Prologic XDI Release Notes - Version 3.6

Introduction

We are happy to share the release notes for the Prologic XDI 3.6.

Summary

This release includes significant updates aimed at enhancing functionality and fixing identified issues. A total of 5 fixes and 2 new features have been implemented in this update.

New Features

  • CIMS Employee Data Export: The XDI feed has been enhanced to add the null Store (shop_sort) parameter, facilitating users to log in to tills across multiple stores.
  • Cegid Interface Enhancement: The import interface has been updated to accept pos_move_num in the XML, ensuring correct processing into the CDI table.

Bug Fixes

  • Price List Issue: Resolved an issue where changing a price on a given price list incorrectly fed all prices across all price lists for that SKU.
  • PoS Banking Import Date Correction: The system now uses the correct date in XML for creating the header record for cdi_pos_ftrans_defs.
  • Negative Amount Handling: The system will now correctly process negative amounts sent for credit transactions, improving transaction clarity.
  • Banking Entries Creation Flag: Introduced a new flag to control the automatic creation of banking entries, enhancing operational flexibility.
  • Positive Value Enforcement: Ensured that the price passed through the XML for return processes is treated as positive, to align with VAT requirements.

Release Details

This release for Prologic XDI is crucial for maintaining the system's reliability and ensuring its performance meets the operational needs of our users.

Upgrade Instructions

This release can be obtained by contacting your Account Manager or Project Manager to discuss prerequisites and schedule an installation.

Access Release Notes

For further details, please refer to the Release Notes for Prologic XDI 3.6.

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