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Type: Story
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Status: Closed (View Workflow)
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Resolution: Completed
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Affects Version/s: None
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Fix Version/s: CFA 2019R3
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Component/s: Exports
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Sprint:CFAMX 2019R3 Sprint 5, CFAMX 2019R3 Hardening
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SCRUM Team:Brotherhood of Mutants
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SOW (Time Tracking) Project:44918
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Work Type Classification:Sustaining
As a store manager I want to be prompted to fix Incomplete Paid In/Out transactions as a part of my daily workflow so that I do not have to log a support ticket at month end
Notes:
- Build off/key off the logic implemented in
CFAMX-4272 - When an incomplete Paid In/Out is received for a finalized day, the next time the user goes to the Paid In/Out page they should be prompted:
- Inform the user that they have to fix data on an old day (popup) before they can complete the current day
- Take the user to the correct day that needs data fixing
- After fixing the day, and assuming Paid In/Out are good for that day, queue the PMix and CDS exports
- If there are subsequent days that need fixing between the day last fixed, and the current open business day, take the user to that day
- Once all old days are fixed, let the user complete the current open business day
Acceptance Criteria
- Confirm that there is no detrimental impact on the loading of the Paid In/Out page to support this functionality
- Confirm that the user is informed that they need to fix data on an older day than the current business day
- Confirm that the user can fix data on a day that is finalized
- Confirm that those Paid In/Out transactions that were complete when the day was finalized, cannot be edited
- Confirm that after fixing the data for a day, messages are queued to validate Paid In/Out and then run the CDS and PMix Exports.
- Confirm when data for old days is fixed, the user can complete the current business day
- Added 05/31 Verbiage for the modal
- Header - Edit Paid In/Out
- Body - A Paid In/Out record has been processed for a previously finalized day
{date here}
and needs to be resolved before completing the current day.
- implements
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CFAMX-3015 Automate File Export when Sales After Finalized Day are Taken
- Closed
- relates to
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CFAMX-4359 Paid In/Out edit message for previous days displays in error
- Done
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CFAMX-4362 PI PO Edit: After editing a day that has PI or PO the Cash Day Summary is not being re-exported
- Done
1.
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Review Test Scripts | Done | Soma Dixon (Inactive) |
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2.
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Deploy | Done | Soma Dixon (Inactive) |
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3.
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Functional Review with QA | Done | Carlos Pereyra (Inactive) |
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4.
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DIT | Done | Carlos Pereyra (Inactive) |
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5.
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Testing research | Done | Charles Wheeler |
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6.
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Create test cases | Done | Charles Wheeler |
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7.
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Execute test cases | Done | Charles Wheeler |
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8.
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Code Changes | Done | Carlos Pereyra (Inactive) |
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