Tuesday 9 January 2018

Cumulative Update 01 for Microsoft Dynamics NAV 2018 has been released


Cumulative Update 01 includes all application and platform hotfixes and regulatory features that have been released for Microsoft Dynamics NAV 2018.
The cumulative update is intended mainly for solutions that are experiencing the problems described in the Knowledge Base article linked to below. However, you are advised to always keep your solution updated with the latest cumulative update.
The cumulative update includes hotfixes that apply to all countries and hotfixes specific to the following local versions:
Where to find Cumulative Update 01
You can download the cumulative update from KB4058601  – Cumulative Update 01 for Microsoft Dynamics NAV 2018.
You can press one of the countries in list above for a direct download or you can download the cumulative update from the Microsoft Download Center.
Microsoft Dynamics NAV 2018 is also available from containers. Containers are a way to wrap up an application into its own isolated box, you can pull the cumulative update container from the Docker Hub.
To learn more about other Cumulative Updates already released for Microsoft Dynamics NAV 2018 please see KB  4072483.
Warning
Before you install a cumulative update in a production environment, take the following precautions:
1.    Test the cumulative update in a non-production environment.
2.    Make a backup of the system or computer where the cumulative update is to be installed.
3.    This Cumulative Update can require a database upgrade.


Problems that are resolved in this cumulative update

The following problems are resolved in this cumulative update:

Platform hotfixes

ID
Title
251798
The UWP desktop app does not connect when the server host address contains sub directories.
251926
The administration console protocol handler breaks when you install Dynamics NAV 2017 and Dynamics NAV 2018.
251927
The Dynamics NAV client jumps when you close the Find dialog.
252096
"The network is currently unavailable. The connection will resume when the network access is restored" error message in the progress notification during the rendering of reports in the Web client.
252113
"Infinite recursion during resource lookup within mscorlib" error message and the Dynamics NAV server crashes when you try to import data into an Excel buffer table.
252118
Missing add or remove entities for Activity Cue indicators in Role Centers.
253064
The RDLC customer layout ignores the landscape format after you apply the October 2017 cumulative update.
253068
Report orientation is lost when you print directly, and the printer selection has a record with a non-existing printer.
253070
FIELDCAPTION with Date Virtual Table fields are not translated within AL.
253071
The task scheduler causes deadlocks in a multiple-service scenario and leaves phantom job queue entries.
253072
Split-NAVApplicationObjectFile reports errors on an incorrect line.
253305
The Type field appears twice on purchase orders when you try to personalize the column lines.
253816
Fix to handle deleted entity fields and fields that map to lookups (used to be Uniqueidentifier) in the integration to Dynamics 365 for Sales.

Application hotfixes

ID
Title
Functional area
Changed objects
234951
Not all workflow step instances are completed when you use notifications in the Vendor Approval workflow.
Administration
TAB 1501
251180
If you print a check with the One Check per Vendor per Document No. option set to True, the General Journal Batch workflow causes an additional restriction during posting.
Administration
REP 1401
251365
Post code and city validation does not consider the Country/Region field when multiple records are found with Rapid Start.
Administration
TAB 225
252057
Incorrect FlowField length for the Custom Report Description field and the Email Body Layout Description field in the Custom Report Selection table.
Administration
TAB 9650
253577
"Arithmetic operation resulted in an overflow error" error message in the background session when the No. of Minutes Between Runs field is set to 1M in a job queue entry.
Administration
COD 10 COD 448
251197
Reversed bank ledger entries are included in bank reconciliation.
Cash Management
REP1496
252966
Vendor prepayment journals do not show payment discount tolerance amounts correctly if payment discount tolerance and payment tolerance are used for a vendor payment.
Cash Management
REP 317
253262
The Description field is empty after you post the payment reconciliation journal.
Cash Management
COD 370 TAB 274
235202
The Description field is unexpectedly changed when you enter the 17th and 18th lines on the General Journal page.
Finance
PAG 39
251588
The chart selection in the Business Manager Role Center is not persistent.
Finance
PAG 1392
251676
Incorrect filter on the Analysis by Dimensions page.
Finance
PAG 9249
251710
If you post an IC purchase invoice of type G/L Account, then the outbox entry details do not show the IC partner reference of the G/L account that was used to post the invoice.
Finance
TAB 39
253584
"The filter "(C)" is not valid for the No. field on the Item table." error message when an item description with parenthesis is validated.
Finance
COD 703
234905
It is cumbersome to create a FA depreciation book with the DB1/SL depreciation method because the Declining Balance % field is not displayed by default.
Fixed Assets
PAG 5666
235898
Error when you validate the Bal. Account No. field for a fixed asset transaction.
Fixed Assets
TAB 81
235155
All item charges assigned to an item are included in the Customer/Item Sales report, regardless of the Customer No. filter.
Inventory
REP 113
251310
An availability warning is not shown when you change the shipment date for an assembly item to an earlier date when the item is not available.
Inventory
TAB 901
251460
The Job Ledger Entry No. field is wrong on the Job Invoices page.
Jobs
COD 1001
235808
The status in the Approval FactBox remains Approved although a new approval request for the document is sent and the status should be Open.
Purchase
PAG 9092
251563
The drop-down in the Description Field does not work correctly on purchase orders.
Purchase
TAB 39
235939
When you post a sales invoice with a foreign currency, the VAT base amount displayed on the sales invoice can be different from the amount in the related general ledger entries.
Sales
REP 206
251571
A customer can be deleted even if it is on a saved document, such as a sales invoice.
Sales
TAB 18 TAB 23
251586
Item charges and COGS adjustment value entries may be included in another period than the original sale causing incorrect profit in the Customer/Item Sales report.
Sales
REP 113
251875
"There are unpaid prepayment invoices that are related to the document of type Order..." error message in prepayments.
Sales
TAB 36 TAB 38
252109
"Sales Order and Invoice integration from CRM online version 9.xx does not work" error message.
Sales
TAB 5354 TAB 5356
252625
The Sales Return Orders page is missing columns that are available on the Sales Orders page, such as Status, Amount, and columns for shipping information.
Sales
PAG 9304 PAG 9311
253029
Cannot force synchronization of all records regardless of timestamps in an integration between Dynamics NAV and Dynamics 365 for Sales.
Sales
COD 5330 COD 5338 COD 5340 COD 5345 MEN 1010 PAG 5330 PAG 5333
253265
The sales invoice discount is not calculated when you create a sales invoice from job planning lines.
Sales
COD 1002
235118
Get Bin Content batch job does not respect the Posting No. Series field that is assigned to the journal batches used on the Item Reclass. Journal page.
Warehouse
REP 7391
251452
Put-away creation does not consider the bin’s maximum quantity when the bin content is already above its maximum.
Warehouse
TAB 5767
253838
"If Shipping Advice is Complete in Sales Order no. X, then all associated lines where type is Item must use the same location" error message when you create a warehouse shipment.
Warehouse
COD 5752 TAB 36

Local application hotfixes

BE - Belgium
ID
Title
Functional area
Changed objects
252340
The AssistEdit button to retrieve the file is missing on the request page for SEPA payments in the Belgian version.
Finance
REP 2000001 REP 2000002 REP 2000005 REP 2000006
252342
When you post a purchase invoice with more than one line, the Base Before Pmt. Disc. field in VAT entries is not correct in the Belgian version.
Finance
TAB 49
253106
When you post a purchase invoice with non-deductible VAT, the VAT statement shows a wrong purchase VAT amount in the Belgian version.
Finance
REP 12
CH - Switzerland
ID
Title
Functional area
Changed objects
235348
"Field Recipient Bank Acc. No. must be specified" error message when you export a credit transfer SEPA ESR file in the Swiss version.
Cash Management
COD 1221
235561
If you enter the IBAN number with spaces on the Vendor Bank page and export a payment file, the space characters are not removed in the Swiss version.
Cash Management
TAB 1226
251602
The SEPA Direct Debit file is not accepted by Postfinance in the Swiss version.
Cash Management
XML11501
253263
The Suggest Vendor Payments batch job also suggests credit memos in the Swiss version.
Cash Management
REP 393
253666
Batch Booking = True is missing in SEPA CH PAIN files that have more than 100 payments in the Swiss version.
Cash Management
COD11503 COD1221
251082
The transfer amount is not displayed on the SR Vendor - Balance to Date page in the Swiss version.
Finance
REP 11559
251981
The summary is always printed on a new page even if there is enough space to print on the last page with customer details in the Swiss version.
Finance
REP 11540 REP 11559
DACH
ID
Title
Functional area
Changed objects
251713
Information is not readable in the Purchase - Credit Memo report because two field values are placed in the same position in the DACH version.
Purchase
REP 407
DE - Germany
ID
Title
Functional area
Changed objects
235190
The VAT-Vies Declaration Tax - DE report does not create a PDF file when you use the Web client in the German version.
VAT/Sales Tax/Intrastat
REP 11007
ES - Spain
ID
Title
Functional area
Changed objects
251316
The amount of deductible VAT (Cuota deducible) is calculated incorrectly with positive and negative lines in purchase invoices in the Spanish version.
Finance
COD 10750 COD 10752 COD 10753 COD 10755 COD 10756 PAG 10751 PAG 10752 PAG 21 PAG 26 PAG 427 TAB 10750 TAB 10751 TAB 10752 TAB 10753 TAB 18 TAB 23 TAB 289 TAB 36 TAB 38
251541
If you open the XML files from the SII interface, Internet Explorer cannot display the file because of a NULL value at the end of the file in the Spanish version.
Finance
TAB10753
251641
SII notifications are automatically sent to the My Notifications part in the Spanish version.
Finance
COD 10751
252871
The ImprteTotal value is incorrect in the SII interface if you issue a sales or purchase invoice of type F2 in the Spanish version.
Finance
COD 10750
253249
An incorrect value is assigned on the ClaveRegimenEspecialOTrascendencia field in the UE sales document in the Spanish version.
Finance
COD 10750 COD 10752 COD 10753 COD 10755 COD 10756 PAG 10751 PAG 10752 PAG 21 PAG 26 PAG 427 TAB 10750 TAB 10751 TAB 10752 TAB 10753 TAB 18 TAB 23 TAB 289 TAB 36 TAB 38
253251
If you post a purchase invoice with unrealized VAT and the Cash Regimen check box is selected, then all amounts are zero when you export to the SII interface in the Spanish version.
Finance
COD 10750 COD 10752 COD 10753 COD 10755 COD 10756 PAG 10751 PAG 10752 PAG 21 PAG 26 PAG 427 TAB 10750 TAB 10751 TAB 10752 TAB 10753 TAB 18 TAB 23 TAB 289 TAB 36 TAB 38
253252
If the Post Line Discount check box is selected on the Sales & Receivables Setup page and you post a sales credit memo with multiple VAT rates and line discounts, then the export only contains one VAT rate in the Spanish version.
Finance
COD 10750 COD 10752 COD 10753 COD 10755 COD 10756 PAG 10751 PAG 10752 PAG 21 PAG 26 PAG 427 TAB 10750 TAB 10751 TAB 10752 TAB 10753 TAB 18 TAB 23 TAB 289 TAB 36 TAB 38
253255
Only invoices of type F1 and F2 and credit memos of type R1 and R2 are supported in the Spanish version.
Finance
COD 10750 COD 10752 COD 10753 COD 10755 COD 10756 PAG 10751 PAG 10752 PAG 21 PAG 26 PAG 427 TAB 10750 TAB 10751 TAB 10752 TAB 10753 TAB 18 TAB 23 TAB 289 TAB 36 TAB 38
253256
The FechaRegContable field in the initial upload of purchase invoices is not filled correctly in the Spanish version.
Finance
COD 10750 COD 10752 COD 10753 COD 10755 COD 10756 PAG 10751 PAG 10752 PAG 21 PAG 26 PAG 427 TAB 10750 TAB 10751 TAB 10752 TAB 10753 TAB 18 TAB 23 TAB 289 TAB 36 TAB 38
253257
If you post a sales credit memo where the Type field is Difference or empty, then information about the corrected invoice is missing in the Spanish version.
Finance
COD 10750 COD 10752 COD 10753 COD 10755 COD 10756 PAG 10751 PAG 10752 PAG 21 PAG 26 PAG 427 TAB 10750 TAB 10751 TAB 10752 TAB 10753 TAB 18 TAB 23 TAB 289 TAB 36 TAB 38
253258
"Si el valor del campo BaseImponible es 0 se debe informar el campo ImporteTotal" error message when you post a document of type F2 in the Spanish version.
Finance
COD 10750 COD 10752 COD 10753 COD 10755 COD 10756 PAG 10751 PAG 10752 PAG 21 PAG 26 PAG 427 TAB 10750 TAB 10751 TAB 10752 TAB 10753 TAB 18 TAB 23 TAB 289 TAB 36 TAB 38
253260
Sales and purchase documents with withholding taxes (IRPF) must not be included in the SII XML file in the Spanish version.
Finance
COD 10750 COD 10752 COD 10753 COD 10755 COD 10756 PAG 10751 PAG 10752 PAG 21 PAG 26 PAG 427 TAB 10750 TAB 10751 TAB 10752 TAB 10753 TAB 18 TAB 23 TAB 289 TAB 36 TAB 38
254039
Incorrect SII XML format in the Spanish version.
Finance
COD 41 TAB 99008535 PAG 10751 PAG 10752 TAB 10750 TAB 10751 TAB 10753
254045
All documents sent through SII fail in the Spanish version.
Finance
COD 41 TAB 99008535 PAG 10751 PAG 10752 TAB 10750 TAB 10751 TAB 10753
253248
Self-employed scenarios move from purchase to sales in the Spanish version.
Sales
COD 10750 COD 10752 COD 10753 COD 10755 COD 10756 PAG 10751 PAG 10752 PAG 21 PAG 26 PAG 427 TAB 10750 TAB 10751 TAB 10752 TAB 10753 TAB 18 TAB 23 TAB 289 TAB 36 TAB 38
IT - Italy
ID
Title
Functional area
Changed objects
251045
If the base amount of the purchase invoice exceeds the social security bracket, the social security contribution base of the vendor is not calculated correctly in the Italian version.
Administration
COD 12101 TAB 12113 TAB 12137
252204
If you set a tax representative on the Company Information page and you release the DatiFattura VAT report, then the system checks incorrect fields in the Italian version.
Finance
COD 12183
252016
Incorrect hardcoded dates on the request page for a depreciation book in the Italian version.
Fixed Assets
REP 12119
252614
The document number of sale and purchase documents must be reported in an alphanumeric format in the Italian version.
VAT/Sales Tax/Intrastat
COD 12182
NA - North America
ID
Title
Functional area
Changed objects
253261
The sales tax rounding is different on the sales order than in the sales order statistics in the North American version.
VAT/Sales Tax/Intrastat
PAG 47 PAG 55 PAG 96 PAG 98 TAB 39
NL - Netherlands
ID
Title
Functional area
Changed objects
251741
The CBG Posting – Test report shows too many lines for applied entries and amounts do not always show decimals in the Dutch version.
Cash Management
REP 11400
NO - Norway
ID
Title
Functional area
Changed objects
234834
The <InstrId> element code is missing in the ISO20022 credit transfer file in the Norwegian version.
Cash Management
COD10601 COD1221 REP15000001
235742
Structured payments are grouped by mistake in the domestic remittance payment file in the Norwegian version.
Cash Management
REP 15000001 REP 15000050
253259
When you run the Suggest Remittance batch job, the balance account type, the balance, and the total balance are not always correct in the Norwegian version.
Cash Management
PAG 256 REP 15000001
251414
The Trade Settlement report does not show any lines if all amounts are zero for the given period in the Norwegian version.
Finance
REP10618
UK - United Kingdom
ID
Title
Functional area
Changed objects
252312
Incorrect calculations in the Payment Practice report in the British version.
Finance
COD 10525 REP 10580
252338
The layout of the Payment Practices report has no left margin in the British version.
Finance
COD 10525 REP 10580
253949
Partial payments lead to incorrect calculations in the Payment Practice report in the British version.
Purchase
COD 10525
RU - Russia
ID
Title
Functional area
Changed objects
251152
The Facture template has inflexible filling for the Tariff No cell in the Russian version.
Finance
COD12401 COD12423 COD14931 PAG10 QUE12400 REP12411 REP12418 REP12455 REP12484 REP14939 REP14692 TAB9
251546
The VAT Purchase Ledger, VAT Purch. Led. Ad. Sh, and VAT Invoices journals have problems with custom declarations in the Russian version.
Finance
REP 12460 TAB 12405
251627
The Factura-Invoice page has problems with address lines 2a and 6a in the Russian version.
Finance
COD 12401 COD 12462 PAG 12400 PAG 21 PAG 26 PAG 367 REP 12407 REP 12411 REP 12413 REP 12414 REP 12418 REP 12484 REP 14916 REP 14951 REP 14966 REP 14967 REP 14968

Local regulatory features

ES - Spain
ID
Title
Functional area
Changed objects
251763
Financial Management
COD10750 COD10752 COD10753 COD10755 COD10756 PAG10751 PAG10752 TAB10750 TAB10751 TAB10752 TAB10753
251765
Financial Management
COD10750 COD10752 COD10753 COD10755 COD10756 PAG10751 PAG10752 TAB10750 TAB10751 TAB10752 TAB10753
IT - Italy
ID
Title
Functional area
Changed objects
252913
Financial Management
TAB12116 PAG12112 COD12132
UK - United Kingdom
ID
Title
Functional area
Changed objects
251778
Financial Management
COD10525 COD113 COD90 MEN1030 PAG10556 PAG254 PAG256 PAG26 PAG29 PAG50 PAG51 REP10580 TAB10561 TAB10562 TAB23 TAB25 TAB38 TAB81
Other countries
ID
Title
Functional area
Changed objects
251851
Financial Management
COD27000 PAG27000


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