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Name of Link:  FTP Site for 2.5.2-060 Patch

Link to "The Patch":  FTP Site for "The Patch"
  Code Distribution:  

N/A

  Posting Date: 

26-Sep-08

ScanMaster Version 2.5.2-060 Release Table

Last updated September 26, 2008

See the table below for a description of the new features provided and faults addressed in this release. 

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Enhancement or Fault Number

Item  Description

WD 10983

SM2SETTL.EXE

When Settling a delayed cashier, to totals row on the settlement screen is not updated.  This leads to a incorrect shortage reported for the cashier and nothing written to the Total Pickups field on the Store Totals Report.  Causes an incorrect FC Gain/Loss.

Scenario:

1.  Delay a cashier either manually or auto delay @ EOD

2.  Run EOD

3.  Return to Office Procedures to Settle the Delayed Cashier.

4.  When entering in the amount that is being settled, notice that the totals in the bottom row are not adjusted.  The Pickup Total remains at $0.00 and the over/short total is the negative of the Drawer Total.

5.  Click Accept to Finish the Settlement.

Expected Results: The application writes out the correct figures for over/short for the cashier and therefore to the SRR.  The correct total is written to the Total Pickup Amount for the Cashier.  Once this occurs there should no longer be erroneous totals that end up affecting Foreign Currency Gain/Loss. 

Actual Results:  The Application writes out an incorrect figure for over/short for the cashier and therefore to the SRR.  Also nothing is written to the Total Pickup Amount for the Cashier.  Because this occurs, the Pickup Rollover Amount is inflated, the Over/short (short) is inflated, and the Total Pickup amount is deflated and all of this works towards a foreign currency gain/loss.

WD 10987

SM2ASC2B.EXE

Compare ID not pulling into the batch properly when creating Batch on RPO.

Batch Maintenance on the RPO unit, putting a Unit of Measure of "Ounces" and putting a Compare ID of "Quarts".  After viewing the item in CREATE/EDIT BATCH, he found that the UOM and the Compare ID were the same number.

Scenario:

1. Went into Batch Maintenance on the RPO unit. 

2. Put UPC #11 with a Unit of Measure of 41-Liquid Ounce and a Compare ID of 43-Quart.

3. FINALIZED the batch and looked at the HOST015.ASC file.  In the file showed the Unit of Measure of 41 and the Compare ID of 43.

4. Ran SM2ASC2B.EXE and then looked at the batch in CREATE/EDIT BATCH.  The Unit of Measure is 41 and the Compare ID is now 43.

WD 10989

SM2ITEM.EXE

2147467259 Unspecified Error or Error: -2147418113 Catastrophic failure in function ConnScanMasterDB.

 All programs which use the connect function in SQLCONN.BAS need to be recompiled with the latest version of SQLCONN.BAS.

WD 10990

SM2BATCH.EXE

2147467259 Unspecified Error or Error: -2147418113 Catastrophic failure in function ConnScanMasterDB.

 All programs which use the connect function in SQLCONN.BAS need recompiled with the latest version of SQLCONN.BAS.

WD 10991

SM2PDIMR.EXE

2147467259 Unspecified Error or Error: -2147418113 Catastrophic failure in function ConnScanMasterDB.

All programs which use the connect function in SQLCONN.BAS need recompiled with the latest version of SQLCONN.BAS.

WD 10992

SM2BAPLY.EXE

2147467259 Unspecified Error or Error: -2147418113 Catastrophic failure in function ConnScanMasterDB.

All programs which use the connect function in SQLCONN.BAS need recompiled with the latest version of SQLCONN.BAS.

WD 10999

SM2ORCPT.EXE

Office Safe Adjustments - Not adding to total line on the screen and causes the Money going out to be lower than it should and causes an Out of Balance amount.

Scenario:

1.  Enter Office Adjustments program

2.  Select 'Adjust Current Safe'

3.  Enter an amount

4.  Select Abort

5.  Enter a negative amount to cash

6.  Notice that the total column for Actual remains at 0.

7.  Accept the Adjustment.

Expected Results: Money Going Out is correct, There is no Out of Balance Amount

Actual Results: Money going out is missing this adjustment and causes an Out of Balance amount for the same.