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- Prior to upgrading Signature:
- Refrigerant Tracking Leak Rate Analysis:
- Make note of the Refrigerant Tracking Leak Rate Analysis Method that you are using in the Signature Service Options Setup window. After upgrading, verify in this window that your setup option is still correct. The form procedure GetRefrigerantLeakRateMethod has been updated to reference Record 2 instead of Record 1. SMS-1366
- Refrigerant Tracking leak rate calculation has been updated to use the refrigerant released value entered in the Accidentally Released field. Previously, the calculation used the Refrigerant Added value. See Refrigerant Tracking and Choosing Service Options. SMS-1971
- Refrigerant Tracking Leak Rate Analysis:
- After upgrading Signature:
- MobileTech users: You will need to upgrade to MobileTech 9.0.
- Schedule users: You will need to upgrade to Schedule 5.0.
- MobileTech and Refrigerant Tracking users: After upgrading, for the Refrigeration Equipment Type 6 to be available in MobileTech, you will need to refresh lookups in MobileTech Admin (MobileTech Admin > Tools > Refresh Lookups) and have technicians sync their devices.
- Service Quick Connect SmartList users: After upgrading, you will need to delete and reimport the Service Quick Connect SmartList. We've updated the Quick Customer to use WSReserved_CB9 in the SV00100 table. SMS-1604
During an upgrade:- If MobileTech is not present, all values from UDF3 will move to UDF9
- If MobileTech is present and WsMobileTechOptions UseFieldInvoicing is False, all values from UDF3 will move to UDF9.
- If MobileTech is not present and WSMobileTechOptions UseFieldInvoicing is True, no changes will be made.
- TimeTrack users export data to a 3rd party payroll module: We've updated the Exporting TimeTrack Data process so that the commit process is now run before exporting the file. Transactions that had errors and were not committed (and still in table WS10702) are removed from table WS50000. See Exporting TimeTrack Data to a Third-Party Payroll Module .
- SmartConnect users:
The Signature 2018 R5 release requires SmartConnect nodes to be re-installed, as parameter and node logic are often modified as part of a product update. If you have custom SmartConnect nodes created for you by WennSoft, you’ll need to work with your Customer Success Manager to schedule an update of custom nodes, as part of your upgrade process.
- To provide more precise descriptions for errors returned when using a SmartConnect node, you will need to set up Read Access to the SmartConnect database for the user that was set up to run the integrations. In SQL Server Management Studio, the user needs to be mapped to SmartConnect and to have at least the db_datareader Database Role Membership. SMS-477
- Deprecation Note:
- A new Job Close window has been added with Signature 2018 R4. To this end, we will deprecate the original Job Close window. The Signature 1804b06 release was the final version for the legacy Job Close window.
- Process Service Invoicing has been deprecated across two Signature releases: 2018 R3 and 2018 R4. We will make no changes to the base feature for this reason. Any critical defects identified in this feature will have to be handled as hotfixes, as needed. Our new Service Batch Invoicing process is replacing Process Service Invoicing. The Signature 1804b06 release was the final version for the Process Service Invoicing window.
- Add-on-the-fly functionality has been conditionally removed from the Transfer to Job process. Based on customer feedback, add-on-the-fly functionality in the Transfer to Job window is now disabled. While this feature is disabled, SMS users will no longer be able to add Jobs and/or Job Cost Codes via the Transfer to Jobs window. If you require this functionality, it can be re-enabled by adding the following line to the Dex.ini file found in the Data folder of your Microsoft Dynamics installation. EnableTransferToJobCreateJob=TRUE
- After upgrading or installing, update the dex.ini to include REVALJEINDETAIL=TRUE so that purchase price variance entries are created in detail. 23366
- Beginning with Signature 2018, the email paging function has changed to use WennSoft's communication platform.
- If you are using Job Cost and will be switching to the Revenue Performance Obligations revenue method,
you can't create fixed change orders on cost plus jobs. - For SM document attachments to be written to a physical file location, WRITE permission must be given to the folder(s) where the attachments will be copied to for all users, MobileTech and Service Management, who will be attaching files. In addition, the path to where the attachments are to be stored needs to end with a backslash. 21559, 21564, 22021
- We strongly advise against the practice of saving invoices with committed costs to batches, as this may result in posting issues. When an invoice with committed costs is saved in a batch, the invoice distributions are NOT recalculated when the purchase order costs are received.
- Signature Portal users only – If any modifications have been made to your portal websites, you must make a copy of your modifications BEFORE upgrading your Signature portal(s). Your modifications can be recreated after the upgrade is complete.
If you intend to use Job Appointments and you also use TimeZone views in Service Management, your users must use the Alternate Customer Maintenance window to set up GP Customers and Addresses/Locations. Failure to use the Alternate Customer Maintenance window will result in job appointments not being properly displayed in Schedule. JC-96
- For users who post service invoices with committed costs prior to posting the receiving transactions batch. When you are ready to post the purchase order batch, you will need to recalculate the transaction distributions to avoid any posting discrepancies. To recalculate the receivings transaction distributions:
- Go to Transactions > Purchasing > Purchasing Batches.
- Select the Batch ID and then select Transactions.
- In the Receivings Transaction Entry window, select Receipt No.
- Select Distributions.
- In the Purchasing Distributions Entry window, select Default.
- Select Yes to reset to clear the existing entries and restore the default distributions.
- Select OK and then select Save.
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Case # | Description | ||
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SMS-239, | Payment term discount amounts are now calculated and a distribution under the type of AVAIL is created if the setup option Track Discounts Available in GL in Receivables Management Setup is marked. This is for service and job cost invoices. This does not apply to Trade discounts. | ||
SMS-1449 | In the Location window, users are now prompted to save or discard when looking up a different location with the lookup button. | ||
SMS-1554 | Fixed an issue where the Renew button is active when attempting to renew a contract when fiscal periods are not set up. | ||
SMS-1753 | The CUSTNMBR and ADRSCODE fields are now populated in the WSDOCS table when an attachment is added to a service appointment. | ||
SMS-2076 | We've fixed an issue where users were able to save a vendor item in the Mobile Purchase Order window after receiving an error message that indicates the vendor does not exist in the Vendor Master table. | ||
SMS-2077, SMS-2187 | When using the Relative Schedule setup option:
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SMS-2094 | When using Advanced Documentation's Copy File option, appointments are now saved as expected to an Appointments folder. | ||
SMS-2111 | When deleting a maintenance invoice batch, the maintenance invoices are rolled back out of tables sv00510 and SV00564. The table SV00500 is updated on the amount billed based on what was deleted from the RM table. | ||
SMS-2112 | If there are contracts that do not yet have billing amounts and the view is run, users will no longer receive a "Divide by zero" error message. | ||
SMS-2116 | When you have a contract on hold and you are creating MCC calls, calls are no longer created for the contract on hold. This occurred when the skill level on the tasks on the contract in SV_Contract_Task_MSTR (SV00582) table did not exist in the SV_Location_Technicians_MSTR (SV00215) table (also matching the customer number and address code from the contract). | ||
SMS-2119 | When using the Duplicate Equipment utility, the modified date and time is now updated as expected in the SV00400 table. | ||
SMS-2120 | The Mass Closing report now prints as expected when the report is assigned to any role for access. | ||
SMS-2122 | We've updated the SV_Language_ID for wsiSMSTaskCodes stored procedure so that when task codes are added using this stored procedure, the SV_Language_ID defaults to 0. | ||
SMS-2126 | We've made an adjustment to the Service WIP Reconciliation view so that unposted service general ledger transaction entries don't display in the UNPOSTED GL section since they aren't in the Service Subledger yet either. Previously, the system was showing a false out-of-balance that automatically corrected on posting because the amount was displayed in the General Ledger, but wasn't in the Subledger yet (because it was unposted). | ||
SMS-2127 | Users will now receive the correct error message when using SmartConnect if they have renamed the SmartConnect database. | ||
SMS-2152 | Costs are now being backed out from the SV00300 table when re-opening a service call that was manually closed and the user chooses to rebill those costs. The costs from SV00701 are used to reduce the costs in SV00300. | ||
SMS-2158 | Duplicate service call numbers will no longer be returned when a second process calls the SQL procedure SMS_Get_New_Service_Call_ID within 10 ms of the first call. The SMS_Get_New_Service_Call_ID SQL stored procedure has been updated with the "WITH (UPLOCK)" added to the SV000062 select statement. | ||
SMS-2161 | We have enhanced the performance when saving a service call when there are many tasks and task responses attached to the service call. | ||
SMS-2176 | When running the Cost/Billing Check Links, the Billable_All field in SV00300 no longer includes Billable_Tax. | ||
SMS-2177 | The Master Contract Service History window now only shows the service calls attached to the customer in the window that also belong to the master contract. | ||
SMS-2197 | Purchase order numbers are no longer duplicated when the purchase order is created in Schedule. | ||
SMS-2224, SMS-2363 | When renewing a master contract logged into GP with a user that has a space or period in the name, an “incorrect syntax near” error message no longer displays. | ||
SMS-2256 | When using the Move Utility, customer attachments are no longer moved along with the location information. | ||
SMS-2297 | When multiple users are getting the next number at the same time, service invoice numbers are no longer duplicated. | ||
SMS-2324 | All items are now displaying when using the standard Microsoft Dynamics GP Purchasing Invoice Entry window and switching the views from Vendor Item to Item. This issue only occurred when Signature Job Cost was registered. | ||
SMS-2332 | When zooming on the SOP costs in the Service Invoice window, users will no longer receive a get/change operation error on table SOP_HDR_WORK if the customer number on a service call has an apostrophe and an SOP document is created for that call. | SMS-2363 | When renewing a master contract where the user name has a period in it, users will no longer receive a "CREAT TABLE permission denied in database "xx"" error message. |
Job Cost
Case # | Description | ||
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JC-370 | The Job Printable Notes report now includes the job appointment notes that are marked as printable. | ||
JC-382 | The Job Cost Audit Report has been updated to increase the Amount field size. The page footer was removed to increase the amount of data displayed on each page. | ||
JC-487 | Users can now create an for the Billable Retention amount. Previously, users received an error message stating the invoice amount exceeded the expected contract amount and were not able to save the invoice. | ||
JC-493 | The Job Type setup window now prompts you to Save or Discard if you select the "X" button in the top right corner of the window. | ||
JC-495 | Unposted fixed asset transactions are now showing in the Unposted Cost column on the Job Status window or on the Job Closing Preparation report. | ||
JC-499 | We've updated the Batch Recovery process so that if a batch being recovered relates to a job or service call, the batch will not post as part of the recovery process. These batches can be posted from the normal master posting. | ||
JC-500 | In the Job Close window, when entering a transaction date that is not within an open fiscal year, the validation error message now accurately reflects the issue. | ||
JC-505 | The Job Closing Preparation SSRS report now includes checks that are made in the Close Jobs window. | ||
JC-514 | Unposted payments now display on the Job Cost Payables Aged Trial Balance SSRS report. The only cosmetic change to the report is the addition of the legend showing that unposted payments have a prefix of “**” in front of the payment number.
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JC-537 | When importing master cost codes to update existing codes using wsiJCCostCodesMSTRSETP from SmartConnect, users will no longer receive the error message "Cost Code Alias must be empty". | ||
JC-553, JC-557 | In the Transaction Level Billing and Project Transaction Level Billing windows, voided lines no longer display in the bottom scrolling window. |
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