Release Notes 2026 R1
The release 2026.1 of Jobpac is effective March 22, 2026.
We are kicking off 2026 with a release focused on your feedback. Of the 16 new features in this update, 66% came directly from customer suggestions. Thank you for helping us shape the future of Jobpac!
Key Highlights
- New JobQ Icon: Stay on top of long-running processes. A new status icon now gives you an instant view of scheduled Rollover Jobs and background tasks at a glance.
- NZ Bank Feeds (General Availability): Our BNZ Bank Feed integration is now live for all New Zealand customers, streamlining bank reconciliations with up to 50% time savings.
- Enhanced Mobile Job Security: We’ve
overhauled the security setup in the Jobpac Mobile User Maintenance to be more
intuitive. Note: This new workflow will soon become the standard.
Jobpac Authentication Evolution with Trimble ID (TID)
Our transition to Trimble ID—the gold standard for authentication across the Trimble ecosystem—is well underway.
- Adoption: Over 60% of our users have already migrated, with a goal of 100% by the end of May.
- What to expect: You will receive a notification five weeks before your company’s activation date. We’ll provide a full transition kit, including webinars, FAQs, and videos, to ensure your team is ready.
Legislative & Other Product Updates
- Payday Super & PTA: Our team is hard at work on Australian Payday Super and QLD PTA certification. Stay ahead of these changes by reading our latest "What’s New" blog article, which covers preparation steps in detail.
- AI Trimble Assistant: Since its launch, the Assistant has been answering over 7,000 questions a week! Thank you for the feedback—we are using it daily to refine the model and provide even more accurate support.
For a full technical breakdown of every fix and feature, please see the detailed release notes below.
Kind Regards
Andrew Tucker
Sr. Product Manager, Trimble APAC
Roadmap
- New Job Queue Widget to Show Jobs on
the Job Queue for a User
Accessed from the new Job Queue icon in the top navigation bar, as shown below, the Job Queue Details pop-up shows any Batch Jobs and Scheduled Jobs the user has sent to the Job Queue that have not completed. This is useful if you want to track the status of a long-running batch process, such as Payroll (if run in batch), or to check whether and when you have scheduled an End of Month Process.
Features in this Release include:
- Batch Jobs and Scheduled Jobs Shown.
- Status, Timestamp and Scheduled Job Runtime, all displayed
Future Features in Roadmap:
- Interactive Jobs to show with status
- Ability to cancel jobs that have not started and potentially change their scheduled time.
- Hover text in the pop-up to explain status fields
- Refresh button in the pop-up
Access via the new Job Queue icon as shown:
The new Job Queue Details Pop-up:
- Enhancements to the Jobpac Mobile
User Maintenance
Our Jobpac Mobile User Maintenance has been updated with some nice streamlining features, making it easier for you to grant WorkID and Job access to Mobile Only users. In addition, we include user access status tags so that you can easily see if a user has been given minimum Job access.
Features include:
- A new WorkID Access Maintenance program, with simple tick & go access.
- A new Job Access Maintenance program, with easy Job viewing and access selection options.
- User Access Status Tags in Mobile User Detail Maintenance.
We will explain these new features in detail below.
How to launch the new Access programs from Jobpac Mobile User Maintenance
When granting a user access to Jobpac Mobile through Jobpac Mobile User Maintenance, you can edit or set up their Jobpac WorkID Access and Job Access at the same time, in one of two ways. This is particularly useful if the employee is not a regular Jobpac User and needs WorkID/Job access in order to cost their time in the Jobpac Mobile App. You can launch the new WorkID Access and Job Access programs by right-clicking on the Mobile Maintenance User List screen, or, you can launch the new programs by Action Option (or use the One-Click Productivity Button) on the Mobile Maintenance User Setup screen. Both access points are shown below:
Access by right-clicking on the Mobile Maintenance User List screen as shown below:
OR, Access by Action Option on the Mobile Maintenance User Setup screen as shown below:
The New WorkID Access Maintenance program, with simple tick & go access
Once you have launched the new WorkID Access Program, you can simply tick the default level of access you would like to grant the user for each listed WorkID, as shown below.
Note the other features accessible by a combination of Right-click and Action options in this program, including the following:
- Select All Filtered
- Deselect All
- Apply New Status to all Selected
- Remove ALL Access
- Allow ALL Access
The New Job Access Maintenance program, with easy Job viewing and access selection options
Once you have launched the new Job Access Program, you can simply Grant or Revoke the user access to any or all of the listed Jobs in the WorkIDs that they have access to, as shown below. You can also filter by Job Group or other Job Data to easily grant or revoke access to ranges of relevant Jobs.
Note, Granting or Revoking access to a single Job will not change the user’s default WorkID Access settings; rather sets up an exception to the WorkID Access settings. Other features accessible by a combination of Right-click and Action options in this program, including the following:
- Right-Click - Grant Access to a single Job
- Right-Click - Revoke Access to a single Job
- One-Click Button - Select All Filtered
- One-Click Button - Deselect All
- Action Option - Grant Access to All Selected
- Action Option - Revoke Access from All Selected
- Action Option - Allow ALL Access
- Action Option - Revoke ALL Access
User Access Status Tags in Mobile User Maintenance - User Setup
Note in the top right of this screen, you can see not only the Mobile Invite Status, but also if WorkID Access and Job Access have been granted to the user. Jobpac will give you missing Access Warning messages if you try to leave the screen without setting up any access, and will intuitively take you through the additional steps if you require.
- BNZ Support for Bank Feeds
Support for Bank of New Zealand (BNZ) Bank feeds becomes Generally Available in this release. Please reach out to our Support & Services Team should you need any assistance in setting up BNZ Feeds.
- PO Scan upgraded in PO approvals
The PO Scan in PO Approvals has been upgraded to the New PO Scan, with ‘Newest First’ sorting. Like the PO Scans in other areas, the new scan will only show if you have activated it with the parameter POSCAN.
Note: The parameter is safe to switch on and off at any time, but if you have not activated the Parameter before, we do advise that you test the scan in your test environment first to ensure your PO data is displayed correctly and efficiently with changes in Sort Sequence.The POSCAN Parameter details are shown below. Set Position 1=’Y’ to activate the new scan. You can set the default Sort Sequence with an N= Newest First, or an O=Oldest First, in the second position of the parameter.
- New XLS Download in Maintain Email
Addresses
A new Download button has been added to the Email Contact Maintenance. This will allow the administrator to more easily review all email addresses defined in Jobpac. Only currently filtered email addresses will be downloaded.
Suggestion Box & Other Enhancements
- TPR Lock Down at Invoice Level
There is a new parameter that can protect the TPR flag while invoice processing. If the parameter is activated, users will not be able to change the TPR inclusion status on an invoice whilst processing, and the setting will always defer to the Creditor Level setting. Note, this setting does not apply to Subcontract Processing at this stage.
The Protection setting currently works in the following 3 screens
- The Pre-Approved Invoice Entry Screen
- The eInvoicing Pending Invoice Dissections Coding Screen
- The Invoice Registration screen
The new parameter to control the protection of the flag is - TPAYRP Field 04, Position 13, (set to Y to Protect)
This Parameter is safe to activate if you are using TPR already and can be switched on/off at any time. Please always take care when adjusting parameters, as they will change your company configuration for all users.
- One Click Productivity Buttons in
eInvoicing to Apply Mass Defaults and the Coded Flag
In the Prepare Invoices for Approval - Dissections screen, we have added two new one-click productivity buttons to streamline your work.
You will find the mark as CODED Action option in the top grey bar on all tabs as shown below:
In addition, on the COST ALLOCATION tab only, you will find a one-click productivity button to APPLY MASS DEFAULTS. This is particularly useful for companies that are using the PEPPOL eInvoicing feature to bring in invoices from suppliers fully electronically, but can also be used for any non-PO related Invoice to quickly change Costing Allocations across all, or ‘Selected’, invoice lines.
- One click Show
Transactions button on GL Enquiry Yearly Summary
In the General Ledger Enquiry - Monthly Summary screen, we have added another One-Click Productivity button for your clicking pleasure. The new SHOW TRANSACTIONS one-click button takes you straight into the transaction details without having to drop down the Actions menu.
Please drop us a suggestion in the Suggestion Box if you would like any other One-Click Productivity buttons added to streamline your workflow!
- Removal of Seconds from the Work ID
Copy
To simplify the setup of Work ID copies, the seconds have been removed from the submission time. You will now only be required to enter the hour and minute for the scheduled submission (HHMM). A couple of notes:
- Enter time in the format HHMM in 24-hour time. OR with separator HH:MM will also be accepted.
-
Warning: Only use the Copy/Delete WorkID function if you understand how it works and seek guidance from our Support team if needed. You can irreparably damage your data if you make a mistake.
-
Warning: The Schedule Job will be submitted immediately when OK is clicked, with no secondary confirmation message. (We have a roadmap item noted to add a confirmation message here.)
-
Warning: The scheduled Work ID Copy/Delete job will pause some subsystems while in progress and resume them upon completion. This means they can impact your day-to-day Jobpac operations, slowing your users down, delaying data updates or preventing other jobs from running. These Work ID Copy/Delete jobs should therefore never be scheduled to run during your busy times, when there are Payroll or STP submissions to submit, during BFM Contract Valuation times, Rollovers etc. These jobs can also take many hours to run, depending on the size of your databases. The best time to submit these jobs is after hours, so they have enough time to run overnight.
- Don't forget you can track your Job status in the new Job Q Icon at the top of your Jobpac Landing Page!
- Parent Project Rebuild Option in BFM
Contract Valuation
A new Parent Project rebuild option has been introduced in the BFM Contract Valuation. This will enable users who find a possible inconsistency in the Parent Project numbers to rebuild their own Parent Projects and either correct the numbers or identify a deeper issue. There is a right-click option on the Contract Valuation List screen, and a One-Click Button on the Contract Valuation Summary screen as shown below.
Right-click option on the Contract Valuation List screen
One-Click Rebuild on the Contract Valuation Summary Screen
- Secondary/Multiple AR Banking Details
for a Job
2026.1.0 brings with it the capability to set up multiple AR Banking Details at the Job level. If multiple AR Banking Details are set up for a project, when producing an invoice for that project, the user will be prompted to choose which Banking details to use for the Invoice. This feature applies to both Sundry AR Invoices and AR Invoices related to Claims.
Setting up multiple AR Banking Details
Navigate to AR Banking Details Maintenance and simply click the blue plus icon to add a new AR Banking Detail. Previously, you could not add more than one Banking Detail for each project. Now that is possible. You can see in the screenshot below that I have three different AR Banking details for the same project. These will be available for selection at AR Invoicing time.
Note:- Multiple Banking Details are only allowed at Job Level.
- If you do not have AR Banking Details configured to allow the entry of a Job, and you would like to, please log a case for support.
Selecting an alternate Banking Detail for an AR Sundry Invoice
Simply print your sundry invoice as you normally would. In this example, we use the Action Option as shown below.
IF the Invoice is Job-related AND there are multiple Banking details set up for the Job, a pop-up window will be displayed allowing you to select your preferred AR Banking details for the Invoice.
To continue you can:
- You can use Right-Click and Select, OR Double Click, OR Single click a line and use the Select button at the bottom of the pop-up to proceed with your preferred AR Banking Details
- If you CLOSE the pop-up, then the first Banking Detail in the list will be selected automatically.
Selecting an alternate Banking Detail for an AR Claim Invoice
Simply print your AR Claim Invoice as you normally would. In this example, we use the Action Option as shown below.
If the Invoice is Job-related AND multiple Banking details are set up for the Job, a pop-up window will appear, allowing you to select your preferred AR Banking details for the Invoice.
To continue, you can:
- You can use Right-Click and Select, OR Double Click, OR Single click a line and use the Select button at the bottom of the pop-up to proceed with your preferred AR Banking Details
- If you CLOSE the pop-up, then the first Banking Detail in the list will be selected automatically.
Changing Banking Details for an AR Claim Invoice
On the subsequent Invoice Printing Screen, you will see the Banking Details that you selected in the top right-hand corner of the screen. To change the Banking Details on this screen, click Modify, then click the Scan icon next to the Banking Details, as shown below. You will only see the scan if multiple Banking Details exist.
- New API for Automatic Allowances and
Deductions
A new API has been created to return the Allowances and Deductions for employees. More details will be updated to the latest version of the API guide on our Help site at Release time.
Request:
https://{{jwisServer}}.cloud.jobpac.com.au:9001/EmployeeAllowanceListing?Token={{Token}}&Environment={{Environment}}&WorkID=XXX&StartEmployee={{Start Employee}}&FinishEmployee={{Finish Employee}}
WorkId Mandatory
The 3-digit work id of the employee.
StartEmployee Mandatory
The 8-character employee number for the start filter parameter.
FinishEmployee Mandatory
The 8-character employee number for the finish filter parameter.
- Allow addition of new BPAY Customer
Reference numbers in AP Invoice RegistrationThis enhancement will allow new BPay Reference numbers to be added to the Creditor at the point of invoice registration, creating an additional efficiency if this is a common scenario for your business. There is a parameter that activates this feature, but you should think carefully before activating it to ensure that users with the Authority to Register Invoices also have the authority to add new Customer References for a Creditor.Note: It is not possible to add a new Biller Code, which must still be done at the Creditor level.
There are two new ways to add a new Customer Reference as described below:
- You can simply add the new Customer Reference
from the main Invoice Registration screen:
- Type the new Customer Reference into the appropriate field.
- The next time you click OK or take action on the screen, a Confirmation pop-up will appear, letting you know the Customer Reference is new, and asking whether you want to add it to continue.
- You can see this confirmation message in the screenshot below.
- Click YES to proceed and add it, or NO to go back and Review.
- Secondly, you can scan for the Customer
Reference and add the new Reference from the scan pop-up.
- Click on the Customer Reference Scan
- If you can't find the Ref you are looking for, click the plus icon, or simply click in the next available field in the list.
- Enter the new Customer Reference and then click the ADD button, or press [ENTER]
- Finish and Exit by right-clicking on the new entry to Select it, or by using the Select Button at the bottom of the pop-up.
- The screenshot below shows the process.
Setting the following parameter will activate the new feature as described.
- System parameter INVREG position 16
- Y = Allow addition of BPAY customer references (Y/N)
CAUTION: Think carefully before activating this Parameter to ensure that users with the authority to Register Invoices also have the authority to add new BPay Customer References for a Creditor. Though it is not possible to add a new Biller Code from Invoice Registration, adding a new valid BPAY Customer Reference will affect payment direction. - You can simply add the new Customer Reference
from the main Invoice Registration screen:
- Contract VO Summary Report Defaults
Default settings can now be applied to the reporting options fields in the Contract Variation Summary Report (AKA ‘Contract VO Summary’). The fields below can have defaults set against them to be populated when running the report.
- System parameter CVSLBN
- Position 1: Default for
Transferred/Untransferred
- (T)ransferred, (U)ntransferred, (B)oth
- Position 2: Default for Print Indicative
Price
- (Y)es, (N)o
- Position 3: Default for Print the
Expected Revenue
- (Y)es, (N)o
- Position 4: Default for Print Approved
In Principle
- (Y)es, (N)o
- Position 5: Default for Print the Client
Report
- (Y)es, (N)o
- Position 6: Default for Report Option
- (P)DF, (E)xcel
- Position 1: Default for
Transferred/Untransferred
This parameter is safe to activate; it can be switched on or off at any time and only impacts the Reporting bounding defaults on this screen.
- System parameter CVSLBN
- Short name translation for Bank
feeds
For users of Bank Feeds for Bank Statements, it is now possible to set up a translation table to abbreviate long words in Bank Statement transaction descriptions. This can make your statements easier to read if long, regular words in descriptions cause the description to be cut off on the screen.
The new program to call to add Bank Feed translations is called BANKWORDMP. Please log a support request if you are unfamiliar with adding new programs to menus. We also recommend incremental translation implementation to ensure the desired effect on your Bank Feed.
- AP Prompt Payment Selections Uplift
Payment Selections has been enhanced to assist companies using the Multiple Prompt Payment Batches functionality alongside more complex treasury setups. A new optional warning message can be configured to display when selecting Cash Accounts that are not in the same Costing WorkID as the Invoice. In addition, you can now set your default landing tab, Related Content has been uplifted to show invoices on a single click and Invoices with Invoice Notes or Text will be highlighted. Read on for more details on the new features below.
Set your Default Landing Tab
Use the new PAYSEL System Parameter to set the default landing tab for Creditor Payment Selections.
Field 1 of the PAYSEL parameter, Positions 1-2, can be set up with the numbers below, corresponding to the available tabs in Creditor Payment Selections.
Note: The parameter is safe to set up and switch off at any time, but the new setting will apply to all program users. ie. Be sure that you want all users of the Creditor Payment Selections program to land on the same default Tab.- 01 = By Creditor
- 02 = By Job
- 03 = By Period
- 04 = By Payment Date
- 05 = By Job & Administrator
- 06 = By Cred & Type
- 07 = Posted Date
- 08 = Prompt Batch
- 09 = Invoice No.
In the Example below I have set my default tab to be 08 = the Prompt Batch Tab
Single click to show the Attached Invoice in Related Content
When in view, a single click on any Invoice will display the Related Content for that Invoice, if it exists.Note: If the Invoice is SC Claim Related, then the SC Claim Related Content will also show as highlighted in the screenshot below.Invoice Notes highlighted and Legend
Invoices with Invoice Notes and Pending text will be colour-coded in the Change Payment Selection screen with a legend at the bottom of the screen. Use Right-Click options to view the Notes or Text.
View Invoice Details with Right-click
A new Right-Click function allows the user to view the full Invoice Details in Enquiry Mode. Simply select Invoice Details with a Right-Click and the Full AP Enquiry Detail view will display.
A Warning message when selecting a Cash Account not within the Invoice Costing WorkID
This enhancement only applies to customers who are using the Multiple Prompt Payment Batches configuration, where you can set up many batches for Prompt Payment and link each Prompt Payment Batch to be paid from a specific Cash Account. The Multiple Prompt Payment Batches configuration is particularly useful for companies that are managing many trust accounts and have to Pay Invoices from specific accounts.
For more complex treasury setups, this new feature adds an optional warning message that can be configured to display if a Cash Account is selected that is not in the same WorkID as the Invoice Costing WorkID.
Set Position 3 of the new PAYSEL System Parameter equal to ‘Y’ to activate the new Warning message.
Note: This new Warning message feature will not be Generally Available in R2026.1.0 but will be available shortly thereafter. Look out for Post Release Patch notes for confirmation of activation (eg. Patch R2026.1.x) and chat you your Jobpac consultant if you are interested in setting this up. Please do not attempt to set up this PAYSEL parameter position 3 until confirmed as Generally Available.
Fixes
Module – Accounts Payable
- [Fix] Able to match a pending invoice to a delivery docket
that does not have the sufficient uninvoiced quantity.
- Issue# 3110
- [Fix] Incorrect payment terms are being set for some
invoices when client specific calendars have been defined.
- Issue# 2672
- [Fix] Work ids in the New AP Enquiry still shows the live
work ids instead of the correct corresponding test work ids after work id
copies.
- Issue# 1692
- [Fix] Forward dated AP invoice’s reversing journals are
being included in Cost Plus Billing transactions.
- Issue# 3140
- [Fix] AP Invoice upload (CREDBAL) accepts dates that are not
valid.
- System parameter APINVD - The number of periods the invoice date can be in arrears of the current AP period. The default is 1 if the parameter is not set up.
- Issue# 118891
- [Fix] Not all invoices in the filtered list are selected for
prompt payment when the Action option ‘Select All for Prompt’ is taken.
- Issue# 938
- [Fix] After an invoice number is changed in Delete/Amend
Pending Invoice, it still shows the old invoice number in some areas of Jobpac
(new AP Enquiry, Invoice Notes, Batch Authorisation Report, etc).
- Issue# 124
- [Fix] WIthholding Tax column label is missing in the AP
Enquiry details screen on the ‘Dissection Details’ and ‘Invoice Costing’
tabs.
- Issue# 1069
- [Fix] Functionality of mandatory purchase orders in Prepare
Invoices for Approval is not working (system parameter MANDPO).
- Issue# 314
- [Fix] Right mouse options ‘Edit Batch’ and ‘Cancel Batch’
are not available in Prepare Invoices for Approval - Existing Batches.
- Issue# 1863
- [Fix] Purchase order number has a leading space after
selecting it from a scan in Prepare Invoices for Approval and produces an error
message.
- Issue# 1553
- AP Enquiry does not show the approver (Authorised By) for
some invoices.
- Issue# 2314
- [Fix] Approved AP batches still show as pending.
- Issue# 2361
- [Fix] Unable to change the work id in the purchase order
scan when prompted from Prepare Invoices for Approval to cost the invoice to a
PO in a different work id.
- Issue# 1979
- [Fix] Unable to edit the text for pending AP invoice
dissections in Prepare Invoices for Approval dissection screen.
- Issue# 1522
- [Fix] Work id in the purchase order scan from Prepare
Invoices for Approval dissection screen defaults to a different work id and
therefore purchase orders from the current work id are not listed for selection.
- Issue# 2857
- [Fix] Authorised user, date, and time are not correctly
populated on approval of AP invoice batches/invoices.
- Issue# 3165
- [Fix] Invoice Registration allows a PO that is not within
the central group to be linked to the invoice.
- Issue# 1071
- [Fix] Invoice number is blank in 'Prepare Invoices for
Approval - Dissections' screen for some invoices.
- Internal Issue
- [Fix] Session hangs when accessing the approval tile for
users who do not have menu access (this is mandatory for Jobpac users).
- Internal Issue
- [Fix] After prompting on the BPAY field, it will continue to
the next screen instead of redisplaying the screen in Creditor Maintenance.
- Internal Issue
- [Fix] Session hangs when multiple users try to access Hold
Payments for Creditor Maintenance for the same creditor.
- Internal Issue
- [Fix] Option to show Approval Audit in the New AP Enquiry is
not working for some invoices.
- Internal Issue
- [Fix] BPAY payment method for creditors does not appear in
the Creditor Detail Listing report.
- Internal Issue
- [Fix] Incorrect tabs ‘PAYADVICE’ and ‘SC CLAIM’ appear in
the Related Content in AP Payment Selection screens.
- Internal Issue
Module – Accounts Receivable
- [Fix] Payment terms are not being printed on the AR Billing
Sheet form (FORMAR002).
- Issue# 118781
- [Fix] Work Id filters do not work in the Debtors Enquiry.
- Internal Issue
- [Fix] Session hangs after selecting a debtor in the Debtor
Maintenance.
- Internal Issue
- [Fix] There is no prompt button on the Asset field in
Accounts Receivable Transaction Maintenance.
- Internal Issue
- [Fix] 3 issues in Debtor Maintenance:
- Debtor name on the front listing screen does not update after amending it in the details screen and returning.
- After prompting on the Debtor Type field on the detail screen, it navigates to the next tab automatically.
- Debtor Type description does not clear after removing the Debtor Type value on the detail screen.
Module – Advanced Approvals
- [Fix] Job filters do not work in the Approval Workflows
scan.
- Internal Issue
- [Fix] Radio button ‘SC Commitment Approval’ is protected and
cannot be selected when copying Advanced Approvals Business Rules for Jobs.
- Internal Issue
Module – Business Forecasting
- [Fix] Incorrect values show for the Cumulative Claims value
in the BFM Contract Valuation WIH screen.
- Issue# 116668
- [Fix] Project Type is allowed to be updated without
confirmation in the BFM Contract Valuation Summary screen.
- Internal Issue
- [Fix] BFM Reconciliation Report crashes for some jobs.
- Internal Issue
- [Fix] Session hangs when entering the BFM Contract Valuation
for jobs with huge incorrect values.
- Internal Issue
Module – Fixed Assets
- [Enhancement] Block Asset end of month if key system
parameters are not set up. This is to stop the issues during the end of month
with endless emails being received and the process not ending.
The system parameters include:
- FABILL
- FADEPN
- FAFNLS
- FAOPLS
- [Fix] Assets Maintenance populates the Registration Date
with the oldest date instead of the latest date.
- Issue# 118656
- [Fix] Asset Maintenance/Enquiry does not show a value for
'Residual Value'.
- Issue# 118792
- [Fix] Forward posted asset timesheet entries are updating
the job costing values in the wrong period.
- Issue# 1499
- [Fix] Disposed assets are appearing in the Plant Hourly Rate
Maintenance Report.
- Issue# 1561
- [Fix] An empty report for End of Month journal batch
creation produces an extra browser tab with a misleading message. It has now
been changed to pop up the report prompt window with an appropriate error
message.
- Issue# 2581
- [Fix] Forward posted plant timesheets incorrectly create
additional CWIP transactions.
- Issue# 3112
- [Fix] Session hangs when multiple users try to access the
right mouse option ‘Update Asset Detail’ in Asset Maintenance/Enquiry.
- Internal Issue
Module – General Ledger
- [Fix] Paid amount for Retrospective Job Journals are
appearing as 0 in the Actual Costs Between Transaction Dates Report. The paid
amount can be set to default to the journal amount by setting up the new system
parameter.
- System parameter ACTCST/position 6
- ‘Y’ = Set Paid Amount to Journal Amount for Retrospective Job Journals
- Issue# 118994
- System parameter ACTCST/position 6
- [Fix] Status of GL Accounts created via the new GL Account
Maintenance does not set the status to Active.
- Issue# 1187
- [Fix] Direct Debit Entry postings are incorrectly updating
the costing fields on bank side transactions and causing them to appear in the
CWIP Enquiry.
- Issue# 1674
- [Fix] 'Cash Account' checkbox is not defaulted to selected
in the GL Account Scan window.
- Issue# 2054
- [Fix] Right part of the report is cut off for the BAS Report
when it is reprinted.
- Issue# 2407
- [Fix] GL account name is blank for some accounts in the BAS
Report when run for Report Level 4 (General Detail Level).
- Issue# 384
- [Fix] GL Account scan window shows no accounts when only the
‘Cash Account’ checkbox is selected (without selecting ‘Balance Sheet Accounts’
or ‘P&L Accounts’ checkboxes to show only cash accounts).
- Issue# 2054
- [Fix] Account Type filter is not working correctly in the GL
Account Scan window.
- Internal Issue
- [Fix] GL Details Report does not end and causes the Jobpac
session to hang.
- Internal Issue
- [Fix] Batch filters in Journal Entry are not working
correctly.
- Internal Issue
- [Fix] Transaction amount was still editable on the warning
screen in Direct Debits and allowed the batch to go out of balance.
- Internal Issue
- [Fix] Unrendered screen appears in Bank Matching when there
are no transactions in the list.
- Internal Issue
- [Fix] There is no message for unsupported BPAY bank files
during BPAY Payment Batch Generation and Regeneration. A helpful message has now
been added for these processes when there is no support for the bank in Jobpac.
- Internal Issue
- [Fix] Session hangs when multiple users try to access Master
COA Maintenance.
- Internal Issue
Module – Human Resources
- [Fix] HR Training does not accept 4 digits for the year and
therefore a date greater than 2039 cannot be entered. All training dates have
been changed to have 4 digit years.
- Issue# 1730
Module – Job Costing
- [Fix] Cost Code download in Cost Code Maintenance
incorrectly populates the 'Resource Code/Activity' with the Scope of Work item
description. The Cost Code upload (CODMNTUPL) does not have the correct
validation for the field 'Resource Code/Activity'.
- Issue# 118838
- [Fix] Cost code headers can’t be selected when entering new
cost codes from the Cost Code scan in Cost Code Maintenance.
- Issue# 403
- [Fix] CWIP Enquiry shows the wrong journal text. It is
picking up the journal batch header text instead of the correct journal batch
line text.
- Issue# 650
- [Fix] Negative incurred costs are applied to the cost centre
when a negative PO is matched to a positive AP invoice. There should be no
incurred costs in this scenario.
- Issue# 1198
- [Fix] Related content does not show any documents for jobs
in Job Dates Maintenance.
- Issue# 1882
- [Fix] Reference Number filter in the CWIP Enquiry is not
working correctly.
- Issue# 2480
- [Fix] Previous error message in Maintain Job Control
Accounts is displayed when a different job is selected from the job selection
screen.
- Internal Issue
Module – Mobile
No further fixes for this module since last Patch Release update
Module – Payroll
- [Fix] Unable to delete a newly created employee in Employee
Maintenance due to incorrect validation.
- Issue# 1073
- [Fix] Incorrect GL account validation errors in the
Timesheet Upload (TSHENTUP) for entries costed to assets.
- Issue# 118923
- [Fix] Report generated from Action option ‘Fix Income
Statement’ from ‘Single Touch Payroll Submissions’ is misaligned due to commas
in the address fields
- Issue# 1766
- [Fix] Payroll Timesheet Entry and Upload allow hours to be
too large for a timesheet transaction and causes issues in other areas of
payroll. The maximum hours has now been limited to 999.
- Issue# 2639
- [Fix] Cannot access the ETP Taxable Component breakdown due
to negative values, and therefore are unable to make the necessary adjustments.
- Issue# 2744
- [Fix] Date format in the Narration column of the new
RCTI/BCTI form is incorrect with ‘.’ as the separator instead of ‘/’.
- Internal Issue
- [Fix] Session hangs when doing an upload in Transaction Code
Maintenance after reviewing existing transaction codes.
- Internal Issue
- [Fix] Session hangs when multiple users try to access the
‘Bank Deposits’ action option for the same employee at the same time in Employee
Maintenance.
Internal Issue
Module – Progress Claims
- [Fix] Previous Claim % and Amount gets incorrectly updated
with the current values in ‘Adjust Claim to Certified/Variations’.
- Issue# 438
Module – Purchase Orders
- [Fix] Updating a purchase order item's description is
updating the first order item with the same description.
- Issue# 118388
- [Fix] Overhead (GL based) purchase order items can be costed
to Jobcost Control Accounts.
- Issue# 118864
- [Fix] Purchase Order upload (POENQORD and PORDERS) sets the
user defined fields 1 and 2 for the items with the user defined field
descriptions when they are not populated in the upload sheet.
- Issue# 2855
- [Fix] Unable to enter delivery dockets against negative PO
items due to incorrect error message.
- Issue# 3110
- [Fix] Total Incurred value in Delivery Docket Entry is not
updated after taking the 'Fully Receive' option. The value will show the correct
updated value after exiting and entering the screen again.
- Internal Issue
- [Fix] Session hangs when prompting on the ‘Delivery Job’ in
Purchase Order Maintenance if another session has prompted on the field
beforehand and selected a code to maintain it.
- Internal Issue
Module – Service Orders
No further fixes for this module since last Patch Release update
Module – Stock
No further fixes for this module since last Patch Release update
Module – Subcontracts
- [Fix] Rounding issues with the item amount in Subcontract
Maintenance when adding and amending subcontract items.
- Issue# 382
- [Fix] Wrong General PTA Account is included in the PTA
Reconciliation Report when run for a Retention Held in Trust Account.
- Issue# 642
- [Fix] Session hangs when accessing Subcontract Maintenance
if another user is amending the description for an item.
- Internal Issue
- [Fix] Session hangs when accessing Subcontract Maintenance
if another user has taken the Action option ‘Change Subcontractor’ and has not
exited the program.
- Internal Issue
Module – System Administration
- [Enhancement] Allow additional accelerator commands for authorised users.
- [Enhancement] AP Invoice Document Extraction to include a list of documents extracted and a link to access the files.
- [Enhancement] Interactive End Of Month Rollover has been changed to submit the jobs to batch. It includes the modules Accounts Payable, General Ledger, and Job Costing.
- [Fix] Finish date for work id copies shows the start date if
it goes over to the next day.
- Issue 118183
- [Fix] User accounts are being disabled for some users that
use SSO.
- Issue# 871
- [Fix] Users are not able to log into Jobpac due to an
incorrect license error when trying to open additional sessions.
- Internal Issue
- [Fix] TID is not working for environments that have more
than 3 characters.
- Internal Issue
- [Fix] Session freezes when multiple users access
Consolidation Level Maintenance.
- Internal Issue
Module – Variations
- [Fix] Committed Costs/Movements in the BFM review period are
not showing for variations that are updated by selecting the 'Update History
Period' checkbox.
- Issue# 403
- [Fix] Incorrect variation item re-approval message appears
after amending an approved variation item and then amending a non-approved
variation item.
- Internal Issue
Module – Web Services/Interfaces
- [Fix] CreateANewEmployee API is not working when payroll
security is active.
- Issue# 118138
- [Fix] UpdateAnEmployee API does not set the employee's
status to Terminated when the status is passed to terminate the employee.
- Issue# 118187
- [Fix] JobListing API does not return the values for user
defined fields 1 and 2.
- Issue# 1500
- [Fix] Some OCR invoices do not show the associated invoice
PDF files.
- Issue# 1580
- [Fix] GeneralLedgerDetailsByTimeListing is not returning any
data.
- Issue# 1547
- [Fix] Subcontract claims via APIs (Payapps) against inactive
creditors are not being blocked.
- Issue# 850
- [Fix] GLAccountListing API returns a blank value for the
field CostControlAccount.
- Issue# 2372
- [Fix] Filtering on just the dates (without entering a finish
time) in the OCR CSV File Enquiry returns an empty list.
- Issue# 2777
- [Fix] CreateANewPlantTimesheet API fails for work ids that
are less than 3 digits.
- Internal Issue
Module – WUI/JOM/BI/Reports
- [Enhancement] Allow *ISO dates from downloads and reports to be filtered in Excel.
- [Fix] [BI] Users cannot be removed from the menus due to an
incorrect error.
- Issue# 1509
- [Fix] [WUI] Menu options in the Favourites and Recent
sections in the menu area of Jobpac shows the ampersand (&) as
‘&amp’.
- Issue# 425
- [Fix] [Reports] Contract Valuation Summary Report has extra
vertical and horizontal lines on the last page.
- Issue# 3470
- [Fix] [Reports] Some amount column values appear as date
fields in the Project Control Report.
- Internal Issue
- [Fix] Unrendered screen appears in Payroll Transaction scan
window after entering filter/s that returns 1 transaction code in the list.
- Internal Issue