1. Window - Variation Threshold Tab - Variation Threshold, Threshold range Note – The above window and tabs are newly created 2. Window : - Product Tab : - Product Details Note : - Created one Product Details tab and fields on it. And Set Sequence of product tab. 3. Window : - Purchase order Tab : - Purchase order New fields : - Original Purchase Order, Order Type Fields – User/Contact, Invoice To Bpartner, Bill To Location, Invoice Contact, Business Partner, Location, Campaign, Payment Term, Project, Price List, Warehouse, Payment Method, Payment Method, Priority, Representative
Note : - Added Read-Only logic on these fields on Purchase order tab. Tab : - PO Line New fields : - Original PO Line Note : - Adding Variation Order LOV on Target Doc Type fields Note : - Added Read-Only logic on Attribute Set Instance, UOM, Charge, Warehouse, Product on PO Line tab. 4. Window : - Product Tab : - Product Details Note: - Created one Product Details tab and fields on it. And Set Sequence of product tab. Note: Added field sequence script for product window of product tab 5. Window :Contract Master Tab: Contract Details Note :Contract Category info window 6. Window – Price List Tab – Version , Product price Fields – Organization Note – Mark Read-Only checkbox true to organization fields on Version and Product Price Tabs 7. Window – Unit of Measure Tab – Conversion Fields – Organization Note – Mark Read-Only checkbox true to organization fields in Conversion Tab. 8. Window - Request Tab – Current Request Field – Is Resolved Added in Header Tab 9. Window: Cash Journal Tab : Cash Journal Note: Marked Read only on Beginning Balance 10. Introduced new Target Doc Type (Variation Order) on Purchase order, and implement functionality to apply limit on order amount wrt original PO 10. Copy the details from selected original Order to Current variation order 11. Added few more columns to get detail from callout controller and copy to current variation Order 12. Callout changes (Clear the respective fields if target doc type get changed) 13. Work done to check Vendor for Blacklisting and Suspension for a particular period if Vendor Mgt module is installed. 14. Work done to apply date check on Variation Threshold not to overlap existing range of date within same Organization. 15. Inventory Revluation Process: Previously system was not considering the "Total COGS Adjustment" cost from the AP Credit Invoice on which Treat as Discount is marked as true into the revaluation. Now System will add the "Total COGS Adjustment" cost in Inventory Revaluation. 16. Changes done for setting equipment checkbox true on Asset tab when Equipment category is selected. 17. Work done on the product tab After save logics when VA Material Quality Control module is installed 1. For inserting the data in QA parameter tab and QA Score tab on the basis of selected quality criteria on product header. 2. Before save logic for checking is there any record already exist or not when changing the value in quality criteria. 18. On Payment Window: VIENNA introduce new functionality to create Payment against GL Journals. When the user select GL journal line reference either on Payment header or Allocate tab and complete the record then system will create Allocation document with the reference of Payment and GL journal Line and also mark the Allocated as true on GL journal Line. Module Dependency VA Payment Management <2.1.1.0> |