Wednesday, February 27, 2019
Fixed an issue where users could open their terminal while the End of Day Process is in process.
Wednesday, February 6, 2019
Rewrote the batch summary report for payouts. It now includes additional fields for normal payouts and money transfer information when paying out across locations. Also, it can now be reprinted at any time.
Headers and totals were not exporting with any custom reports.
A bug that would not allow Price Book users to enter a custom price.
A rare bug that could cause an item to be assigned to the wrong location.
Fixed a layout issue on the Consignment tab where the CONVERTED status was overlapping another field.
Now disabling a users ability to pay out on items into a negative balance.
Fixed the position of the comma in the address field on check payouts.