Microsoft Dynamics SL 2015 CU1 Fixes Cash Manager Reports Printing Blank Pages

Posted by Donna Krizik on November 11, 2015


This is related to Dynamics SL Bug 3080781, error “System Message 6887 – Ending date less than Starting date. Please re-enter.”

Issue: 

Both the Cash Manager Bank Reconciliation and Daily Cash Balances reports in Dynamics SL 2015 print blank pages, and users have to Tab through all the fields below when running the report (Starting/Ending Dates, and Bank Acct/Sub to get detail. 

Specific Scenario:

  • You open the Check/Deposit Reconciliation (20.620.00) report or the Bank Reconciliation (20.630.00) report.
  • You click Print Preview.
  • You use the calendar or type the Starting Date to select the first day of the month for the selected bank reconciliation.
  • Do not tab to the Ending Date but click in the Ending Date and use the calendar or type the Ending date to match the selected bank reconciliation date.
  • Click OK.

When you do this, the report prints blank.

Hotfix HF35094CA will correct this issue, and can be downloaded from CustomerSource/PartnerSource under Support.  This hotfix is included in the list of availalbe hotfixes for Microsoft Dynamics SL 2011 and later versions.

Need help applying a hotfix? Email us at support@crestwood.com for prompt assistance.

Submitted by: Tiffany Bennett, Senior Consultant


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