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Type: Testing Defect
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Status: Done (View Workflow)
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Priority: Blocker
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Resolution: Completed
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Affects Version/s: CFA 2021R4
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Fix Version/s: CFA 2021R5
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Component/s: CollectedSales
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Labels:None
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SCRUM Team:Brotherhood of Mutants
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Source Code ID(s):
Testing Environment Details
- Environment: Testing
- Store(s): 30001
- Feature: Collected Sale assignment to Invoice 1 and then on different day to Invoice 2 which creates a credit
- Related Tickets (Stories or Features): None
- Other Related Links (Confluence, BRDs, Etc...): N/A
- Feature Configurations: N/A
Expected Result
Scenario - Collected Sale is added to a group of invoices at store 30001 on Saturday - Harrison Ford. The operator comes in the next day to finalize the day and assigns the remainder of the money from the collected sale to a Customer with NO open invoices as a pure CREDIT on the customer. When the Cash Day Summary or the Customer Sales Report is viewed for the day 5/14/2021, OverPayment (Credit) should be displayed for Jane Doe.
See Customer Sales Report snapshot (notice Jane Doe is not displayed) - May 18
Also see the Cash Day Summary export (notice Jane Doe is not displayed either) - May 18
Actual Result
Overpayment is not being accounted for in the Customer Sales Report or Cash Day Summary Export in this scenario where the WF DATE does not match the actual CALENDAR DATE. This should look like the overpayment below for Amy Barret (see snapshots) for Jane Doe.
Add screenshots here if available
- Is Clone Of
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CFAMX-15100 R4 Patchback CLONE - Overpayment from Collected Sale payment is not being reported correctly (CDS or Customer Sales Report)
- Done