rs-35.2

Fecha de Liberación: 2021-11-09

Soporte a Versiones:
  • ADempiereBase: Versión de Liberación: 3.9.3-rs-4.3

  • CST-STD: Versión de Liberación: rs-28.0

  • Consigned-Material: 1.2.8

  • Exchange-Operation-System: 1.1.8

  • Cash-Management: 1.0.9

  • Currency-Convert-Documents: 1.0.8

  • Farmer-Assistance-Program: 1.1.8

  • RethinkDB-Replicator-Client: 1.1.2

  • Third-Party-Access: 1.0.4

  • Fiscal-Printer: 1.3.4

  • Sales-Force-Management: 1.0.3

  • Delivery-Management-Service: 1.1.7

  • Travel-Agency-Management: 1.0.8

  • Withholding: 1.0.9

  • Migration-Tools: 1.0.3

  • LVE: 1.4.6

  • Performance-Analysis: 1.0.8

  • Queue-Manager: 1.0.4

  • Notification-Queue: 1.0.4

  • Point-Of-Sales-Improvements: 1.1.8

  • Kafka-Replicator-Client: 1.0.8

  • Kafka-Util: 1.0.2

  • Core-Tools: 1.3.7

  • Get-Weight:1.0.9

  • Record-Weight: 1.0.3

  • Raw-Material-Receipt: 1.1.0

  • Additional-Reports: 1.1.1

  • adempiere-gRPC-Server: rt-25.4

  • Material-Management-Improvements: 1.0.8

  • Warehouse-Management-System-Improvements: 1.1.3

  • Import-Export-Management: 1.0.2

  • Update-Management: 1.1.2

  • Mini-Retail: 1.1.4

  • Print-Queue: 1.0.5

Detalle Técnico:
  • Material-Management-Improvements: Add functionality for count inventory based on custom rule

  • Point-Of-Sales-Improvements: Add Withdrawal Receipt Report

  • Cash-Management:
    • Add calculation of balance before complete bank statement

    • Add Validation for Cash Opening

  • adempiere-gRPC-Server: Fixed error getting currency rate

  • Additional-Reports: Add scriptlet for discount price of product

Requerimientos:
  • Aplicar binario de la aplicación

  • Aplicar los XML’s:
    • Material-Management-Improvements:
      • 09320_Add_Custom_Count_for_Inventory.xml

      • 09330_Add_Default_Custom_Count_for_Inventory_Setup.xml

      • 09340_Sort_parameters_for_custom_count_process.xml

    • Point-Of-Sales-Improvements:
      • 09320_Add_Withdrawal_Receipt_process.xml

    • Cash-Management:
      • 07120_Add_validation_for_Cash_Opening.xml

      • 07130_Add_Error_Message_for_Cash_Opening_Validation.xml

Novedades
  • Se agrega funcionalidad para permitir crear listas de conteo personalizadas

  • Se agrega lista de conteo personalizada en función de la ventas

  • Se agrega Reporte de Recibo de Caja

  • Se agrega nuevo scriptlet para funcionalidad de calculo de descuento en reportes de ventas

  • Se agrega validación de Apertura de Caja

Correcciones
  • Problemas con tasa de cambio

  • Se agrega recalculo en el cierre de Caja para considerar los egresos generados automáticamente