shown in extend time frame of sales promotion

72338

0000395

Unable to remove Purchase & Purchase Return Ledger from Term

77011

0000470

Few consolidated issues in Open Invoice (Payment Pending) report

 

67893

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/2062287219/Release+Note+11.152.3

ID is missing in Security Register report

74330

62927

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/2062287219/Release+Note+11.152.3

Unable to rename the value of the Entry Name column having metadata with Sales Invoice

 

62405

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/2062287219/Release+Note+11.152.3

Data is not coming after refreshing the Stock ageing Org Group Cube

73374 

57054

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/2062287219/Release+Note+11.152.3

Previous year data is showing though a particular date range is given in Stock Count Register report

 

56969

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/2062287219/Release+Note+11.152.3

Date field is showing wrong format in Bundle Register report

 

56965

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/2062287219/Release+Note+11.152.3

Document Date column is not showing in Purchase Return report

 

56594

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/2062287219/Release+Note+11.152.3

Wrong Date format is shown in Document linked report

 

67225

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/2062287219/Release+Note+11.152.3

A Custom Web report taking a long time to execute

75770

67101

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/2062287219/Release+Note+11.152.3

Some of the link reports having slowness issue which are traverse with documents adjustment LV

 

69343

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/2062287219/Release+Note+11.152.3

'DBConnect Exception ORA-06502...' - Error message is shown when the length of a financial adjusted document exceeds 4000 in Cash Bank Book report

73586

69311

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/2062287219/Release+Note+11.152.3

Profit & Loss Ledger report and Balance Sheet report are not matching with the Ginesys Desktop application reports

76378

68572

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/2062287219/Release+Note+11.152.3

Sub Ledger Detail report showing only AR/AP type GL tagged SL rather than all type of SL ledgers (Sub ledger others and Customer/vendor type)

 

68485

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/2062287219/Release+Note+11.152.3

Sub Ledger Detail report and General Ledger Detail report are taking long time to open 

 

68482

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/2062287219/Release+Note+11.152.3

Reconciled data prior is not showing in Reconciliation Date in Bank Reconciliation Statement

 

68598

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/2062287219/Release+Note+11.152.3

Closing balance are not matching with the other Profit & Loss Cost Centre reports with Profit & Loss Tabular reports (Total of all sites)

 

67317

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/2062287219/Release+Note+11.152.3

Last month of closing is not coming as opening(DEBIT/CREDIT) when user running the reports into the intermediate month or last two months in Profit&Loss - Tabular report

 

67265

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/2062287219/Release+Note+11.152.3

All type of ledgers are not showing in Ledger report 

 

67256

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/2062287219/Release+Note+11.152.3

Closing entry is showing wrong as opening entry is not coming in first then others entry in Ledger Details - Cost Centre report

 

67253

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/2062287219/Release+Note+11.152.3

Adjustments Days field is showing illogical value in Document Adjustment Register report

76234

67095

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/2062287219/Release+Note+11.152.3

'pdn transaction showing error msg as Error: in enttype=>PDM...' - Error message is shown and wrong column value is appeared in some finance reports

 

60447

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/2062287219/Release+Note+11.152.3

Wrong Link report is shown with respect to Original Invoice Amount in Cash Planning - Detail report

 

58463

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/2062287219/Release+Note+11.152.3

Entry Code column is missing in Cash Planning - Detail report

 

56588

https://ginesys.atlassian.net/wiki/spaces/PUB/pages/2062287219/Release+Note+11.152.3

'Y' is being placed automatically in Category1 before the category name

74792

62714

Header level charge is modified as per term when user modify charge in document level

78153

71622

System is not restricting duplicate Document No. entry in field level in Purchase Invoice module

 

71105

Credit Limit is not calculating properly in Sales Invoice

76801

71404

Rate column is not available for mapping in import file of Sales Return

 

71084

'FINPOST_CHECK_D_C_AMOUNT violate' - Error message is shown while the Purchase Invoice from the list page

77218

71365

Source site is showing wrong in Transfer In module

77405

70558

All the Finance Ginesys Desktop Application reports are not opening

 

69852 

E-Way Bill generation is not successful. Reason: could not load an entity: Error message shown while checking status of E-way bill generator 

74342

0000466

'Invalid number' error message shown in Goods Sent to Site

75919, 76312, 76510

0000433

The charge is populating from Sales Order instead of selected term for single order in Sales Invoice

74342

69903

Unable to define Process in Inventory Production if the user does not have Production module license

76466

69894

Unable to book service bill against Production Service document

76788

68449

'Error converting value {null} to type...' - Error message is shown and unable to save Goods Return document for Managed Outright Site

76788

68372

'Cannot Read Record: Reason: An Internal Error appearing...' - Error message is shown while selecting item via Select Item option Split module

74341

67383

System is not allowing to save duplicate document no for same vendor or different vendor in Purchase Return module

76539

68470

'Error Executing Record: Reason: Maximum number of exception...' - Error message is shown while making Purchase Return

76322

67259

'Error executing records: Reason: check constraint...' - Error message is shown while saving GRT document against GRC which is created from Desktop application.

    75899, 76135

67362

Unable to modify GRC while editing Purchase Invoice by changing Vendor

75849

67359

'Difference in Site wise account posting' - alert message is shown and unable to save Purchase Invoice

 75480, 76347

60582

Negative stock alert message is shown for all the barcodes already saved in transaction while re-saving bundle entries

75410

65298

Stock is not getting updated when GRT is deleted (Both in GRT Adhoc and GRT Against GRC) for the manage site

75197, 75952, 76204

64341

'Term is required' - Error message is shown while creating GRT against GRC not having Term in the Entry

 74629, 76576

67356

Unable to modify the rate in Receive tab of Bundle module

74528

64335

Sometimes Goods Return Entry No. is getting saved with negative value while creating multiple Goods Return Challan document through Goods Return Wizard

74262

67353

Ledger Confirmation report is showing blank while running the report

 

64624

Interest calculation is showing wrong in Interest Calculation Bank report

 

64612

Cash/Bank filters not working in some Finance Register reports

 

64576

Ledger closing value in Ledger Detail reports and Total outstanding of Ledger Summary report are not matching for some of the ledger

 

60456

Total debit value and total credit value are not matching with the Trail Balance Tabular report and Trail Balance Periodic report with the same criteria for same ledger

 

60453

No option is available to export the report after running the Profit & Loss - Cost Centre (Tabular) report

 

60450

 It is taking long time to open while running Sub Ledger Detail report

 

62801

Date format are showing different in some of the Finance report

 

60444

Documents are saved after the selection of As On date parameter and the balance is not matching with the bank statement in Bank Reconciliation Statement report

73552

60441

'There is Difference in Site wise account posting' - Alert message is shown and unable to save Purchase Invoice

 73957, 74244

60582

The net amount of PI is not matched with GRC amount when PI is auto-generated

73493

59284

'Cannot Save record: Reason: error(s) in array DML...' - Error message is shown while saving Purchase Invoice

73528

58676

'No response from Server' - Error message is shown when user try to verify an audit plan in Verify physical stock item population window

73436

58574

Return quantity is showing negative in GRT after deleting Purchase Return which is created from Ginesys Desktop application

74343

59281

Link report is not working in Profit and Loss (Tabular) report & Cash Planning Detail report

 

53549

Please select Price List in customer master to proceed Error message showing incorrectly when Purchase Debit / Credit Note for Managed site cannot be shown

53347

30346

Consignment Invoice could not be created

 

54905

Unable to save Purchase Invoice if item quantity is more than 3 digit

 

56154

Duplicate Purchase Invoices generated with different Number for the same GRC on the Web

 

56145

Cannot generate invoice........- Error message displayed while creating auto Purchase Invoice for a Non-Consignment GRC

 

55644

Error occurred when user tries to open GRT document without selected term from list view

73196

55811

Cheque book register report can be seen in Ginesys Desktop

 

54587

Value are not coming for level 1 to level 3 in Finance group LOV

 

47716

Multiple OU records are showing into the Sales Invoice Document report

 

44515

2019-07-12 11:32:47,842 #16 DEBUG [8c47eb4d][(null) ... - Error message is shown While opening document report from web module

 

22997

Item Image not printing from Desktop Document Report as well as from scheduled report

 

25411

Wrong data is showing in Cash Planning - Detail

 

53067

Header level charge is not calculated in Net Amount column of Purchase Invoice Register report

 

43670

Wrong data is showing in Retail Sale Achievement report

66689

44518

System is showing blank report when site is not selected instead of showing all the documents for all available sites in Open Goods Return (Debit note pending) 

44887,52084         

37748

Remarks column is showing wrong in Finance Adjustment

 

25414

Unable to enter the From Date and To Date in Stock Book Non Inventory cube

65961                  

42779

Short excess quantity is not showing for site type Manage Site to Organization Site in Site to Site Movement cube

66050                     

50645

Database related issue in Bill Wise Outstanding report

61492                     

41341

Value column is showing wrong and this is not matching with item wise Qty in Inventory Valuation report and amount report's closing stock column is showing wrong while running basis with Cost Rate

71011                    

50648

POS Site is not Showing in site selection LOV of  Goods Received Register report

63372                  

38772

Amount is showing in Words alignment in Consignment Invoice

 

50316

Default Value is not showing True for Include Un-posted Entries & Include Zero Balance Records Parameters

 

45270

Open Documents section for the Bill wise Outstanding is currently showing cancelled Delivery Challan records 

55923                      

32739

Cost Rate column is showing null value while refreshing the Stock Aging cube

59733                  

37490

Available Sites & Assign Sites are not showing in User Master

 

0000239

Goods sent to Site showing as "Not Received" despite being received at store

 65627

00000108

Newly created foreign currency MOP cannot be applied by in promotion by default

65492, 71889

0000098

Gift Voucher sale is getting unresponsive while large number of GV are selected as well as save

70415

0000085

Site Modification can be done even if it is restricted from Role

 

0000078

Same GV Journal entry posted multiple times

68465

0000062

Barcode column size is getting fixed and taking up a large space while selecting Items

  65729

0000016

Multiple OU records are showing into the Inventory Status Summary report

 

27245

State and City filter is not working in Bill Wise Outstanding report

 

26921

Performance issue in Bill Wise Outstanding report

 

26922

ORA-00904: "D"."COSTRATE": invalid identifier - Error message is shown in Site Profitability report

57417

34486

Same GRC Amount and Quantity is showing multiple times for one GRC and showing wrong data

65246

41977

Default value is not showing 'True' for Include Un-posted Entries & Include Zero Balance Records Parameters

 

45270

During modification of Managed site import through Excel, checked option of "IsCentrallymanaged" option is getting unchecked

28824

12234

The interest is not calculated properly in the Sub Ledger (Customer) Interest calculation register report

30512

12274

Unable to view service order from Authorize order view

32480

12929

Purchase Service Order for managed site cannot be cancelled

57893

34489

Purchase Service Order document report not working

59677

35979

Adhoc GRT module can be saved without providing any item

61394

38531

For Receive Item 'Rate' is coming different while scanning the item in two ways

63603

39023

Font Case related issue in Category modification through Import Excel

57446

33271

FRM-41337 Cannot populate the list from record group - Error message is showing while opening Report Template

69554

50568

WIP Valuation report is showing no data for Adhoc and Re-Process type Job Order

69062

47311

User Security is not working properly for Conversion > Production module

69303

46419

Incorrect documents showing in list of values

68567

46199

Unable to print DC Against Order doc(s) from Print Document option

68815

45687

ORA-00001 - unique constraint violated - Error message showing incorrectly

66621

43288

DBA - 007: A data validation error prevented the system from saving changes - Error displayed when saving Service Invoice Against document

65607

41949

GRC can be removed from Purchase Invoice after GRT has been created against the same GRC

65458

41565

ITEM = ORA - 01476: divisor is equal to zero - Error message is displayed in error log when GRCs are tagged against GRTs

65083

41306

GRC is not coming in sorted order in Purchase Invoice

64346

41131

While importing items with Excel in GRC, existing items are also getting created twice for items with particular condition

59977

40915

Duplicate barcode checking is not happening in item import Excel in Web

64783

39744

Exception: ORA-12899: value too large for column  - Error message showing while cancelling E-Way Bill where Document Type is more than 20 characters long

68854

000089

Multiple issues related to Trade Group change occurring in Retail Sale - E-commerce  entries in edit mode

67066, 68584

0000102

Incorrect date of birth being sent to EMR from HO sync

70988

0000100

While adding new User, cursor is moving to the 'Name' field instead of 'User No.'

 

0000099

Error: Trying to pass a table-valued parameter with 88 column(s) where ...- Error message is displayed while syncing Site Publish data

 

0000097

Owner Site column is not found in Document No. lookup

67528

0000093

Non-inventory items can also be selected for Local purchase

65729

0000082

In Auto Purchase Invoice, purchase ledger is not flowing from populated term master

70670

49115

User unable to scan packet barcode while Auto packet is creating through Transit Via

70126

49055

Negative stock check for Non-Inventory Item is activated in Delivery Challan

70007

48999

ORA-01400: cannot insert NULL into ("MAIN"."INVDCMAIN"."ENTRY_SOURCE") - Error message is shown while importing Delivery Challan adhoc through Excel

 

48874

Wrong Net Amount showing in ledger view and list view for Transfer In document

69697

47760

Maximum number of expression in a list is 1000 - Error is showing while saving Transfer In where there is a POS GRT with more than 3 digit items

69815

47175

Stock availability was being wrongly checked while saving DC Against Reservation

69683

47172

Wrong quantity is being displayed on scanning Alternate Item in GRC

69212

46966

When selecting multiple set items, previously selected set-item is getting overwritten by the last selected set

69417

46628

Cannot Save record: Reason: OU Month is not defined for the selected date 15-02-2020. Unable to proceed. - Error is showing while doing Miscellaneous Entry for Managed Outright Track Secondary site

69276

46125

Error showing while importing DC (Against Order) by Excel

 

43756

UOM cannot be printed on Barcode label

65546

43958

Extinct Sub Ledger could be selected during Gift Voucher Sales in HO

66859

44353

An internal error occurred during your request! - Error is showing while calculating charge

67853

44525

The first row checkbox of the Search Result grid of Search Challan window was getting auto selected

 

45049

Data of Multiple OUs showing instead of just connected OU

 

27245

Transfer Out for Managed Sites could not be reverted

 

44767

Same item from different packets could not be selected in single Transfer In

67949

44695

After scanning item, the discount factor is not populating in the Price detail window

67922

44689

Difference in Account Posting - Error showing on saving Sales Invoice

 

44576

Import Barcode is taking time to complete

 

44563

Cannot read record: Reason: An error has occurred - Error showing while opening Pick List in modify mode

67110

44455

On certain scenario, Negative Stock quantity is showing incorrect value in Edit mode of Delivery Challan

67171

41771

Error message displayed on saving Sales Invoice having amount based charges roundoff with difference value in decimal factor

67080

43908

Depending upon profile assignment, Item scanning via F7 option in Delivery Challan, incorrect quantity is populating

 

44076

Check for, User Profile assignment to User, has been applied on web Log-in

 

44080

Short/Excess Quantity is showing wrong in Transfer In

64042

43692

Internal error occurred during charge calculation from Ordered item with excise and IGST charge

64042

39560

Standard  Rate field is not printing while printing the Barcode

63746

41456

unique constraint - Error is shown if Save button clicked twice in several modules of Ginesys Web Application 

  57163, 64695

41459

MRP is not showing in old GRC entries

64999

41817

The Category is converted into capital letter while Importing Item through Excel

65300

42110

The item scanned is extinct. Please scan any other item - Error message is shown while scanning the Extinct Items in all transnational modules

65315

42776

Cursor is moving to the item detail block after scanning items while creating GRC against select order

65760

42881

Some changes have been made in WMS Android application

 

42058

User is unable to access the internal modules of WMS android application although proper app-operation permissions are assigned to that user

 

42107

Application is bringing user back to pick-list screen instead of bin list screen, although Pick-list is partially complete

 

41899

Document Detail not showing in Document Adjustment module

45058

22295

In Sub Ledger Detail (Page Break) report other OU's data is showing

49419

26849

Difference is showing in Opening and Closing balance in Sub Ledger Detail Report

27023

12232

Unable to delete Item Set entry and unable to save Item Set if item quantity is blank when the flag of third party integration is active

44403

20409

Delivery Challan Against Order data is not showing in the connected Organization Site

47924

26867

Some purchase return entries are not showing while opening the Account Summary report in tha Purchase Return taxable ledger

60522

39088

Unable to delete Sales Invoice

61759

37742

Ginesys has encountered an error... - Error message is shown while scanning item through Browse option

60253

35442

Unable to import AP Voucher

59642

35128

Unable to identify adhoc items for managed organization owned site

58592

35012

Invalid value for Purchase Invoice - Error log is showing in Purchase Invoice

59208, 59246, 59244

34493

Calling ..\\FORMS60\FIN_Journal... - Error message is shown and unable to make entry in General Journal module

59194

34306

Initializing ENTRY No param... - Error message is shown and Unable to login in Ginesys Desktop version

59173

34298

Application error : FRM-40735 - Error message is shown while creating Credit Note

57863

33231

Item Name is not showing properly in full in Requisition Note report

55274

32003

Jobber Name is not properly visible at Job Order form

55124

30851

GRC entry is not showing in GRT Wizard module in managed consignment track secondary site

50683

27372

Unhandled Exception... - Error is shown in Print Barcode Label module

46493

22402

Purchase Order was not showing while editing GRC due to Excise Applicability mismatch

61884

37892

'State' filter cannot be applied in promotion allocation

61267

38083

Organization owned sites could not be filtered while adding or editing cubes

62710

38424

The line item not populating in GRC against Order when pending quantity is provided through order selection

62994

38727

Error executing records: Reason: An internal error ...- Error message is showing while searching items by big alphanumeric OEM Barcode

63521

38790 

Error executing records: Reason: An internal error ...- Error message is showing while creating Stock Reservation documents 

63700

39353

DbConnect Exception ORA-00942.. - Error message is shown in Vendor Level

 

34420

Error: DbConnect Exception ORA-04063... - Error message is shown in Job Order Register Report 

 

30612

Retail Invoice Summary is calculated wrongly

 

34000

Unexpected character '{'... -  Error message is shown in Customer Master Label report

 

33401

Site name parameter is showing wrong value

 

33209

Value is mismatched in Charge Total in Purchase Return Register

 

33174

Description is not shown in Customer Master Web report

 

32956

Doc. Range LOV is mismatched between Ginesys Desktop Application and Ginesys Web in Goods Forwarding Note report

 

32931

Allowed Operation and Not Allowed Operation are not showing as per the selection criteria from the Security tab in Security Register Report

56432

32727

Opening quantity value is shown in the Opening Amount column of Item Group Wise Qty & Amount

56030

32698

Tax Amount and Charge Amount are not present in Net Amount column

 

32689

Barcode is showing multiple times in the Stock Point Stock Qty - Item Group

55943

32685

Sites are not showing based on Tax Region selection in Purchase Return Register and Purchase Invoice

56553

32652

Filter is not working properly if the Purchase Invoice in not created with GRC

 

29764

Division sum is shown as Error in Site Transfer In Qty Column

 

27846

Cancelled data are not showing in LR In Hand Status report

 

27658

Opening Debit and Credit Amount are not showing correctly for Finance Transaction into the Trial Balance Period report

 

27181

Some bank information related columns are not showing in AP Voucher Document Report

31972

13005

Stock Ageing OU cube data source was not exposed

31943

12540

OEM barcode was not getting imported while importing items for Stock Audit Plan in Retail Management

50093

27074

Please browse a control file - Error message is showing while printing with custom CTL file

 

36844

UOM value is not getting updated in Article Master through Manage option

 61356

37429

Error: Cannot read record:.....the request - Error  message is showing when Tax region is absent while calculating charges in a GRC

61814

37262