KB number | Description | Area path |
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2796109 | Online store front creates invalid DIRPARTYTABLE records. The name fields are empty 405648 (DAXSE) | \AX Retail |
2796118 | After applying KB 2736028 -- with aggregation off the posting of multiple service items on a statement generates a duplication error on InventTransTMPOriginKeyValueTransfer table 415609 (DAXSE) | \AX Retail |
2796644 | Update Products can leave updated item in inconsistent/unrecoverable state due to lack of validation logic 410428 (DAXSE) | \AX Retail |
2797131 | AR Cancel payment fails with retail configuration 415701 (DAXSE) | \AX Retail |
2801351 | Inactivated Price/Discounts in AX causes NullReferenceException in CRT's method GetDiscountParameters 415608 (DAXSE) | \AX Retail |
2801716 | Online channels: CRT API: for product detail queries, filter results by the locale of the channel 422631 (DAXSE) | \AX Retail |
2802140 | Cancelling the price override form for an item with "Key In Price" set to "Must key in price higher/equal" adds the item to the transaction 422634 (DAXSE) | \AX Retail |
2802208 | Catalog Management: product shows up multiple times in product fast tab grid in catalog detail form if it has multiple translations 426222 (DAXSE) | \AX Retail |
2802233 | Product attributes not visible in category hierarchy when accessed through online channel 425094 (DAXSE) | \AX Retail |
2802579 | SharePoint publishing: type for several fields should be changed from Single to Multi line of text 426946 (DAXSE) | \AX Retail |
2802582 | SharePoint catalog: Refinement of decimal values are not formatted 426599 (DAXSE) | \AX Retail |
2808351 | The Retail Jobs application config should include the SharePoint Trace Listener to enable diagnostics from this component 431216 (DAXSE) | \AX Retail |
2809367 | Mobile online store is missing a couple of script files during deployment 432429 (DAXSE) | \AX Retail |
2811445 | Upgrade6.2.1.0.sql script is not included in the CU1 HF for Retail SDK 466316 (DAXSE) | \AX Retail |
2811641 | Order detail page is causing an error 466319 (DAXSE) | \AX Retail |
2815693 | Warning message for class RetailMassUpdateValidator 544067 (DAXSE) | \AX Retail |
2794992 | Fields values in InventItemBarcode disappear if other line is selected 404941 (DAXSE) | \AX Retail\Headquarters |
2795035 | Detailed Receipt report displaying incorrect details 404936 (DAXSE) | \AX Retail\Headquarters |
2796045 | RetailSalesByHour report should use different measures. Currently it is using incorrect measure. 415607 (DAXSE) | \AX Retail\Headquarters |
2796157 | Quantity Field not set in Transfer Order line when we add an additional line item at the receiving side 404929 (DAXSE) | \AX Retail\Headquarters |
2796384 | Insufficient rights to execute Menu Item reason codes 404939 (DAXSE) | \AX Retail\Headquarters |
2796636 | SalesParameters subjob failed when running A-1040_OC after modifying Charges mode in Price params (Store Connect) 410427 (DAXSE) | \AX Retail\Headquarters |
2796989 | Issue credit memo is not implemented when returning a Customer Sales order 405645 (DAXSE) | \AX Retail\Headquarters |
2797047 | Discount / Price adjustment issue with categories in AX 415602 (DAXSE) | \AX Retail\Headquarters |
2797086 | Retail Sales transaction not posted correctly in Statement if TransactionId is the same for Sales and Logon transaction 415624 (DAXSE) | \AX Retail\Headquarters |
2797125 | Transactions that start today and end tomorrow (past midnight) cause lost lines on sales orders and inventory reservations that don't get rolled back 415615 (DAXSE) | \AX Retail\Headquarters |
2797540 | Inventory reservations for Voided line items are stranded after statement posting 404926 (DAXSE) | \AX Retail\Headquarters |
2798903 | Prices on published listings are calculated with the wrong date 415603 (DAXSE) | \AX Retail\Headquarters |
2800356 | Need to remove obsolete POS operation from seed data 410421 (DAXSE) | \AX Retail\Headquarters |
2800614 | Error with P-job with multiple distribution locations 422637 (DAXSE) | \AX Retail\Headquarters |
2801281 | The mass update worksheet can leave the update product in an inconsistent state as it misses some validations enforced by the released products form. 422633 (DAXSE) | \AX Retail\Headquarters |
2801632 | Retail HQ tracing does not work 425696 (DAXSE) | \AX Retail\Headquarters |
2801660 | Time clock in AX does not account for different time zones 410422 (DAXSE) | \AX Retail\Headquarters |
2801839 | Printing Adhoc Label - Barcode field and Variant field are NOT filtered based on Item number entered 404943 (DAXSE) | \AX Retail\Headquarters |
2802125 | LineItem and MultiLine concurrency not working in AX sales order 416548 (DAXSE) | \AX Retail\Headquarters |
2802171 | Seed data: P_0001_OC job description should be changed to "Online store transactions" 425096 (DAXSE) | \AX Retail\Headquarters |
2802203 | Only categorized products can be included in assortment 425097 (DAXSE) | \AX Retail\Headquarters |
2802608 | Catalog Publish: Expiring Listings does not reflect the status correctly in AX 415715 (DAXSE) | \AX Retail\Headquarters |
2802755 | Bank and Safe deposits as seperate transactions on statements 414980 (DAXSE) | \AX Retail\Headquarters |
2802792 | [N-2] P-Job for 2009 Pos does not pull ParentLineNum 422632 (DAXSE) | \AX Retail\Headquarters |
2803166 | Update Products shows variant groups as available for update but doesn't actually make changes to product masters 422636 (DAXSE) | \AX Retail\Headquarters |
2809829 | Default Basic product properties in Product category hierarchy are not inherited to a newly created item (regression) 430428 (DAXSE) | \AX Retail\Headquarters |
2809227 | The Retail SDK update package is missing some files required for successful compilation of the StoreFront solution shipped as part of it 431215 (DAXSE) | \AX Retail\Plug-ins |
2794892 | Income / Expense transactions missing from X and Z reports 404927 (DAXSE) | \AX Retail\POS |
2795037 | Unable to return transaction when the users language item descriptions are not provided 410251 (DAXSE) | \AX Retail\POS |
2796039 | "Must key in comment" flag ignored when adding a service item - user is always prompted to enter a comment 405635 (DAXSE) | \AX Retail\POS |
2796065 | "Zero Price Valid" and "Keying in price" flags ignored when adding a zero-priced service item - user is always prompted to enter a price 415625 (DAXSE) | \AX Retail\POS |
2796162 | Tender validation does not respect maximum cash payment setting with pay cash quick 414982 (DAXSE) | \AX Retail\POS |
2796681 | Aggregate products for printing does not print item that was previously voided on receipt 404940 (DAXSE) | \AX Retail\POS |
2796970 | Total discount from trade agreement is calculated against the original price, resulting in negative transaction total 410425 (DAXSE) | \AX Retail\POS |
2797016 | If Discount period goes past midnight, the discount doesn't work for the following day 416544 (DAXSE) | \AX Retail\POS |
2797103 | Display issues with View Time Clock Entries operation in POS 410242 (DAXSE) | \AX Retail\POS |
2797478 | Voided payment causes wrong error dialog on tender declaration 415696 (DAXSE) | \AX Retail\POS |
2797610 | POS takes too long to discover it's offline 404932 (DAXSE) | \AX Retail\POS |
2798881 | Edit Customer operation leads to an error when DATAAREAID in pos.exe.config is not the same case as AX 416542 (DAXSE) | \AX Retail\POS |
2798899 | Not possible to enter Discount AMOUNT in the POS for Return product transaction 415613 (DAXSE) | \AX Retail\POS |
2798906 | Bank Drop form can show ambiguous labels for different tender types that are both associated with the "PayCash" operation. 410255 (DAXSE) | \AX Retail\POS |
2799144 | When discount amount and discount percentage is specified in Line Discount discount percentage is erroneously applied before discount amount 415131 (DAXSE) | \AX Retail\POS |
2799287 | POS offline database reprovisions every time the db utility is opened 410256 (DAXSE) | \AX Retail\POS |
2800051 | "Must not key in quantity" setting not respected when adding items with Numpad 404942 (DAXSE) | \AX Retail\POS |
2800118 | Data corruption in offline database 404937 (DAXSE) | \AX Retail\POS |
2800307 | Manager View from POS for time clock entries should show approx 90 days history for all operation filters 422630 DAXSE) | \AX Retail\POS |
2800962 | Reason code subcode list allows input to be cancelled 422635 (DAXSE) | \AX Retail\POS |
2801270 | Card types with long card length cause POS to read track data 410418 (DAXSE) | \AX Retail\POS |
2801709 | Gift Card used to pay for Customer Deposit does not update Gift Card balance 415627 (DAXSE) | \AX Retail\POS |
2802122 | Incorrect Item returned in POS if there is only 1 transaction in HQ with the Same ReceiptID BUT from another Store 415612 (DAXSE) | \AX Retail\POS |
2802251 | Unable to post negative tender declaration for credit cards from till that only processes returns 410246 (DAXSE) | \AX Retail\POS |
2802639 | Infocode validation issue in AX2009 Retail 415623 (DAXSE) | \AX Retail\POS |
2802752 | Manual POS logoffs not tracked in RetailTransactionTable 423889 (DAXSE) | \AX Retail\POS |
2803114 | Forward-port decimal place DCR: AX2012 Retail - Hardcoded precison to 2 decimals for Amounts in some places in POS like in "Enter the amount" field for Cash payment 422650 (DAXSE) | \AX Retail\POS |
2811606 | Refresh button in Picking and Receiving window is displaying error message (regression) 433499 (DAXSE) | \AX Retail\POS |
2802142 | A-1040 job for 50 stores with 100K Item assortment each takes 27 hours to complete (1 HQ/SC Instance) 425100 (DAXSE) | \AX Retail\Store connect |
2801613 | Characters after '-' to paste to SegmentEntryControl are truncated, Customer Accounts indicated in this example not financial dimensions 415413 (DAXSE) | \GFM\General Ledger |
2810755 | SI BAT failures on Dax62HFSTAB for CU1 444718 (DAXSE) | \Project Accounting\Project Contracts |
2802600 | Period name does not display on the second line of the grid in ALE Journal Voucher Transactions form 426243 (DAXSE) | \Public Sector\GL |
2802602 | Year-end closing does not consider posting layer when rolling P/L balances into the Retained Earnings account 426242 (DAXSE) | \Public Sector\GL\Periodic |
2802605 | Advanced Ledger Entry will post if the Worker field is blank and it was set as mandatory on a Project category 426609 (DAXSE) | \Public Sector\GL\Transactions |
2802607 | Users are not able to submit an Advanced Ledger Entry (ALE) Workflow unless the are assigned the System Administrator Role for Public Sector 426241 (DAXSE) | \Public Sector\GL\Transactions |
2804414 | Releasing approved purchase requsitions does not respect session date when converting to a Purchase order 428881 (DAXSE) | \Public Sector\Procurement and Sourcing |
2798734 | Purchase Agreement vendor account is changing, when the quantity of the item is modified while creating a Purchase requisition(ALL ON) 434004 (DAXSE) | \Public Sector\Procurement and Sourcing\Agreement |
2812346 | Calculation fileds are not working as pe rthe trade agreement 425615 (DAXSE) | \SCM\Sales\Sales Agreements |
2795989 | The financial dimension: Business Unit are not defaulted to the purchase requisition created from ESS, this is blocking submit to workflow 416161 (DAXSE) | \SCM\Sourcing\Requisition |
2796550 | PurchReqImportService throws an error when trying to add the service in Excel 418546 (DAXSE) | \SCM\Sourcing\Requisition |
2809885 | Tax distribution correction is incorrectly posted after a line is deleted on PO 433086 (DAXSE) | \Service Industries |
| Installation of CU1 build 6.0.1000.143 fails when SlipStreamed using base build 6.2.158.0 431033 (DAXSE) | \Setup\Installation |
| KB number in the Installer screen for CU1 build 6.2.1000.143 is of AX61 CU3 KB number 431025 (DAXSE) | \Setup\Installation |
2812678 | AX32SERV.exe version in server folder of the installed machine is not updated to the latest version 478005 (DAXSE) | \Setup\Installation |