This article applies to Microsoft Dynamics NAV 2013 for all countries and all language locales.
Overview
This Cumulative Update includes all hotfixes and regulatory features that have been released for Microsoft Dynamics NAV 2013, including hotfixes and regulatory features that were released in previous Cumulative Updates.
This Cumulative Update replaces previously released Cumulative Updates. You should always install the latest Cumulative Update. For a list of Cumulative Updates released for Microsoft Dynamics NAV 2013, choose the following article number to view the article in the Microsoft Knowledge Base:2842257 Released Cumulative Updates for Microsoft Dynamics NAV 2013For a complete list of all hotfixes released in Cumulative Updates for Microsoft Dynamics NAV 2013, view the following CustomerSource and PartnerSource pages:
CustomerSource
Overview of Released Application Hotfixes for Microsoft Dynamics NAV 2013
Overview of Released Platform Hotfixes for Microsoft Dynamics NAV 2013
PartnerSource
Overview of Released Application Hotfixes for Microsoft Dynamics NAV 2013
Overview of Released Platform Hotfixes for Microsoft Dynamics NAV 2013Cumulative Updates are intended for new and existing customers who are running Microsoft Dynamics NAV 2013. Important We recommend that you contact your Microsoft Dynamics Partner before you install hotfixes or updates. It is important to verify that your environment is compatible with the hotfixes or updates being installed. A hotfix or update may cause interoperability issues with customizations and third-party products that work with your Microsoft Dynamics NAV solution.
Problems that are resolved in this Cumulative Update
The following problems are resolved in this Cumulative Update:
Platform hotfixes
ID |
Title |
---|---|
354726 |
Performance issue when inserting a high number of records |
357552 |
Clients (web and win) drop connection after idle timeout of under 3 minutes |
357560 |
Columns in the web client are limited to 30 characters |
358169 |
Numbers misaligned in Hebrew version |
358541 |
Web client shows small role center page |
358550 |
When the Visible property of an action on a page is set using a variable, the user cannot use Customize this Page to add/remove the action |
358567 |
Filtering on a value crashes the client when a table relation is defined |
358650 |
Data is modified incorrectly when the cursor looses focus |
358716 |
When you release a filtered sales order, all fields in the Sales Header table except the primary keys are deleted |
358726 |
RTC crashes when starting if AppData subfolder is missing |
358963 |
Date and time fields are left-aligned in the Hebrew version |
358964 |
Option box is left-aligned in the Hebrew version |
358979 |
SystemString.Replace method goes into conflict with Runtime |
358991 |
Call to dotNET method doesn't allow to use more than 20 parameters but requires 30 |
359008 |
Error message when setting an incorrect filter is misleading |
Note You may have to compile the objects in your database after you apply this hotfix.
Application hotfixes
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
358178 |
The progress bar for RapidStart import/export to Excel does not show progress |
Administration |
COD 8610 COD 8611 COD 8614 COD 8615 COD 8616 COD 8618 TAB 8616 |
357859 |
The Change Global Dimensions function does not update the Cust. Ledger Entry table properly |
Finance |
REP 83 |
357860 |
The Inventory Valuation report does not match the data in the Inventory - GL Reconciliation report |
Finance |
REP 10139 |
358371 |
In the Cash Flow functionality, the manual expenses and revenues are calculated incorrectly |
Finance |
REP 840 |
358535 |
"<<'' is not a valid position specification for the Microsoft.Dynamics.Nav.Runtime.CSideNCLMetaTable table..... " error message when you use the Save View function on the Analysis by Dimensions page |
Finance |
PAG 9249 |
358647 |
"You cannot post depreciation, because the calculation is across different fiscal year periods, which is not supported." error message when you post a declining balance depreciation |
Finance |
COD 5631 |
358028 |
If you use two depreciation books with integration to G/L and you want use the Duplicate functionality, you cannot post the acquisition costs in a purchase invoice |
Fixed Assets |
COD 5640 |
358042 |
The Applied Entry to Adjust field is set to TRUE after cost adjustment on item ledger entry for an Average cost item |
Inventory |
COD 22 |
358072 |
The option string used in the Ref. Order Type field in the Requisition Line table and the Inventory Event Buffer table are inserted in a different order, which creates problem with item availability |
Inventory |
COD 5540 TAB 5530 |
358186 |
Item tracking code deletion does not raise a warning when item tracking exists |
Inventory |
TAB 27 |
358321 |
The Unavailable Quantity field has incorrect value on order promising lines |
Inventory |
COD 5790 COD 7171 |
358460 |
The Able to Make Parent and Able to Make Top Item columns are calculated wrongly when the production BOM component uses an additional unit of measure |
Inventory |
TAB 5870 |
358704 |
Planning does not suggest to cancel excess replenishment when this is about transfer order and item tracking is defined |
Inventory |
COD 99000854 |
358263 |
When you use the Create Sales Invoice function from a job, the Gen. Prod. Posting Group is not taken from the posted entries but from the ressources, items, etc |
Jobs |
COD 1002 |
358745 |
When you enter a quantity on a purchase order line for a job, the Job Unit Price field is cleared if the Unit Cost Factor field is filled on the Job Item Prices page |
Jobs |
TAB 39 |
358049 |
Forecast entries are not removed when the forecast name is deleted, which results in planning action lines |
Manufacturing |
TAB 99000851 |
358536 |
"The Bin does not exist. Identification fields and values ..." error message when posting capacity ledger entry ("Output Quantity=0) through Output Journal |
Manufacturing |
COD 22 |
356172 |
The Get Receipt Lines function does not show any receipt when these are partial with prepayments |
Purchase |
COD 64 COD 74 PAG 5708 PAG 5709 TAB 111 TAB 121 |
358585 |
"Attempted to divide by zero" error message when creating a new service invoice for an ammended service contract |
Service |
COD 5940 |
357869 |
If you use the invoice rounding account on a sales order, release/reopen and re-release the sales order, then the VAT is set to 0 |
VAT/Sales Tax/Intrastat |
COD 414 COD 415 |
358343 |
"Amount must be postive..." error message in a prepayment invoice with prices incl. vat in the Dutch version |
VAT/Sales Tax/Intrastat |
COD 80 COD 90 |
Local application hotfixes
BE - Belgium
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
358205 |
Payments involving vendor credit memos using the Take Credit Memos option can be posted and exported even though vendor ledger entries are not fully applied in the Belgian version |
Cash Management |
REP 2000004 |
358539 |
When creating a SEPA Direct Debit xml file with xml port 1010, the ID field should be filled with the company's Enterprise number instead of the VAT number in the Belgian version |
Cash Management |
XML 1010 |
358375 |
VAT VIES Declaration Disk with VAT Vies Correction shows validation error in the Belgian version |
Finance |
REP 11315 |
CH - Switzerland
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
358526 |
The Completely Shipped field on a sales order does not change to Yes when all quantities have been shipped and the line is of type Title in the Swiss version |
Sales |
TAB 36 |
ES - Spain
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
358241 |
SEPA direct debit file is rejected by the bank because the ChrgBr>SLEV</ChrgBr tag is duplicated in two nodes in the Spanish version |
Cash Management |
XML 1010 |
358281 |
It should be possible to export SEPA CT payments from the Journal in the Spanish version |
Cash Management |
PAG 256 |
358225 |
Redrawn documents are included incorrectly in the Customer Summary Aging report in the Spanish version |
Sales |
REP 105 |
358278 |
"The VAT Posting setup does not exist. Identification fileds and values...'' error message when trying to export Telematic VAT Declaration with an Account Totaling row where the VAT posting groups were not informed in the Spanish version |
VAT/Sales Tax/Intrastat |
REP 10715 REP 10718 |
FI - Finland
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
358161 |
When you use the Export SEPA Payment File report, the IBAN code is cut to 30 character even if the max length allowed is 34 characters in the Finnish database |
Cash Management |
REP 13403 |
FR - France
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
357986 |
When you try to post a SEPA credit transfer or direct debit payment with an error, the Status field on the Payment Slip page changes eventhough nothing is posted in the French version |
Cash Management |
COD 10860 |
358899 |
The Journals report does not include the debit and credit columns when printed in the French version |
Finance |
REP 10801 |
IT - Italy
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
358915 |
"VAT Identifier must have a value in Purchase Line: Document Type=Return Order, Document No.=1001, Line No.=20000. It cannot be zero or empty" error message when you post a return order in the Italian version |
Purchase |
COD 6620 |
358185 |
After posting a EU sale invoice for an Item plus the related Item charges, when I run intrastat journal the system extract the invoice line where Item charge amount is included in the Italian version |
VAT/Sales Tax/Intrastat |
REP 594 |
358213 |
When you export the intrastat file for sales and purchase service, the document number is not exported in the Italian version |
VAT/Sales Tax/Intrastat |
REP 593 |
358471 |
VAT Data Trasmission credit memo is handled in aggragate format in the Italian version |
VAT/Sales Tax/Intrastat |
REP 12193 |
358530 |
When you run the Calc. and Post VAT Settlement report, the amount in the Next Period Input Vat field is not calcaulated correctly in the Italian version |
VAT/Sales Tax/Intrastat |
REP 20 |
NA - North America
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
358877 |
When your Default Role Center is Accounting Manager and you open the Bank Account Reconcilation page from the Role Center ribbon, the W1 page will open in the North America version. |
Cash Management |
PAG 9001 |
357411 |
The Void/Transmit Elec. Payments report does not allow void and transmit if the bank payment type is Electronic Payment - IAT in the North American version |
Cash Management |
COD 367 REP 10084 |
358503 |
When you create an invoice with a negative quantity on a sales line, the tax amount is rounded down in the North American version |
VAT/Sales Tax/Intrastat |
COD 398 |
358486 |
An error message of type CONSISTENT appears when you change the Tax Amount field on the Sales Order Statistics page |
VAT/Sales Tax/Intrastat |
COD 398 |
358485 |
An error of type CONSISTENT appears when you post a purchase order with a posted prepayment invoice with the Tax Area Code field filled and the Tax Liable check box is FALSE |
VAT/Sales Tax/Intrastat |
COD 90 |
NL - The Netherlands
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
358163 |
You can export canceled payment lines from payment history when you run the Export SEPA ISO20022 and SEPA ISO20022 Pain 008.001.02 reports in the Dutch version |
Cash Management |
REP 11000012 |
358384 |
“Overflow under type conversion of Text to Code” error message when you try to import a CAM053 file with the Automatic Reconciliation option selected in the Dutch version |
Cash Management |
COD 11000006 |
358524 |
"The length of the string is xx, but it must be less than or equal to 20 characters." error message when you export a payment history line to a SEPA payment file in the Dutch version |
Cash Management |
TAB 11000002 |
358749 |
When you import a bank file using the CAMT functionality and you set up automatic reconciliation, the system is not able to automatic reconcile in the Dutch version |
Cash Management |
COD 11000006 |
358848 |
SEPA credit transfer file is rejected by the bank when the <CtrlSum> tag does not contain decimals in the Dutch version |
Cash Management |
REP 11000012 |
358273 |
When you choose the Applies-to Doc. No. field in the Bank/Giro journal, then VAT is added to the amount in the Dutch version |
VAT/Sales Tax/Intrastat |
TAB 11401 |
NO - Norway
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
358429 |
The Trial Balance/Previous Period report 10601 does not show any balance accounts if you print in Norwegian language in the Norwegian version |
Finance |
REP 10601 |
UK - United Kingdom
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
358510 |
Transactions dated February 29th are not displayed when the account schedule period is set as Month (February) and comparison period column refers to a bissextile year in the British version |
Finance |
COD 8 |
Regulatory features
BE - Belgium
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
348269 |
[BE] - CDCR - VAT Correction |
VAT |
Page 11303, Page 474, Page 475, Report 11300, Report 11301, Report 11302, Report 11304, Report 11307, Report 11311, Report 11312, Report 12, Table 11301, |
IT - Italy
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
358412 |
IT - CDCR - Late payments. Finance Charge Memo - Reminders localization - NAV 2013 |
Finance Charge and Reminders |
Report 116 |
358393 |
IT - CDCR -VAT data Trasmission report - NAV 2013 |
VAT Reporting |
Codeunit 740, Page 741, Report 740 |
Resolution
How to obtain the Microsoft Dynamics NAV update files
This update is available for manual download and installation from the Microsoft Download Center.
Cumulative update CU 14 for Microsoft Dynamics NAV 2013
Which hotfix package to download
This Cumulative Update has multiple hotfix packages. Select and download one of the following packages depending on the country version of your Microsoft Dynamics NAV 2013 database:
Country |
Hotfix package |
---|---|
AT - Austria |
Download the ATKB2964546 package |
AU - Australia |
Download the AUKB2964546 package |
BE - Belgium |
Download the BEKB2964546 package |
CH - Switzerland |
Download the CHKB2964546 package |
DE - Germany |
Download the DEKB2964546 package |
DK - Denmark |
Download the DKKB2964546 package |
ES - Spain |
Download the ESKB2964546 package |
FI - Finland |
Download the FIKB2964546 package |
FR - France |
Download the FRKB2964546 package |
IS - Iceland |
Download the ISKB2964546 package |
IT - Italy |
Download the ITKB2964546 package |
NA - North America |
Download the NAKB2964546 package |
NL - The Netherlands |
Download the NLKB2964546 package |
NO - Norway |
Download the NOKB2964546 package |
NZ - New Zealand |
Download the NZKB2964546 package |
SE - Sweden |
Download the SEKB2964546 package |
UK - United Kingdom |
Download the GBKB2964546 package |
All other countries |
Download the W1KB2964546 package |
How to install a Microsoft Dynamics NAV 2013 Cumulative Update
For more information about how to install an Cumulative Update, click the following article number to view the article in the Microsoft Knowledge Base:
2834770 How to install a Microsoft Dynamics NAV 2013 Cumulative Update
Prerequisites
You must have Microsoft Dynamics NAV 2013 installed to apply this hotfix.
More Information
For more information about software update terminology, choose the following article number to view the article in the Microsoft Knowledge Base:
824684 Description of the standard terminology that is used to describe Microsoft software updatesFor more information about Microsoft Dynamics NAV 2013, visit the following Microsoft website:
Status
Microsoft has confirmed that this is a problem in the Microsoft products that are listed in the "Applies to" section.