Cumulative
Update 14 includes all application and platform hotfixes and regulatory
features that have been released for Microsoft Dynamics NAV 2015.
The
cumulative update is intended mainly for solutions that are experiencing
the problems described in the Knowledge Base article linked to below. However,
you are advised to always keep your solution updated with the latest
cumulative update. If you are in doubt about whether this cumulative update
addresses your specific problem, or if you want to confirm whether any special
compatibility, installation, or download issues are associated with this
cumulative update, support professionals in Customer Support Services are ready
to help you.
The
cumulative update includes hotfixes that apply to all countries and hotfixes
specific to the following local versions:
- AU – Australia
- AT – Austria
- BE – Belgium
- CH – Switzerland
- CZ – Czech Republic
- DE – Germany
- DK – Denmark
- ES – Spain
- FI – Finland
- FR – France
- IS – Iceland
- IT – Italy
- NA – North America
- NL – Netherlands
- NO – Norway
- NZ – New Zealand
- RU – Russia
- SE – Sweden
- UK – United Kingdom
Note: You must convert the
database if you are upgrading to this cumulative update from a cumulative
update earlier than Cumulative Update 9 (build 41779). For more
information, see Converting a Database in
Help for Microsoft Dynamics NAV.
Note: To enable customized
translation of profiles, a number of actions are now available on the Profile
List page. You can export and import resource files to enable translation for
one or more profiles. The steps to install and uninstall language modules
have also been modified. For more information, see How to: Install Language Modules, How to: Uninstall Language Modules,
and How to: Export, Edit, and Import
Translated Profile Strings in Help for Microsoft Dynamics
NAV.
Where to find
Cumulative Update 14
You
can download the cumulative update from KB 3121037 –
Cumulative Update 14 for Microsoft Dynamics NAV 2015 (Build 43887).
Warning
Before
you install a cumulative update in a production environment, take the following
precautions:
1. Test the cumulative update
in a non-production environment.
2. Make a backup of the
system or computer where the cumulative update is to be installed.
Platform hotfixes
ID
|
Title
|
376643
|
Performance issues when
ALStream.READTEXT(Text,[Length]) makes one MByte buffer if no optional length
is specified.
|
376427
|
You can send notifications to disabled users.
|
376003
|
The Order Date label displays 30/12/1899 in the
graphical representation of the purchase order lines on the Document Line
Tracking page in the Austrian version.
|
376472
|
The OnQueryClosePage trigger is not always called.
|
376317
|
"Not enough storage is available to process
this command" error message when an NAV service tier (NST) runs out of
handles.
|
376709
|
The Dynamics NAV client and server crash when the
code on the XML Port Request page is executed.
|
376913
|
ADFS support for Microsoft Dynamics NAV.
|
Application hotfixes
ID
|
Title
|
Functional
area
|
Changed
objects
|
376612
|
Report Selections - Prod. Order is not implemented
consistently.
|
Administration
|
PAG 9325 PAG 9326 PAG 9327
|
376451
|
"You do not have the following permission on
TableData Service Password: Insert" error message when you try to enter
an Exchange account password on the Marketing Setup page.
|
Administration
|
TAB 5079
|
376788
|
"The supplied field name [fieldname] cannot be
found in the [tablename] table" error message if you work with the
Change Log functionality and there is an obsolete or removed field in the
database.
|
Administration
|
TAB 405
|
376318
|
If you filter on the Code or Name field on the
Analysis by Dimension Matrix page, the values are not shown anymore.
|
Finance
|
PAG 554 PAG 9249
|
376669
|
The EC Sales List report prints an incorrect value
in the Total field in the Service Supplies column.
|
Finance
|
REP 130
|
376857
|
If you create a reminder for a customer with a
language code, the Additional Fee text is always displayed in the English language
if the client language is set to English.
|
Finance
|
TAB 295
|
376903
|
"Select Dimension Value Code xxx for the
Dimension Code yyy for G/L Account zzz" error message when you try to
apply open entries after posting.
|
Finance
|
COD 12
|
376684
|
The Comparison Period Formula field is not converted
to any language.
|
Finance
|
TAB 334
|
376792
|
"The Resource does not exist. Identification
fields and values: No.=***" error message when you try to invoice a
sales order that uses a deleted resource.
|
Finance
|
TAB 156
|
376836
|
If you unapply a payment that has closed invoices
with payment tolerance and payment discount, there are records missing in the
VAT Entry table.
|
Finance
|
COD 12
|
376752
|
When you print a posted transfer shipment, an extra
page with only a header is printed in the PDF format.
|
Inventory
|
REP 5704
|
363210
|
The Order Type field is blank in the Value Entry
table after you upgrade from Dynamics NAV 2009 R2 to Dynamics NAV 2013 R2.
|
Inventory
|
N/A
|
376780
|
"The following C/AL functions are limited
during write transactions because one or more tables will be locked ..."
error message when you update the due date on an assembly order.
|
Inventory
|
TAB 900
|
376713
|
"The following C/AL functions are limited during
write transactions because one or more tables will be locked ..." error
message when you update the shipment date on a sales line with an assembly
item.
|
Inventory
|
COD 311 COD 5701 COD 5790 COD 63 COD 6620 COD 86 COD
87 TAB 37 COD 15000300
|
376616
|
When you run the Update Job Item Cost report with
the Automatic Update Job Item Cost set to Yes on the Job Setup page, not all
adjust cost item entries of incomplete jobs are checked.
|
Jobs
|
REP 1095
|
376730
|
The Percentage of Completion WIP method does not
calculate WIP sales for a job.
|
Jobs
|
COD1000
|
376733
|
The amount is incorrect in the sales invoice when
you create a sales invoice from a job with a foreign currency code.
|
Jobs
|
COD 1002
|
376908
|
Dimensions assigned to job tasks are not updated in
the Purchase Line table.
|
Jobs
|
TAB 39
|
376642
|
Item tracking defined for the component is wrong
when you reverse a production order output with backward flushing and routing
links.
|
Manufacturing
|
COD 22
|
376812
|
"VAT Calculation Type must be equal to 'Reverse
Charge VAT' in Gen. Journal Line:" error message when you post a
prepayment invoice after you correct a setup error.
|
Prepayments
|
COD 442 COD 444 TAB 37 TAB 39
|
376478
|
If you use the Copy Document function and the source
document has a different VAT business posting group, and you uncheck the
Recalculate Lines field, a wrong VAT business posting group is suggested.
|
Sales
|
COD 6620
|
376519
|
After you have partially shipped and invoiced a
sales order, the Statistics window and the Invoicing FastTab do not show the
calculated VAT amount for the remaining quantities to be invoiced.
|
Sales
|
PAG 402
|
376846
|
The Certificate of Supply report also prints lines
that are not shipped.
|
Sales
|
REP 780
|
376919
|
Stock received through a purchase order with the
Special Order option is reserved when you create a sales order for an item
with Reserve=Always.
|
Sales
|
COD 99000845
|
376521
|
Printing a simplified sales invoice (Report 1306)
with 25 lines will cause a blank page with only a 2/2 page value.
|
Sales
|
REP 1306
|
376666
|
The C/AL FORMAT property of decimal field or
variable returns a different string value.
|
Server
|
REP 1401
|
376530
|
The service invoice line description is wrong when
you create a service invoice for a quarterly period.
|
Service
|
COD 5940 COD 5944
|
376495
|
The service invoice does not split invoice lines in
invoice amounts when you add a second line on the service contract.
|
Service
|
COD 5940 COD 5944
|
376883
|
The Amount per Period field is not updated on a
service contract when you change the expiration date.
|
Service
|
COD 5940
|
376848
|
The description on a service invoice line shows the
full period when the service does not start at the beginning of the period.
|
Service
|
COD 5940 COD 5944
|
376469
|
The Get Entries function on the Intrastat Journals
page returns incorrect lines for national vendors.
|
VAT/Sales Tax/Intrastat
|
REP 594
|
376636
|
Lot numbers of different purchase orders are
combined on put-away lines when you create put-aways for multiple warehouse
receipts.
|
Warehouse
|
COD 5760 REP 7305
|
376779
|
The sorting method is not respected when you print a
warehouse pick document.
|
Warehouse
|
REP 5752
|
376939
|
The Outbound Whse. Handling Time field is not
validated when the document number is not displayed on the Sales Order page.
|
Warehouse
|
TAB 36
|
376801
|
"Reserved Item 70000 is not on inventory"
error message when you try to change the bin on a pick if a sales order is
reserved against an item ledger entry and the Qty. to Handle field is filled.
|
Warehouse
|
TAB 5767
|
Local application hotfixes
AT - Austria
ID
|
Title
|
Functional
area
|
Changed
objects
|
376564
|
The Intrastat file contains a wrong value if the
supplementary unit is not specified in the Austrian version.
|
VAT/Sales Tax/Intrastat
|
REP 11106
|
AU - Australia
ID
|
Title
|
Functional
area
|
Changed
objects
|
376784
|
The Prepmt. Line Amount Excl. GST field ignores the
Inv. Discount field in the Australian version.
|
Prepayments
|
TAB 37 TAB 39
|
376381
|
The G/L entries and vendor ledger entries are wrong
when you first partially receive a purchase order with a prepayment and then
post the purchase order as Receive and Invoice in the Australian version.
|
Prepayments
|
TAB 39
|
377006
|
"The transaction cannot be completed as it will
cause inconsistencies in the G/L entry table..." error message when you
post a payment journal for final payments applied to purchase invoices with
WHT in the Australian version.
|
Purchase
|
COD 28040
|
CH - Switzerland
ID
|
Title
|
Functional
area
|
Changed
objects
|
376819
|
The G/L Account Sheet with VAT Info report shows
incorrect values in the VAT % column in the Swiss version.
|
Fixed Assets
|
COD 12 REP 11567
|
CZ - Czech Republic
ID
|
Title
|
Functional
area
|
Changed
objects
|
376771
|
Changes to the Sell-to Customer No. field on
customer ledger entries in the Czech version.
|
Cash Management
|
COD 11735 COD 11760
|
376703
|
Correction of printing documents without a logo in
the Czech version.
|
Finance
|
REP 31000 REP 31001 REP 31002 REP 31020 REP 31021
REP 31022 REP 31091 REP 31092 REP 31093 REP 31094 REP 31095 REP 31096 REP
31097 REP 31098 REP 31099
|
376770
|
Changes to the variable length in the General Ledger
Document report in the Czech version.
|
Finance
|
REP 11763
|
376768
|
Non-deductible VAT correction in the Czech version.
|
Finance
|
REP 11765
|
376769
|
Issue for payment orders without lines with the
vendor type in the Czech version.
|
Finance
|
COD 11706
|
376772
|
Added Account Schedule export to .xlsx files in the
Czech version.
|
Finance
|
PAG 31081
|
376528
|
Legislation of Control Report VAT in the Czech
version.
|
Finance
|
COD 11 COD 12 COD 31020 COD 31100 COD 31101 COD 90
MEN 1030 PAG 138 PAG 140 PAG 254 PAG 31065 PAG 31100 PAG 31101 PAG 31102 PAG
31103 PAG 31104 PAG 31105 PAG 31106 PAG 31107 PAG 315 PAG 317 PAG 39 PAG 472
PAG 473 PAG 50 PAG 51 PAG 52 REP 31100 REP 31101 TAB 122 TAB 124 TAB 254 TAB
256 TAB 31065 TAB 31100 TAB 31101 TAB 31102 TAB 31103 TAB 31104 TAB 325 TAB
38 TAB 49 TAB 81 XML 31100
|
377013
|
Cancellation of an uncertainty payer check for a
payment order line if the Skip Payment value is Yes in the Czech version.
|
Finance
|
COD 11706 COD 11760
|
376633
|
Changes to purchase invoices of Non-deductible VAT
in the Czech version.
|
Purchase
|
COD 12
|
DE - Germany
ID
|
Title
|
Functional
area
|
Changed
objects
|
376872
|
"This message is for C/AL programmers: A call
to System.IO.StreamWriter.Write ..." error message when you use curly
brackets in data and run the Business Data Export report in the German
version.
|
Finance
|
REP 11015
|
376839
|
When you use the Get Shipment Lines function from
the Sales Invoice page to create the lines, a manually entered discount is
not considered but recalculated in the German version.
|
Sales
|
COD 56 COD 66 TAB 111 TAB 121
|
376766
|
Posting date is not within your range of allowed
posting dates for text lines without a posting date in the German version.
|
Service
|
COD 5980
|
ES - Spain
ID
|
Title
|
Functional
area
|
Changed
objects
|
376749
|
The Aged Accounts Receivable report does not show
information if you run it with the Print Amounts in LCY option activated in
the Spanish version.
|
Sales
|
REP 120
|
376910
|
"The Closed Bill Group does not exist.
Identification fields and values No.=''" error message if you try to
redraw a rejected bill from the Closed Receivable Docs page in the Spanish
version.
|
Sales
|
PAG 7000001 REP 7000096
|
376662
|
If you create a payment on the Sales Journal page to
partially apply a bill where a currency is involved, the rounding differences
go to the incorrect G/L account causing the posted entries to be unbalanced
in the Spanish version.
|
Sales
|
COD 12
|
376550
|
Incorrect data is displayed on the 340 Declaration
file header when unrealized VAT is involved in the Spanish version.
|
VAT/Sales Tax/Intrastat
|
REP 10743
|
FI - Finland
ID
|
Title
|
Functional
area
|
Changed
objects
|
376506
|
The Reference No. field from the Posted Service
Invoice page is missing on the Customer Ledger Entries page in the Finnish
version.
|
Service
|
COD 5987
|
FR - France
ID
|
Title
|
Functional
area
|
Changed
objects
|
376626
|
If you use Delayed as option in the Unrealized VAT
Reversal field and check the Realized VAT field for later payment slip steps
later, the vendor ledger entries are not closed in the French version.
|
Cash Management
|
COD 10860 COD 12
|
376700
|
"Arithmetic operation resulted in an
overflow" error message if you use the Export DEB DTI+ process on the
Intrastat Journal page with certain values in the Registration Nos. field in
the French version.
|
VAT/Sales Tax/Intrastat
|
TAB 79
|
IT - Italy
ID
|
Title
|
Functional
area
|
Changed
objects
|
376664
|
The Cust Bills Floppy report and the Issued Cust
Bills Floppy report export the VAT Registration No. and the Fiscal Code
values in wrong positions in the Italian version.
|
Cash Management
|
REP 12172 REP 12173
|
376561
|
If you use the Get Entries function on the Intrastat
Journal page for entries created with a purchase of EU services, the Document
No. field is filled incorrectly in the Italian version.
|
Purchase
|
TAB 263
|
376689
|
Validation of the Post Code field on the Vendor
table should use the source Residence County field, not the duplicated
Resident County field in the Italian version.
|
Purchase
|
PAG 26
|
376877
|
"Please enter at least one Payment Line for
Payment Terms Code CM" error message if you try to post more than one
order created from a blanket order in the Italian version.
|
Purchase
|
COD 87 COD 97
|
376716
|
The VAT reversal line of a service invoice should
not be placed in the invoice body but only in the VAT specification when you
print the Service Invoice report in the Italian version.
|
Sales
|
REP 5911 REP 5912 REP 5915 REP 202 REP 206 REP 207
|
376558
|
The VAT report does not include credit memos posted
as summary documents in the Italian version.
|
VAT/Sales Tax/Intrastat
|
REP 741
|
NA - North America
ID
|
Title
|
Functional
area
|
Changed
objects
|
376896
|
When a deposit line is expanded, the Cleared field
is unmarked in the North American version.
|
Cash Management
|
TAB 10121
|
376688
|
The Cash Applied report pulls different customers’
payments and invoices under customer payments in the North American version.
|
Sales
|
COD 10202
|
376757
|
The Adjust Cost Item Entries report does not
complete without issues when you upgrade from Dynamics NAV 2009 R2/SP1
directly to Dynamics NAV 2013 R2 and Dynamics NAV 2015, because the upgrade
does not complete the conversion for Kitting-related entries and data in the
North American version.
|
Upgrade
|
N/A
|
NL - Netherlands
ID
|
Title
|
Functional
area
|
Changed
objects
|
376864
|
If you delete a record in the Post Code Range table,
a record is also deleted in the Post Code table in the Dutch version.
|
Administration
|
TAB 11406
|
376541
|
"Qty. to Receive must be equal to '1' in
Purchase Line: Document Type=Invoice, Document No.=xxxx, Line No.=20000.
Current value is '0'" error message when you post a purchase invoice in
the Dutch version.
|
Purchase
|
PAG 55 PAG 98
|
NO - Norway
ID
|
Title
|
Functional
area
|
Changed
objects
|
376931
|
"An invoice total with VAT MUST equal the
invoice total without VAT plus the VAT total amount and the rounding of
invoice total" error message when you validate an EHF 2.0.5 eInvoice
with invoice rounding in the Norwegian version.
|
Sales
|
COD 10628
|
RU - Russia
ID
|
Title
|
Functional
area
|
Changed
objects
|
376695
|
The Order Proforma-Invoice (A) report does not have
information about bank details for payment orders in the Russian version.
|
Finance
|
COD 14931 REP 12411 REP 12418 REP 12484 REP 14939
|
376764
|
The system shows wrong data when you use the
Navigate option from the VAT Purchase Ledger Card or VAT Sales Ledger Card
pages in the Russian version.
|
Finance
|
PAG 12413 PAG 12414 PAG 12441 PAG 12442
|
376855
|
"There is no Vendor Ledger Entry within the
filter" error message when you use the Vendor Posting Group\Skip Posting
option in the Russian version.
|
Finance
|
COD 12 COD 90
|
UK - United Kingdom
ID
|
Title
|
Functional
area
|
Changed
objects
|
376604
|
The Exported to Payment File field on the Payment
Journal page is not cleared if you use the Void BACS process in the British
version.
|
Cash Management
|
COD 10550
|
376821
|
The Unposted Purchases report does not show the LCY
values correctly in the British version.
|
Purchase
|
REP 10536
|
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