This cumulative update includes all hotfixes and regulatory
features that have been released for Microsoft Dynamics NAV 2017, including
hotfixes and regulatory features that were released in previous cumulative
updates.
This cumulative update replaces previously released
cumulative updates. You should always install the latest cumulative update.
It may be necessary to update your license after
implementing this hotfix to gain access to new objects included in this or a
previous cumulative update (this only applies to customer licenses).
For a list of cumulative updates released for Microsoft Dynamics NAV 2017,
see released cumulative
updates for Microsoft Dynamics NAV 2017. Cumulative updates are
intended for new and existing customers who are running Microsoft Dynamics NAV
2017.
Important
We recommend that you contact your Microsoft Dynamics Partner before you
install hotfixes or updates. It is important to verify that your environment is
compatible with the hotfixes or updates being installed. A hotfix or update may
cause interoperability issues with customizations and third-party products that
work with your Microsoft Dynamics NAV solution.
Problems that are resolved in this cumulative update
The following problems are resolved in this cumulative
update:
Platform hotfixes
ID
|
Title
|
300594
|
The extended text causes issues when
you use the Paste Lines function in a sales quote.
|
303464
|
Long running SQL query logging in
Microsoft Dynamics NAV 2017.
|
305159
|
The Task Scheduler does not run all
tasks when the number of concurrent tasks is set to 1.
|
307198
|
An error message is displayed
sometimes when you access a website and the subscriber contains the
DIALOG.CONFIRM method.
|
308805
|
No result if you set the Enabled
property on CardPart or ListPart pages to False.
|
309057
|
"There is no permission set
within the filter" error message is displayed when you add a permission
set from an added permission set source.
|
Application
hotfixes
ID
|
Title
|
Functional
Area
|
Changed
Objects
|
304196
|
"The
length of the string" error message is displayed when you add a deferral
code to a purchase invoice when using long descriptions in the purchase
invoice lines.
|
Finance
|
COD
1720
|
304444
|
The
Correction of Remaining Amount entry type is created with unexpected amounts.
|
Finance
|
COD
226 COD 227 REP 595
|
304583
|
Debit
or credit amounts remain when the amount is set to zero on a general journal
line.
|
Finance
|
TAB
81
|
303919
|
The
G/L Account No. field is empty in a VAT Entry after you un-apply for a
payment and an entry from a prepayment invoice with the unrealized VAT.
|
Finance
|
COD
12
|
303929
|
A
purchase order receipt is posted without an error when the inventory posting
group is not defined for location.
|
Inventory
|
COD
22
|
304637
|
"You
cannot revalue individual item ledger entries for items that use the average
costing method" error message when you choose an Item Ledger Entry
through the Applies-to Entry field in the Revaluation Journal.
|
Inventory
|
TAB
83
|
308688
|
Adjust
the Cost Loop field caused by the Cost Application = TRUE cmdlet for an
average cost item, where an outbound entry is applied to transfer it, brought
inventory back in stock.
|
Inventory
|
COD
22 TAB 339
|
308694
|
Adjust
the Cost Loop field caused by the Cost Application = TRUE cmdlet for an
average cost item, where an outbound entry is applied to transfer it, brought
inventory back in stock.
|
Inventory
|
COD
22 TAB 339
|
308519
|
The
IC Partner Code field is empty if you post a sales order where only the
bill-to customer has an IC partner code.
|
Sales
|
TAB
81
|
308661
|
The
city and post codes get cleared when the country/region codes are entered or
validated.
|
Sales
|
TAB
225
|
305106
|
It is
possible to change the Tariff No. field in the Intrastat journal.
|
VAT/Sales
Tax/Intrastat
|
TAB
263
|
303965
|
“Qty.
to Handle (Base) field in the Tracking Specification table for the Item No ,
Serial No, Lot No. is currently XX,
which must be YY.” error message.
|
Warehouse
|
COD
7307
|
Local
application hotfixes
CH-Switzerland
ID
|
Title
|
Functional
Area
|
Changed
Objects
|
308506
|
It is
necessary to specify who will pay the fees when the customer pays the vendor
invoices with SEPA in the Swiss version.
|
Cash
Management
|
COD
1221 TAB 81 XML 1000
|
CZ-Czech
ID
|
Title
|
Functional
Area
|
Changed
Objects
|
308446
|
The
Action buttons are not allowed in the Bank Statement List and Payment Order
List in the Czech version.
|
Cash
Management
|
PAG
11709 PAG 11719
|
308883
|
Another
registration is in the VAT report in a Czech company.
|
VAT/Sales
Tax/Intrastat
|
COD
31100 PAG 11762 PAG 31066 REP 12 REP 31067 TAB 11762 TAB 31066
|
DACH
ID
|
Title
|
Functional
Area
|
Changed
Objects
|
303919
|
The
G/L Account No. field is empty in a VAT Entry after you un-apply for a
payment and an entry from a prepayment invoice with the unrealized VAT in the
DACH version.
|
Finance
|
COD
12
|
ES-Spain
ID
|
Title
|
Functional
Area
|
Changed
Objects
|
307483
|
The
creation of bills is with zero amount and incorrect document status and
document situation in the Spanish version.
|
Finance
|
COD
7000005
|
303469
|
"Codigo[4102].El
XML no cumple el esquema. Falta informar campo obligatorio.:
DesgloseFactura" error message is displayed if you send an invoice to
the SII module with several lines and different VAT %, but one is exempt in
the Spanish version.
|
VAT/Sales
Tax/Intrastat
|
COD
10750
|
FR-France
ID
|
Title
|
Functional
Area
|
Changed
Objects
|
305095
|
The
Applies-to ID field is not unique in the payment slip and this leads to
incorrect G/L entries for payments in the French version.
|
Finance
|
COD
10861
|
IT-Italy
ID
|
Title
|
Functional
Area
|
Changed
Objects
|
307032
|
The
fixed record in the Intrastat file contains EUROY that is not correct in the
Italian version.
|
Finance
|
REP
593
|
NL-Netherlands
ID
|
Title
|
Functional
Area
|
Changed
Objects
|
309375
|
"The
currency of the bank journal "" and the currency of the payment
history line "EUR" must be equal." error message is displayed
if you use the Telebanking functionality with SEPA and you try to include the
payment history list on the Bank/Giro Journal page in the Dutch version.
|
Cash
Management
|
REP
11000012
|
NO-Norway
ID
|
Title
|
Functional
Area
|
Changed
Objects
|
305100
|
The
usage of the KID number in a remittance is unclear or incomplete in the
Norwegian version.
|
Cash
Management
|
COD
10601 COD 1221
|
308706
|
"Invoice
line amount MUST be equal to the price amount multiplied by the quantity plus
charges minus allowances at line level. " error message is displayed if
you use quantities with more than two decimals in the Norwegian version.
|
Sales
|
COD
10610 COD 10628
|
UK-United
Kingdom
ID
|
Title
|
Functional
Area
|
Changed
Objects
|
305550
|
The
entries that are displayed in the Analysis table by the Dimension matrix run
by the Accounting Period calendar are not correct in the British version.
|
Finance
|
PAG
9249
|
306752
|
"You
do not have the following permission on TableData VAT Report Archive:
Delete" error message is displayed when you try to submit the VAT return
in the British version.
|
Finance
|
COD
10531 COD 10532
|
Local
regulatory features
ID
|
Title
|
Functional
Area
|
Changed
Objects
|
307403
|
Convert
the reminder time in the VAT report setup to the DateFormula date type.
|
Financial
Management
|
PAG
737 PAG 743 TAB 737 TAB 743
|
IT-Italy
ID
|
Title
|
Functional
Area
|
Changed
Objects
|
303505
|
The self-billing sales invoices must be sent through an .XML
file even if the sales document is not created in the Italian version.
|
Financial Management
|
COD 10 COD 12179 COD 12180 COD 12181 COD 12184 COD 12185 MEN
1030 PAG 12203 PAG 12204 TAB 12203 TAB 12204 TAB 12205 |