Ver/Build (n.nn.nnnn) | Ticket Number | Description |
---|---|---|
5.30.1799 | 519921 | User received error 'lx_sum_pmts: start date must be specified' during End of Period. |
5.30.1799 | 520165 | LeasePak was incorrectly resetting permissions on the /etc/shadow file after a change password operation. |
5.30.1796 | 519575 | LeasePak was not reducing the residual as payments were made on an auto-extended lease, RES method, made on an existing cash basis RES extension. |
5.30.1796 | 519868 | User received error 'Server Error: rxora_dsu_to_rsu.c:null character found in string field in dsu map at byte offset 30' while attempting to apply cash via a suspense item through payments. |
5.30.1794 | 518631 | LeasePak was erroneously printing a rls.stmt_s = 'N' type invoice on the scratch file and was printing it with errors. |
5.30.1794 | 519539 | Capital Reduction' in the XML version of the report was misspelled 'Captial Reduction'. |
5.30.1794 | 519621 | User encountered error 'rxora_dpc_to rpc.c: null character found in string field in dpc map at byte offset 28' when attempting to pay off lease. |
5.30.1794 | 519622 | User testing the output for the Off Lease Inventory Report encountered other related issues. |
5.30.1793 | 519612 | API. User defined table was not working correctly. |
5.30.1789 | 519089 | User received error 'MSIDAO ERROR: bSybBatchTrans() -ct_results failed.' while processing the Book Requirements Document List. |
5.30.1788 | 519267 | The same assets displayed inconsistently between the R1001 A and R1001 B reports depending on when the user ran the report. |
5.30.1788 | 519410 | B report was not displaying correct book value for assets in inventory. |
5.30.1787 | 519324 | LeasePak did not reset the original value of the res_d field when user performed a payoff followed by a payoff reversal on an operating (OPER) lease with multiple assets. |
5.30.1785 | 519120 | Oracle only. User encountered error in Repo Account Status. |
5.30.1785 | 519262 | Cash Control. When user processed a first invoice one day, a second invoice the next, then reversed the first invoice, LeasePak displayed the batch number for the second invoice instead of the first. |
5.30.1783 | 519209 | User received error 'One or more leases have been paid off /Terminated can only transfer' when attempting to perform a batch payment reversal using all reversal codes. |
5.30.1779 | 518946 | Payoff quote Per Diem calculation was incorrect. Related to enhancement 517169. |
5.30.1779 | 518947 | Payoff quote Per Diem dates were incorrect. Related to enhancement 517169. |
5.30.1779 | 518949 | Payment Reschedule created problem with delinquent payment amount in Payoff Quote U0213. |
5.30.1779 | 519024 | IBL B Method. Problem with assessments for IBLs with skip payments. |
5.30.1773 | 517980 | User encountered error 'Lxbuffer: Duplicate Key Error: cannot PUT a row to Unsorted Memory if already in Unsorted' while performing a payment extension. |
5.30.1773 | 518762 | F5 Invoice Detail. If the assessment name and dollar amount matched between two lines, the detail would not show the duplicate line items. |
5.30.1772 | 517742 | Rebook resulted in a GL out-of-balance condition. |
5.30.1772 | 517768 | LeasePak reversed a payment during Change Key but did not reapply it. |
5.30.1772 | 518253 | Accounts payable checks weren't on the R0205. |
5.30.1772 | 518381 | User received error 'Run-Time Error 13 Type Mismatch' when attempting to pay off asset using FMV method. |
5.30.1772 | 518660 | LeasePak lacked the ability to turn off edit checks when Vertex locations were used in conjunction with the API. |
5.30.1772 | 518733 | The Web service part of the API was trimming spaces. |
5.30.1772 | 518734 | Oracle Notebook/API: date and time sent through the API were not included in the notebook records. |
5.30.1772 | 518735 | Oracle Notebook: the follow-up date was not working--only processed notes. |
5.30.1772 | 518745 | Oracle. Vertex U0437 update was updating state rates if the Vertex update rates were different from the ones stored in the rlo. |
5.30.1772 | 518752 | Oracle/Auditing. User received error 'bOraBatchTrans():Statement Execute Failed. Error - ORA-01401; inserted value too large for column ORA-06512; at line 10' when attempting to save a pending asset to an application with Auditing turned on. |
5.30.1772 | 518755 | Revolving Credit. Capitalized interest was reducing the amount of available credit. |
5.30.1769 | 518086 | Payment made to a lease extension (month-to-month cash basis, ARES) did not reduce Unguaranteed Residual or realize any income to the appropriate GL account. |
5.30.1769 | 518399 | The decimal precision was wrong for the interest rate, interest amount, and principal outstanding fields, and these fields were being rounded. |
5.30.1769 | 518643 | Back dated suspended earnings resulted in a GL out-of-balance condition to Suspended Income Receivable (Unbilled). |
5.30.1769 | 518657 | Several accounts were identified with errors where suspense items applied from a lockbox using U0102, U0126, or U0109 appeared to be attaching to other payments even when unique payment details were included. |
5.30.1767 | 517997 | Portfolio failed during End of Month Use Tax Disbursal |
5.30.1767 | 518151 | Setting Credit Bureau Reporting to 'No' resulted in an erroneous when going into the Collection Lease Summary screen. |
5.30.1767 | 518387 | Portfolio failed during Sequential Updates Post-Merge. |
5.30.1767 | 518569 | LeasePak allowed the Payoff Effective Date to be after the Accrued To Date on AAPR Leases. |
5.30.1766 | 517899 | Two payoff created out-of-balance conditions, which the End of Year process adjusted for. |
5.30.1766 | 518058 | Non Monetary Archive failed and only contained partial data. |
5.30.1766 | 518551 | User received error 'Run-time error '91': Object variable or with block variable not set' when running R0901 and R0601 Reports selecting all PCRO or PCRO 1/1/1/1. |
5.30.1765 | 518571 | LeasePak timed out and created a core file when attempting to run the Account Balances report. |
5.30.1765 | 518573 | Related to 518304. Generating a suspense item from U0427 or U0129 turned off the Auto Apply Suspense functionality. |
5.30.1762 | 517638 | Splitting an asset on an extended operating lease created an incorrect Total Book Depreciation LTD and an incorrect payoff amount. |
5.30.1762 | 518070 | If using Cash Control, LeasePak was requiring bank code inputs on the second screen of U0212 Modules Customizations. |
5.30.1762 | 518339 | Problem occurred with drawdown balance amount on master application. |
5.30.1762 | 518340 | API was not validating location codes entered by the user. |
5.30.1762 | 518386 | RECORD TYPE 1 : POSITION 63-80, Lodgment Reference needed to be left justified, blank filled. |
5.30.1762 | 518440 | Accrual principal became negative when user performed an asset payoff of an operating lease. |
5.30.1759 | 517531 | The payment reversal did not create a transaction to reverse the Lease Payments Receivable, resulting in an out-of-balance condition. |
5.30.1759 | 518191 | Module processing needs exceeded the 25000 maximum record length. |
5.30.1759 | 518293 | Status History record limit created errors drawing down from a master application. |
5.30.1756 | 517868 | Early asset payoff created an out-of-balance condition. |
5.30.1756 | 518087 | Removing recurring charges in preparation for Remove Lease caused an incorrect reversal of Assessed Fees and an out-of-balance condition. |
5.30.1756 | 518285 | Vertex update failed with error 'exec syb_mp_vertex_rlo_rnm_upd 1'. |
5.30.1756 | 518302 | Vendor ACH module had incorrect data in header and detail records for WDE (Australian) format. |
5.30.1754 | 518229 | With auditing enabled, LeasePak displayed an error when the user clicked multiple rows in the Collection work schedule. |
5.30.1754 | 518234 | Oracle. User received error after adding and then deleting a note with no note type specified. |
5.30.1754 | 518250 | Customer Search, U0126, and U0203 were sometimes causing a terminating error if the business phone number for records queried or updated was blank/null. |
5.30.1752 | 517787 | Booking the acquisition fee IDRB resulted in a debit in the clearing account and a general ledger out-of-balance condition. |
5.30.1750 | 518136 | LeasePak produced errors ' MSIDAO Error bSybBatchTrans() - ct_results failed' and 'Unable to unlock current work schedule item' when user turned on switch Turn On Real Time Update Collections. |
5.30.1750 | 518164 | LeasePak was retaining the old IBL lease number in the rid table after a change key. |
5.30.1750 | 518168 | Alternate lease summary was displaying a variety of values for next payment amount for Operating Leases with Tax method 'STAT'. |
5.30.1749 | 517705 | An API error occurred due to improper decoding of a string. |
5.30.1749 | 517893 | Asset payoffs in the Lease Summary F5 were not reflecting the sales tax billed amount. |
5.30.1748 | 517371 | LeasePak did not warn that only the most recent payment extension can be reversed. |
5.30.1748 | 517877 | LeasePak Utility 219. Lease would not upload to RBS table. Other leases would upload, but appeared on exceptions report with error 'invoice cannot be after maturity date'. |
5.30.1748 | 518110 | Start and End Dates were incorrect on the payment schedule grid. |
5.30.1746 | 517187 | Performing a change key on an asset returned to inventory after termination created GLOOB condition involving Used Inventory and Inventory accounts. |
5.30.1746 | 518036 | Per diem calculations were different between R0404 and U0213 when using a back dated effective date. |
5.30.1744 | 517851 | User received error 'Payment amount does not cover cost' while attempting to write down a residual for a precomputed deal. |
5.30.1744 | 517988 | Repo Account. LeasePak terminated when user forgot to enter a state value. |
5.30.1744 | 518003 | Sum of optional residual values did not equal amount shown in F5 Lease Summary. |
5.30.1744 | 518013 | Auto Suspend created incorrect G/L entries when unsuspending a lease. |
5.30.1743 | 517116 | Batch Number Payment Reversal. Functionality for out-of-order (OOO) IBL, RAX5 monthly schedule contracts failed to reverse and reapply suspense items when the U0202 Paydown switch was set to 'N' and no R0404 invoices were present. |
5.30.1743 | 517317 | Multi Asset Tax Waiver. User received error 'Object variable or With block variable not set' when attempting to waive property taxes. |
5.30.1743 | 518014 | Lease Summary. Payoff Info button and functionality was missing for Oracle platform. |
5.30.1738 | 513108 | Same asset was displaying different addresses in R0905 and R1003 after a split asset and address change to the new asset. |
5.30.1738 | 517945 | User experienced locking problems in Recovery Tracking Work Schedule |
5.30.1734 | 517874 | Auditing was causing LeasePak to terminate abnormally during U17 Recovery Tracking. |
5.30.1734 | 517897 | U0425 PAP (EOP) and U0424 Vendor ACH changed the input for the remittance field in the detail record. |
5.30.1734 | 517922 | With Auditing on, adding a user profile in U1731 Recovery Tracking User Profile resulted in the error 'Subscript out of range'. |
5.30.1726 | 517652 | U0306 failed to reverse the full amount of a check. |
5.30.1726 | 517658 | User received error 'bOraBatchTran(): Statement Prepare Failed. Error - ORA-01756: quoted string not properly terminated' when attempting to unlink lessee in U0218 Lessee/Customer. |
5.30.1726 | 517789 | User received error 'Subscript out of range' while attempting to enter an IBL. |
5.30.1726 | 517832 | U0108 Lease Extension would not allow month-to-month deals to be entered. |
5.30.1721 | 517588 | A payment still appeared as applied after reversal. |
5.30.1717 | 517790 | Assessing a late charged deleted the payment amount when the lease was in NMAT status. |
5.30.1717 | 517797 | U0218 Lessee/Customer would not add a lessee to a customer. |
5.30.1717 | 517816 | U0302 Cycle Invoices would not produce and invoice for Customer/Group if the first lease was paid off or terminated. |
5.30.1714 | 517690 | LeasePak needed to prompt the user if the CHANGE_TODAY value was set and whether or not to accept the value of CHANGE_TODAY. |
5.30.1713 | 510167 | In Lease summary the billing address didn't reflect the real billing address. |
5.30.1713 | 516849 | Oracle only. Credit reports were causing an error. |
5.30.1713 | 517568 | User was allowed to change password, log off and back on, then change password back to the previous password. |
5.30.1713 | 517654 | When the user made payments via U0102 using a duplicate check number, LeasePak created one batch when two batches should have been created. |
5.30.1713 | 517688 | User received error messages, 'Warning. Accrued prin bal will fall below est int carryover &<0.00>, and 'Warning. Continuing this transaction will cause a GLOOB' when trying to process a principal write up reversal. |
5.30.1713 | 517726 | A suspense item from a mixed batch was not updating the lease field in the rpm table. |
5.30.1713 | 517762 | User only able to enter 5 characters per line when adding information to the detailed section of Notebook/Multi Entries |
5.30.1711 | 517691 | User received error 'Exceeded maximum number of lines per batch (2000), while attempting to reverse a payment. |
5.30.1711 | 517719 | User discovered that the transaction was missing when attempting to reverse a payment prior to a lease extension. |
5.30.1711 | 517727 | When making a payment with a suspense item using U0102 Payments and placing the overage into suspense using option 'B' (place money into suspense), LeasePak was unable to create an rpn record for the overage amount. |
5.30.1711 | 517729 | U0102EP was not working for customer/group application. |
5.30.1710 | 517222 | If Vendor had no leases, report displayed information for the next Vendor. |
5.30.1710 | 517573 | Bundling flag was missing from U0108 Lease Extension payment grid. |
5.30.1710 | 517689 | The word Receivable was misspelled 'Receivabel' on the R0604 Vendor Accounts Receivable Aging report (HTML version). |
5.30.1710 | 517699 | LeasePak needed to disallow setting Capitalize Interest to 'Y' for B Method IBLs (Capitalize Interest does not work with B Method IBLs). |
5.30.1708 | 513570 | Erroneous U0412D report was generated when an NMAT lease had a remaining balance due on the accrual day. |
5.30.1708 | 517469 | User received error 'Lxbuffer_end c: cannot end buffering while a LeasePak transaction is in progress' while attempting to transfer a payment to suspense. |
5.30.1708 | 517561 | HTML report displayed Lease Payment total incorrectly. |
5.30.1708 | 517566 | The Y/N switch for including an assessment in delinquency calculations was not working for Sales/Use Tax (STAX). |
5.30.1708 | 517574 | New assessment for Advanced Invoicing less than 20 days was needed. |
5.30.1708 | 517657 | Enhanced Payments caused interest to be miscalculated for VL type leases. |
5.30.1708 | 517676 | U0102 Batch Number Payment Reversal caused error in batch total and suspense after suspense item was applied in Enhanced Payments. |
5.30.1708 | 517677 | LeasePak generated an error 'rxaora_dtx_to_rtx.c: null character found in string field in dtx map at byte offset 0' when a suspense payment was applied using Enhanced Payments to a lease with only an assessment outstanding and the money was not applied to |
5.30.1707 | 516100 | User received 'Runtime error 6 Overflow' in U0704 (all menu options) when deleting and changing address/name items. |
5.30.1707 | 517132 | User received runtime error - when activating second window if first window had a new style check box 'All'. |
5.30.1707 | 517373 | Sybase. Adding TRAD (trade) or PROF (professional) relationship in U0203 caused error. |
5.30.1707 | 517380 | User received error 'Runtime error 6: Overflow' while in U0704 Auxiliary Address. |
5.30.1707 | 517544 | User receive error when processing batches from any portfolio. |
5.30.1707 | 517565 | When updating a pending asset through applications, the residual amount was always being recalculated even if the user did not change the acquisition cost. |
5.30.1707 | 517572 | The payment effective date did not flow from the original payment effective date but defaulted as a regular payment when payment was applied from U0102BR with a transfer reason. |
5.30.1707 | 517604 | Using VL accrual method caused GLOOB condition when accruals were reversed. |
5.30.1704 | 516931 | Splitting an Asset and changing the Optional Residual in the Asset update [U0210] caused the Optional Residual displayed in the Lease Summary F5 to be incorrect. |
5.30.1704 | 517264 | Property Tax assessment invoice appeared in U0102 Payments but not in Enhanced Payments. |
5.30.1704 | 517362 | User received error 'No write-down reversal can apply to this lease' while attempting a write-down reversal. |
5.30.1704 | 517383 | Creating a suspense overage during payoffs was causing the suspense record to have a blank value for the batch number, preventing the user from being able to clear the suspense item to the general ledger. |
5.30.1704 | 517539 | User received error 'Exceeded array size in LSLStPRADJ program. Contact Client Services' while attempting to reverse accruals. |
5.30.1703 | 516909 | Report grand and subtotals were not working correctly. |
5.30.1703 | 516925 | Report header for subtotal section was incorrectly labeled Grand Totals. |
5.30.1703 | 516928 | Report column titles Cost and Date should have been Total Lease Cost and Lease Date, respectively. |
5.30.1703 | 516936 | Part of the report column header was misaligned. |
5.30.1703 | 517011 | Report had the columns reversed between General Ledger Balances and Detail Record Totals. |
5.30.1703 | 517441 | The word Receivable was misspelled 'Receivabel' on the R0607 Assessments Receivable report (HTML version). |
5.30.1703 | 517457 | The word Receivable was misspelled 'Receivabel' on the R0607 Accounts Receivable report (HTML version). |
5.30.1703 | 517468 | User received error 'Run time 9 - subscript out of range' while attempting to update Use Tax code. |
5.30.1703 | 517475 | Different principal balances were displayed in R0905 and R0927 when an RAX5 IBL had an early first payment followed by an early second payment, a paydown, and another paydown, and then applying a fourth payment via U0415 resulted in an error. |
5.30.1703 | 517478 | In the Reference section of U0203 Lessee, the reference codes did not display correctly and some fields were not saved. |
5.30.1703 | 517498 | User received error 'cxsql_lxnt_coll.c: lessee not found during mwc transfer' while attempting real-time collections and customer/group payments. |
5.30.1703 | 517524 | Add Asset was not copying the application asset condition report fields over during booking. |
5.30.1703 | 517525 | For Metro2, the date of the last time the account was reported to the credit bureau was not being updated. |
5.30.1698 | 517288 | Could not use Batch Payment Reversal to reverse a payment that was applied using Suspense. |
5.30.1698 | 517410 | First payment of a lease extension was incorrect after user reversed the extension and then reversed the accruals for the lease. |
5.30.1698 | 517415 | User received error 'Processed - Util 111 - Problem - Contact Support' after ACH processing on 4 portfolios. |
5.30.1698 | 517428 | After an IBL was paid down with excess payments from suspense, the rpm and rpn tables were not updated properly. |
5.30.1695 | 516705 | Creating a suspense record via U0102 with no outstanding A/R created a batch with no effective date on the RPM record. |
5.30.1695 | 516929 | When the Model Amortization was run by Lease Number on a Lease with a Residual, the Residual Income ceases prior to End of Term, and Lease Income had Balancing Final Income, so that Total Income = Total Lease Income, instead of Lease Income + Residual |
5.30.1695 | 517233 | DD/MM/YYYY format was not working properly. |
5.30.1695 | 517357 | LeasePak was missing reversal reason codes on the R0909 report for credit memo reversals. |
5.30.1694 | 516866 | R0204 Salesperson Commission Report failed with Division by 0 error when client ran interactively. |
5.30.1694 | 517014 | Suspense effective date not functioning properly. |
5.30.1694 | 517251 | When paying by suspense and an overage was created, the DPN/RPN record was not being created for the overage. |
5.30.1694 | 517271 | LeasePak lacked edit checks for transferring Customer/Groups in Batch Number Payment Reversal. |
5.30.1694 | 517298 | The effective date on the U0109 Suspense Add and Change screens did not support DDMMYY format. |
5.30.1694 | 517307 | (Cash Control) when performing multiple payments with same check number to Customer/Group leases and non-Customer/Group leases, could not reverse batch payments on the second lease. |
5.30.1694 | 517325 | User encountered database server error 'Mxora_execute: OCISmtExecute error' when applying pre-payment to Cash Control, Customer/Group without outstanding invoice. |
5.30.1693 | 517252 | User received 'Error in retrieving the suspense check payment detail record for …' while trying to clear a suspense item to G/L. |
5.30.1693 | 517259 | LeasePak was not accepting Australian (AUS) PAP/ACH formats for account numbers and bank. |
5.30.1693 | 517272 | RPM and RPN records were missing when user created credit memo using Customer/Group. |
5.30.1693 | 517273 | RPM did not change to capture new info when a payment reversal reversal (batch) was applied to a different lease or Customer/Group. |
5.30.1692 | 517015 | User received fatal error 'Check number required' while attempting to save batch data having a payoff method on a line with no check data. |
5.30.1692 | 517028 | When an Operating Lease went into extension, the Lease Acquisition Cost became equal to the Sum of the Salvage Value of the assets active on the Lease at the time of extension. |
5.30.1692 | 517197 | User received error 'Bad client relationship <LOC> in DCX record, key = …' while attempting to run Notebook report. |
5.30.1692 | 517207 | User received error 'Basic Error 58 ON statement out of range' while attempting to add a suspense item. |
5.30.1692 | 517208 | User received error 'Run-time 13;Type mismatch' when Contract Date was left blank. |
5.30.1692 | 517257 | If a lease with a broker was viewed using the Lease Summary (F5) and then another lease was selected, the Broker number and Broker Name field were not refreshed for the new lease selected. |
5.30.1692 | 517267 | (Cash Control) User encountered data corruption when making Customer/Group payment, C/S payment batch, then lease batch without completely closing the window. |
5.30.1692 | 517268 | Customer Group Payments applied using enhanced payments were causing data corruption. |
5.30.1692 | 517270 | (Cash Control) User encountered database server error when applying pre-payment to Cash Control, Customer/Group without outstanding invoice. |
5.30.1691 | 517119 | User received error 'Principal changes exist after the effective date' while attempting to use a suspense item to pay down an IBL. |
5.30.1691 | 517156 | When user ran reports consecutively, page numbers would continue to increment instead of resetting to 1 each time. |
5.30.1691 | 517186 | Related to 516793. LeasePak allowed the application of a suspense item where the effective date was prior to the commencement date, resulting in the miscalculation of principal and interest. |
5.30.1691 | 517188 | User received error 'Run-time error 438 Object doesn't support this property or method' while attempting to use the Application Tracking menu item Import, Other. |
5.30.1690 | 515830 | Assessments failed to create a future Invoice Date using Off Lease functionality. Update was using last accrued date causing invoices to be back-dated and not included in the invoice scratch file. |
5.30.1690 | 517125 | Oracle. User received error 'rxora_dpm_to_rpm.c: null character found in string field in dpm map at byte offset' while attempting to run Batch Payment Reversal. |
5.30.1690 | 517170 | (Linux) user defined fields were terminating abnormally. |
5.30.1689 | 516904 | User received error 'Invalid PAP Institution ID' while attempting to enter the PAP Institution ID in the Misc Billing Info screen. |
5.30.1689 | 517086 | IBL B Method. Invoices were not closing and were becoming corrupt when multiple invoices were paid early. |
5.30.1689 | 517095 | User received error 'Error in retrieving the suspense check payment detail record for...' while attempting to retrieve a suspense item. |
5.30.1689 | 517101 | Screen amounts did not match when an IBL B Method invoice was paid early with overpayment to apply to principal paydown. |
5.30.1689 | 517106 | User received error message when trying to post suspense item to lease, 'Suspense item not for lease…' |
5.30.1689 | 517112 | Credit memos when being applied to accounts with interest payments, such as ARES type deals, had missing RPN records for the pre-payment reversal as well as what was applied to the invoice. |
5.30.1688 | 517108 | User encountered problems deleting leases from an already-deleted group. |
5.30.1686 | 516930 | Cust and Vendr labels display was truncated. |
5.30.1686 | 516957 | Metro2 file was including cents in dollar amount fields. |
5.30.1686 | 516968 | Cash Control batch froze while processing. |
5.30.1684 | 516902 | LeasePak did not allow de-selection of reports for Report Only Users. |
5.30.1683 | 516528 | An IBL RAX5 monthly contract that received only 1 principal paydown in the next-to-last payment corrupted the final R0404 Receivable when the next payment was attempted. |
5.30.1682 | 516878 | The F1 reference guide hot key did not work with reports where the first screen (selection criteria) had a check box. |
5.30.1681 | 516877 | U0305 customer group payments was failing with a segmentations violation error. |
5.30.1681 | 516882 | User received error 'mxprint: Error opening file: <lp.rpt>'. |
5.30.1680 | 516820 | (Oracle) user received error 'btx ENLP rxora_dzu_to_rzu.c: null character found in string field in dzu map a t byte offset 24 etx'. |
5.30.1679 | 516793 | With Cash Control, when using Suspense to apply to payment, LP calculated the payment effective on the default due date instead of the Suspense effective date. |
5.30.1678 | 516699 | The extension/deferment counter was not taking into consideration payments made to invoices but still left open. |
5.30.1678 | 516706 | The last payment amount and last payment date fields were incorrect on the lease summary screen. |
5.30.1678 | 516780 | U0901 Book Notes Payable still prompted for an output device even though the Display Printer Selection had been turned off. |
5.30.1678 | 516783 | U0904 Principal and Schd Adjustment still prompted for an output device even though the Display Printer Selection had been turned off. |
5.30.1678 | 516784 | U0905 Notes Payable Accrual still prompted for an output device even though the Display Printer Selection had been turned off. |
5.30.1676 | 516774 | Processing a customer group batch payment produced the following error message: 'Lxbuffer: Sequential call, but Current Record pointing to Unsorted Memory'. |
5.30.1673 | 516748 | When real time collections queuing was turned on and interactive batch payments for customer/group performed via U0305, portfolio corruption was seen throughout the reports. |
5.30.1661 | 516562 | User received apparently incomplete error message 'Suspense item has already been cleared by'. |
5.30.1642 | 516422 | User received error: BASIC ERROR #58 ? ON statement out of range'. |
5.30.1625 | 512393 | U0101 Multi Asset disbursal incorrectly required the addition of a session balance. |
5.30.1623 | 511454 | Change Lease Key reversed accruals and reaccrued even though the Accrued to Date was used for the change key. |