Cumulative Update 36
includes all application and platform hotfixes and regulatory features that
have been released for Microsoft Dynamics NAV 2013 R2.
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.
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: Implementing this cumulative update will
require a database upgrade.
Where to find Cumulative Update 36
You can download the
cumulative update from KB 3193866 – Cumulative Update 36 for Microsoft Dynamics
NAV 2013 R2 (Build 47043).
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.
Additional Information
For more information
about cumulative updates for this version, see Announcement of update rollups for Microsoft Dynamics NAV 2013 R2.
Problems that are resolved in this cumulative update
The
following problems are resolved in this cumulative update:
Platform hotfixes
Note You may have to compile the objects
in your database after you apply this hotfix.
ID
|
Title
|
378909
|
Filters
and parameters are not visible in web services.
|
380703
|
The
real-time time interval setting has been moved from the Windows client
configuration to the Dynamics NAV Server configuration.
|
380713
|
NavNCLDialogException
in the web client with blank error.
|
380578
|
The client
behaves unexpectedly when you make modifications on filtered purchase (or
sales) order lines.
|
380550
|
The wrong
item is returned on a sales order line when you rely on Filter As You Type.
|
380333
|
Pages that
have the Page Type value set to NavigatePage and contain a repeater group
will not save column width personalization.
|
380899
|
Export to
a data file throws SqlNullValueException.
|
Application hotfixes
ID
|
Title
|
Functional area
|
Changed objects
|
380416
|
Wrong
general ledger entry number is shown in the job ledger entry.
|
Jobs
|
COD 1001
COD 1012 COD 80 COD 90
|
380782
|
The Last
Direct Cost field on the item card is inaccurately updated with the value of
the cost adjustment.
|
Inventory
|
COD 22
|
380665
|
Codeunit
418 is missing permissions on tables where the user table is involved.
|
Client
|
COD 418
|
380641
|
Wrong
entries amount when you switch to ARC on the Acc. Schedule page.
|
Finance
|
COD 8
|
380692
|
Realized
Gains/Loss entries are not created when you post a purchase invoice using the
Get Receipt Lines function for a purchase order with prepayment in FCY.
|
Prepayments
|
COD 80 COD
90
|
380879
|
Wrong IDs
of functions in Test Codeunit 134902.
|
N/A
|
|
380673
|
The
DataItemTableView property is not defined in the ItemErrorLoop dataitem for
the Close Inventory Period - Test report.
|
Inventory
|
REP 1004
|
380659
|
The Double
Underline option within the account schedule prints a single underline when
the New Page check box is selected.
|
Finance
|
REP 25
|
380758
|
Error
appears when you update an existing Excel spreadsheet.
|
Finance
|
REP 29
|
380845
|
If the
TableRelation property in the Job Usage Link table does not relate to the Job
No. field, all job usage link records with the same job task number will be
renamed regardless of the job number when a given job task is changed.
|
Jobs
|
TAB 1020
|
Local application hotfixes
AT - Austria
ID
|
Title
|
Functional area
|
Changed objects
|
380787
|
An
incorrect error message is displayed in the VAT Statement AT report in the
Austrian version.
|
Finance
|
REP 11110
|
CH - Switzerland
ID
|
Title
|
Functional area
|
Changed objects
|
380858
|
The IBAN
only contains 17 spaces instead of 21 in the layout of the LSV Collection
Authorization report in the Swiss version.
|
Cash
Management
|
REP
3010836
|
CZ - Czech Republic
ID
|
Title
|
Functional area
|
Changed objects
|
380928
|
If you use
the Undo Shipment function from the posted transfer shipment, you get message
that the bin does not exist in the Czech version.
|
Warehouse
|
COD 31070
COD 7320
|
380914
|
The base
and the amount are calculated incorrectly for the VAT Control report for
reverse charges when you do not use the Merge VAT Entries function in the
Czech version.
|
VAT/Sales
Tax/Intrastat
|
COD 31100
|
380938
|
The check
of commodity limit amount LCY is incorrect in sales orders in the Czech
version.
|
Sales
|
COD 80
|
380906
|
There is
not updated Amt. on issued payment orders on payment order lines.
|
Cash
Management
|
PAG 11717
|
380911
|
From the
Adv. Payment Selection - Purch page and the Adv. Payment Selection – Sales
page the reports for printing the Purchase Advance Letters page and the Page
Sales Advance Letters page are not used in the Czech version.
|
Prepayments
|
PAG 31003
PAG 31023
|
380908
|
The
documentation for VAT report displays incorrect amount if I use the Reverse
Register action for VAT entries with non-deductible VAT in the Czech version.
|
VAT/Sales
Tax/Intrastat
|
REP 11764
|
380936
|
The VAT
Registration No. field is not filled in a document if the Bill-to/Sell-to VAT
Calc. field contains Sell-to/Buy-from No. on the General Ledger Setup page in
the Czech version.
|
Finance
|
TAB 36 TAB
38
|
ES - Spain
ID
|
Title
|
Functional area
|
Changed objects
|
380771
|
If you
settle a payment order with a currency in an earlier date than the documents
associated, the Adjust Exch. Rates G/L entries created use the document dates
and not the payment order dates in the Spanish version.
|
Purchase
|
REP
7000082
|
380662
|
The
paydays are not calculated correctly in the Vendor - Overdue Payments report
if the document is paid after the due date in the Spanish version.
|
Purchase
|
REP 10748
|
IT- Italy
ID
|
Title
|
Functional area
|
Changed objects
|
380843
|
If the
Allow Issue field of the bill code is set to false, then when you recall more
than one customer bill the second recalled bill is applied to the wrong entry
in the Italian version.
|
Finance
|
COD 12
|
380551
|
If you
post a partial payment for an unrealized VAT sale invoice that contains
multiple lines, the reversal as realized VAT is not correct in the Italian
version.
|
VAT/Sales
Tax/Intrastat
|
COD 12 TAB
254
|
380834
|
The
threshold amount set for Black List transactions is wrongly calculated. It is
compared with every single sale or purchase document instead of being
compared to the annual total amount posted for a customer or vendor in the
Italian version.
|
VAT/Sales
Tax/Intrastat
|
COD 12130
|
UK - United Kingdom
ID
|
Title
|
Functional area
|
Changed objects
|
380697
|
If you use
the Keep Comparison Period Scope option on the Account Schedules Overview
page, the date filters are calculated incorrectly for columns that use the
comparison date formula in the British version.
|
Finance
|
COD 8
|
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