This article applies to Microsoft Dynamics NAV 2013 R2 for all countries and all language locales.
Overview
This cumulative update rollup includes all hotfixes and regulatory features that have been released for Microsoft Dynamics NAV 2013 R2, including hotfixes and regulatory features that were released in previous update rollups.
This update rollup replaces previously released update rollups. You should always install the latest update rollup. For a list of update rollups released for Microsoft Dynamics NAV 2013 R2, choose the following article number to view the article in the Microsoft Knowledge Base:2914930 Released update rollups for Microsoft Dynamics NAV 2013 R2For a complete list of all hotfixes released in update rollups for Microsoft Dynamics NAV 2013 R2, view the following CustomerSource and PartnerSource pages:
CustomerSource
Overview of Released Application Hotfixes for Microsoft Dynamics NAV 2013 R2
Overview of Released Platform Hotfixes for Microsoft Dynamics NAV 2013 R2
PartnerSource
Overview of Released Application Hotfixes for Microsoft Dynamics NAV 2013 R2
Overview of Released Platform Hotfixes for Microsoft Dynamics NAV 2013 R2Update rollups are intended for new and existing customers who are running Microsoft Dynamics NAV 2013 R2. 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 update rollup
Note: Implementing this update rollup will require a database conversion.
The following problems are resolved in this update rollup:Platform hotfixes
ID |
Title |
---|---|
[Field A] -= [Field B] - [Variable]" statement calculates incorrect results |
|
The Windows client crashes when you click on a column header to change the sort order in a list page |
|
Data loss can occur when you make changes to an object multiple times or compile all objects in a live database with active users connected |
|
Script control add-in that opens a new browser window does not work in the web client |
|
"Your entry of [decimal value] is not an acceptable value for 'Duration'. The value [decimal value] can't be evaluated into type Duration" error message when you enter a decimal value into a field of type Duration |
|
Filtering on worksheets is not working in the web client |
|
The RecordRef.FIELDEXIST(0) function always returns TRUE |
|
The Windows client is leaking memory |
|
"The custom numbering ID format should start at 164 and should be listed in consecutive order" error message when you export an account schedule to Microsoft Excel |
|
"A call to System.IO.StreamWriter.Close failed with this message: Cannot access a closed file" error message when you close a stream object from code |
|
"Invalid index 0 for this SqlParameterCollection with Count=0" Event Log error message when you run multiple NAV server services on the same machine |
|
"The communication object, System.ServiceModel.Channels.ServiceChannel, cannot be used for communication because it is in the Faulted state" error message when you import or compile a table |
|
Field disappears after you have done a lookup in the field and customized the Lookup page |
|
A subpage is not automatically editable/non-editable when the main page is set to editable/non-editable |
|
"The filter "[date]" is not valid for the Document Date field on the Sales Invoice Header table. The value "[date]" can't be evaluated into type Date" error message when you select Filter to this value on a date column with non-English regional settings |
|
You can unexpectedly import a table object that removes a column that contains data in the existing table when the table was created with Save As from the Import Worksheet |
|
Sorting option is missing in report request pages |
|
CR (Carriage Return) and LF (Line Feed) creates indentations in ADCS (Automated Data Capture System) |
|
Performance is slow in list pages with flowfields |
|
"A security filter has been applied to table [table name]. You cannot access records that are outside of this filter" error message when you modify a record in a table with flowfields and security filters |
|
"The metadata object Page [page ID] was not found" error message when you select Customize Ribbon in a report request page |
|
The Windows client hangs after a window that is opened by an object with the Dialog.OPEN statement is closed because an implicit Dialog.CLOSE is missing |
|
“You cannot enter '-5-E12-P2818-L128:BusinessChart::DataPointClicked' in Integer” error message when you import translation for a page |
|
Factbox fields are missing in the web client |
|
OData query returns incorrect record sets when time zone on the NAV server is set to Server Time Zone |
|
A user is unable to log into the web client for several minutes after the user’s password has been reset |
|
English (ENU) captions are incorrectly shown instead of captions in primary language when a caption is not translated |
|
A compile warning is not displayed when you compile a single object in the Object Designer |
Application hotfixes
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
357402 |
Performance issue in RapidStart when you import large packages |
Administration |
COD 8614 |
356672 |
RapidStart fails if you import a package when Regional Setting is Romanian |
Administration |
COD 419 COD 8619 |
356282 |
The Sales Orders Released cue on Sales Order Processor Role Center does not exclude completely shipped sales orders |
Administration |
TAB 9053 |
356273 |
Analysis View Card is is shown on Account Manager Role Center instead of Analysis View List |
Administration |
PAG 9001 |
355997 |
Incorrect dimensions are suggested when you run Suggest Vendor Payments |
Cash Management |
REP 393 |
355871 |
Insufficient error message when you try to create a direct debit collection |
Cash Management |
REP 1200 |
357324 |
Error when you close Income Statement with additional reporting currency |
Finance |
COD 12 |
357321 |
The value in the Applied Amount field on Apply Customer Entries and Apply Vendor Entries pages is wrong when you use different currencies |
Finance |
PAG 232 PAG 233 |
357143 |
When you drill down from Acc. Schedule Overview, the Cost View Entries does not reflect the Cost Center Totaling and Cost Object Totaling filters |
Finance |
COD 8 |
356880 |
"Amount must be positive in Gen. Journal Line..." error message when you post a prepayment invoice |
Finance |
COD 80 COD 90 |
97325 |
The additional reporting currency is not converted when you post a prepayment credit memo with a gain or loss on currency exchange |
Finance |
TAB 461 COD 442 COD 444 |
97143 |
Difference between Amount (LCY) and Remaining Amt. (LCY) in Cust. Ledger Entry and Vendor Ledger Entry tables |
Finance |
TAB 21 TAB 25 |
96955 |
The Customer Statement report does not show totals per currency |
Finance |
REP 116 |
96883 |
Sales Budget and Purchase Budget show wrong values after filtering |
Finance |
PAG 9219 PAG 9239 |
96634 |
The Recalculate Line function should copy the default dimensions when you use the Copy Document function |
Finance |
COD 6620 |
85498 |
The Customer Statement report does not show data for periods without ledger entries even though overdue amounts exist in the period |
Finance |
REP 116 |
85496 |
The Customer Statement report does not show data for periods without ledger entries even though overdue amounts exist in the period |
Finance |
REP 116 |
357128 |
For an assemble-to-order sale, the Sales - Invoice report shows duplicate assembly components after cost adjustment |
Inventory |
REP 206 |
356198 |
When you use the Reclassification Journal to move items between bins on different locations causes unexpected item ledger entries |
Inventory |
COD 22 |
356153 |
Prevent Negative Inventory does not prevent posting to negative inventory with Item Journal and Return Shipment |
Inventory |
TAB 32 |
356142 |
The link to Requisition Worksheet from Item Availability by Timeline opens the Planning Worksheet instead |
Inventory |
COD 5530 |
356059 |
In Item Availability by Timeline, the Include Blanket Sales Orders setting cannot be turned off |
Inventory |
COD 5530 |
97327 |
The Applied Entry to Adjust field is set to TRUE after cost adjustment of an outbound item ledger entry for an Average costed item |
Inventory |
COD 22 |
97313 |
Appl.-from Item Entry is removed from a sales return order after creating reservation from a purchase return order when Exact Cost Reversing Mandatory is set to TRUE |
Inventory |
COD 99000830 |
96873 |
In the Item Availability by BOM Level page, you can add the Able to Make Parent column twice |
Inventory |
PAG 5871 |
96363 |
"The Item Ledger Entry already exists. Identification fields and values: Entry No. 123" error message when running Adjust Cost Item Entries batch job for Average-costed item where receipts and shipments have been undone |
Inventory |
COD 5895 |
85156 |
Lines are missing in Availability by Event when sales blanket orders contain multiple lines with the same item |
Inventory |
TAB 5530 COD 5530 |
357378 |
The sales amount is adjusted to the WIP invoiced sales account instead of to the WIP accrued sales account when you post Job WIP and use the Percentage of Completion WIP method |
Jobs |
COD 1000 |
91448 |
The Job Unit Price on a received purchase order line is not transferred to the purchase invoice when using the Get Receipt Lines function |
Jobs |
TAB 38 TAB 39 |
91447 |
An Item dimension on a job is not copied to the sales invoice |
Jobs |
COD 1002 |
85161 |
In the Job - Planning Lines report, all job planning lines are shown because the Limit Total filter is not applied correctly to Planning Date filter and Posting Date filter |
Jobs |
REP 1006 |
84637 |
Ending date on the job duration fasttab is incorrectly populated when your run calculate WIP |
Jobs |
COD 1000 |
78088 |
“Dimension can’t be found” error message when you create a job journal line |
Jobs |
COD 408 |
96767 |
Cannot delete a certified routing version without first changing status of the routing version |
Manufacturing |
TAB 99000786 |
95218 |
"Qty. to Handle (Base) in Tracking Specification for Item No. "xxx", Serial No.:, Lot No.: "XXX" is currently 67.9908. It must be 67.95." error message when backflushing consumption and scrap on a production routing |
Manufacturing |
TAB 5407 |
357511 |
The Calcd. Current Value (LCY) field in the Opportunity Card window is not updated from the Sales (LCY) field when closing the Opportunity Card window |
Marketing |
TAB 5093 |
84636 |
Shipment posting is wrongfully blocked when Blocked is set to Ship on the customer and Shipment on Invoice is set to FALSE in R&R Setup |
Sales |
COD 80 |
357499 |
Incorrect annual amount is posted to a service invoice that is created from a non-prepaid contract |
Service |
COD 5940 |
357465 |
Cannot see the total per currency in the Customer Statement report |
Service |
REP 116 |
356844 |
The Contract Price Update - Test report does not update amounts for multiple contracts correctly |
Service |
REP 5985 |
356056 |
The Correction field on Service Header does not work |
Service |
COD 5987 |
96637 |
Service Document Register is not updated when a service invoice is posted |
Service |
TAB 5991 |
85473 |
Service order postings are not logged as interactions |
Service |
PAG 5186 |
85158 |
"The Service Comment Line already exists" error message when the same service item is used on different service documents |
Service |
COD 5900 COD 5988 |
74504 |
Comments are not copied from a service invoice to the posted service invoice |
Service |
COD 5988 |
356162 |
VAT Amount Specification is empty in Sales - Credit Memo and Purchase - Credit Memo reports when VAT is set to FALSE |
VAT/Sales Tax/Intrastat |
REP 207 REP 407 |
74503 |
In the Order Confirmation report, Total Amt Excl. VAT is wrong in Prepayment Specification Section when Compress Prepayment is set to FALSE |
VAT/Sales Tax/Intrastat |
REP 205 |
357328 |
Unexpected revalidation of Bin Code when you change the quantity on a document line |
Warehouse |
TAB 37 |
97173 |
Partially shipped quantities are not considered when cross-docking |
Warehouse |
COD 5780 |
96719 |
The Items Not on Inventory option has no impact in Whse. Phys. Invt. Journal for WHITE location (Directed Put-away and Pick) when the quantity is zero in item ledger entry and warehouse entries |
Warehouse |
REP 7390 |
Local application hotfixes
AT - Austria
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
85287 |
Adjust Exchange Rates report shows incorrect adjustment amounts in the Austrian version |
Finance |
REP 595 |
87881 |
Acquisition costs are shown in the Reclassifications column instead of the Additions column in the Fixed Asset - Book Value 03 report in the Austrian version |
Fixed Assets |
COD 5626 REP 11011 |
356751 |
Dimensions are lost during upgrade in the Austrian version |
Upgrade |
COD 104049 |
AU-NZ Australia-New Zealand
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
357317 |
When you make partial payment applications, the WHT amount is doubled when you post a second application in the Australian and New Zealand versions |
Finance |
COD 12 |
94568 |
Unable to create two types of BAS in the report to the Taxation Office in the Australian and New Zealand versions |
Finance |
TAB 11608 |
85157 |
Exchange rates are used on payments with foreign currencies even though Realized WHT Type is set to Payment in the Australian and New Zealand versions |
Finance |
COD 12 COD 28040 |
85153 |
There is nothing to post error message when you post a simulation journal in the Australian and New Zealand versions |
Finance |
COD 12 |
356652 |
GST Amount is incorrect in Posted Purchase Invoice Statistics in the Australian and New Zealand versions |
VAT/Sales Tax/Intrastat |
TAB 123 |
BE - Belgium
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
357144 |
Invoices with late posting dates are suggested for SEPA Credit Transfer and SEPA Direct Debit in the Belgian version |
Cash Management |
REP 2000039 |
355353 |
"The length of the string is 35, but it must be less than or equal to 20 characters" error message when you run suggest vendor payments in the Belgian version |
Cash Management |
TAB 2000001 |
95902 |
Direct Debit Mandate ID is not transferred to customer ledger entries in the Belgian version |
Cash Management |
COD 12 |
357330 |
The Sales Ledger report does not pull customer number and name into Description in the Belgian version |
Sales |
REP 11300 |
77350 |
"The record that you tried to open is not available. The page will close or show the next record." error message when you create a sales order with automatically inserted standard sales code in the Belgiam version |
Sales |
TAB 37 |
355958 |
"The Shipment Method does not exist. Identification fields and values: Code= " error message when you run the Get Sales Order function for a special order without a shipment method code in the Belgian version |
Sales |
TAB 38 |
VAT Registration No value is not carried over to sales header in the Belgian version |
VAT/Sales Tax/Intrastat |
TAB 36 |
|
357312 |
The Checklist Revenue and VAT report shows false differences in the Belgian version |
VAT/Sales Tax/Intrastat |
REP 11312 |
87874 |
The "ISO Country/Region Code" = "GR" is used instead of the "EU Country/Region Code" = "EL" for sale to Greece when you create the VAT - VIES Declaration Disk in the Belgian version |
VAT/Sales Tax/Intrastat |
REP 11315 |
CH - Switzerland
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
ESR file cannot be imported if "Backup copy" setting is enabled in a 3-tier environment in the Swiss version |
Cash Management |
COD 3010531 |
|
356646 |
The value in the Vendor Standard Bank field is not transferred to Bank Code field on the purchase order in the Swiss version |
Cash Management |
TAB 38 |
94111 |
The text Belastungsdatum is missing in the total line in the Customer ESR Journal report in the Swiss version |
Cash Management |
REP 3010531 |
90936 |
The Largest Amount in CHF total line shows the first amount instead of the largest amount in the DTA Payment Journal in the Swiss version |
Cash Management |
REP 3010545 |
85471 |
The Total line is positioned incorrectly in the Customer ESR Journal report in the Swiss version |
Cash Management |
REP 3010531 |
85980 |
The length of the string is [string length], but it must be less than or equal to 80 characters error message when you run the Cost Allocation report in the Swiss version |
Finance |
REP 1131 |
85287 |
Adjust Exchange Rates report shows incorrect adjustment amounts in the Swiss version |
Finance |
REP 595 |
87881 |
Acquisition costs are shown in the Reclassifications column instead of the Additions column in the Fixed Asset - Book Value 03 report in the Swiss version |
Fixed Assets |
COD 5626 REP 11011 |
90994 |
“Item Ledger Entry already exists" error message when you undo a shipment of an assembly BOM with a no stockkeeping item in the Swiss version |
Inventory |
COD 12 COD 5817 |
89605 |
No stockkeeping items are incorrectly calculated in availability for Assembly BOMs in the Swiss version |
Manufacturing |
COD 905 COD 5870 |
91777 |
The Side Transfer Amount field changes when you scroll from page 1 to page 2 and back in the SR Cust. - Balance to Date in the Swiss version |
Sales |
REP 11540 |
68133 |
The Filed User ID field has a field length of 20, but the length should be 50 in the Sales Header and Sales Header Archive tables in the Swiss version |
Sales |
TAB 36 TAB 5107 |
356751 |
Dimensions are lost during upgrade in the Swiss version |
Upgrade |
COD 104049 |
74967 |
The Account No. field is missing in the Temp Salary Type table in the Upgrade601700.CH.1.fob file in the upgrade toolkit for the Swiss version |
Upgrade |
TAB 171513 |
354654 |
The Swiss VAT Statement report does not print correctly in the Swiss version |
VAT/Sales Tax/Intrastat |
REP 26100 |
96721 |
When you run the Currency Adjustment report to adjust VAT, an additional VAT entry is generated unexpectedly in the Swiss version |
VAT/Sales Tax/Intrastat |
REP 595 |
90997 |
Cancellaltion of a LSV - Import Direct Debit file is handled incorrectly in the Swiss version |
VAT/Sales Tax/Intrastat |
COD 3010831 |
88108 |
The sales VAT amount does not match the posted VAT sales amount in the Swiss VAT Statement report in the Swiss version |
VAT/Sales Tax/Intrastat |
REP 26100 |
DE - Germany
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
85287 |
Adjust Exchange Rates report shows incorrect adjustment amounts in the German version |
Finance |
REP 595 |
357889 |
The New Phys. Invt. Recording action opens an existing record instead of a new one in the German version |
Inventory |
PAGE 5005352 |
74968 |
Prepayment entries are listed multiple times for each item in the Prepayment Specification section in the Order report when Compress Prepayment is set to No in the German version |
Purchase |
REP 405 |
356751 |
Dimensions are lost during upgrade in the German version |
Upgrade |
COD 104049 |
DK - Denmark
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
357415 |
Exported payment file in BankData format is not accepted by the bank because a startrecord and an endrecord are missing in the file in the Danish version |
Cash Management |
COD 1210 COD 13660 |
ES - Spain
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
357332 |
SEPA CT and Electronic Payments do not work well together in the Spanish version |
Cash Management |
TAB 7000020 REP 7000061 MEN 1030 |
357305 |
Creditor Agent <Orgid> tag for SEPA is exported as VAT Registration No. when it should be VAT Registration No + Bank Suffix in the Spanish version |
Cash Management |
XML 1010 |
357137 |
Error when you try to post a Bill Group with different currencies in the Cartera Journal in the Spanish version |
Cash Management |
COD 12 |
356170 |
The <SeqTp> tag is exported incorrectly when you export a file from a bill group that includes 3 bills and the mandate is setup as recurrent with 3 expected No. of debits in the Spanish version |
Cash Management |
COD 1231 |
356050 |
Amounts with no decimals are not exported correctly into SEPA in the Spanish version |
Cash Management |
TAB 1226 XML 1010 |
355500 |
The Export Payments to file field is missing in payment journal in the Spanish version |
Cash Management |
PAG 256 |
355355 |
The Direct Debit Mandate ID field is not filled in when you redrawn a bill in the Spanish version |
Cash Management |
REP 7000096 |
353490 |
Wrong posting is done when you apply a credit memo to an unapplied bill in the Spanish version |
Cash Management |
COD 12 |
357127 |
The second page has incorrect data when saving the Trial Balance report as PDF in the Spanish version |
Finance |
REP 6 |
355501 |
You cannot enter "|" in Decimal. Page edit - Acc Schedule overview must close" error message when you use "|" in the account schedule totalling field in the Spanish version |
Finance |
COD 8 |
354519 |
"A dimension used in Gen Journal line CARTERA; PREDET, has caused an error. Select dimension value code [dimension code] for the dimension code [dimension code] for the Bank Account [bank account]" error message in the Spanish version |
Finance |
COD 7000000 REP 7000082 REP 7000083 REP 7000084 REP 7000085 REP 7000096 REP 7000087 |
355082 |
Posting Date is blank in general ledger entries when you post sales and purchase documents in the Spanish version |
Purchase/Sales |
COD 12 |
IT - Italy
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
72535 |
Create Return from Subcontractor and Create Transf. Ord. to Subcontractor functions do not work as expected in the Italian version |
Manufacturing |
TAB 32 TAB 83 TAB 5407 COD 22 COD 5704 COD 5705 PAG 99000831 |
95205 |
The Invoice Post. Buffer already exists. Identification fields and values: Primary Key='' error message when you unapply customer ledger entries with different dimensions in the Italian version |
Sales |
COD 12 |
357475 |
Wrong G/L account used when you post reverse VAT charge on a purchase invoice and the posting setup has Nondecuctible account setup in the Italian version |
VAT/Sales Tax/Intrastat |
COD 12 |
96449 |
Wrong numbers are inserted in the VAT Exempt. Int. Registry No. field causing incorrect VAT Exemption numbers for customers in the Italian version |
VAT/Sales Tax/Intrastat |
TAB 12186 |
95904 |
The VAT Data Transmission export file exports the summary documents in the wrong line in the Italian version |
VAT/Sales Tax/Intrastat |
REP 12193 |
NA - North America
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
89568 |
Some columns show a percentage > 0 but an amount of 0 in the Aged Accounts Receivable and Aged Accounts Payable reports in the North American version |
Finance |
REP 10040 REP 10085 |
96998 |
Using the Expense/Capitalize Sales Tax functionality in integration with Jobs causes an incorrect value in the Total Cost (LCY) field in the job ledger entry after invoicing the purchase order in the North American version |
Jobs |
COD 1004 |
96996 |
After posting a purchase receipt with multiple Jurisdictions where only one has Expense Capitalize Tax set to TRUE, the Amt. Rec. Not Invoiced is wrong in Job Task Line Display in the North American version |
Jobs |
TAB 39 |
74729 |
Rounding difference between Tax Amount and Tax Breakdown in Sales Invoice Statistics when a sales order in a foreign currency has a Sales Tax Area with two Canadian jurisdictions in the North American version |
VAT/Sales Tax/Intrastat |
TAB 10011 PAG 10038 PAG 10042 PAG 10043 PAG 10052 PAG 10053 PAG 10452 REP 202 REP 402 REP 5900 REP 5902 COD 398 |
NL - Netherlands
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
357320 |
Canceled SEPA payment history lines can be exported in the Dutch version |
Cash Management |
REP 11000012 |
85472 |
In SEPA Direct Debits, the BIC field wrongfully takes the SWIFT Code from the bank account, and the customer's post code and city are missing in the Dutch version |
Cash Management |
REP 11000013 |
78088 |
“Dimension can’t be found” error message when you create a job journal line in the Dutch version |
Jobs |
COD 408 |
NO - Norway
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
78118 |
Payment file is not accepted by the Norwegian bank because the Rem. Payment Order report requires a manual line break in the Norwegian version |
Cash Management |
REP 15000061 |
74973 |
The Trade Settlement report gives wrong results in the Norwegian version |
Finance |
REP 10602 |
SE - Sweden
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
357113 |
The Posting No. Series is not used when you post the journal after you have imported a SIE file in the Swedish version |
Administration |
REP 11208 |
UK - United Kingdom
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
357119 |
The last line in the Bank Acct Recon Statement report does not print in the United Kingdom version |
Cash Management |
REP 10555 |
357311 |
Amounts in Account Schedule are not aligned correctly in the United Kingdom version |
Finance |
REP 25 |
356330 |
"The analysis line template does not exist. Identification fields and value….” error message when you export to Excel in the United Kingdom version |
Marketing |
REP 7113 |
Regulatory features
AT - Austria
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
356820 |
VAT Statement Layout Change 2014 for Microsoft Dynamics NAV 2013 R2 - Austria |
VAT/Sales Tax/Intrastat |
REP 11110 |
ES - Spain
ID |
Title |
Functional area |
Changed objects |
---|---|---|---|
356669 |
Declaration 340 - 2014 & VAT Cash Based Accounting Update for Microsoft Dynamics NAV 2013 R2 - Spain |
VAT/Sales Tax/Intrastat |
REP 117 REP 118 REP 205 REP 206 REP 405 REP 406 REP 407 REP 5900 REP 5911 REP 5912 REP 10743 TAB 10744 TAB 10745 |
Resolution
How to obtain the Microsoft Dynamics NAV update files
This update is available for manual download and installation from the Microsoft Download Center.
Which hotfix package to download
This update rollup has multiple hotfix packages. Select and download one of the following packages depending on the country version of your Microsoft Dynamics NAV 2013 R2 database:
Country |
Hotfix package |
---|---|
AT - Austria |
Download the ATKB2937999 package |
AU - Australia |
Download the AUKB2937999 package |
BE - Belgium |
Download the BEKB2937999 package |
CH - Switzerland |
Download the CHKB2937999 package |
DE - Germany |
Download the DEKB2937999 package |
DK - Denmark |
Download the DKKB2937999 package |
ES - Spain |
Download the ESKB2937999 package |
FI - Finland |
Download the FIKB2937999 package |
FR - France |
Download the FRKB2937999 package |
IS - Iceland |
Download the ISKB2937999 package |
IT - Italy |
Download the ITKB2937999 package |
NA - North America |
Download the NAKB2937999 package |
NL - Netherlands |
Download the NLKB2937999 package |
NO - Norway |
Download the NOKB2937999 package |
NZ - New Zealand |
Download the NZKB2937999 package |
SE - Sweden |
Download the SEKB2937999 package |
UK - United Kingdom |
Download the GBKB2937999 package |
All other countries |
Download the W1KB2937999 package |
How to install a Microsoft Dynamics NAV 2013 R2 update rollup
For more information about how to install an update rollup, click the following article number to view the article in the Microsoft Knowledge Base:
2834770 How to install a Microsoft Dynamics NAV 2013 Update Rollup
Prerequisites
You must have Microsoft Dynamics NAV 2013 R2 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 R2, 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.