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View Patch #50.505.002
Description
Patch ID:
Date Implemented:
Patch Title:
Patch Type:
Request IDs:
Bug
Enhancement
Other
03313 -
Bank Reconciliation show prior months not reconciled now
Symptoms:
Patch 50.504.047, request 3313 fixed a problem where cheques voided in periods other than the current period may not be correctly reported in the current period. The solution for that problem was to modify the SQL for retrieving outstanding cheques in the Recon application. There is a data base procedure that also retrieves outstanding cheques that was not modifued in that patch, resulting in another case of voided cheques not being reported properly.
Solution:
Corrected the database procedure that retrieves outstanding cheques.
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