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Tickets Delivered

The release includes the following items.

Ticket Number

Description

6697

Issue: Create Deal Error - LIHTC Tax Credit

Resolution: Fixed the error that occurred when creating a deal with both LIHTC and other tax credit program types.

6763

Issue: Reports Received Schema

Resolution: Made changes so that the Unit Type and Bathroom fields (Current Unit Mix node) return values instead of IDs for the picklist values.

6879

Issue: Invoice Billing Date Incorrect on Invoice Workflows

Resolution: Fixed the formatting of the Billing Date on the Cash Flow Invoice Report.

6897

Issue: LT Deals Tab on Fund Does Not Account for Funds that Re-enter a Deal

Resolution: Made changes to show the latest admission date and corresponding exit date.

7361

Issue: Risk Review - Overall Rating Description

Resolution: Made changes so that the Overall Rating Description is updated when the Risk Rating is updated.

8143

Issue: Insurance Data View

Resolution: Updated the Insurance data view so that it displays the expected values for the OPA Required field.

8154

Issue: GL Extract NMTC - GL Investment Balance and Net Equity

Resolution: Updated the GL Extract to use the latest impairment period book balance for GL Investment Balance when the As of Date of the GL Extract is greater than the last impairment period available for the entity. Also updated the GL Extract to set net equity on NMTC deals even when no current deal benefit schedule month QEIs exist.

8352

Issue: Deal OPA Commitment Data View

Resolution: Updated the Deal OPA Commitment data view so that it displays correct entity values.