AccountMate 7.6 for SQL/Express
List of issues fixed as of November 20, 2009
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Control # Module Description Fixed In
10008385 AR, IC, MI, PO, RA, SO System prompts to save inventory item record even if there are no changes in the record. ICMITEM.SCX
10009003 MI, PO EN: Add criteria in the Projected Material Requirement Report and Purchase Requirement Report. AMRFTR.DBF; POREQRCR.PRG
10009284 AR, IC, KT, SO Kit Formula Listing shows incorrect total cost. ICKITF.RPT
10009315 MI Routing Slip prints the column header only in the first page of the report. MIRRTE.RPT
10009406 GL Prior Year-End Adjustment Journal Entry Type does not appear in the Unposted Journal Entries Report. VSP_RPT_GLJNRL
10009430 IC Inventory Transaction Log does not respect the transaction date filter. VSP_RPT_ICTRSL
10009628 AR AR Aging Report does not display Salesperson name if sorted by Salesperson # & include open credits. ARAGNGCR.PRG
10009647 BR Recurring Transaction Setup in BR module encounters "GL Distribution is out of balance by 0.00". BRTRCRS.SCX
10009770 IC EN: Set the Inventory Adjustment to use by default the Seq # 1 bin assigned to the item-warehouse. ARTINVC.SCX; ARTRTRN.SCX; ICMIADJ.SCX; ICPROC.PRG; POTRECG.SCX; RATCREC.SCX; RATCSHP.SCX; RATVCMP.SCX; RATVREC.SCX; RATVSHP.SCX; SOMCNSH.SCX
10009810 SO Invoice is generated from a sales order for which an invoice is already generated. AMM_ENGL.DBF; ARTSINV.SCX; VSP_ARTSINV_VALIDATE
10009818 AR Sales return without invoice unit price does not follow the Multi-Level Price setup. VSP_IC_GETREGPRICE
10009831 PR Employee Detail Listing crashes with 1429 Crystal ActiveX failed to retrieve data error. VSP_RPT_PREMPY
10009853 SM Owner shows AM instead of the owner specified for the modified stored procedure. AMSPMAIN.EXE
10009869 IC "Function argument..." & "Operator/operand type..." errors in Receive Warehouse Transfer Inventory. ICTIRCV.SCX
10009993 PR Cannot cancel received goods for serialized items moved from bin to bin. POMCNLG.SCX; VSP_POMCNLG_UPDTSP
10010027 PR EN: Accumulate Paid Leave for Earning Code with Overtime Pay Type. PRCLASS.PRG; PRPROC.PRG
10010032 IC, KT Kit Formula Listing does not display kit item's specification if there are 2 or more component items. ICKITF.RPT
10010037 IC, KT Copy function in Kit Formula Maintenance does not work if copying from kit item with specification. ICCLASS.PRG; ICMIKIT.SCX; ICTISPC.SCX
10010065 AR Missing Invoice # range filter for Customer Transactions Detail or Summary Listing. AMRFTR.DBF
10010263 PR No earning code hours and amount total in Time Card Entry report. PRTCRD.RPT; VSP_RPT_PRTCRD
10010301 AR File attachment in Activity Detail window does not allow users to view the file. COMACTV.SCX
10010386 IC Getting error in the Specification and Code Listing when the feature is disabled in IC Module Setup. ICSPECCR.PRG
10010415 PR EN: Add code W (Employer contributions to Health Savings Account) in Deduction Maintenance. PRCLASS.PRG; PRMDEDU.SCX
10010506 SO Sales order unit price in the On Order field is the default unit price even if the price is changed. REFER TO CONTROL # 10011821
10010513 SO Changing the pay code to credit card does not bring the correct credit card information. SOTSORD.SCX
10010515 IC, KT Deleting a kit item leaves records in the ICIKIT table. ICMITEM.SCX
10010557 AP AP Check Distribution Report shows no records for checks applied to a purged invoice. VSP_RPT_APDIST
10010569 BR Getting an out-of-balance due to multi-currency transactions recorded in the BR Module. VSP_BRTFER_TRANSFER
10010623 AR, IC, KT, SO Missing SHIP entry in Inventory Transaction Log for kit item with FIFO or LIFO cost type. VSP_IC_GETFIFOLIFO; VSP_IC_UPDITEMONHAND
10010645 AP, PO OLH: Add information on how to enter an indefinite period in Expire Days field in the vendor record. AMSQL.CHM
10010690 SO Advance Billing report shows incorrect sales tax rate. VSP_RPT_SOADVB
10010691 AR, SO Invoice created from an advanced billing shows incorrect computed sales tax amount. SOTSHIP.SCX
10010801 AP, AR, BR, IC, MI, PR, RA EN: Add option to sort by Fund + GL Account ID in GL Transfer Report. AMRFTR.DBF; AMRFTR_PR.DBF; AMRMAC.DBF; AMRMAC_PR.DBF; AMRSRT.DBF; AMRSRT_PR.DBF; AMTBL.DBF; APTOGL.RPT; APTOGLCR.PRG; ARTOGL.RPT; ARTOGLCR.PRG; BRTOGL.RPT; BRTOGLCR.PRG; GLSEGV_INSERT_UPDATE_DELETE; ICTOGL.RPT; ICTOGLCR.PRG; MITOGL.RPT; MITOGLCR.PRG; PRTOGL.RPT; PRTOGLCR.PRG; RATOGL.RPT; RATOGLCR.PRG; VSP_RPT_APTOGL; VSP_RPT_ARTOGL; VSP_RPT_BRTOGL; VSP_RPT_ICTOGL; VSP_RPT_MITOGL; VSP_RPT_PRTOGL; VSP_RPT_RATOGL
10010803 GL Batch transfer data to GL message is not clear. GLHBTFR.SCX
10010849 IC System transfers the wrong unit cost for lot controlled items in Internal Issuance transaction. ICTISTI.SCX
10010867 PR Earning Code lookup in the Additional/1099 Payment function window does not work properly. PRTADDP.SCX
10010879 AP Post Credit Card Payment window freezes when clicking X to close the Post CC Payment dialog box. APTCPMT.SCX
10010885 IC Inventory Transaction Log shows incorrect beg. balances if fiscal year is not the calendar year. ICTRSLCR.PRG; VSP_RPT_ICTRSL
10010965 PR EN: Provide option to hide details for Earning Codes and Deductions in PR Check Register Report. AMCRPROP.DBF; AMRFTR_PR.DBF; AMRSRT_PR.DBF; PRAPMTCR.PRG; PRPMT1.RPT; PRPMT2.RPT
10010979 IC Deleting inventory items with transactions causes IC Transfer to GL to be out-of-balance by 0.00. VSP_ICMITEM_OKDEL
10010983 AR Check # is shown with asterisks if user has no rights to view complete credit card information. ARCASH1.RPT; ARCASH2.RPT; ARPMTD1.RPT; ARPMTD2.RPT; VSP_RPT_ARCASH; VSP_RPT_ARPMTD
10010993 IC Performing Recalc Inventory Data on the same data N times creates multiple auto adjustments entries. VSP_IC_RECALCIWHS1
10011015 PR Posting PR check dated on future tax year creates duplicate GL Account ID for employee earning codes. REFER TO CONTROL # 10011447
10011055 IC Bin Inventory Movement sorts inventory item by CUID instead of by Item #. ICTIMVE.SCX
10011106 SM About AccountMate in Admin program encounters an error when clicking the Current Data Size button. SYSTEM MANAGER
10011120 RA Encounters the message "Quantity available is insufficient" when cancelling received RMA. RAMCCRG.SCX
10011156 SO Report subtotals in Open Sales Order Report do not match the detail if Sorted By Item # or Warehouse SOOPEN1.RPT; SOOPEN2.RPT; SOOPEN3.RPT; SOOPEN4.RPT; VSP_RPT_SOOPEN
10011291 AR System assigns the same receipt # to different receipt transactions. ARTPYMT.SCX
10011295 AR Cannot save open credit refund due to message 'Credit Card # does not exist". ARTRFND.SCX
10011318 PR, SM Printing PR checks or recalculating employee data displays requery error. SAMPLE_PR.DBC
10011324 PR Print Check displays incorrect total # of selected checks resulting in incorrect check printing. PRPROC.PRG; PRRCHK2.SCX
10011343 PR No record created in PREMPD for deductions taken on a future dated PR check. PRPROC.PRG
10011344 PR System doesn't accrue Beg of Year leave for employees with used leave hours in future dated checks. PRPROC.PRG
10011356 AP EN: Add Due Date filter in AP Forecast Aging Report. AMRFTR.DBF
10011359 AR, IC, PO Incorrect unit price is used if Multi-level Price is clicked even if no MLP is setup for the item. VSP_IC_GETREGPRICE
10011360 RA Receive RMA does not use correct factors for RMA with line items having different units of measure. RATCREC.SCX
10011420 SO Erroneous message: Quantity available is insufficient if U of M is changed on Detail window. SOTSORD.SCX
10011432 AP Post AP Invoice Transaction creates sales tax entries for matched accrued items. APTINVC.SCX
10011438 PR Encounters Error VFP 12: Variable 'CTIER' is not found when applying payroll using 2009 tax rates. PRPROC.PRG
10011446 PR, SM Closing the last period in PR does not create records for the new fiscal year if there is no GL. PRHCLS2.SCX
10011447 PR System does not auto-populate earning/deduction codes during apply payroll using 2009 PR tax update. PRPROC.PRG; PRTPMT2.SCX
10011448 PR Error: "Variable CTIER not found" when applying PR for 2009 but current PR year is 2008. REFER TO CONTROL # 10011438
10011460 SM EN: Provide user an option to install or not to install Payroll module in AM 7.x for LAN. SYSTEM MANAGER; AMM_ENGL.DBF; AMM_ENGL_PR.DBF; AMMGR_PR.DBF; AMMISC_PR.DBF; COPROC.PRG; SAMPLE_LAN.DBC
10011461 PR AccountMate disallows voiding of PR checks dated in the future tax year. PRMVCHK.SCX; PRMVOID.SCX
10011462 PR YTD amounts in PR check stub includes prior year amount for checks printed on future tax year. PRRCHK1.SCX
10011467 PR Out-of-balance during PR Transfer to GL when applying payment to an earning code with TIPS type. VSP_PRTFER_TRANSFER
10011470 PR Amending Deduction Maintenance's multiple states' deduction taxability encounters an error. PRDEDS_DELETE; PRMDEDU.SCX
10011491 AR AR Payment Distribution Report does not include payments made by National account. VSP_RPT_ARPMTD
10011497 PR Prior year tax deposit liability checks dated in the current year is posted in the wrong year. PRTDP40.SCX; PRTDP41.SCX; PRTDPLC.SCX; PRTDPST.SCX
10011501 PO Encounters "Account ID is invalid." when releasing a Blanket PO for a vendor without AP/PO Matching. REFER TO CONTROL # 10011760
10011503 GL Automatic interfund balancing does not work on new journal entry. GLCLASS.PRG
10011506 AP ACH file uses the same bank account # for all vendors. APREPT.PRG
10011510 PR System does not handle multiple Earning Codes assigned with the same Paid Leave Code. PRPROC.PRG
10011513 AR, SO System ignores show line item cost when user changes unit of measure. REFER TO CONTROL # 10011732
10011520 PR EN: Option to Print Available Leave Hours on All PR Check Layouts. AMTBL_PR.DBF; PRHSETU.SCX; PRRCHK1.SCX; PRRCHKR.SCX; PRSYST.DBF; SAMPLE_PR.DBC; UPSIZE_PR.DBC
10011531 AP EN: Add capability to set up sales tax code in Recurring AP Invoice Setup in a Canadian company. APTRCRG.SCX; VSP_APTRCRG_GENERATE
10011545 PR Apply PR does not provide proper rate for Earning Code with Pay Type regular and Fixed amount per period. PRMPYMT.SCX; PRPROC.PRG; PRTAFT2.SCX; PRTPMT2.SCX
10011547 PR Paid Leave Transaction Report displays incorrect leave hours if employee leave tier is changed. REFER TO CONTROL # 10011737
10011551 PR System must not allow saving of employee record if regular hours is 0.00 to avoid numeric overflow. PRMEMPY.SCX
10011574 AR, SO Copying customer record displays primary key violation error, cannot insert duplicate key in ARCARK. ARMCUST.SCX
10011575 AP AP Cancelled Check Report needs the ability to filter data by Cancel Date. AMRFTR.DBF
10011576 AP 1099 Payment Report needs the ability to filter data by Check #, Non-Check # and Check Date. AMRFTR.DBF
10011592 AR Customer Transactions Detail Listing report does not show all adjustment transactions. ARCTRS.RPT; ARCTRSL.RPT
10011594 PR Hourly employee set for less than 40 reg hrs/wk gets 40 hrs as default during apply payroll. PRTPMT2.SCX
10011597 PR Local Tax amounts of previous tax and fiscal year transactions show as 0.00 in Check Register Report. VSP_RPT_PRAPMT
10011602 AP 1099 Payment Report shows wrong Amt Paid if the same check number is used across banks. VSP_RPT_AP99PT
10011616 AP, PR Add Service Class Code to the Mandatory Fields tab in Electronic Payment (ACH) Setup. AMSQL.H; COMBKEP.SCX; COPROC.PRG
10011617 PR Form that uses a subclassed PRMEMPY.SCX generates cyclical class definition error. PRMEMPY.SCX
10011618 AR Open Credit Report displays Error 1429: Failed to retrieve data from the database. VSP_RPT_AROPCR
10011628 AR, IC, MI, PO, SO Encounters "Error 1586 Function requires row or table buffering mode." in Inventory Maintenance. ICMITEM.SCX
10011634 SO Tab from Warehouse field to Req Date changes the unit cost for succeeding line item during Amend SO. REFER TO CONTROL # 10011678
10011637 GL GL Listing exported to excel is poorly aligned. GLLEDG1.RPT
10011651 SM EN: Update system to support Windows 7. SYSTEM MANAGER; AMM_ENGL.DBF
10011652 SM EN: Use .NET encryption. PR TAX SUBSCRIPTION; PRADDR.RPT; PREDEPL.RPT; PREMEC.RPT; PREMPD1.RPT; PREMPD2.RPT; PREMPL.RPT; PREMPY.RPT; PRMEMPY.SCX; PRW4TX.RPT; SAMPLE_PR.DBC
10011655 PR PR Out of Balance by 0.01 or 0.02 due to rounding discrepancy in the Wages Amount. PRPROC.PRG
10011666 PR Apply payroll/payment does not save earning code GL Distribution. PRTPMT2.SCX
10011669 LC, PO Cannot cancel received goods for lot-controlled items; lot # [] does not have enough on-hand qty. POMCNLG.SCX; POMCTSP.SCX
10011672 RA RA Period End Closing incorrectly transfers data to history. VSP_RAHCLS2_TRANSFER_RMA
10011678 SO SO line item showing incorrect cost in line item details window. SOTSORD.SCX
10011684 GL Drill down on accrued receipts in GL Listing report displays "VFP 12: Variable 'LLINCLREFACCT' error POACCGCR.PRG
10011729 BR Reconcile Bank Account's Information tab is not updated for Verified Deposits/Other Receipts. BRTREC1.SCX
10011732 SO SO unit cost not based on Transaction UofM if user is set not to display the cost on a sales order. SOTSORD.SCX
10011734 SO Cancel all open order for a line item during Ship SO does not prompt for Reason Code selection. SOTSHIP.SCX
10011737 PR Changing paid leave Tier code in employee record updates the YTD Accumulated hours. PRMEMPY.SCX
10011746 IC, SO Inventory Adjustment Report shows lot number for a different transaction. VSP_RPT_ICIADJ
10011760 PO Release Blanket PO validates the Reference Account even if Vendor is not set to AP/PO Matching. POTRPOB.SCX
10011777 AR AR Current Aging report does not show correct balance of a partially paid finance charge invoice. ARAGNGCR.PRG
10011783 PO Out-of-balance in AP due to Cancel Receive Goods in PO. POMCNLG.SCX
10011792 IC System should not allow delete/archive of an item if there are current inventory adj. on the items. VSP_ICMITEM_OKDEL
10011800 AR Open Credits are erroneous in the AR History Aging if Parent company is involved. ARAGNGCR.PRG
10011802 SO Create SO function records duplicate kit components in the SOSKIT table. SOTSORD.SCX
10011808 PR Employee records with invalid W-2 Group codes are saved when clicking X or Close rather than Update. PRMEMPY.SCX
10011816 AR AR Void Applied Adjustment doubles the reversal amount on Discount Tax Claimbacks. AMSPTG.DBF; VSP_ARMVADJ_VOID
10011820 AR Encounters an error message: "AMSQLRPT.VCX file cannot be found" when modifying the COMACTF.SCX file. REFER TO CONTROL # 10012246
10011821 AR Unit price is not updated when AR Invoice price is changed. ARPROC.PRG
10011829 PR Reprinting PR check with Starting Check # same as Reprint Check # generates duplicate entries. VSP_PRTFER_TRANSFER
10011834 RA “Record has been changed. Cancel is not allowed”. when cancelling an RTV transaction. RATVOR1.SCX
10011838 AP AP Transactions for a closed period still show up in the GL Transfer Report. VSP_APHCLS2_UPDATE_CTOGL
10011839 AP AP Post Handwritten Check allows check date earlier than the invoice date. APTHCHK.SCX
10011844 BR Insert space between Check # & Check Date column in the Outstanding Check Report. BROCHK.RPT
10011858 AP Purchase Tax Amount Report shows zero total tax amount or displays "No records found" message. VSP_RPT_APTAXA
10011862 AP Invoice transactions in the history tables do not appear in the VAT Report. VSP_RPT_COTAXA
10011876 IC, LC Warehouse Inventory Transfer does not transfer cost of lot-controlled items from source to target. ICTIWTF.SCX
10011894 BR, GL Bank transfer involving banks with different currencies causes out-of-balance in the Trial Balance. VSP_BRTFER_TRANSFER
10011903 PO "Error 8154: Divide by zero error encountered" when cancelling received goods for non-stock items. POTPOR2.SCX
10011906 SO The item tax total that is displayed in the sales invoice for build-on-the-fly kit items is doubled. ARINVCL.RPT
10011922 PR Report of Wages (CA DE6) shows erroneous amount for subject wages (Box G). AMTBL_PR.DBF; PRDEDU.DBF; PREMPS.DBF; PRMDEDU.SCX; PRPROC.PRG; SAMPLE_PR.DBC
10011930 GL, PR PR Transfer to GL posts check transactions to wrong period. VSP_PRTFER_TRANSFER
10011934 PO Encounters VFP 1429: Failed to retrieve data from database when generating the PO Line Item Report. POLINE1.RPT; POLINE1L.RPT; POLINE2.RPT; POLINE2L.RPT; VSP_RPT_POLINE
10011944 AP Encounters 0.00 out of balance when importing AP invoices. APTIMPT.SCX
10011946 AP VAT Report does not display taxes for AP invoices with applied prepayments. VSP_RPT_COTAXA
10011958 RA Receiving RMA for a multiple serialized or lot-controlled item will result in overstatement in GL. RATCREC.SCX
10011962 IC Warehouse Quantity Listing shows incorrect average cost for serialized items with specification. REFER TO CONTROL # 10012268
10011963 AP Incorrect GL Distribution when Post AP button in Receive Goods window is used to post AP invoices. APTINVC.SCX
10012006 AR Tax claimback amount on voided AR payment is doubled if VAT report is using date range. VSP_RPT_COTAXA
10012007 PR System accrues paid leave hours even if employee balance reaches the max leave hours. PR TAX SUBSCRIPTION
10012088 GL Automatic Interfund balancing entry is doubled when posting JE batch with two or more JE IDs. GLCLASS.PRG
10012095 RA Cancel Receive RMA displays Error 1925: Unknown member GRCSPITEMDESC if IC is not activated. RAMCCRG.SCX
10012100 AP Entering an AP invoice date that is different from the system date creates wrong records/entries. APTINVC.SCX
10012121 SO Encounters "Primary key violation" error when two or more users save SO at the same time. VSP_AM_GETNEWDOCNO
10012126 PR Voiding PR checks for applied payroll that include paid leaves results in 0.00 out of balance. VSP_PRTFER_TRANSFER
10012127 AP AP prepayment paid by credit card is not using the vendor's AP prepayment GL Account ID. APTCPMT.SCX
10012133 AR OLH: Inaccurate information about the Use Default Price option in the CIM function. AMSQL.CHM
10012134 AR Print Invoice has lots of blank lines for kit line items. ARINVC.RPT; ARINVCL.RPT
10012135 AR Apply Payment allows overapply of open credit when transactions are saved simultaneously. VSP_ARTPYMT_SAVE
10012149 AP, PO PO Line Items Matched to AP Report shows incorrect subtotal foreign matched amount. VSP_RPT_APRACA
10012150 AR, SO Sales tax code is duplicated if you update tax rate without closing the sales tax code maintenance. COMSTAX.SCX
10012154 AR, SO Amend Invoice validates if bin is a receiving bin; cannot save changes if it is not a receiving bin. ARTINVC.SCX
10012156 AR, SO Customer Inventory Maintenance displays Error 1231: Missing operand when Use Def. Price is unmarked. ARPROC.PRG
10012157 PR Time Card Entry Report Total Hrs & Amt are multiplied by the # of earning code's GL distribution. VSP_RPT_PRTCRD
10012159 BR BR out of balance for a South Africa company due to multi-currency transactions. VSP_BRTFER_TRANSFER
10012167 AP, PO Reversal of Accrued Received Goods Liability during Create AP Invoice is in foreign currency. APTINVC.SCX
10012172 AP, PO PO Line Items for AP Matching Report shows erroneous received amount for a matched item. PORTRS_INSERT
10012173 AP, GL Voiding credit card payment adjusts the wrong GL Account ID in the wrong period. VSP_APTFER_TRANSFER
10012174 PO Getting violation of primary key constraint error in Cancel Received Goods with lot controlled items REFER TO CONTROL #S 10011669 AND 10011783
10012176 AP, PR Total Debit dollar amount is off by 2 characters if the option to Include Debit Entry (27) is marked COPROC.PRG
10012177 AR Conflict error during save operation when multi-users are creating invoices and sales returns. REFER TO CONTROL # 10012121
10012178 IC, RA System date is used as transaction date in the inventory record when shipping RTV. RATVSHP.SCX
10012180 AP, PR ACH file must include company's routing # in the Hash total computation if Record 27 is included. COPROC.PRG
10012181 SO Encounters the error "VFP 13: Alias 'CURSOSHIP' is not found." when accessing Ship Sales Order. SOTSHIP.SCX
10012182 IC, KT, LC Build Kit assigns incorrect cost to kit items w/ lot-controlled components if build qty is < 2. ICTKITS.SCX
10012200 MI System assigns a date of 01/01/00 to the adjusted beginning balances for the fiscal year in MI. MITFER.PRG
10012202 PR Negative deduction with applied taxes causes Out-of-Balance. VSP_PRTFER_TRANSFER
10012209 PR Amending applied payroll will result in PR out-of-balance. PRMPYMT.SCX
10012225 GL, IC System creates duplicate entries for lost transferred inventory if warehouse transfer remains open. VSP_ICTFER_TRANSFER
10012228 PR Error: "Prdedl record has just been updated by another. Do you want to continue?" PRMDEDU.SCX
10012234 SM Executive Summary adds a foreign bank's current balance in its foreign currency to Total Bank Bal. VSP_AM_BRSUMMARY
10012240 AP, GL Period-end closing discards exchange gain/loss when applying prepayment to an AP invoice. VSP_APTFER_TRANSFER
10012247 GL Getting the error "Ambiguous column name 'cacctid'." using account filters in Budget Maintenance. GLMBUD1.SCX
10012253 AP, PO Incorrect GL Distribution when using the Post AP button in Receive Goods window to post an invoice. REFER TO CONTROL # 10011963
10012255 AR Customer Statement shows payments as credit card when the Check/Card # field includes an asterisk. ARSTMT1.RPT; ARSTMT2.RPT
10012257 RA System includes time element in Applied RMA Credits transactions. VSP_RATCRDS_APPCR
10012260 RA RMA Total Amount is not updated when creating RMA Transaction for a Serialized Item. RATCOR1.SCX
10012262 SO Amending unapproved SQ results in zero total amount; further deletion results in negative amount. SOTAPPQ.SCX
10012264 GL No Interfund entry for JE batch involving two or more funds if GL Account is set to auto-distribute. GLCLASS.PRG
10012265 BR OLH: Reconcile bank account example is misleading. AMSQL.CHM
10012268 IC Warehouse transfer is transferring Specific ID items at average cost. ICTIRC1.SCX; ICTIRCV.SCX; ICTIWTF.SCX
10012271 RA AR invoice closed date uses the SQL Server system date instead of AccountMate system date. ARINVC_UPDATE
10012276 GL Debit and credit do not match when drilling-down from GL Listing the void AP check transaction. VSP_APTFER_TRANSFER
10012279 IC, PO Assign Serial # by PO overwrites imported serial #s. VSP_ICTIMPT_UPDATE
10012281 PR OLH: The SUTA Rate field in the State Tax Table Maintenance is misleading. AMSQL.CHM
10012283 AR, RA Incorrect Not Yet Completed Quantity (N.Y.C. Qty) in Complete RMA function for Specific ID items. RAMCCCG.SCX
10012284 GL Transaction Search is cutting off Receipt # in the report preview. GLTRSN1.RPT
10012286 PR Regenerated ACH file includes voided PR checks. PRREPAY.SCX
10012288 GL Rounding problem in the Interfund Balancing Journal Entry for an Auto Distribute GL Distribution. GLCLASS.PRG
10012289 IC Received Warehouse Inventory Transfer Report shows incorrect total received value. VSP_RPT_ICRITR
10012291 PR Combined multiple applied payment will post only one applied payroll payment in GL Transfer Report. VSP_PRTFER_TRANSFER
10012293 AR Printed invoices will be included in printing when you select to print all unprinted invoices in AR. ARINVC_UPDATE
10012300 AP, PO AP out of balance caused by multi-currency Landed Cost transactions. VSP_APTFER_TRANSFER
10012308 BR Record Bank Transfer does not create interfund entry though set for automatic interfund balancing. VSP_BRTFER_TRANSFER
10012310 MI EN: Option to see on-order quantity in Projected Material Requirement Report. AMRFTR.DBF; AMRSRT.DBF; MIMREQ.RPT; MIMREQCR.PRG; VSP_RPT_MIMREQ
10012314 IC, SO Pre-build kit item's booked and available quantities are not updated during Approve Sales Quote. SOTAPPQ.SCX
10012315 IC, SP Inventory Specification List displays an error when the Specification feature is disabled in IC. ICISPCCR.PRG
10012319 PR Voiding applied payroll posted in a closed period results in Out of Balance. VSP_PRTFER_TRANSFER
10012320 AR, CI Customer Inventory Maintence updates Current Price with New Price automatically. ARMCPRC.SCX; ARPROC.PRG
10012329 PR Cannot void after the fact PR transaction for time card employee. PRMPYMT.SCX
10012330 SM Custom Report is not updated w/ tables' fields when field names don't start with c, d, t, l, m or n. SYSTEM MANAGER
10012336 AP Cannot generate a recurring AP invoice due to the error, "Sales Tax Code [] does not exist". VSP_APTRCRG_GENERATE
10012344 BR Failure to write Positive Pay file does not alert user. BRTPOSP.SCX
10012346 PR Incorrect YTD earnings in check stub and employee record due to exclusion of negative earnings. PRPROC.PRG
10012352 IC Receiving warehouse inventory transfer for two identical line items causes data issues. ICTIRC1.SCX; ICTIRCV.SCX
10012429 GL Encounters the VFP 1429 error when viewing the Account Balance Report in South Africa companies. VSP_RPT_GLBALR
10012433 SM EN: Add the option "eLearning" option in the Help menu. SYSTEM MANAGER
10012440 PR Amending the applied payroll with fixed deduction amount based on net pay causes an OOB issue in PR. PRMPYMT.SCX