Monday, October 12, 2020

Version 5.00.521.11409

 Features added / modified

20190211-1155-2-449
CRM Calendars/ New options
The following options have now been added at CRM Personal & Group Calendar:
1. Month (Horizontal display)
2. Month (Vertical display)


20191204-1155-2-3932
Trading parties Unpaid Docs report/ New filter
At Trading Parties "Unpaid Documents(CUST_OI)" report the "Doc project Code, From" & "Doc project Code, To" fields have now been added at filters.

20191204-1155-2-3939
Contracts/ Business Unit
The "Business Unit" field has now been added at Additional data/ Comments tab (Contracts).

20200225-1155-2-766
Trading Parties/ Actions - New fields
At "Actions" related job (Trading Parties), the following fields have now been added:
1. Order placed by
2. Operator
3. Update date


20200313-1155-2-1057
Retail Pro/ Collections
At Retail Pro, collections can now be matched to retail receipts.

20200904-1155-1-3302
Costing Folders Type/ New fields
At Costing Folders Type, the following values have now been added at "Item Grouping" field:
1. Per W/H
2. Per W/H, Lot and Project
3. None (Per Invoicing line)


20200904-1155-2-3309
Available lots related job/ New field
The "Lots with balance" field has now been added at "Available lots" related job (Stock Items), including the following values:
1. Positive and/or Negative
2. Positive only


20200921-1155-1-3545
Stock Management Parameters/ New field
The "Lot" field has now been added at At Stock Management Parameters, (Companies & Synchronization tab, Fields excluded from sync area).

Bug fixing

20200331-1155-1-1229
Accounting/ Chart of Accounts display
Accounts sorting is properly applied upon saving an unbalanced Accounting entry.

20200709-1155-1-2708
Restore/ New database
Fixed the issue "Cannot open database "tests1" requested by the login. The login failed". It occurred when selecting "Restore" upon creating a new DB connection.

20200716-1155-1-2813
Cheques/ Cash Accounts update
Fixed the issue occurring upon saving Cheques at Cash transactions. The Cash Accounts are now properly updated in case of changing lines.

20200821-1155-1-3170
Series 5 UI/ cst excel import file
At Series 5 UI, the cst excel import file's password is now properly saved.

20200908-1155-1-3342
ABC Analysis
Fixed the issue where the allocation of ABC Dimensions was not properly displayed upon ABC analysis at Doc lines.

20200909-1155-1-3373
Stock control (At Item - W/h Group level)
A proper stock control per Warehouse is now performed in case the "At Item - W/h Group level" value has been set at Doc Types/ Basic Stock control area.

20200921-1155-1-3549
2008 UI/ Accounts per period report
Fixed the issue "QUESTIONS: Dataset not in edit or insert mode". It occurred in 2008 UI upon running the "Accounts per period"(SXACNTPRDBOOK) report.

20200921-1155-1-3556
Outstanding Orders/ Line Comments
Comments on Document lines are now fully displayed in "Outstanding Orders" reports of Sales and Purchases.

20200921-1155-1-3562
Customer / Supplier Wire transfers
Fixed the issue where 'Field "Transaction line" already exists' was encountered on adding expenses at Customer/ Supplier wire transfer that included more than one lines.

20200923-1155-1-3592
Retail Pro/ Login user
Fixed the issue at Retail Pro where the login user set at XCO was not suggested.

20200923-1155-1-3596
BAM/ Printout Form step
The selected Entity at a BAM step is now properly working for job actions of Type: Print Form.

20200925-1155-1-3653
Stock Items/ Balance per company
Fixed the issue where the Stock Items Balance was not properly displayed when selecting "Balance per company" Related job.

20200928-1155-1-3662
Intrastat - Exports Report
Fixed the issue "'Format 'SELECT (CASE WHEN I.NAME IS NULL' invalid or incompatible with argument'." It occurred upon running the "Intrastat - Exports Report"

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