Contract in the wrong month and wrong qty

Issue No: RM-2448
Created 12/26/2018 5:35:13 PM
Type Bug
Priority Blocker
Status Closed
Resolution Fixed
Fixed Version 18.3
Description Contract 10172-1 has a balance of 1900 on the position in Sales Priced. Several problems with this     1- 10172 should only be for 300, not 1900. The sequence was originally 2500. 300 was priced and the balance was sliced into seq 2   2 - The end date of the sequence is January. The position is showing in March for some reason. Sequence 2 is also showing in Mar when it should be Jan.     !pastedImage_d110038_0.png! !pastedImage_d110038_1.png!