Description |
*This issue relates to i21 Help Desk ticket:* [ HDTN-334757 - Error in new i21|https://helpdesk.irely.com/iRelyi21live/#/HD/Ticket/?ticket=HDTN-334757]
*Issue:*
Derivative Entry screen, export to excel & csv of selected rows filled date is mismatching.
!./Export/CRM/85c8573c-c0db-41ba-97a1-00c25a430ba7.png!
*Steps:*
1. Risk Management > Derivatives > Derivative Entry
2. Open the Internal Trade No: 34906
3. select the Internal Trade No from 34906 to 34910
4. Click on Export Option choose the Csv or Excel option
5. open the Downloaded file Filed date value is mismatching with screen and excel file.
*Acceptance:*
Exported file in excel, pdf & csv of selected rows filled date should be matched
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