Release Notes - 2.37

These release notes contain new features, improvements, and fixed issues in releases 2.37

New Features and Improvements

This section describes new functionality and changes in existing functionality.

Release date: 2021-09-28

Performance improvements

We have improved the performance when batching external fund orders.

We have also improved the performance when removing reservations.

Updates to the account overview regarding deposits

We have added an info button on Deposits in the order tab on the account overview and expanded the list of deposits on the account overview to show 25 deposits.

There is also possible to see the comments in the order lists. This is a setting so you can decide whether or not to show the comments. The settings for this are found under System Data > System Settings > View Settings. By default, these settings will be unmarked.

You can also decide whether the comments should be visible for Partner and Customer Front.


Added price in CSV-export

We have added price when doing an excel export from the order lists. (Manual orders, Internal orders, and Instrument order lists)

New setting to show compare index

We added a new setting to enable compare index for partners. This setting has previously only been available for admin and the customer front.


API - 2.37

This release involves changes in the API, make sure to inform your external developers and update your service reference. Please read our changelog to get all the information about which API-methods that are affected.

A release of our NuGet package is also available: NuGet Gallery | Bricknode.Soap.Sdk 6.1.1

Fixed issues

Issues resolved in this release.

BB-236 - Crash when clicking on the external account in the deposit ticket. When clicking on an external account in the info-ticket admin are supposed to get an info ticket about the external account. This is now fixed. (Support-6043)

BB-240 - Creation date is displayed in UTC on the user info on the detail tab. The date should be presented in local time and this is now fixed. (BSS-3941)

BB-219 - Reservations were not handled correctly for fund orders when doing a sell order in percent. The reservations when selling an instrument should be removed in the execute step. (Support-5967)

Fund batch orders are marked red in the tab Batch Orders when running the English version. This problem is fixed in this release. (If you have selected the Swedish language the problem will not occur)


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