MIP Cloud Rest API Integration Suddenly Stops Working
Symptom
Organization had a data integration with another product that is based on the MIP Cloud Rest API. For some reason the connection to the other software stops working even though no changes have been made.
Product Line
DF-FA-031092-MIP Cloud - Web User Interface - Unable to use Filters Status and Posted Status in Manage Session
Symptom
Unable to filter the Posted Status and Status in Manage Session.
Product Line
DF-FA-031115-MIP Modern – Web User Interface – Unable to add formulas to an exported Excel worksheet from Display Balances
Symptom
When going to the Account Balances in MIP Cloud modern, expanding the current activity, and exporting to Excel, you cannot add formulas to the worksheet. If you try to sum any amounts the total is always zero.
Product Line
DF-FA-031085-MIP Modern Populating an Exchange Adjustment in Bank Reconciliation
Symptom
Items are displayed in Bank Reconciliation with an Exchange Adjustment for invoices entered as EUR and Paid out of a cash account setup as EUR.
Product Line
DF-FA-031083-MIP Modern – Web User Interface-Extreme latency when accessing Display Vendor Balances
Symptom
When attempting to access Display Vendor Balances in MIP Modern extreme latency is observed – making the option unusable.
Product Line
DF-FA-031111-MIP Cloud – Web User Interface – During API entry, the cursor moves to the Check Address field instead of the Document Date field.
Symptom
Entering AP Invoices using ‘Copy Vendor ID’ entry default causes the cursor to jump from the Document number field to the Check Address field for the second invoice entered.
Product Line
DF-FA-031106-MIP Cloud – Web User Interface - Clicking on Parent menu causes submenu links to not work
Symptom
Clicking on Parent menu while the fly-out menu is open causes submenu links to not work.
Product Line
DF-FA-031105-MIP Cloud – Web User Interface – Vendor name grayed out and blank after saving and reopening the API Session
Symptom
Vendor name grayed out/not visible after saving and reopening the API Session.
Product Line
Total Debits and Credits Are Not Equal For Effective Date
Symptom
Note: applies to the integration between GiveSmart Fundraise/Events/Donor CRM and MIP Accounting
In the GiveSmart<>MIP Connector, the SYNC_ITEM_FAILURE message: Total debits and credits are not equal for the effective date
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