v 4.7.7 | ||
v 4.7.7.23 | ||
129141 | Client specific issue regarding SRV task messages resolved. | |
v 4.7.7.22 | ||
109241 | Quantity populates correctly when a new Oil & Energy Sales contract is created and approved. | |
126858 | Client specific issue regarding SRV task messages resolved. | |
128317 | Value Change transactions for PO receipts with Shrink now calculates using (Units Received * Unit Cost) / (Units Received - Shrink Amount). | |
128504 | The Cargas - Get Customer Deposit and AR Balances SRV task matches correct invoices. | |
128663 | TTRs for deliveries from Cargas now include entries for Cost of Goods Sold and Inventory. | |
128710 | The Cargas - Get Customer Deposit and AR Balances SRV task runs successfully. | |
128758 | Import files from Cargas now handle commas in the address field. | |
129094 | Re-importing Kahler files that previously failed is now successful. | |
v 4.7.7.20 | ||
127899 | When using Print Check from the Purchase Settlement window, the default check template loads. | |
126922 | Historical Customer Statements Simple are created for customers set to Email Statement. | |
126935 | The Customer Tech License SRV task now omits entities that are set to "Inactive" or "delete" | |
v 4.7.7.18 | ||
127277 | When the Primary Image is deleted in Merchant Ag it's also deleted in MAg Express. | |
126304 | AgGateway invoices are consistently associated with the correct Purchase Orders. | |
127902 | Issue causing some Customer Statement Simple to show zero when the customer has a balance corrected. | |
v 4.7.7.17 | ||
127166 | POs are now received when CHS AFD import is completed. Orders are now settling and not going to Orders Needing Attention. | |
v 4.7.7.16 | ||
124866 | Time out errors experienced by locations with a master/entity database configuration with the Open Period SRV task corrected. | |
v 4.7.7.15 | ||
127821 | Due dates are calculated correctly when setting Sales Settlements. | |
v 4.7.7.14 | ||
123885 | Import JDF Purge Accounts SRV task will not fail if a single Entity fails. | |
127621 | In MAg Express unrouted gas/distillate orders show only fees selected on a tank. | |
v 4.7.7.13 | ||
123189 | When pre-authorizing Oil & Energy orders, JDF Hold Customers will failing. | |
126431 | The Net Due amount on Customer Statement Simple now show the correct amount. | |
v 4.7.7.12 | ||
127281 | Issue causing MAg Express sync error message resolved. | |
v 4.7.7.11 | ||
119361 | When entering a Mark to Market Intra-Company market loss a debit is created for the destination site Cost of Goods. | |
119902 | Shelf labels print successfully from Merchant Mobile. | |
122917 | Closing the Show Application window in Customer Detail > AR Trans the customer account no longer closes. | |
123775 | For Cargas fuel delivery imports, a inventory adjustment to set the WAC of the item equal to the cost passed from Cargas is entered. | |
124650 | All fees open correctly when using the Fee ID in Access Fees. | |
125226 | Running the Import Seed Pricing manually is now successfully populates Import Seed Pricing in Item Maintenance properly. | |
125767 | The SRV task Export C&G Names & Tickets includes Customers and Ship To address flagged as Grower, Producer and C&G Customer only. | |
125782 | For Portico integration, when card swipe type is set to None, Portico is set as the Device Type. | |
125997 | AP Vendor balances update properly after Import AP Transaction runs. | |
125998 | Debits and credits display correctly on the AR Trans tab in customer detail for imported transactions. | |
125999 | Voucher numbers are used as the Description on the AR Trans tab in customer detail on imported transactions. | |
126215 | If using Range of Vendor Checks, a zero dollar check no longer prints when a vendor is marked as Pay Separately. | |
126685 | The VT Vehicle Usage Report and Access Vehicles update Vehicle Usage based on Completed Dates. | |
126990 | When using Group Application Changes selected ticket quantity will fill basis only and fixed price contracts quantity when appropriate. | |
v 4.7.7.10 | ||
116403 | Issue causing error message in Enter Customer Transactions corrected. | |
119629 | The total within Bank Reconciliation for C&G checks is now correct. | |
126889 | Access User Profile security issues regarding Sites identified and corrected. | |
127268 | Voided Payroll checks are added back into the balance displayed in Bank Reconciliation. | |
v 4.7.7.9 | ||
126435 | The loan amount on the customer is reduced when settling a PPD using an Agri-Finance loan, and shows in the Agri-Finance export. | |
126868 | Deadlocks occurring when submitting work orders from FieldAlytics into Merchant Ag resolved. | |
v 4.7.7.8 | ||
126739 | In Group Application Changes, tickets apply to contract allowing quantity to fill contract then rest of bushels on ticket stay in original application. | |
v 4.7.7.7 | ||
118213 | Fuel Delivery Orders created in Merchant Ag with a Sales Contract applied, the unit price in MAg Express matches. | |
120631 | Contracts will not over-apply in Group Application Changes even if applied by two users at the same time. | |
125556 | Issue causing Direct Orders to not be included when using SRV task Export GL Transactions to Epicor corrected. | |
126792 | Master-Entity AP Syncs post to the correct destination period when a short fiscal year is involved. | |
v 4.7.7.6 | ||
126033 | When using Customer Quick Add if Add Fuel Card to New Customer is enabled, the prompting for a fuel card appears. | |
126157 | Issues with dates on Customer Monthly Statements after fiscal year change corrected. | |
126169 | Issues with transaction dates after fiscal year change corrected. | |
v 4.7.7.5 | ||
121960 | Change Intent will not re-calculate discounts when "No" is selected for Refresh Discounts. | |
v 4.7.7.4 | ||
107877 | The Monthly Sales Tax report no longer includes negative amounts. | |
109937 | Sales contracts are applied to Oil & Energy Orders by oldest start date first. | |
119613 | When using Export Snapshot Report, snapshot quantities populate the INCLevelsMBSnapShot field correctly. | |
120496 | When doing a rebill with an order that used a prepaid, prepaid usage is now being updated. | |
125409 | Issue causing invoices to duplicate in Process Vanguard Invoices corrected. | |
125935 | Prepaids can will merge successfully. | |
v 4.7.7.2 | ||
104055 | Values in the Member Sales and Quantity columns display properly when printing the Assign Patronage screen. | |
104090 | The size of the grand total for the Patronage Status report has been increased. | |
110940 | Prepaid prices for items do not default on new orders when Rebill is used. | |
111008 | Creating a Contract Detail with Report Type of Pricing Detail and Group By set to Contract Type no longer shows all priced pricings as Fixed Price. | |
113041 | When automatically printing approved Purchase Contracts an error is no longer received. | |
123379 | Printing a Prepaid Statement from Prepaids no longer produces an error. | |
123496 | Totals on the PO Accrual Report are now accurate. | |
123786 | All fields needed for successful import of Cargas transactions have been confirmed. | |
123854 | State Summary section of the Fuel Sales Tax report matches the values from the main report. | |
123894 | AR Due amounts are set when importing miscellaneous charges from Cargas. | |
123940 | Printing a Scale Ticket document no longer receives errors. | |
124061 | Payments imported for Cargas now display correctly on customer accounts. | |
124560 | On electronically generated AgGateway Invoices the Contract ID is now mapped correctly. | |
124890 | Reason codes for split orders display on the Voided, Returned and Exchanged orders report. | |
125189 | Prepaid prices for items do not default on new orders when Rebill is used. | |
125264 | Item Age verification evaluates sales for Age Requirement items based on Birth Date and Current Date. | |
125738 | Columns are named corrected for the AgriFinance export. | |
v 4.7.7.1 | ||
125339 | The total section for Oil & Energy orders now displays the totals correctly. |