Cumulative Update 7 for Microsoft Dynamics NAV 2016 (Build 45834)

Applies To
Dynamics NAV 2016

This article applies to Microsoft Dynamics NAV 2016 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 2016, including hotfixes and regulatory features that were released in previous cumulative updates.

Note You must convert the database if you are upgrading to this cumulative update from an earlier cumulative update. For more information, see Converting a Database in Help for Microsoft Dynamics NAV.

This cumulative update replaces previously released cumulative updates. You should always install the latest cumulative update.

It may be necessary to update your license after implementing this hotfix to gain access to new objects included in this or a previous cumulative update (this only applies to customer licenses).

For a list of cumulative updates released for Microsoft Dynamics NAV 2016, see released cumulative updates for Microsoft Dynamics NAV 2016 . Cumulative updates are intended for new and existing customers who are running Microsoft Dynamics NAV 2016.

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
378244 "There is insufficient memory to execute this function" error message when you use the Reverse Register function.
378383 Merge cmdlet indicate conflicts but no conflicts are shown.
378437 The Details function always opens the first line of a list.
378547 The Copy Cell function adds double quotes to strings.
378548 Grid layout makes page customization wrong.
378670 Dynamics NAV cannot validate date formats in the Czech version.
378713 Copying a text constant into a parameter fails.
378799 Calculation inside a decimal field shows divided by 0 if statement 1/0.00001 is used.
378801 The filter-as-you-type search cannot find strings that contain character ']'.
378802 Caption is corrupted after you customize the ribbon.
378821 Crash occurs in the development environment when you look up the Add-in method.
378845 Accessing the Table Information virtual table is too slow if you have a lot of companies in the database.
378854 Inconsistent rollback behavior when failures occur during installation of an extension
378867 Possible data inconsistencies after a failed extension installation due to cache behavior
378940 The Restore Defaults option that is used when you customize the Role Center page also resets the navigation pane.
379046 Add-in cannot open page if the called page is modal.
379062 Data export can lead to deadlock.
378751 "Unable to get property 'get_ribbon' of undefined or null reference" error message when you use a StandardDialog type page that has a subform in the Web client.
376933 Unlimited users can log in and active session records exist when the deleted record does not remove a user from Dynamics NAV.
377528 Converting creates a real table for event subscription instead of a virtual one.
378088 C\Side opens new sessions and new instances of the Windows client.
378101 The Debugger stops when it is triggered after CurrReport.SKIP.
378166 The FlowField Count function does not work if the SQL Data Type field is set to Variant.
378251 An add-in does not load when it is called from an Add-in event.
378361 You cannot cancel a report with an invalid filter when ProcessingOnly is enabled.
378484 Memory spike using PS cmdlet
378532 Reports are slow in connection with ClickOnce.
378899 The system makes a wrong selection although you select a different record.
378916 Add Retry logic to the Dynamics NAV application when connection to Azure SQL becomes unavailable.
378955 ListPart pages are not shown on the Role Center when the UI Elements Removal option in the administration console is set to LicenseFileAndUserPermissions or LicenseFile.
378979 Javascrip add-in(s) make the client or server crash.
379005 Exporting contact cards to Excel produces incomplete results.
379026 You cannot set a language in upgrade.
379035 [WCF Optimization] Sending a control add-in from the server to the client uses excessive bandwidth.
379042 GETVIEW(FALSE) is returning a language-dependent value for boolean fields rather than "1" or "0".
379044 Date formatting is inconsistent when you export analysis by dimensions if the regional settings are set to UK English.
379056 The "&" character is not displayed on the Caption page.
379110 Converting CU4 to CU5 rewrites the Profile table.
379131 Dynamics NAV Service tier crashes when you use a SOAP web services call with an xml file that contains whitespace or line-feed characters.
379132 Disabled menus may still be shown in the application if you disable them before installing the application.
379133 Extensions do not work if the tenant database and the application database are not synchronized.
379170 The new Activity buttons cannot be fully removed from the Navigation pane in the Windows client unless you choose the Restore Defaults button.
379194 Complex types that do not have M_AL_AutoWITH are still visible in the Intellisense global function list even though they are not compliable in CSIDE.
379195 The Number field and caption are missing on a record tooltip.
379196 Tooltip on a procedure call shows list of parameters that do not include VAR modifiers.
379216 Pages shown embedded should not control the ribbon state (expand or collapse) in the Web client.
379217 Add flexibility to ribbon-collapse rules.
379220 Add new methods to Dynamics NAV OpenXml add-in(s).
379283 The Dynamics NAV Service tier crashes when you use a SOAP web services call with an xml file that contains line-feed characters in a date-formula evaluation.

Application hotfixes

ID Title Functional area Changed objects
378898 "You do not have the following permissions on TableData Data Exch.: Insert" error message when you use the Receive from OCR Service function. Administration COD 1215 TAB 1220
378873 "You do not have the following permissions on TableData Data Exch.: Insert" error message when you enable the Update Exchange Rate function in the ribbon. Administration COD 1281 COD 1216 COD 1708
379003 The Processing Order field is ignored in Rapid Start configuration packages. Administration COD 8614 COD 8618 XML 8610
379087 Changes in user groups are not updated. Administration TAB 9003
378880 The Recipient Bank Account field should not be filled if you post a purchase invoice using a journal. Cash Management TAB 81
378864 No empty-element tags should be exported for SEPA according to ISO20022 rules. Cash Management XML 1000 XML 1010
379011 The Clear Filter option on the Get Posted Document Lines to Reverse page is not working as expected. Client PAG 5851
379119 The read permissions for G/L Entry and G/L Budget Entry tables are missing from the Update Analysis View codeunit. Client COD 410
379240 No permissions for tables in range 10700-10745 in the ES Cronus database. Client N/A
378750 The remaining amount in WIP in production orders contains negative outputs on later posting date than original entry and which are revalued. Costing TAB 339
379116 Auto transfer from G/L leads to double cost ledger entries. Finance COD 1105
378686 A wrong G/L account is used when you unapply a payment that has been posted with a payment discount, payment discount tolerance, or payment tolerance with a low amount. Finance COD 12
378789 There is a VAT entry missing after you use the Unapply functionality. Finance COD 12
378819 The VAT base amount is wrong on VAT entries posted from deferrals with a percentage other than 100. Finance COD 12 COD 5986 COD 80 COD 90 TAB 17 TAB 49
379074 The Date filter is set to a wrong value in an account schedule overview where cash flow accounts are being used. Finance COD 8
378831 Wrong G/L entries are created from a sales invoice with more than just one line with deferrals. Finance COD 80 COD 90
378986 Wrong values are calculated when you post a prepayment invoice in a foreign currency. Finance COD 80 COD 90
378570 If you run the VAT Calc. and Post VAT Settlement report and use a document number with a length more than 10, then the document number is split over two lines and cannot be read. Finance REP 20
378709 The Sales Document - Test and Purchase Document - Test reports print the wrong exchange rate in the VAT Amount Specification section if you activate the Print VAT specification in the LCY field on the G/L Setup page. Finance REP 202 REP 402
378774 The amount in the posting description for the adjust exchange rate is wrong. Finance REP 595
379245 If you drill down on a line that is set up as a formula on the Account Schedule Overview page, the formula should be shown instead of the Account Schedule Overview page. Finance N/A
379080 Quantity picked is not updated correctly after you undo an assembly order. Inventory COD 900
378642 Item tracking specification is not deleted when a new sales line is considered in the posting routine. Inventory COD 99000832
379053 The item tracking specification is not deleted when a new purchase or service line is considered in the posting routine. Inventory COD 99000832 COD 99000834 COD 99000842
378919 Calculating inventory for adding opening inventory for a new item at a specific location using the physical inventory journal fails. Inventory REP 790
378924 "Bin Content must be equal to '' in Requisition LIne.." error message and the Location Code field is set to blank when you use a requisition worksheet to pull in drop shipments after changing the Vendor No. field. Inventory TAB 246
379048 When you post an item journal for a lot-tracked item with a missing lot number assignment, there is nothing to indicate to you which lines are affected. Inventory COD 22
379227 "Item tracking is defined for item X in the Sales Line. You must delete the existing item tracking before modifying or deleting the Sales Line." error message when you delete a sales order. Inventory COD 6500
378825 The remaining quantity for a production order component is negative when it is consumed with no expected quantity. Manufacturing COD 22
378606 The Include Inventory option on an item card is used instead of the option on the SKU card when you re-plan a released production order. Manufacturing COD 5400 REP 99001026
379092 Subsequent time shift on make-to-order production orders are difficult to handle. Manufacturing PAG 99000833
378936 Assembly orders are duplicated when you change the customer in a sales order that has assembly-to-order items. Manufacturing TAB 36 TAB 904
378985 The Expected Capacity Need field is not properly calculated when you manually validate a production order routing line. Manufacturing TAB 5409
379112 "The Item Unit of Measure does not exist. Identification fields and values: Item No.='TEST',Code='PCS'." error message when you open the Item Availability by BOM page. Manufacturing COD 5870
379138 "The status of order X cannot be changed as it is related to planning line Y in worksheet ..." error message when you change the status of an existing production order to Finished. Manufacturing COD 99000813 REP 99001020
379181 "The status of order X cannot be changed as it is related to planning line Y in worksheet ..." error message when you change the status of an existing production order to Finished. Manufacturing COD 5407
379219 An output line shows the dimension from the item card when you assign a higher dimension priority for the dimension from a work center. Manufacturing TAB 83
379226 The remaining quantity on a production order component is negative when it is consumed with no expected quantity and the quantity per is revalidated. Manufacturing TAB 5407
379296 Excess inventory is created when you run the Calc. Regenerative Plan function and there is a production order with a quantity greater than the maximum order quantity. Manufacturing COD 99000854
379291 Wrong G/L entries and wrong VAT entries are created when you post a prepayment credit memo in a copy-document scenario. Prepayments COD 6620
379113 "Index out of bounds" error message when you try to change the Analysis Report Chart Setup page. Purchase PAG 776
379101 Invoices within the grace period are not suggested in reminders. Sales COD 392
379023 "The Item Ledger Entry table is empty." error message when you undo a shipment where unposted lines exist. Sales COD 5815
378926 In drop-shipment scenarios using document approval, a sales order can be approved unexpectedly. Sales N/A
378849 The credit limit warnings do not show for certain sales documents if you create them from the Customer List page. Sales PAG 21 PAG 43 PAG 44 PAG 507 PAG 6630
378895 An insufficient message is thrown on changing the header dimension on a partially shipped sales order. Sales PAG 46 PAG 50 PAG 54 PAG 5741 TAB 36 TAB 37 TAB 38 TAB 39 TAB 5740 TAB 5741
379078 A purchase or sales order with a line type of Item, a blank No. field, and a description can be posted as a text line on an invoice but the posted invoice cannot be copied to another document with the Copy Document function. Sales TAB 111 TAB 113 TAB 115 TAB 121 TAB 123 TAB 125 TAB 6651 TAB 6661 COD 90
378651 "The following C/AL functions are limited during write transactions ..." error message when you delete a sales order that was created from an opportunity. Sales TAB 36 TAB 5092
379322 CaptionML is missing on the Assembly Order FactBox Sales PAG 917
379041 All the sales quotes are sent even if you select only one sales quote to be emailed from the simplified Sales Quote and Sales Quote List pages. Sales PAG 1324 PAG 1326
379207 When you try to delete an archived sales order from the overview of archived sales orders, the archived sales order opens and you cannot delete the archive order. Sales PAG 5159 PAG 5162 PAG 5164 PAG 5167 PAG 6627 PAG 6644
379289 The credit limit warning does not show the first time that you make orders from a blanket sales order document. Sales COD 1305 COD 312 COD 86 COD 87 TAB 36
378882 The credit limit warning does not show when you create a service order where the customer’s credit limit is reached. Service COD 312 PAG 343 TAB 5902
378958 The credit limit warning raises multiple times when you create service lines and the credit limit is exceeded. Service TAB 5902
379341 The credit limit warning is not raised on service contracts. Service COD 312 PAG 343 TAB 5965
379111 The service order is not created when you define a valid ship-to address in the contract. Service REP 6036
379234 The Invoice Post Buffer table is not temporary when you post from a service order although it is temporary when you post from purchase and sales orders. Service COD 5988
379013 Inconsistent lot allocation when picking Warehouse COD 6500 TAB 5767
379085 "Lot No. X is not available on inventory or it has already been reserved for another document" error message when you register an inventory movement. Warehouse COD 7307
379139 A sales unit of measure with the same value in the Qty. of Base Unit of Measure per Unit field as the base unit of measure causes an incorrect allocation in a warehouse pick. Warehouse COD 7312

Local application hotfixes

APAC

ID Title Functional area Changed objects
378889 The Invoice flag on sales order headers show a wrong value in the APAC version. Sales COD 80

AU - Australia

ID Title Functional area Changed objects
379206 The AU/NZ Statement does not print the header in subsequent pages when the statement length is more than one page in the Australian version. Finance REP 17110

BE - Belgium

ID Title Functional area Changed objects
378910 The unapplied invoices are ignored if you suggest domiciliations for entries that were included in previous domiciliations where the status is already posted in the Belgian version. Cash Management REP 2000039
379117 The amount of the Incl. Non Deductible VAT field is incorrect in the VAT Statement report in the Belgian version. Finance TAB 256
378797 The Purchase Ledger report shows an incorrect journal template name in the Belgian version. Purchase REP 11301

CH - Switzerland

ID Title Functional area Changed objects
379258 "There is no Gen. Journal Batch within the filter..." error message if you manually fill the Journal Batch Name field on the request page of the Adjust Exchange Rates G/L report in the Swiss version. Finance REP 3010536

CZ- Czech

ID Title Functional area Changed objects
379187 Modification selection of banks or cash desks in the Czech version. Cash Management COD 11705 COD 11709 MEN 1030 PAG 11727 PAG 11744 PAG 11745 PAG 1282 PAG 1283 PAG 370 PAG 371 REP 1200 REP 1401 TAB 110 TAB 112 TAB 11704 TAB 11705 TAB 11706 TAB 11707 TAB 11708 TAB 11709 TAB 11710 TAB 11711 TAB 11731 TAB 11736 TAB 1205 TAB 1207 TAB 1226 TAB 124 TAB 1251 TAB 1293 TAB 1294 TAB 1295 TAB 1296 TAB 1299 TAB 21 TAB 25 TAB 270 TAB 273 TAB 274 TAB 275 TAB 276 TAB 289 TAB 295 TAB 297 TAB 302 TAB 304 TAB 31000 TAB 38 TAB 5107 TAB 5109 TAB 5714 TAB 5900 TAB 5992 TAB 79 TAB 980
378948 The Total Excl. VAT (CZK) and Total VAT (CZK) fields do not show the right amounts if you select the Amounts Including VAT option on a cash document in the Czech version. Finance COD 57 PAG 11731 PAG 11736
378949 Some fields are incorrectly calculated on the VAT Amount Lines page if you select the Amounts Including VAT option and allow a VAT difference on a cash document in the Czech version. Finance PAG 11734 PAG 11739
379188 Verification VAT registration number and country code in the Czech version. Finance COD 248 COD 249 TAB 249 TAB 381
378856 The Sales Adv. Letter Statistic – VAT (LCY) field should be editable in the Czech version. Prepayments PAG 31004
379184 Incorrect message in the Advance Letters function when you use the Post Refund and Close Ad. Letter options in the Czech version. Prepayments COD 12 COD 31000 COD 31020 REP 11700
379186 Corrections to the Non Deduct. VAT and Charge to Item functions in the Czech version. Purchase REP 11774 TAB 39 TAB 49
378920 The Tax Corrective Document field on a sales credit memo or a sales return order should depend on the Credit Memo Type field and should not always be set to Yes in the Czech version. VAT/Sales Tax/Intrastat TAB 36
379252 In the VAT Control report, the Suggest Lines function merges VAT entries in the Czech version. VAT/Sales Tax/Intrastat COD 31100

DACH

ID Title Functional area Changed objects
378779 Conversion ascii2ansi does not work in the DACH version. Administration REP 11110 COD 11501 REP 3010541 REP 3010542 TAB 11500 REP 11008
378701 If you run the Account Schedules report in the German language, the translation of the Fiscal Start Date field is split over two lines and cannot be read in the DACH version. Finance REP 25
379273 In the Adjust Exchange Rates report, the Letter format is used in the layout instead of A4 in the DACH version. Finance REP 595

DE - Germany

ID Title Functional area Changed objects
378583 If you run the VAT Statements Journal report, the user (domain and user) is split over two lines and cannot be read in the German version. Finance REP 11005
378601 The DACH Report Selection table does not contain local reports for Intrastat in the German version. Finance COD 229 TAB 26100
378624 If you run the Sales VAT Adv.Not.Acc.Proof report, the user (domain and user) is split over two lines and cannot be read in the German version. Finance REP 11009

DK - Denmark

ID Title Functional area Changed objects
378908 "Record(62) is not compatible with Codeunit.Run(Record(823))" error message when you send an electronic invoice in the Danish version. Finance COD 13609 COD 13610

ES - Spain

ID Title Functional area Changed objects
379143 Some fields do not appear on the same page if you print the Vendor - Detail Trial Balance and Customer - Detail Trial Bal. reports in the Spanish version. Finance REP 104 REP 304
379199 Wrong ledger entries are created after you unapply a payment that applies both the bill and the invoice when the invoice has been posted before the bill in the Spanish version. Finance COD 12
379247 The Entry No. caption is missing in the layout if you run the Vendor - Detail Trial balance report in English in the Spanish version. Finance REP 104 REP 304
378721 "You must post more usage or credit the sale of item XX in Job YY before you can post purchase credit memo ..." error message when you post a purchase credit memo with positive and negative quantities in the Spanish version. Jobs COD 1001
379154 If you activate the Show Amounts in LCY option on the Vendor - Detail Trial Balance report, the credit and debit total amounts are incorrect in the Spanish version. Purchase REP 104 REP 304
378865 The VAT Statement report calculates an incorrect amount for rows with amount type Base and using VAT Entry Totaling calculation if you use full VAT in the Spanish version. VAT/Sales Tax/Intrastat REP 12
379000 The VAT Registration No. field is incorrectly exported for EU customers and vendors in the 349 Declaration report if it already contains the country/region code in the Spanish version. VAT/Sales Tax/Intrastat REP 10710 TAB 9

FI - Finland

ID Title Functional area Changed objects
379061 On the Payment report, the lines are shown many times and the total is incorrect in the Finnish version. Cash Management REP 32000005

IT - Italy

ID Title Functional area Changed objects
379083 No empty-element tags should be exported for SEPA according to ISO20022 rules in CBI Payment Request.00.04.00 XMLport in the Italian version. Cash Management XML 12100
379098 The VAT Register – Print page numbering takes the year that is based on the accounting period setup instead of the calendar year in the Italian version. Finance REP 12120
378746 The exported Withholding Tax file contains the Fiscal code in the DA002030 field of the legal representative of the company when it should be empty in the Italian version. Purchase COD 12132
378843 The exported Withholding Tax file should contain the withholding tax amounts in the AU001009 field and not in the AU001010 field in the Italian version. Purchase COD 12132
378939 The Total and VAT Amount Specification fields in EUR captions overlap on the Purchase - Invoice report if you print a document in a currency and the Print VAT Specification in LCY option is activated on the General Ledger Setup page in the Italian version. Purchase REP 406
378629 The Customer Bill List report does not show the right subtotal balance for partial payments in the Italian version. Sales REP 12117
378836 The Certifications report should consider the data inserted on the Free Lance Fee FastTab on the Vendors page instead of the name on the General FastTab if the vendor is classified as an individual person in the Italian version. VAT/Sales Tax/Intrastat REP 12106
378841 If a foreign vendor has a tax representative set and you post a purchase invoice, the VAT Registration No. field used in the VAT entry should be the one from the tax representative and not the one from the vendor in the Italian version. VAT/Sales Tax/Intrastat REP 12120
378927 The Communicazione Polivalente files should respect the limits established by the law of 40000 lines and 5MB in the Italian version. VAT/Sales Tax/Intrastat COD 12131 COD 12133
378972 The VAT Exemption Register report does not show any information in the Italian language in the Italian version. VAT/Sales Tax/Intrastat REP 12181

NA - North America

ID Title Functional area Changed objects
378922 When you post a deposit that includes a link, the link is not copied to the posted deposit in the North American version. Cash Management COD 10140
378667 When you run the Preview Check function from the payment journals, the incorrect payee addresses are shown in the North American version. Cash Management PAG404
378983 The Bank Rec. Test Report does not show collapsed deposit lines in the North American version. Cash Management REP 10407
378584 The Sales Invoice report has page numbers that are negative when there are 23 lines causing header data to be misaligned when multiple invoices are printed in the North American version. Sales REP 10074
378585 When you print the Sales Invoice report with multiple blank types and descriptions, the descriptions are concatenated in the North American version. Sales REP 10074

NL - Netherlands

ID Title Functional area Changed objects
379229 The Dimensions FactBox box on the General Journals page is showing the wrong list of dimension values in the Dutch version. Client PAG 39
378417 The Applied Entry to Adjust field is not updated on transfer item ledger entries after running the Adjust Cost - Item Entries batch job in the Dutch version. Costing COD 22

NO - Norway

ID Title Functional area Changed objects
378980 "It is not required to fill in Specification (Norges Bank) on line 20000 because the amount is below NOK XXXXX" error message when you try to export payments even if the line amount is not below the limit in the Norwegian version. Cash Management REP 15000050
378902 The Payment Type Code Abroad and the Specification (Norges Bank) fields are not filled automatically if you create an invoice from a purchase journal in the Norwegian version. Purchase TAB 81

                  

RU - Russia

ID Title Functional area Changed objects
378573 The Starting Balance field has no digit grouping symbols in the G/L Account Card report in the Russian version. Finance REP 12437
378714 The Customer - Reconciliation Act report shows an unexpected result when you apply invoices to payments in the Russian version. Finance COD 14955 REP 14910
378813 An unexpected result occurs in the Last Cash Report Page No. field on the Cash Account Card page when you print the Cash Report CO-4 report in Cash Report CO-4 and Cash Additional Sheet modes one by one in the Russian version. Finance REP 14902
378876 The VAT Purchase and Sales Ledger reports do not use a full name in the Russian version. Finance x TAB 12405
378933 The Ingoing Cash Order page cannot be printed from a posted record when you use a manual check payment in the Russian version. Finance N/A
378957 The VAT Sales Ledger report wrongly fills the 13a column in scenarios with YE (UE) and when column 12 is empty (Excel file) in the Russian version. Finance REP 12460
378981 The system does not block the posting process of a sales corrective credit memo when the correction does not change quantity or price in the Russian version. Finance COD 80
379106 The G/L Corresp. General Ledger page does not show the button for open details in the Russian version. Finance PAG 12403
379327 The VAT Sales Ledger report wrongly fills the СтПродБезНДС18 attribute in the .xml file when column 14 is empty (Excel file) and the report has two lines in the Russian version. Finance REP 12461
379095 The Customer G/L Turnover report shows an unexpected result in the Russian version. Finance REP 12450
379137 An unexpected result when you print the Cash Report CO-4 report in the Russian version. Finance REP 14902
379161 The G/L Account Card report does not show full long values that include 10 numbers before the point and two numbers after the point in the Russian version. Finance REP 12437
379165 The wrong rounding results in the Assessed Tax Declaration report are exported to Excel in the Russian version. Finance REP 14920
379253 Write-off of items in the Value of the Fixed Asset process does not fill the Source Type and Source No. fields in the Russian version. Finance COD 5600
379297 The VAT Sales Ledger report wrongly fills the СтПродБезНДС18 attribute in an .xml file when column 14 is empty (Excel file) in the Russian version. Finance REP 12461
379159 The Phys. Inventory Form INV-3/INV-19 report shows an unexpected value in column 11 in the Russian version. Inventory COD 5804 REP 12481

UK - United Kingdom

ID Title Functional area Changed objects
379200 Wrong values are calculated in the deferral schedule in the United Kingdom version. Finance COD 1720
378851 The Statistical Value field is not updated on an Intrastat journal that includes item charges for purchase receipts in the United Kingdom version. VAT/Sales Tax/Intrastat REP 594

                    
                  

Local regulatory features

ES - Spain

ID Title Functional area Changed objects
166310 Changes in reporting delayed payments of commercial transactions for Microsoft Dynamics NAV 2016 for Spain. Financial Management REP10748

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 07 for Microsoft Dynamics NAV 2016

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 2016 database:

Country Hotfix package
AT - Austria Download the ATKB3157492 package
AU - Australia Download the AUKB3157492 package
BE - Belgium Download the BEKB3157492 package
CH - Switzerland Download the CHKB3157492 package
CZ- Czech Download the CZKB3157492 package
DE - Germany Download the DEKB3157492 package
DK - Denmark Download the DKKB3157492 package
ES - Spain Download the ESKB3157492 package
FI - Finland Download the FIKB3157492 package
FR - France Download the FRKB3157492 package
IS - Iceland Download the ISKB3157492 package
IT - Italy Download the ITKB3157492 package
NA - North America Download the NAKB3157492 package
NL - Netherlands Download the NLKB3157492 package
NO - Norway Download the NOKB3157492 package
NZ - New Zealand Download the NZKB3157492 package
RU - Russia Download the RUKB3157492 package
SE - Sweden Download the SEKB3157492 package
UK - United Kingdom Download the GBKB3157492 package
All other countries Download the W1KB3157492 package

How to install a Microsoft Dynamics NAV 2016 cumulative update

See How to install a Microsoft Dynamics NAV 2016 cumulative update .

Prerequisites

You must have Microsoft Dynamics NAV 2016 installed to apply this hotfix.

More Information

See more information about software update terminology and Microsoft Dynamics NAV 2016.

Status

Microsoft has confirmed that this is a problem in the Microsoft products that are listed in the "Applies to" section.