Contract Balance - Open contract is incorrect if the Type is manually changed in the Contract Sequence

Issue No: CT-3594
Created 8/7/2019 5:46:03 AM
Type Bug
Priority Blocker
Status Closed
Resolution Fixed
Fixed Version 19.1
Description This issue relates to i21 Help Desk ticket. Click the link below to go to Help Desk ticket.   [HDTN-234320 - Priced Basis Contracts not showing up as Priced|https://helpdesk.irely.com/iRelyi21live//#/HD/Ticket/?ticket=HDTN-234320]     In Creston TE, Basis contracts that have been priced directly on the sequence are not showing up as priced when backdating. They are in Prod on 19.1.0803 but not TE on 19.1.0806       Example 10430-1. It is in sales basis, but it was priced on 6/26 by changing the sequence price.     STEPS   1. Sales Basis Contract is created on 5/9 for 5,000,000.00 Lbs   2. The pricing type is manually changed to Priced in the Contract Sequence on 6/26   3. Run the Daily Position Report or Contract Balance as of 6/30   ISSUE   The Contract is still displaying as Sales Basis as of 6/30   ACCEPTED   It should be Sales Priced.