LeasePak 7.4a Fixed Discrepancy Listing
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LeasePak 7.4a

Release Notes Archive

LeasePak 7.4a Fixed Discrepancy Listing

By ticket number, ascending. Show by build number, descending.

Ticket NumberBuild FixedDescription
542320 8121 U0129: Cursor moved to extreme left when press decimal point.
544598 8129 U0108: Lease Extension - GLOOB for the account 'LEASE INCOME RECEIVABLE' on R0403 when extended with *RES accrual method for non-prorated leases.
544769 8066 db_add_login: Need to remove the edit check that requires a UNIX user to be present when adding an Oracle account.
544784 8096 R0609: Row title for subvention records is not in sync on different places. (Fix only in Bootstrap version).
544795 8052 Report is tracking last selected on any tracking module.
544802 8047 U0210: Exception produces on updating 'V' type asset, when lease have multiple assets.
544824 8010 dxGeneration: Third party library is not merging the XML data correctly into the word document.
544835 8010 dxGeneration: Collection Letter 3 and Payoff Letter should print current user's contact information as letter sender.
544860 8100 U0801: Not able to save a Sub-Application/lease with office number that is different from Master Application/Lease.
544868 8010 The lessor income for the month of July appears to be missing with everything deferred.
544869 8010 Accrual reversal is not reversing the income amount correctly on a quarterly payment with funding interest turned on.
544875 8010 Rebook is resetting the GL income LTD / YTD fields to zero/(0): RLSB.GL_IN_YTD_D and RLSB.GL_IN_LTD_D.
544920 8029 U0728 Queues: Lease Digits Low/High should allow for ALPHA characters.
544927 8047 U0109 Clear via Cashier's Check: Invalid City should not be accepted.
544938 8047 U0108 Auto Lease Extension: Change - Spelling mistake.
544942 8029 GL transaction for 'New Lease reversal' is only considering 'CASH account 1' unlike 'NEW LEASE ADD' transactions.
544958 8029 R0929: Not able to view EOP report 'pX_u0499_jobstatus.rpt'.
544963 8029 DocGen: Adding debugging details.
545000 8047 U0707: Record not saved, if press cancel instead of OK.
545004 8062 U0131 Assess Meter Charge: Blank message appeared when assessing/calculating charges for asset.
545005 8062 U0133 Batch Meter Charge: Blank message appeared when selected a portfolio.
545009 8029 An exception should be displayed on the U0304C report when the lessee has the 10 day waiting period for the prenote to clear.
545012 8047 R1202: Spelling mistake of Lender.
545015 8029 The ACH/PAP prenote grace period needs to be changed from 10-days to 3 business days.
545028 8028 R0109: Prorate income is not being properly displayed when the HTML report version is on. Works only in the ASCII version of the report.
545029 8062 U0104 Deferral Reversal: Invalid date format error appearing for p_in_dt_s.
545030 8030 The R0109 report is not calculating the last periods income correctly and not printing the last deferred portion when pro-rate income module is on.
545031 8029 DocGen: Unable to replace dynamic parameter in the generated document file name when it is used at the beginning of the file name.
545032 8028 Client received an error that check number doesn’t exist when performing a U0101 Reverse Check.
545075 8068 U0736 Document: Error appearing when clicking Create XML button on Data Definition Testing screen.
545078 8078 U0103: Termination/Payoff - lxproc_c error appearing after lease is been cleaned up.
545090 8077 R0109 Model Amortization: An error message appears on creating an amortization schedule when entering the information directly into LPC.
545099 8070 Sale of asset XML should send INV, not ORIG.
545106 8051 U0736: Unable to use multiple parameters in along with {arg.XXX} in SQL(s).
545108 8070 Vertex O crashing - memory leak when payment and tax are both 0.
545110 8049 User should not be able to run EOD once the EOM is already run for a particular date.
545112 8061 U0736: Errors out even for a valid date format.
545119 8046 MISC: Oracle queries in some of the source files have been modified to use bind variables instead of literals.
545124 8065 U0736: Requires an edit check to prevent RDS from saving sysdate and systimestamp keywords.
545139 8068 MsiAppExtractor->extractUDC method should not accept invalid client relation (greater than 3 characters).
545142 8070 U0117A: The fix for HT#545032 is not reporting the BANK CHECK NUMBER value correctly on report.
545143 8070 U0117: The U0117 check disbursal program should not delete any cashier checks if the U0212 Cashier Check setting is > 99.
545158 8061 U0212 MI is resetting the ALI recurring charge value to blank.
545171 8095 U0131, U0233: MFW GUI issues.
545173 8065 LPBroker->Add/Update: The 'remittanceZipCode' should not be input required if 'remittanceState' is not provided in XML.
545174 8066 U0736 - if user uses Current_timestamp in a query it generates exception by converting it into current_stamp_l.
545184 8072 dxGeneration should show proper message, when an invalid template directory path is set on U0712.
545193 8070 Vertex O tax distributed numbers incorrect when payment amount is zero.
545209 8077 Excel file of Paid Invoices generated via F5 Lease Summary is not showing completed records of invoices.
545217 8095 BOOTSTRAP Reports: R0905 - Terms of Lease - Shows a gap when Enhanced IDC and IDC module is not purchased.
545243 8071 U0101 Remove lease: is not using the same bank code for reversing A/P transactions which was used to disburse check during booking a lease.
545244 8070 Modify current XLST files and current cp_altlsepayinfo.sql to support 'new' date parameter.
545247 8070 The geoSearch API needs to have an option to determine whether or not the 'Vehicle Use Tax' rates should be used. Currently it is defaulting ALWAYS USE.
545248 8070 The taxCalc API needs to have an option to determine whether or not the 'Vehicle Use Tax' rates should be used. Currently it is defaulting ALWAYS USE.
545250 8070 The document record does not exist in rdx table.
545279 8070 Mpower: LPSearch -> taxCalc - assetUseTaxCode - improper response in case of a First Two letters match the code exists in DB, and rest are not. assetUseTaxCode only accept the Use Tax Codes defined in LPC.
545287 8111 U0301: General ledger out of balance with a suspended lease with prorate income.
545288 8073 Document Generation: Exception appears while generating the document if File Attachment path at U0712 is invalid '.'.
545291 8070 U0418: Batch assessment waiver is creating a $0 amount A/R record when the charge to be waived is not found.
545311 8071 Mpower: The geoSearch API returns incorrect date values.
545313 8085 DocGen: Need to change all occurrences of NVL (rar.income_accrued_c, ' ') <> 'N' to NVL (rar.income_accrued_c, 'Y') <> 'N'.
545345 8079 Lease will not book when using quick book lease when the warning message 'Yield Recalculated' appears.
545347 8079 Mpower: getLPVersionInfo - returning an invalid API_VERSION_DATE.
545391 8087 Proper response message should be returned, in case an invalid Host Address is provided (General API Response Issue).
545445 8090 Add two new sections to the status bar: Hostname & port.
545446 8090 In file setup the hostname and environment name should be dropdowns.
545458 8094 A payoff reversal not reflecting the correct accumulated depreciation LTD to what it was before the payoff.
545501 8099 Auto-logout timer emits a race condition at login sporadically; auto-logout timer is also not working properly.
545524 8098 U0101B/QB: Incomplete message appears, when Check Disbursement Date is less than the Application Disbursement Date.
545534 8098 The HTML reports are not working correctly if the user's personal folders are set to a 'mapped' drive.
545537 8100 U0411/U0304: LEASEPAK UX - mxdatedif(): Invalid YYMMDD input date for p_date2_s (-11101.
545539 8107 Import AcquireIT Utility: Exception occurs but there is no error message in grid.
545560 8105 EOPSUITE: Submit EOP - add support of username/password on command line.
545569 8100 U1101WS: The collection and recovery work schedule will terminate the application with the following error: Index was out of range. Must be non-negative and less than the size of the collection.
545584 8106 Account Number and Financial Institution ID should not be input required on Lease level, when Lessee level ACH is used.
545587 8102 dxGeneration: Unable to generate documents on machine where MS word is not installed.
545606 8109 The account balance xml report is calculating incorrect amounts for payment received, principle payment received, and interest payment received.
545640 8102 U0203: If less than 9 digits are entered in the SS/Bus ID field the user receives an error message that incorrectly references PAP/ACH instead of SS/Bus ID.
545644 8106 R0905: Accrual information - Displaying Lease Extension date even for the lease, which are not so far extended (ASCII report only).
545658 8111 MISC: Edit check 'PAP/ACH Inst. ID and Account are input required' should appear when PAP is set to 'Y' at lease, and lessee PAP information is blank.
545681 8111 Need the ability to redefine the SYSDBA name in the Linux SETUP.
545750 8112 The 'vrls_billing_docs' view needs to be added in later releases.
545754 8113 Missing functionality in LPEOP - submitEOP API.
545764 8114 Outstanding Balances Off for RAXE and ROSL type leases.
545769 8121 Error is displayed when 'Drawdown expiry date' for the master app is equal to the LPC system date. LPC should not display the error message in the above case.
545778 8113 The buckets in the R0604, R0606 and R0607 are not working correctly when the U0212NL 30/360 switch is set to 'Y' and the lease has invoices outstanding > 1 year.
545846 8116 U0301: Cycle Accruals is incorrectly updating unrec_in_d for Operating lease having non-monthly payment schedule.
545890 8119 U0301: Incorrect IDC Amortization issue in the months, where lease Payment Due Day > Day of Accrued to date.
545891 8118 R0103: Incorrect 'Gross outstanding value' and 'Unamortized IDC' values, due to incorrect IDC amortization in the months, where lease Payment Due Day > Day of Accrued to date.
545927 8121 U16: When entering the lessee/customer number in the Customer Service Work Schedule Lessee customer field, the values are entered in reverse order e.g. 12345, it comes as 54321.
545932 8121 Util 292: Errors out when run with table name or sql file.
545934 8121 Misc: After getting out of Customer Service (and all other) Tracking Module, the selected lease number continues to populate in other screens (updates and reports).
545938 8124 U0109: Refund - Message indicates state/city combination of TX/Fort Worth does not exist.
545939 8123 Users who get option to save reports as PDF file, gets only first page of report in PDF.
545999 8125 R0114: PAP Projection report does not show data in case of upgrade env and db conversion from V7.1 to v7.4.
546029 8122 LPNotebook: The Add update option is not working for Asset and Client options. (RH7 only issue)
546045 8124 Application Search with Co-lessee fetches one application with all the distinct statuses history, instead of just current.
546063 8123 Whenever last 2 digits of date is '00', system skips first two digits and displays it as '00' in all HTML reports.
546099 8126 R0404A: 'Type of Other' column is not always including 'Deferred Income' and 'Deferred Residual Reduction' descriptions when lease has been extended on 'ARES' and month-to-month with Activity Status of AEXM on the cash basis.
546124 8127 U0236: The RCR schedule Start and End dates data is swapped with each other.
546155 8130 U0101: Book Lease creates an RTP record for P/T type RCR with blank Invoice number on advanced invoice.
546179 8130 U0103: Payoff and Payoff Reversal fail for MTM leases - mxdatechg(): input date cannot be blank issue. (Duplicate of 546138 & 546166)
546232 8140 LP Utilities: Running LeasePak Utilities (lputil_shared) in shared mode does not exit properly in case of invalid password or token.
546342 8152 R0413: Dates and Operator filter criteria are not working.
546439 8152 Not able to login to LP interactive in case LEASEPAK_DBMS_LOG is set to 1 in INI file.
546587 8153 Remove the "Database Server" fields from the client Setup screen and from leasepak.ini.
546654 8158 If ALTERNATE ACCRUAL BILLINGCYCLE is not purchased: 1 - R0109 (without lease #) should not error out. 2 - R0110, R0112 Accrual/Billing Cycle - need to be inactive with a default value M-Monthly Ref Tickets # 546652, 546653.