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Type: Feature Request
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Status: Open (View Workflow)
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Priority: Blocker
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Resolution: Unresolved
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Affects Version/s: None
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Fix Version/s: None
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Component/s: None
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Labels:
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CFAMX-20455 FiscalYear, StartDate and EndDate in tbTransactionStockCount don't match the business day
- Ready for Developer
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CFAMX-20734 Monthly count disappears on IAR screen
- Ready for Developer
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CFAMX-13247 InFORM End of Month Issue for Unpaid Invoices/Expenses
- Done
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CFAMX-11522 CDS - How is the SalesTaxInfo section populated?
- Done
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CFAMX-11762 Unable to submit Deposit in InFORM
- Done
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CFAMX-11774 Mac and Cheese Food donations calculations appear off
- Done
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CFAMX-11775 iPad keyboard stuck on LCE application
- Done
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CFAMX-11793 Suggested Ordering amounts for Coater are low
- Done
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CFAMX-11978 How to change the association from Inventory Item 721, to the new Inventory Item 14906
- Done
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CFAMX-12041 Orphan Cashier Helpdesk Script
- Done
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CFAMX-12062 No attempt in sending 15 minute sales for several days
- Done
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CFAMX-12324 Third Party Tax amount was not pulled from Litesum
- Done
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CFAMX-12377 Forecasting projecting $60K - $100K plus days
- Done
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CFAMX-12441 Store finalized with unassigned TBC's
- Done
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CFAMX-12444 Inventory count order is reversed from Travel Path location order
- Done
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CFAMX-12456 Suggested Ordering On Hand items keep reseting
- Done
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CFAMX-12457 CLONE 2020R4h1 - Inventory count order is reversed from Travel Path location order
- Done
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CFAMX-12479 InFORM glitch removing items from Suggested Order or changing qty
- Done
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CFAMX-12480 CLONE 2020R4.1 - InFORM glitch removing items from Suggested Order or changing qty
- Done
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CFAMX-12664 InFORM loading issues when creating McLane Truck Order
- Done
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CFAMX-12715 issues with LCE batch sizes and significant chicken wasted
- Done
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CFAMX-12726 Collected Sales not displaying correctly on CDS
- Done
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CFAMX-12727 Build to numbers not displaying correctly on order guide
- Done
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CFAMX-12794 Unable to apply collected sale
- Done
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CFAMX-12914 DLPS Configuration tables - extract data from Prod
- Done
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CFAMX-12955 Customer Sales Report incorrectly showing Collected Sales broken down
- Done
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CFAMX-13200 Error clicking on Base Information in the Wizard
- Done
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CFAMX-13248 Item activity report populates no data. "requested operation failed"
- Done
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CFAMX-13254 Daytrack Report is populating future dates' labor hours with current day's
- Done
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CFAMX-13268 End of month page displayed the wrong month for Grand opening stores.
- Done
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CFAMX-13269 Stores unable to finalize "wait operation timed out errors"
- Done
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CFAMX-13306 Total of Cashier Deposits doubling due to duplicate entries
- Done
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CFAMX-13338 Discounts and Giveaways is not accurate.
- Done
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CFAMX-13344 Item should be set to Waste as part of I4.
- Done
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CFAMX-13568 Request to have the labels displayed in Finalize Day > Gross Sales, to be broken out from the messages used in Cashier Settlement
- Done
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CFAMX-13693 CFA EOM Web Service error
- Done
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CFAMX-13702 Error in the Wizard when marking an item transferrable chain wide
- Done
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CFAMX-13704 What are the requirements for the Daily Sales
- Done
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CFAMX-13720 Substitute items in ASN not being recognized for CFA Supply orders that are imported via ASN
- Done
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CFAMX-13900 Error "The requested Operation Failed" when assigning TBC to Customer Account.
- Done
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CFAMX-13933 Multiple restaurants unable to correct on hand in order
- Done
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CFAMX-13948 EOM localizations
- Done
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CFAMX-13953 Reimbursement localizations
- Done
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CFAMX-14100 CLONE - 2021.R2 EOM localizations
- Done
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CFAMX-14137 March EOM is marked complete for GO Restaurant but they did not complete it
- Done
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CFAMX-14140 CDS Export failures due to the following exception "could not execute batch command.[SQL: SQL not available]".
- Done
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CFAMX-14220 Order file failed to get sent to the S3 backup location
- Done
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CFAMX-14359 Manager Forecast Adjustments exports not flowing to S3 for almost all stores
- Done
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CFAMX-14574 DLPS Configuration tables - extract data from Prod
- Done
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CFAMX-14722 CLONE 2021R4- Request to have the labels displayed in Finalize Day > Gross Sales, to be broken out from the messages used in Cashier Settlement
- Done
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CFAMX-14956 Items over max allocation shows all items when one item is over
- Done
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CFAMX-15045 Closing change fund can be accessed and authorized before the dependencies are meet
- Done
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CFAMX-15172 Unable to add restaurant to more than one ad hoc zones
- Done
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CFAMX-15173 Received orders are not updating tbitemqty causing inaccurate on hand totals creating a order
- Done
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CFAMX-15203 Conversions are off for Off Site Thaw stores
- Done
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CFAMX-15425 CashOver causing inaccuracies in the daily sales report
- Done
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CFAMX-15568 what are we searching/returning when searching an item to record waste
- Done
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CFAMX-15928 CLONE 2021R5 - Unable to add restaurant to more than one ad hoc zones
- Done
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CFAMX-16188 Day Track report occasionally generates with missing labor data
- Done
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CFAMX-16251 Unable to print order guide details on Placed orders
- Done
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CFAMX-16266 Paid Out records categories keep reverting to "To be Reimbursed"
- Done
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CFAMX-16566 DLPS Configuration tables - extract data from Prod
- Done
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CFAMX-16835 PMix - How are SoldCount and PromotionalCount values determined
- Done
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CFAMX-17220 A forecast won't generated when a mirror runs for the store with zero forecast
- Done
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CFAMX-17545 Inventory Extension Report is no longer generating with sub categories
- Done
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CFAMX-17763 Daily Sales Report reflecting incorrect Cash Over/Short amount
- Done
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CFAMX-18123 Error "Duplicate Banking Records for selected period
- Done
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CFAMX-18170 Inventory Activity Report, Actual usage is not calculating correctly
- Done
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CFAMX-18213 Opening change fund previous day closing balance is incorrect
- Done
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CFAMX-19559 Help understanding the process when a item is wasted by inventory import
- Done
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CFAMX-19754 Sprint team is looking to it - Rebank "Requested operation failed" on the deposits tab
- Done
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CFAMX-20022 DLPS Configuration tables - extract data from Prod
- Done
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CFAMX-20035 CDS failing, Failed to insert shift sales details
- Done
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CFAMX-20291 Value in Monies To Be Deposited field is different than expected
- Done
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CFAMX-20454 Multiple UPT items with no Depletion from sales
- Done
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CFAMX-20465 One user not generating an inventory count export upon applying a spot count
- Done
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CFAMX-20671 The website cannot display the page when running IAR
- Done
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CFAMX-20672 Customer Sales Report - "Show only TBC Sales" check box not working
- Done
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CFAMX-20718 Duplicate banking records on the deposits page
- Done
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CFAMX-19094 Closing change fund not accurately reporting Change fund Received
- In Dev
- is blocked by
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CFAMX-20971 Dressing Items are not depleting from sales
- Need More Info
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CFAMX-22105 IAR is displaying negative purchases due multiple changed apply dates for order 6055211
- Need More Info
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CFAMX-22139 Forecasted usage when placing an order is well undervalued
- Need More Info
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CFAMX-22613 IAR is showing less theoretical usage than what reported as daily sales in Item activity page
- Need More Info
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CFAMX-22742 "Previous Orders" are not behaving correctly on the Order Detail Screen
- Need More Info
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CFAMX-22744 The IAR variance is incorrect
- Need More Info
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CFAMX-22930 Inventory Activity Report, Purchase Qty and Transfer Qty are not calculating correctly when use Organize by Category
- Need More Info
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CFAMX-23401 Unable to see distributor 'CFA Supply' in InFORM
- Need More Info
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CFAMX-24199 Purchase Order On-Hand qty is incorrect
- Need More Info
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CFAMX-24200 Missing Forecasting for several items in Purchase Order
- Need More Info
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CFAMX-24203 Items Incorrectly Appearing on Order Guides
- Need More Info
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CFAMX-24397 'Previous day closing balance' showing day before previous day closing balance instead
- Need More Info
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CFAMX-24658 Inventory Item is displaying incorrect unit of measure in Item Maintenance
- Need More Info
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CFAMX-25213 DLPS BatchValueText not matching expected values
- Need More Info
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CFAMX-25216 This Query is preventing restaurants from creating Purchase Orders (Review Query)
- Need More Info
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CFAMX-25228 Missing Paid Out Categories
- Need More Info
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CFAMX-25354 Difference between the Tax Exempt Sales report and Cash Day Summary data
- Need More Info
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CFAMX-25591 Bulk prep quantity disparity
- Need More Info
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CFAMX-26424 Inventory Extension Report is not matching the monthly count values
- Need More Info
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CFAMX-20628 SSO - Security concern research
- Ready for Developer
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CFAMX-23007 Sales After Finalized Day - Monies To Be Deposited not reflecting cash increase on the Deposits page
- Ready for Developer
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CFAMX-25671 Researching impact of system outage on 5/15 - CFA reported some stores with discrepancy in Credit amount
- Ready for Developer
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CFAMX-26399 PMIX export files missing in S3 end point while status = 1 in INFORM tables
- Ready for Developer
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CFAMX-20607 SSO Issues in CFA Production - MXConnect login prompt after session timeout
- Done
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CFAMX-20847 Incorrect UPT Factors calculation
- Done
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CFAMX-21877 Non-TBC Outside Sales not having a customer assignment
- Done
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CFAMX-23006 The "Requested Operation Failed" when creating a purchase order in InFORM
- Done
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CFAMX-10227 Forecast Import Error
- Done
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CFAMX-10333 Forecast Import - Doesn't seem to be getting all the forecasts
- Done
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CFAMX-11521 Vendor entity items are causing UOM issues
- Done
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CFAMX-11864 Sluggishness when doing Correct on Hand action within Order
- Done
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CFAMX-12050 Vendor item rule changes are erroring out.
- Done
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CFAMX-12162 Sort Order of Store Order Guide is inconsistent in MxC
- Done
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CFAMX-12202 MXC Paid In/Out - Add Reimbursement - 'To Be Reimbursed' read only Category is not displayed
- Done
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CFAMX-20484 Daily Stock Balance process doesn't update some items
- Done
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CFAMX-20970 May 2022 Discounts & Giveaways report will not generate for #02209
- Done
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CFAMX-20989 Understated purchase quantities in Inventory Activity Report
- Done
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CFAMX-21035 INF-12378 Multi-unit Team Members/Operators to display as employees for all assigned stores
- Done
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CFAMX-21163 added field 'Monies To Be Deposited' to the CDS has too many decimal places and is sometimes negative.
- Done
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CFAMX-21168 TBC/Outside Sales page not requiring users to go back and assign Customer account to records that come in after the day is Finalized
- Done
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CFAMX-21267 EOM: Duplicate Inventory data after mark end
- Done
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CFAMX-21340 CFA Forecasting import errors
- Done
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CFAMX-21347 R4 Patch Back CLONE - Understated purchase quantities in Inventory Activity Report
- Done
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CFAMX-21371 Inventory Adjustment values out of range (Request to get a query to be used in Query Mailer)
- Done
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CFAMX-21527 Mobile is loading to a {"Message":""} error across the entire chain
- Done
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CFAMX-21559 The transaction log for database 'tempdb' is full due to 'ACTIVE_TRANSACTION'
- Done
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CFAMX-21694 Store 04587 Missing Sales Item forecast on 08/24 for all items
- Done
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CFAMX-21720 Item Activity Page is showing incorrect user
- Done
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CFAMX-21753 Suggested Monthly Count - Filters not updating Item list
- Done
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CFAMX-21880 Deposits page receiving 'request operation failed' message when page loads
- Done
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CFAMX-21892 Forecast is not generated for the day for Sept 16th and 17th
- Done
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CFAMX-22106 Understated purchase Qty in DSB causing the IAR report to be inaccurate
- Done
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CFAMX-22138 Sprint Ticket Created - non-TBC Outside Sales are not having the "Systematic Cust - Outside Sls" account automatically assigned to them
- Done
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CFAMX-22239 EOM - Sales Exclusions errors
- Done
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CFAMX-22279 When Creating an order in InFORM, the order duplicates
- Done
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CFAMX-22304 RDS -> Difference between Safety Stock XML and Vault (RDS) endpoint
- Done
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CFAMX-22612 Store able to finalize the day when the total deposit was less than the total expected deposit
- Done
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CFAMX-22739 Inventory Activity Report, Actual usage is not calculating correctly when use Organize by Category
- Done
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CFAMX-22740 RDS - Vault - SP_SuggestedOrderExport_Test yields 100k rows with a null line id
- Done
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CFAMX-22743 Item included in vendor rules does not appear in tbVendorEntityItem
- Done
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CFAMX-22755 Items on the Purchase Order Guide should match the items enabled in Maintain Order Guide.
- Done
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CFAMX-22885 Error when updating Inventory items in Wizards
- Done
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CFAMX-23047 Incorrect Monies To Be Deposited field being passed in the CDS
- Done
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CFAMX-23268 Understated purchase Qty in DSB causing the IAR report to be inaccurate
- Done
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CFAMX-23288 Monthly Count on December didn't update LastStockCountDate or Onhand Qty
- Done
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CFAMX-23301 expected deposit not matching in Daily Sales Report vs Daily Report Summary Sheet
- Done
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CFAMX-23302 Multiple locations are unable to submit Truck Orders, Screen does not load when creating order on 01/13 night
- Done
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CFAMX-24144 Salads pricing incorrect on Extension Report for store 00835
- Done
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CFAMX-24183 Shipped quantities column (and data) missing from received orders
- Done
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CFAMX-24194 Items on the Purchase Order Guide should match the items enabled in Maintain Order Guide
- Done
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CFAMX-24195 IAR Missing qty dollar amount is incorrect
- Done
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CFAMX-24198 Customer Sales Report not reflecting the overpayment in the report
- Done
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CFAMX-24204 Missing Forecast for many stores on a Business day - Forecasting Error
- Done
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CFAMX-24354 2023R1 Patch Back - IAR Missing qty dollar amount is incorrect
- Done
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CFAMX-24396 Okta authentication cache is preventing users from logging out of InFORM and new users from logging in
- Done
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CFAMX-24398 Change Fund Received balance not flowing down into the Closing Change fund screen
- Done
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CFAMX-24418 Discounts & Giveaways Report is not populating any values in either Total Food Cost or Total Paper Cost columns
- Done
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CFAMX-24696 Actual Usage is incorrect in the IAR report
- Done
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CFAMX-24697 2023 R2 Patch back - Actual Usage is incorrect in the IAR report
- Done
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CFAMX-24838 On-hands Amounts Not Saving
- Done
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CFAMX-25366 When creating Expense Items from MMS no records created in tbDefaultEntityItem table
- Done
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CFAMX-25471 Item activity - Calculation is incorrect, misleading restaurant on hand Qty
- Done
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CFAMX-26188 EOM Boxes are missing in the EOM Page for users with Mobile setting is set NULL
- Done
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CFAMX-26196 Tabs under End of Month are missing for all restaurants in Canada and Puerto Rico
- Done
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CFAMX-25994 Multiple Restaurants are reporting that Suggested Order values are low for Key Items
- In QA
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CFAMX-25995 Patch Back 2023 R3 - Multiple Restaurants are reporting that Suggested Order values are low for Key Items
- In QA
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CFAMX-26189 Patch Back 2023 R3.1 - EOM Boxes are missing in the EOM Page for users with Mobile setting is set NULL
- In QA
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CFAMX-26194 ACH amount does not appear under the Third Party ACH field in InFORM Deposits
- In QA
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CFAMX-26197 Patch Back 2023 R3.1 - Tabs under End of Month are missing for all restaurants in Canada and Puerto Rico
- In QA
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CFAMX-26310 When the Finalize Day Page refreshed it gives an error- 'The Requested Operation Failed'
- In QA
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CFAMX-25943 Admin Order History Reports Using One Store for Multiple Reports in the URL Name for Different Stores
- In QA
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CFAMX-22615 Opening Change fund does not match previous closing change fund
- In Dev
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CFAMX-26426 The Locations import auto notification email is not including the correct status when CFA sends status as 'REMODEL'
- In Dev
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CFAMX-21124 Store had two Change fund Deposit entries. Only one flowed into the Closing Change fund page
- In Functional Review
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CFAMX-22153 RDS - sp_suggestedorderexport.sql
- In Functional Review
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CFAMX-22842 Chocolate Peppermint Flake (15849) is converting 0 to 4.47 qty in Inventory Extension Report
- In Functional Review
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CFAMX-15162 Errors in the onaccountsaleserror queue
- In Regression
- is implemented by
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CFAMX-11390 Daily Sales Report - Expected Deposits column is negative, related to new Delivery Tips feature
- Done
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CFAMX-11414 DSR Expected Deposit column is including the On Demand values
- Done
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CFAMX-11431 Order Admin History page error
- Done
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CFAMX-11479 Vendor item rule changes are erroring out.
- Done
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CFAMX-11517 CFA Production - Processing times pilot - some items have Processing time value set to zero
- Done
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CFAMX-11519 Onaccount sales messages ending up in the error queue.
- Done
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CFAMX-11520 Suggested ordering is suggesting huge amounts
- Done
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CFAMX-11523 Cannot input decimal point on InFORM
- Done
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CFAMX-11543 CLONE 2020R3.1 - Daily Sales Report - Expected Deposits column is negative, related to new Delivery Tips feature
- Done
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CFAMX-11571 CLONE 2020R3.1 - CFA Production - Processing times pilot - some items have Processing time value set to zero
- Done
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CFAMX-11572 CLONE 2020R3.1 - Onaccount sales messages ending up in the error queue.
- Done
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CFAMX-11583 CLONE 2020R3.1 - Cannot input decimal point on InFORM
- Done
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CFAMX-11773 CLONE 2020R4 - Cannot input decimal point on InFORM
- Done
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CFAMX-11776 CLONE 2020R4 - Onaccount sales messages ending up in the error queue.
- Done
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CFAMX-11779 CLONE 2020R4 - Daily Sales Report - Expected Deposits column is negative, related to new Delivery Tips feature
- Done
- is related to
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CFAMX-25472 Sales Processing Queues rising due to MXC_Forecast_GetOrderItemForecastByDateRangeWithProcessingTimes
- Done
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CFAMX-25644 CLONE - Patch back R2 - Sales Processing Queues rising due to MXC_Forecast_GetOrderItemForecastByDateRangeWithProcessingTimes
- In QA