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Type: Testing Defect
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Status: Done (View Workflow)
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Priority: Critical
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Resolution: Completed
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Affects Version/s: CFA 2021R5, CFA 2021R6
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Fix Version/s: CFA 2021R6
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Component/s: None
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Labels:
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SCRUM Team:Brotherhood of Mutants
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Sprint:2022.R1 New Features Sprint 1, 2022.R1 New Features Sprint 2
Scenario - when a Paid in or Paid Out comes into the system for a previously finalized day, re-export CDS if validation is correct.
Step 1- Finalize the day June 15, 2021 in testing for store 00096
Step 2 - a Paid in comes into the system for June 15 on the business day of June 16
Step 2a - as a result of Step 2, the CDS and PMIX exports are triggered and Sent to CFA
DEFECT
- we DO NOT want to send the CASH DAY SUMMARY export to CFA when the incomplete PI or PO data comes into the system at STEP 2
- Looking back thru Jira, logic was added in 2019R3, as a part of this feature (
CFAMX-3015- Automate File Export when Sales After Finalized Day are Taken) to stop the PMix and CDS from being sent when an Incomplete Paid In/Out is received after the day is finalized.- See
CFAMX-4272for specific details
- See
- Is Clone Of
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CFAMX-16833 R6 Patchback CLONE - When PI or PO enters the system after the Day is finalized - resend export logic incorrect on multiple facets
- Done