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Section 23 Problem ResolutionsReports and ProcessesPHPCXPN (#89437)This process was not compiling on a non-MicroFocus compiler. This has beencorrected. Resolved in <strong>Human</strong> <strong>Resources</strong> <strong>Release</strong> 6.0.0.1.PHPDIRDThe following defects have been resolved in the Create Direct Deposit Tape Process(PHPDIRD):• (#93739)The Create Direct Deposit Tape Process (PHPDIRD) was selectingRedistribution transactions when the process was run while the redistributionsare being performed and if the disposition of the redistribution was between42 and 50. This occurred when the PHPDIRD process was run with Type ofRecords, parameter 4, set to New Adjustment (3). Now, the process has beenupdated and will not select any Redistribution transaction regardless of theType of Records that has been chosen. Resolved in <strong>Human</strong> <strong>Resources</strong> <strong>Release</strong>6.1.0.1.• (#82156)In the correction to defect 59482 (<strong>Release</strong> 5.2.1), the GXVBANK date field wastruncated so that a timestamp would not be considered in date comparisonsbetween HR and General. This defect applied the same change to theOFFSET_DEBIT_TRANS macro. The GXVBANK date field will no longer betruncated and a time stamp will be considered between HR and General.Resolved in <strong>Human</strong> <strong>Resources</strong> <strong>Release</strong> 6.1.• (#92137)The Create Direct Deposit Tape Process (PHPDIRD) had been using theCheck Date on the Calendar form as the effective date of the direct deposit. Anew parameter, Direct Deposit Date has been provided that now allows you toenter a date to be used by the process. Resolved in <strong>Human</strong> <strong>Resources</strong> <strong>Release</strong>6.0.6.1.PHPDOCM (#95981)The Reconciliation Indicator was being set incorrectly in PHRDOCM to 'R', when theAdjustment Action was a Reissue of a direct deposit event and the tender was acomputer generated check. The process was carrying the indicator forward and notrealizing it was a check and no longer a direct deposit; thus, the indicator should nothave been set to R or reconciled. This has been corrected. Now, the CalculateCheck/Direct Deposit Amounts Process (PHPDOCM) sets the Reconciliationindicator and date to null when the checks are generated for reissues. Resolved in<strong>Human</strong> <strong>Resources</strong> <strong>Release</strong> 6.1.1.1.<strong>Human</strong> <strong>Resources</strong>/Position Control <strong>Release</strong> <strong>7.0</strong> January 2005322 <strong>Release</strong> <strong>Guide</strong> Confidential

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