Program Fix - Incorrect pricing type after slicing sequence

Issue No: CT-6618
Created 12/17/2021 8:16:18 AM
Type Bug-QC
Priority Critical
Status Closed
Resolution Fixed
Fixed Version 20.1
Description _*This is program fix for CT-6616_   Steps:   1. Create purchase basis Contract = 5000 BU   2. Fully price contract   3. Create customer load ticket 1 for 2000 BU   4. Create customer load ticket 2 for 2000 BU   5. Settle storage 1 for ticket 1 to contract   6. Settle storage 2 for ticket 2 to contract   7. Open contract slice sequence - seq1 =4000, seq2 = 1000   8. Save contract   Issue: Update contract action for original sequence is entered in Purchase basis bucket   !pastedImage_d175989_0.png|height=279,width=557!   Acceptance: Should be Purchase Priced