AccountMate 7.2 for SQL/Express
List of issues fixed as of Oct 30, 2006
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Control # Module Description Fixed In
10006633 AR, SO System does not delete purged sales order in the Sales Order Remark File table. VSP_ARHCLS2_PURGE_SO
10006717 AP, PO Remarks in the vendor notepad are truncated in the Vendor Listing report. APVEND.RPT
10006920 AR An error occurs in the Generate Recurring Invoice function during the "Save" operation. VSP_ARTRCRG_GENERATE; VSP_SOTRCRG_GENERATE
10007034 GL A GL Account ID with an account category of Fund Balance 2 appears on the Revenue Budget Statement. GLBUDCCR.PRG
10007518 MI Finished-Work Report does not display work orders from a closed period when filtered by one Item#. VSP_RPT_MIFNSH
10007653 GL System displays "Record is out of range" error when accessing the Income Statement report GLRISMT.SCX
10007689 IC Incorrect unassigned quantity when assigning a serialized item by Purchase Order. ICTASSN.SCX
10007745 AR System allows to generate invoice from shipment even though the bank code is not to be used in AR. REFER TO CONTROL # 10008489
10007838 PO EN: Create PO by Item to prompt change of pay code only if there are more than 1 line item. POTPOR2.SCX
10007921 AR System updates on-hand quantity when an invoice is voided even after a previous SR transaction. AMM_ENGL.DBF; ARTINVC.SCX
10007972 AR Incorrect ATD and YTD sales amount after voiding an open credit applied to an invoice. VSP_ARMVAPC_VOIDINV
10008053 GL Truncated GL account description in Income Statement, Balance Sheet, Fund Stmt, Revenue & Exp. Stmt. REFER TO CONTROL # 10008749
10008140 SO System creates a record in Shipment Line Item Remark File for cancelled inventory items. SOTSHIP.SCX
10008144 AR, IC, MI, PO, RA, SO Archiving warehouse record with activities in the current period causes an out of balance. ICMWHSE.SCX
10008239 SM Reports show 1910 in Fiscal Year Calendar Lookup when 2 digit year is 10. SYSTEM MANAGER
10008243 MI Bill of Materials report shows archived parent items. VSP_RPT_MIBOML
10008249 SO On amend, sales order is saved even if the credit limit is exceeded. SOTSORD.SCX
10008262 MI Sub-assembly items are dropped off from the Backorder Report after voiding finished job. MIMVFNH.SCX
10008263 IC Error is encountered when entering negative inventory adjustment for lot-controlled items. AMSCHGRD.DBF; ARTITSP.SCX; ICMIAD1.SCX; ICTIWT1.SCX; RATCTSP.SCX; RATITSP.SCX
10008272 IC Copying of inventory item should not copy barcode ID. ICMITEM.SCX
10008275 AR, PO, RA, SO Revenue Code in inventory type maintenance not accessible with only GL, AP, PO, PR,and CL modules. ICMTYPE.SCX
10008296 LC Inventory Lot Expiration Reports show zero on-hand qty even with Include In-Stock Item Only marked. VSP_RPT_ICILOT
10008298 PR FD: Form 941 should NOT print EIN on the 1st page if Print Company Name and Address is not marked. PR941F.RPT
10008311 PR CA: DE6 - prints the year & quarter on the 1st page of the report. PRQWCA.RPT
10008324 RA The system crashes when U of M field is blank in the RMA Transactions Line Item Detail window. RATCOR1.SCX
10008334 AR Error message is encountered when generating the Invoice Line Item Report. ARPRFTCR.PRG
10008335 AR Credit card information is erroneously updated when creating an AR invoice for another customer. ARINVC_INSERT; ARINVC_UPDATE
10008339 PO Part description is changed to the default item description when amending purchase order. POTPORD.SCX
10008340 PO Purging fully received PO's omits the PO receipts in the Rec. Goods Transaction Listing window. VSP_ICMITEM_ANALYSIS
10008341 AP Payment of foreign currency to an AP invoice causes an out-of-balance situation. VSP_APTFER_TRANSFER
10008350 AR, IC, MI, PO, RA, SO Cannot delete newly created inventory item. REFER TO CONTROL # 10008572
10008352 RA Serial numbers of RTV line items are omitted in the Ship RTV Report after period-end close. VSP_RPT_RAVSHP
10008374 AP, AR Address # field in the Customer Address File table accepts lowercase entry. AMORDRBY.DBF
10008384 AR, MI, PO, RA, SO Cannot save Inventory Type if IC module is not activated. ICMTYPE.SCX
10008409 IC Encounters a message that on-hand quantity is insufficient during assingment of lot numbers. ICMIAD1.SCX
10008412 AP, AR, PO, SO Encounters primary key violation when amending tax entity used as 2nd or 3rd entity in a tax code. COMSTEN.SCX
10008414 PR Encounters "Error 39: Numeric overflow" when applying multiple time card transactions. PRTPMT2.SCX
10008415 PR Cursor goes to Transaction Date field after deleting an Earning Code in the Time Card Entry grid. PRTTCPW.SCX
10008423 PR Incorrect default GL Account ID for Liability & Expense account in Paid Leave Code Maintenance. PRMLEAV.SCX
10008427 SM [Microsoft] [ODBC SQL Server Driver] Associated statement is not prepared. SYSTEM MANAGER
10008432 IC, LC, SP Serial numbers are not properly assigned to serialized lot items. POTRECG.SCX; VSP_IC_RSTSPECID
10008433 SM No modules will be listed in Activate Module if AMADDON.DBF record other than MAIN has coding. SYSTEM MANAGER
10008434 SM Redundant table description of Purchase Order Remark File and Sales Order Remark File. SAMPLE.DBC
10008435 SM Encounters an error message when cancelling a Department # search. SYSTEM MANAGER; AMRMAC_PR.DBF
10008436 SM Revise table description of the RACLPN. SAMPLE.DBC
10008442 AR History AR Aging report doesn't show open credit if sorted by Salesperson #. ARAGNGCR.PRG
10008445 PR Time Card Entry Report does not follow Seq column designated in the Time Card/Piece Work window. PRTCRD.RPT; VSP_RPT_PRTCRD
10008448 PR Incorrect WC Wage for Overtime earning code if Exclude O/T Premium is marked in WC Group Maintenance PRMPYMT.SCX; PRTAFT2.SCX; PRTPMT2.SCX; PRTTCPW.SCX
10008450 AP, AR, IC, PO, SO Apply Tax field in Customer Maintenance is not properly populated. APMVEND.SCX; ARMCUST.SCX; ICMITEM.SCX
10008451 AR, SO Create Invoice/sales order does not use correct default sales tax code for customer REFER TO CONTROL # 10008455
10008452 AR, PO, RA, SO Changes to tax entity cause error "...violation of primary key constraint" REFER TO CONTROL # 10008412
10008455 SM LApplyTax should have a default value of 1 in AMTBL. AMTBL.DBF
10008456 AR Incorrect ATD and YTD sales amount after voiding payment applied to an invoice. VSP_ARMVPMT_VOID
10008458 AP Post AP Invoice returns "Reversed accrued amount exceeds remaining accrued amount". APTINVC.SCX
10008461 PR Multiple "Regular" earning code in Time Card/Piece Work transaction generates multiple GL entries. AMTBL_PR.DBF; PRMPYMT.SCX; PRPROC.PRG; PRTAFT2.SCX; PRTPMT2.SCX; PRTTCPW.SCX; SAMPLE_PR.DBC
10008465 MI Message "Enter the value for Miwtrk.mRemark" appears when voiding a work order. MITWOR1.SCX
10008467 AP Encounters Error 1429: OLE IDispatch... w/ SQL Server 2000 when generating AP Invoice Detail Report. VSP_RPT_APIDTL
10008469 PR Incorrect GL entries for Leave Accrual. VSP_PRTFER_TRANSFER
10008470 SO Sales orders created from approved sales quotes have incorrect subtotal amounts. SOTAPPQ.SCX
10008471 PR Remove "Fed W/H" and "State W/H" from the deductions list in the payroll computer check. PRRCHK1.SCX; PRRCHKR.SCX
10008472 SM The Gross and Tax Withheld amounts for Employee Federal Tax are not updated after upgrading to AM7.1 PRCLASS.PRG
10008476 BR Deposits In-Transit and Outstanding Checks information in Bank Reconciliation Report are erroneous. VSP_RPT_BRBANK; REFER TO CONTROL # 10008647 AND 10008704
10008482 AR Open Credit amount is not correctly computed in the Customer Statement report. VSP_RPT_ARSTMT
10008486 AR, RA Empty parent customer number value in the AR Applied Payment table. ARINVC_INSERT; ARRFND_INSERT; ARTRFND.SCX; SAMPLE.DBC; VSP_ARMVADJ_VOID; VSP_ARTPYMT_SAVE; VSP_ARTPYMT_SAVE_UPDCASH; VSP_ARTPYMT_SAVE_UPDSRET; VSP_RATCRDS_APPCR
10008489 AR, SO Inconsistent bank validation used in AR/SO when shipping SO & generating invoice from shipment. ARTSINV.SCX; SOTSHIP.SCX; VSP_ARTSINV_VALIDATE
10008490 AR Sales Tax Amount report shows multiple records for an invoice without sales tax code. ARTAXA.RPT; VSP_RPT_ARTAXA
10008491 AR, SO Print SO/Invoice option during save does not follow specified number of printed copies. SYSTEM MANAGER
10008494 AR, SO Incorrect tax computation in sales order/invoice for line item tax companies. SYSTEM MANAGER
10008496 AP Cannot void checks paid to 1099 Vendors. APCAPP_DELETE
10008504 AP Post Date is changed after amending and applying prepayment to an AP invoice. APTINVC.SCX
10008507 AR Detailed information on refunds made does not appear in the Customer Statement. REFER TO CONTROL # 10008546
10008508 AR Customer Statements are not generated if they only consist of Unapplied Open Credits. REFER TO CONTROL # 10008482
10008509 AR Applied discounts, adjustments and write-offs are not displayed in the Customer Statement. REFER TO CONTROL # 10008486
10008517 PR Paid Leave qualifying hours field does not work properly. PRPROC.PRG
10008519 PR Leave hours continues to accrue even when the employee reached the maximum leave hours. PRPROC.PRG
10008520 PR Performing W2/1099 Year End Closing will cause the system to crash. PRHCYR1.SCX; PRHCYR2.SCX
10008521 PR System would still carry over the accrued leaves even if the Max Carry Over value is zero. PRHCYR2.SCX
10008528 PR Employee Maintenance allows the user to enter negative pay amounts in the Earning Code tabs. PRMEMPY.SCX
10008532 PR System computes incorrect gross earnings if employee Earning Code is not properly assigned. PRMEMPY.SCX; PRPROC.PRG
10008534 AR Payment Distribution Report does not show adjustment posted on a closed period. VSP_ARHCLS2_TRANSFER_PAYMENT
10008536 AR Customer Statement does not decrease open credit by the refunded amount. VSP_RPT_ARSTMT
10008537 AR, SO AUS: Invoice generated from shipment does not match SO amount. SOTSHIP.SCX
10008539 PR PR Check amount is incorrect by plus or minus one cent. REFER TO CONTROL # 10008426
10008540 PR The Rate/Hr value is incorrect in the Convert/Adjust Unused Paid Leave window. PRPROC.PRG; PRTCULV.SCX
10008542 PR System does not add a newly created leave code to an existing employee. PRMEMPY.SCX
10008543 PR System does not accrue leaves with beginning of year type accrual if earning code has a department. PRMEMPY.SCX
10008544 PR The Earnings Code is not drillable in the Additional/1099 Payment function. PRTADDP.SCX
10008545 PR Applying Payroll/Payment can cause an out-of-balance. PRMEARN.SCX; PRMEMPY.SCX; PRPROC.PRG
10008546 AR Customer Statement won't be generated if refund open credit and payment are the only transactions. VSP_RPT_ARSTMT
10008548 AR Customer Statements for parent acct set to Consolidate Statement reflects incorrect total balance. VSP_RPT_ARSTMT
10008549 AR EN: Customer Statement should read current tables only if doing Current Statement. ARCLASS.PRG; ARRSTMT.SCX; VSP_RPT_ARSTMT
10008552 MI Encounters Error 12: Variable 'LICICST' is not found when posting WO with Lot-controlled components. MITWIP2.SCX
10008553 PR Tax Deposit checks (Federal 941, Federal 940, State Tax, and Local Tax) do not print MICR. PRREPT.PRG
10008554 AR Balance Forwarded line item is omitted from the Customer Statement. VSP_RPT_ARSTMT
10008555 PR Cannot save new employee record. PRMEMPY.SCX
10008557 PR Employee info must be printed in checks of employees setup for electronic payment. REFER TO CONTROL # 10008591
10008558 SM Receives "Cannot create amlogin" when attempting to install AccountMate in a different SQL Server. SYSTEM MANAGER
10008560 AR Total and Current column headers are omitted when generating AR Aging Report with Subtotal type. ARAGNG1.RPT; ARAGNG2.RPT
10008561 AP, AR Company names and customer IDs are truncated from the AR Aging Report when sorted by Company. APSDSC1.RPT; APSDSC2.RPT; ARAGNG1.RPT; ARAGNG2.RPT; ARSTAT1.RPT; ARSTAT2.RPT
10008562 AR Finance Charge Exception Report shows line items with zero invoice amounts. VSP_RPT_ARFBAL
10008563 AR OLE IDispatch exception code 0 is encountered when previewing/printing Open Credit Report. VSP_RPT_AROPCR
10008568 AR Serial numbers in the AR Packing Slip are displayed in the wrong place. ARSLIP.RPT
10008569 SO EN: Creates Sales Order/Quote to accept Sales Order # as a parameter. SOTSORD.SCX
10008570 AR Serial numbers in the AR Invoice are displayed in the wrong place. ARINVC.RPT
10008571 PR The first ACH file generated by the system has trailing spaces on its filename. PRPROC.PRG
10008572 AP, AR, IC, PO, SM, SO EN: New form method AFTERSAVERECORD to be executed after Efrmtbr.SaveRecord() SYSTEM MANAGER; APMPBAL.SCX; APMVEND.SCX; APTPREP.SCX; APTRCRS.SCX; ARMFCHG.SCX; ARMPBAL.SCX; ARMPYCD.SCX; ARTINVC.SCX; ARTPYMT.SCX; ARTRCRS.SCX; ARTVDEP.SCX; GLMSEGV.SCX; ICMISUB.SCX; ICMITEM.SCX; ICMIUPS.SCX; ICMPRCB.SCX; ICMSPEC.SCX; MIMBOML.SCX; MITFNH1.SCX; POTPORB.SCX; POTPORD.SCX; RAMDATE.SCX; RATCOR1.SCX; SOTAPPQ.SCX; SOTRCRS.SCX; SOTSORB.SCX; SOTSORD.SCX
10008575 PR Recalculate Employee Data function zeroes out the YTD Carry Over in Paid Leave tab of Emp Maint. VSP_PR_RECALEMPY
10008576 PR GL Account ID length of Employer Matching Contribution GL Account is only 20 characters. AMTBL_PR.DBF; SAMPLE_PR.DBC
10008577 AR Applying payment to an invoice on a date earlier than the invoice date should not be allowed. AMM_ENGL.DBF; ARTPYMT.SCX
10008578 AR Applying open credit on a date earlier than the open credit trasaction date should not be allowed. AMM_ENGL.DBF; ARTPYMT.SCX
10008585 PR State Withholding tab values in the Employee Maintenance function uses period to separate thousands. PRMEMPY.SCX
10008589 AR No Customer Statement will be generated if transactions belong to child account only. VSP_RPT_ARSTMT
10008590 PR Print payroll check without stub line should print the current and YTD labels PRCHCKA.FRX; PRCHCKB.FRX; PRCHCKC.FRX; PRCHCKD.FRX
10008591 PR Zero-amount check should print the employee information for mailing. PRCHCKA.FRX; PRCHCKB.FRX; PRCHCKC.FRX; PRCHCKD.FRX
10008592 AP Manually keying the GL Account ID and using TAB keys does not properly refresh Account Description. APTINVC.SCX
10008593 RA The Complete RTV Report crashes if the line item has more than 40 characters for description. RAVCMP1.RPT; RAVCMP1L.RPT; RAVCMP2.RPT; RAVCMP2L.RPT; RAVCMP3.RPT; RAVCMP3L.RPT; RAVCMP4.RPT; RAVCMP4L.RPT; VSP_RPT_RAVCMP
10008594 PR Report totals in the YTD Tax Withholdings Report are omitted. REFER TO CONTROL # 10008473
10008599 IC, PO Cannot assign lot number by PO to an inventory item of which PO is in history. VSP_APHCLS2_TRANSFER_INVOICE; VSP_APHCLS2_TRANSFER_PO
10008608 AR, SO Pressing F4 key does not display the Search window in the Credit Card field. SYSTEM MANAGER; ARTINVC.SCX; ARTRCRS.SCX; ARTRTRN.SCX; RATCOR1.SCX; SOTRCRS.SCX; SOTSORB.SCX; SOTSORD.SCX
10008612 SM Cannot save search criteria in the Invoice Search window if you remove a field. SYSTEM MANAGER; AMTBL.DBF
10008614 SM Alias "" not found when BEFORERUNMENU in Amaddon.DBF evaluates to .F. SYSTEM MANAGER
10008615 PR Overtime hours are not included in the computation of deductions with per Rate/Work Hour type. AMTBL_PR.DBF; PRMPYMT.SCX; PRTAFT2.SCX; PRTPMT2.SCX; SAMPLE_PR.DBC
10008616 SM Error (1429): OLE IDispatch... Nodes: Element not found in View Function Access Rights. SYSTEM MANAGER
10008623 PR Pressing the Tab key in the Time Card Entry grid does not move the cursor to the next column. PRMPYMT.SCX; PRPROC.PRG; PRTAFT2.SCX; PRTPMT2.SCX; PRTTCPW.SCX
10008624 PR Accrue paid leave should consider used hours in calculating for maximum number of hours PRPROC.PRG
10008629 PR Worker's Comp Code limit does not work. PRMPYMT.SCX; PRPROC.PRG; PRTAFT2.SCX; PRTPMT2.SCX
10008630 PR Voiding a posted employee beginning balance will cause problems. PRMPBAL.SCX
10008631 PR Incorrect Payroll Stub Calculation for employees setup for electronic payment. REFER TO CONTROL # 10008426
10008632 PR Second bank information not printed in the payroll stub for employees setup for electronic payment. PRRCHK1.SCX
10008633 PR YTD Deductions spelled incorrectly on the upper check stub in the printed check. PRCHCKB.FRX
10008635 PR Fields are misaligned and printed outside the boxes when printing W-2s. AMSPTG_PR.DBF; PRW201.RPT; PRW205.RPT
10008639 GL Error Message: Invalid object name 'podisth_ba' is encountered when redefining GL account segment. GLHRED1.SCX; GLHRED2.SCX
10008641 BR, PR Electronic payments do not show in Bank Reconciliation. PRPROC.PRG
10008647 BR Calculated book balance shows zero amount in the Bank Reconciliation Bank Summary Report. REFER TO CONTROL # 10008476
10008649 PR EN: Allow to edit the GL distribution in Time Card, Apply PR, Post After-the-Fact and Amend Applied. AMTBL_PR.DBF; PRMEMP4.SCX; PRMEMPY.SCX; PRMPYMT.SCX; PRPROC.PRG; PRTADDP.SCX; PRTAFT2.SCX; PRTPMT2.SCX; PRTTCPW.SCX; SAMPLE_PR.DBC; VSP_PR_GENNEWAPPLY; VSP_PRTFER_TRANSFER; VSP_PRTFER_VALIDATE
10008657 AR Cannot enter check # for non-customer payment even if pay type is check. ARTPYMT.SCX
10008659 BR Reconcile Bank Account window Information tab is incorrectly updated. BRTREC1.SCX
10008660 AR "Error 515:Cannot insert the value NULL in column ndeptot,table brstmt" during AR Period-End Close. VSP_ARHCLS2_CLEANUP
10008661 BR, PR Cannot reconcile 941 checks in Reconcile Bank Account window for electronic payment employees. PRPROC.PRG
10008663 AR Void applied credit does not update the sales return and customer balance. ARMVAPC.SCX; VSP_ARMVAPC_VOIDCASHSR
10008664 PR Additional payments are not included in the worker's compensation accrual. AMTBL_PR.DBF; PRPROC.PRG; PRTADDP.SCX; PRTPMT2.SCX; SAMPLE_PR.DBC
10008665 SM User can successfully login by entering CTRL+0 keys for password in the login screen. SYSTEM MANAGER
10008670 AP Post hand written check for non-check transactions should not allow duplicate reference number. APTHCHK.SCX
10008674 PR Maximum deduction / Apply Payroll in Deduction Code maintenance does not work properly. PRMPYMT.SCX; PRTAFT2.SCX; PRTPMT2.SCX
10008677 SM Source Code purchase on a module other than the first module is not detected. SYSTEM MANAGER
10008680 GL Encounters "VFP 1113 Error when running Income Statement sorted by Division. SYSTEM MANAGER
10008681 SM EN: Allow adding of add-on modules in Create AccountMate Shortcut. SYSTEM MANAGER
10008684 RA Inconsistent name of the Customer/Vendor Activity Report in the menu, interface, and preview in RA AMMENU.DBF
10008685 AP Incorrect spelling of the Activity Reports group menu in the AP module. AMMENU.DBF
10008689 PR EN: Allow automatic assignment of Holiday paid leave code in transaction(if employee does not have). AMTBL_PR.DBF; PRHSETU.SCX; PRPROC.PRG; PRTAFT1.SCX; PRTAFT2.SCX; PRTPMT1.SCX; PRTPMT2.SCX; PRTTCPW.SCX; SAMPLE_PR.DBC
10008690 AP EN: Implement AP check to comply with Canadian Check requirements. SYSTEM MANAGER; APCHCKA.FRX; APCHCKB.FRX; APCHCKC.FRX; APCHCKD.FRX
10008695 SM System accepts blank first day of the fiscal year and current fiscal year. SYSTEM MANAGER
10008697 SM EN: Support user-defined amlogin password. SYSTEM MANAGER
10008698 SM Change the label "Computer Name" to "SQL Server Name". SYSTEM MANAGER; AMM_ENGL.DBF
10008701 SM Brproc.prg is not part of the BR source code for AM7.1 SYSTEM MANAGER
10008704 BR Bank Reconciliation Report: No records found for a bank of which reconciliation is finalized. AMRFTR.DBF; REFER TO CONTROL # 10008476
10008706 AR Customer Statement: Marking "Each Subsidiary on New Page" shows each section on a new page. ARSTMT1.RPT; ARSTMT2.RPT; VSP_RPT_ARSTMT
10008708 AR Customer Statement: There is no space after the column in the label "Subsidiary Customer #:XXX" ARSTMT1.RPT; ARSTMT2.RPT
10008713 AP, PR EN: Allow the user to print the company logo and company name & address in AP & PR check. AMTBL.DBF; AMTBL_PR.DBF; APCHCKA.FRX; APCHCKB.FRX; APCHCKC.FRX; APCHCKD.FRX; APHSETU.SCX; PRCHCKA.FRX; PRCHCKB.FRX; PRCHCKC.FRX; PRCHCKD.FRX; PRHSETU.SCX; SAMPLE.DBC; SAMPLE_PR.DBC
10008714 SO EN: New Shipment On-Time Analysis Report. AMGRPACC.DBF; AMMENU.DBF; AMRCTL.DBF; AMRFTR.DBF; AMRMAC.DBF; AMRSRT.DBF; AMSPTG.DBF; ARREPT.PRG; SOSHPT1.RPT; SOSHPT1L.RPT; SOSHPT2.RPT; SOSHPT2L.RPT; SOSHPTCR.PRG; VSP_RPT_SOSHPT
10008728 GL, SM System Manager has hard coded information on amwsys. SYSTEM MANAGER; AMTBL.DBF; VSP_RPT_AM_SETTINGS; VSP_RPT_COACTY; VSP_RPT_GLBUDY
10008729 PR Additional categories for Ethnic Code and EEO Class. AMSPTG.DBF; CRUFLAM.DLL; PREEO1.RPT; PREEOR.RPT; PRMEMPY.SCX
10008732 BR Bank Reconciliation Report filename should either be BRBANK.RPT or BRBANK?.RPT BRBANK.RPT; BRBANKCR.PRG; BRREPT.PRG; REFER TO CONTROL # 10008476
10008739 SM Encounters "amtskbr.dbf2 does not exist." when launching AccountMate for the first time. INSTALLSHIELD
10008740 SM Documentation folder is not installed when re-installing the Program Files using the Modify option. INSTALLSHIELD
10008741 AP Encounters an error "Cannot insert the value NULL into column 'dreverse'.." when creating AP invoice APTINVC.SCX
10008746 AP, AR Recalculate Customer/Vendor Data takes a long time to process. VSP_AP_RECALCVEND; VSP_AR_RECALCUST
10008749 GL Minimal space in between GL Account ID and GL Account description in B/S and I/S. SYSTEM MANAGER; CRUFLAM.DLL; GLBSHT1.RPT; GLBSHT2.RPT; GLBUDC1.RPT; GLBUDC2.RPT; GLBUDC3.RPT; GLFPOS1.RPT; GLFPOS2.RPT; GLISMT1.RPT; GLISMT2.RPT; GLISMT3.RPT; GLISMT4.RPT; GLSACT1.RPT; GLSACT2.RPT; GLSACT3.RPT; GLSACT4.RPT; GLSACT5.RPT; GLSACT6.RPT; GLSCHD.RPT; GLSUMM1.RPT; GLSUMM2.RPT
10008754 AP Message "Print transfer error report?" does not show when performing Data Transfer to GL. APTFER.PRG
10008756 AR Incorrect Total Invoice,Taxable Amt, and Non-taxable Amt in Sales Tax Amount Report. ARTAXACR.PRG
10008759 SM Second user gets message "‘Problem detected with the number of users currently logged in... ". SYSTEM MANAGER
10008765 PR CA: DE6 Form prints the incorrect dates for QUARTER ENDED, DUE and DELIQUENT IF... PRQWCACR.PRG
10008767 PR CA: DE6 Form shows decimal point and decimal places in the number of employees field PRQWCA.RPT
10008768 AP Reprinting checks causes primary key violations in APCHCK and BRCTRL. APREPT.PRG
10008769 PR CA: DE 6 Form should not contain commas for the dollar amounts. PRQWCA.RPT
10008770 PR CA: DE 6 Form's Social Security Number should not contain spaces in between. PRQWCA.RPT
10008771 PR CA: DE 6 Form prints page totals in the location for the second and succeeding pages. PRQWCA.RPT
10008772 PR CA: DE 6 Form's vertical line spacing is not correct. PRQWCA.RPT
10008773 AR, GL Reference GL Account ID for non customer payment receives 0.00 in nftrsamt during AR PE closing VSP_ARTFER_TRANSFER
10008774 SM EN: Displays different messages instead of just "Cannot create amlogin" for various login issues. SYSTEM MANAGER; AMM_ENGL.DBF
10008776 SM EN: Displays different messages instead of just "Cannot make the connection" for connection issues. SYSTEM MANAGER; AMM_ENGL.DBF
10008777 AP Check Register Report shows inaccurate information if a check number has been previously voided. APRCHK1.RPT; APRCHK2.RPT; VSP_RPT_APRCHK
10008778 RA Return Code Listing ignores criteria. VSP_RPT_RARTCD.SQL
10008780 PR Paid leave should calculate accrual if there's a regular earnings code PRMPYMT.SCX; PRPROC.PRG; PRTAFT2.SCX; PRTPMT2.SCX
10008781 AP Voiding check with the same check # multiple times renders the Check Register Report inaccurate. APRCHK1.RPT; APRCHK2.RPT; VSP_RPT_APRCHK
10008782 GL Misleading out of balance message caused by scan of foreign trs amt during Fiscal Year-End Closing. AMM_ENGL.DBF; GLHCLS1.SCX
10008799 RA Completing RTV order with stock and non-stock items creates blank GL Account IDs. RATVCMP.SCX
10008800 AP "Operator/operand type mismatch" error in AP Print Computer Check Vendor Lookup. APRCHK1.SCX
10008808 MI Error "Incorrect syntax near 'where'" when generating Print Production Slip and Print Routing Slip. AMRFTR.DBF; MIPRTECR.PRG; MIRRTECR.PRG
10008810 CM Contact File s filter does not properly work. CMTCONT.SCX
10008817 CM Clicking the Printer button in the Print Individual Label window should display the Print window. CMTCON2.SCX
10008822 BR Generate Positive Pay functions displays a blank message when a Bank range is specified. AMM_ENGL.DBF; BRTPOSP.SCX
10008823 BR Generate Positive Pay function displays "Positive pay function [] is not found." message AMM_ENGL.DBF
10008829 PR Text file generated for NPC is incorrectly formatted. PRRCHK3.SCX