50.001.002 - Transaction Posting error - No transaction type
50.001.001 - "Runtime error 381: Invalid property array index" exporting schedule
40.036.002 - Support for Vista UAC security.
40.036.001 - Redesign the 4Site Launch Window.
40.035.004 - GST Reports
40.035.002 - PR's can be costed to subledgered accounts
40.035.001 - Use Microsoft Fax Services for 4Site faxing.
40.034.050 - Asset Register fixes
40.034.049 - GL report doesn't show ytd totals for prior years
40.034.048 - Disallow deactivation of control accounts in use.
40.034.047 - Create positive pay files with batch ID name.
40.034.046 - Add Where Used button to Pricebook
40.034.043 - Account Balance report has wrong opening balance
40.034.042 - Customer application terminates 4Site on save.
40.034.041 - Receipt Report, with option to limit by PO Prefix
40.034.040 - Integrate Inventory Detail Listing report into 4site.
40.034.039 - Changes to the Supplier Insurance letters
40.034.038 - Create a new WO Activity report
40.034.037 - Void cheque doesn't reverse out discount amount
40.034.036 - Total title cut off on PO Status report
40.034.035 - New line button not activated appropriately.
40.034.034 - Incorrect name on Web App Vacation Workflow
40.034.032 - Incorrect reporting of taxes on Voucher by Batch report
40.034.031 - Voucher app doesn't cleanup contractor mgmt records
40.034.030 - Year End Adj Retained earnings actotals dr/cr reversed
 
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