Visual AccountMate/LAN (Build LN510)
List of issues fixed as of September 30, 2005
(If the tables in this page appear distorted, kindly refresh your browser.)
Control # Module Description Fixed In
10004853 AP Error (1925): Unknown member BCMDCANCEL is encountered in AP Transfer Data to GL function. APHTOGL.SCX
10005523 AP Out of Balance Report in AP shows all vendors rather than vendor(s) with the out of balance only. APTFER.PRG
10006020 AP AP Check Distribution Report excludes prepayment checks and checks used to pay Beg Bal Invoices. APDIST.PRG; APDIST1.FRX; APDIST2.FRX
10006459 MI Misleading message if component has insufficient quantity or time to manufacture work order. AMM_ENGL.DBF
10006777 CM Cannot print Mail Merge document using MSWord 2003. CMMERGE.SCX; CMRBATC.SCX; CMRMERG.SCX
10006947 SO Ship Qty and Adv Qty values in Create SO Line Item Detail window do not show the decimal places. SOTSORD.SCX
10007189 AP, PO Incomplete JE entry when canceling received goods from the previous period. APHCLS2.SCX; APMVCHK.SCX; APTINVC.SCX; APTRACC.SCX; POACCG.PRG; POMCNLG.SCX
10007196 BR Cannot void Check/Disbursement transactions that are not transferred to GL. BRTDISB.SCX; BRTRCPT.SCX
10007204 GL System hangs when you create a journal entry in a restricted period. GLTBATC.SCX
10007208 PR "Error (13): Alias prpymt is not found." appears when generating Payroll Check Register. PRAPMT.PRG
10007263 AR Encounters "Error 1925: Unknown member EFRMGENINV" when exiting AccountMate. ARTSINV.SCX
10007292 GL "Error (12): Variable CFUNDTYPE is not found" when generating reports in fund accounting companies. GLBSHT.PRG; GLBUDC.PRG; GLISMT.PRG
10007293 GL "Error (12): Variable LAUTOFBALZ is not found" appears when saving journal entries. GLTBATC.SCX
10007332 IC Total for (xxx) Adjustment Transaction in Inventory Transaction Log is repeated. ICTRSL.FRX
10007333 IC Inventory Transaction Log report contains blank spaces and pages. ICTRSL.FRX
10007334 AR Adjustment amount not reflected in the Invoice Amount of the Balance or Open Credit Detail Analysis. ARCLASS.PRG
10007359 IC Incorrect adjusted total quantity for each inventory in the Inventory Transaction Log report. ICTRSL.FRX; ICTRSL.PRG
10007363 PO Create PO by Vendor # provides zero cost even if there is a value in Average Cost. REFER TO CONTROL # 10007715
10007392 MI Inconsistent filter options and title for the Inventory Cost Listing. AMMENU.DBF; AMRFTR.DBF
10007458 PR QTD/YTD Tax Withholdings Report does not include all records when sorted by Last Name or Dept+LN. PRATAX.PRG; PRQTAX.PRG
10007470 PR 940 report's Balance Due amount is incorrect due to missing paid deposits amount. PR940E.PRG
10007477 MI Encounters "Error instantiating cursor object" when accessing Create Work Order. MITWOR1.SCX
10007499 PR GL Transfer Report is out of balance after amending payroll for employee with multiple time cards. PRMPYMT.SCX
10007510 IC Incorrect Transaction Quantity for the Beginning Balance in the Inventory Transaction Log. ICTRSL.PRG
10007534 GL Amending JE Description affects the JE Line Description of existing GL account entries. AMM_ENGL.DBF; GLTBATC.SCX
10007540 GL Revenue and Expense Summary fails to print for all funds when a range is chosen. SYSTEM MANAGER
10007544 AR Encounters "Error [111] Cannot update cursor" when printing AR Packing Slip with serial numbers. ARSLIP.PRG
10007547 PR Encounters the error "Cannot find VBRUN300.DLL" when Processing Transmission Files in PR. INSTALLSHIELD
10007556 AR "Property NEWINVOICE not found" when saving a sales return if revenue code is by salesperson. ARTRTRN.SCX
10007557 GL Income statements sorted by segment are actually presented in natural order not by segment value. GLREPT.PRG
10007559 GL Budget Statements sorted by segment are actually presented in natural order not by segment value. GLBSHT.PRG; GLBUDC.PRG; GLISMT.PRG; GLREPT.PRG
10007560 GL Incorrect total for Prior Year Balances in Budget Statement. GLBUDC.PRG; GLBUDC2.FRX
10007574 MI Unexploded Work Order Report groups line item information into one request date . REFER TO CONTROL # 10007992
10007602 GL Budget Income Statement-Availability Report uses incorrect values. GLBUDC.PRG; GLBUDC3.FRX
10007658 BR Record Checks/Other Disbursements function uses computer check number. BRTDISB.SCX
10007665 MI MI is out of balance by production cost variance for component items with zero extended cost. MITFER.PRG
10007685 AP System does not update on-hold status of reprinted checks. APREPT.PRG
10007686 AP Cannot void check for a one-time vendor. APMVCHK.SCX
10007690 AP The system does not update the Last Check # field for the reprinted check number. APREPT.PRG
10007699 AR Voided invoices appear in the Customer Statement report. ARTINVC.SCX
10007714 SO Default freight code in advanced billing is not the freight code assigned in sales order. AMW.DBC; SOAORD.DBF; SOTADVB.SCX; SOTSHIP.SCX
10007715 PO Create PO by Vendor assigns 0 Unit Price after the first line item that has an ICVEND record. POTPORD.SCX
10007737 PR Payroll Tax Deposit functions do not update COBANK with the next check number. PRTDP40.SCX; PRTDP41.SCX; PRTDPLC.SCX; PRTDPST.SCX
10007739 BR System does not mark check records as cancelled when reconciling bank accounts. BRTREC1.SCX
10007743 AR System generates recurring invoice though the assigned bank is not available for use in AR and SO. ARTRCRG.SCX
10007800 AR Extra BAL/FW entry lines appear in Customer Transaction Listing due to purged AR transactions. ARCTRS.PRG
10007823 PR Cannot drill-down Currency Code field in Bank Account Maintenance accessed from PR module. COMBANK.SCX
10007827 AR System will create a record in arcashh with empty cuid for "BAL F/W" record when purging records. ARHCLS2.SCX
10007859 AP Past Due History Aging report includes voided invoice though it is not outstanding. APPAGE.PRG
10007860 GL Encounters error (36) "Command contain unrecognized phrase/keyword" in Budget Reports. GLBUDC.PRG; GLBUDL.PRG; GLBUDY.PRG
10007912 AP Vendor Ledger Report omits vendor beginning balance information. AMRFTR.DBF; APLDGR.PRG
10007916 PR YTD for State SDI withholding tax is not updated in the PR Check stub. APREPT.PRG; PRRCHK3.SCX
10007917 AR Payment Distribution Report shows duplicate finance charge (FCHG) invoices. ARPMTD.PRG
10007930 IC Warehouse Inventory Transfer updates with the wrong qty when new target item has different U of M. ICTITRF.SCX
10007992 MI Create Work Order saves one Request Date if saved unexploded. MITWOR1.SCX
10008020 SO Advanced Billing Ship Qty is using nShipAmt as field name and saves qty with decimal places only. AMW.DBC; SOADVB.PRG; SOALIN.PRG; SOATRS.DBF; SOTADVB.SCX; SOTSHIP.SCX
10008022 SO Create Sales Order does not show Adv Qty in the Line Item window. SOTSORD.SCX
10008023 SO Approve Advance Billing sets SO as having no backorder even when qty billed is partial of order qty. SOTSHIP.SCX
10008027 AR Changing salesperson on Create Sales Return reassigns SR invoice # to all existing line items. ARTINVC.SCX; ARTRCRS.SCX; ARTRTRN.SCX; SOTSORD.SCX
10008040 SO Create Advance Billing: Error (1683): Index tag is not found when entering Freight Code by keyboard. SOTADVB.SCX