Update 25.2 for Microsoft Dynamics 365 Business Central 2024 Release Wave 2 (Application Build 25.2.27999, Platform Build 25.2.27927)

Si applica a
Dynamics 365 Business Central on-premises 2024 release wave 2, version 25

Important

The hotfix packages of update 25.2 are no longer available, you can install the hotfix packages of update 25.3 instead.

Overview

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

After you install this hotfix, you might have to update your license to gain access to new objects that are included in this or a previous update. (This applies only to customer licenses.)

For a list of updates that were released for Microsoft Dynamics 365 Business Central 2024 Release Wave 2, see released updates for Microsoft Dynamics 365 Business Central 2024 Release Wave 2. Updates are intended for new and existing customers who are running Microsoft Dynamics Released Updates for Microsoft Dynamics 365 Business Central 2024 Release Wave 2. 

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 that will be installed. A hotfix or update may cause interoperability issues with customizations and third-party products that work together with your Microsoft Dynamics 365 Business Central solution.

Problems that are resolved in this update

The following problems are resolved in this update.

Platform hotfixes

ID Title
558605 New search control forces the UI to overlap when the label is too long.
556992 Fix the issue where the PTE deployment fails due to time-out.
556796 After editing an amount, the amount is updated in the wrong line.
556195 Disable external integration when coping environment to sandbox.
556598 Handle XmlExceptions in the report XML loader to prevent session crashes when the data contains invalid characters.

Application hotfixes

ID Title Functional Area
556936 The Order Multiple in the SKU is not taken into account in the planning if the Replenishment System is set as Transfer. Administration
557380 The source currency amount is missing from general ledger transactions for voided cheques. Cash Management
551001 Project Ledger Entry doesn't show correct amounts when there're negative amounts in the Purchase Invoice with non-deductible VAT. Finance
555065 The Journal Batch ID is not assigned to the journal line added to the batch by the Suggest Vendor Payments function when the manually added line has the Journal Batch ID assigned. Finance
555352 Non-Deducible VAT fields are not displayed for the VAT entries in the Posting Preview if the Posting Preview Type is set to Extended. Finance
558832 The posting date is incorrect in the Analysis Mode. Finance
557454 Issue with the Post with Job Queue function in the Sales & Receivables Setup table. The posting date does not update as expected when selecting the Replace Posting Date option. Finance
558545 Incomplete VAT entries when unapplying a payment for multiple invoices. Finance
559572 "We found a problem with some content in xxx.xlsx" error message when using the Export to Excel with the G/L Entries Analysis mode. Finance
558660 Check stub information is incorrect when multiple remit-to codes are used on multiple posted invoices for a single vendor. After summarizing per vendor, the lines are grouped by remit-to but use a common document number to group the lines when printing the check. Finance
558997 Unrealized Gain or Loss is not cleared when using multiple vendor posting groups in the Currency Exchange Calculation Discrepancy. Finance
558377 Remove the Open Azure AI Gallery action from multiple applications. Integration
556132 The filter function doesn't work as expected in the Bin Content List with filtering with wild cards. Inventory
556292 "The record in table Value Entry already exists. Identification fields and values: Entry No.='XXX'" error message when trying to post a pick. Inventory
556712 Order Planning does not plan for additional project planning lines if a previous project planning line for the item is received only on a purchase order. Inventory
556974 The Qty. to Assign field and the Item Charge Qty. to Handle field are not updated correctly by the purchase invoice in the purchase order when assigning the Item Charge. Inventory
557718 The Bin Content Block Movement is not taken into account when posting an item journal. Inventory
555554 Order Tracking data is not correctly rebuilt when a change quantity action message is carried out from the Planning Worksheet due to a change in the Demand Quantity or the Demand Date. Inventory
557620 The location is incorrect after changing the location code on the Transfer Order Line to a code different from the one in the header when using Availability by Location. Inventory
550676 The overhead rate is incorrectly added as an indirect cost to a completely posted or invoiced assembly order when the cost is manually adjusted. Inventory
555154 It's possible to delete an item variant that has been posted to the Item Ledger Entries and has an existing inventory quantity. Inventory
558596 Issue with the Inventory Value Zero field during a return when a variant is added or changed, and the cost is revalidated from the Item Card. Inventory
559242 The Order Promising Earliest Shipment Date value is incorrect. Inventory
559123 The Item Reclassification Journal generates two negative warehouse entry weights instead of the a negative weight and a positive weight. Inventory
556918 The Default Dimension Priority is not taken into account in the Transfer Order. Inventory
555682 When a component of an assembly order is reserved against an inbound transfer with direct posting, the transfer is fully shipped or received, but the reservation remains against the inbound transfer. Inventory
558366 The cost is incorrect when the unit of measure is modified during the session. Inventory
559138 The Export/Import Item Data tool replaces the type for the Value Entry from Bland to Work Center. Inventory
558172 Unable to create a sales invoice from project planning lines as the lines are imported from Field Services with decimal values. Jobs
559144 "The Service Header does not exist" error message when trying to approve a submitted timesheet with the line type set as Resource and the Copy Time Sheet to Order activated in the Service Management Setup. Jobs
558589 The Calculate WIP action runs when changing the Project Status to Completed even if the System Message option is set to No. Jobs
555343 The Material Cost and the Total Cost are incorrect in the BOM Cost Shares window when the Subassembly has the Subcontract Work Center on routing. Manufacturing
556938 Quantity is not calculated correctly in the Production Order with Multiple Units of Measure in Families. Manufacturing
557333 The capable-to-promise function is executed after specifying a production item in the sales order with a quantity larger than the available quantity value. Manufacturing
559349 The Reserved For field in the Prod. Order Component line shows incorrect details of what Production Order Component is reserved. Manufacturing
558551 When trying to resume a postponed interaction with a contact, the entered information is directed to a different postponed interaction. Marketing
556778 The Order No. field is not transferred to the Prepayment Invoice but is transferred to the Posted Invoice instead. Purchase
556951 The Vendor Pre-payment Journal Report fails to display the Payment Discount amount correctly on each Posted Purchase Invoices when the Posted Credit Memo with an amount exceeds the amount of any single Posted Purchase Invoice. Purchase
557530 "No. must have a value in Purchase line" error message in Purchase Quotes if there's an item line without any number specified while it is allowed in Sales Quotes. Purchase
557911 Impossible to print a report when the search functionality is used to filter customers or vendors, and multiple documents are selected. Purchase
556302 The first contact photo is removed if the second picture is imported to the Customer Card. Sales
558543 "The total Prepmt Amt to Deduct Incl. VAT cannot be more than xxx" error message when trying to post a sales invoice. Sales
559013 Issue with page filter in the posted Sales Credit Memo line. Sales
555818 The values are incorrect when creating the Service Contracts Invoice Report if the action is set as Print Only and the Service Contract is not prepaid. Service Management
557630 Prevent permission error for users with Essential license regarding Document Attachments in the Service Management while browsing Customer Ledger Entries. Service Management
558213 When archiving a service quote, the service lines are not transferred to the archived service quote. Service Management
550349 The Item Ledger Entry doesn't show the Incl. Non-deductible VAT amount in the Purchase Credit Memo with non-deductible VAT. VAT/Sales Tax/Intrastat
556949 "Quantity must be positive" error message when running the Get Bin Content function in the Item Reclassification if the Serial Number Specific Tracking and the FreeEntry Lot Number both exist. Warehouse
557385 Error when trying to print or post the Warehouse Shipment. Warehouse
559468 The Bin Code and the Zone Code are missing in the Warehouse Receipt report. Warehouse

Local application hotfixes

AU - Australia

ID Title Functional Area
556918 The Default Dimension Priority is not taken into account in the Transfer Order in the Australian version. Inventory

BE - Belgium

ID Title Functional Area
558537 "The CODA Statement does not exist" error message when trying to import a CODA file with more than one statement in the Belgian version. Cash Management
558656 Unable to transfer a CODA statement to General Ledger completely without deleting the partially generated Financial Journal batch in the Belgian version. Finance
555682 When a component of an assembly order is reserved against an inbound transfer with direct posting, the transfer is fully shipped or received, but the reservation remains against the inbound transfer in the Belgian version. Inventory
558992 Issue with the Service Management Upgrade in the Base App in the Belgian version. Upgrade

CA - Canada

ID Title Functional Area
558660 Check stub information is incorrect when multiple remit-to codes are used on multiple posted invoices for a single vendor. After summarizing per vendor, the lines are grouped by remit-to but use a common document number to group the lines when printing the check in the Canadian version. Finance
556951 The Vendor Pre-payment Journal Report fails to display the Payment Discount amount correctly on each Posted Purchase Invoices when the Posted Credit Memo with an amount exceeds the amount of any single Posted Purchase Invoice in the Canadian version. Purchase

CZ- Czech

ID Title Functional Area
558107 Error when opening the attached documents ends in the Czech version. Cash Management
557231 Add the UpdatePaymentOrderLine event to the Payment Order Header CZB table in the Czech version. Cash Management
556891 Unable to select reports in the Statutory Reporting Setup in the Czech version. Finance
556895 The Balance Sheet report and the Income Statement report don't save values after preview in the Czech version. Finance
556789 The Acc. Schedule Name field has the incorrect caption in the Balance Sheet report and the Income Statement report in the Czech version. Finance
556375 The Unapply Purchase Advance Letter function doesn't work as expected when unappling a purchase advance letter in the foreign currency adjusted by the Adjust Exchange Rates batch job in the Czech version. Finance
558083 Issue with the Default Dimension for Project in the Czech version. Finance
556961 The Match Related Party Only action doesn't work as expected in the Czech version. Finance
558208 The API call fails for the sales or purchase advance letter with shortcutDimensionCode1 in the Czech version. Finance
558561 Issue with accounting for discounts and VAT in the Czech version. Finance
559116 Error in the G/L Entry Applying report in the Czech version. Finance
558482 Calculation error when using the Adjust Employees option in the Adjust Exchange Rates in the Czech version. Finance
558245 Add the Source Type field, the Source Number field, and placeholders of posting description to the Depreciation Calculation in the Czech version. Fixed Assets
559460 Dimension values are not transferred into system created entries in the documents in the Czech version. Purchase

DE - Germany

ID Title Functional Area
559509 Issue with the line discount amount when sending the documents through the E-documents in the German version. Finance
557225 The XML file for the VAT declaration does not show rows with non-deductible VAT after using the Export function in the German version. VAT/Sales Tax/Intrastat

ES - Spain

ID Title Functional Area
557831 The Posted Payable Bills and Posted Receivable Bills Matrix display incorrect information because there is no filter for the Bank Account No. in the lines and totals shown from Bill Groups and Payment Orders in the Spanish Version. Finance
555461 The Trial Balance does not sum up as expected with Different Level Account Filters in the Spanish Version. Finance
556138 Consistency error when trying to apply a payment and a bill using Multiple Posting Groups with currencies in the Spanish version. Finance
556168 Unbalanced G/L Entries when trying to post the Invoice and the Payment using multiple posting groups in the Spanish version. Finance
556265 "Bills Account must have a value in Vendor Posting Group" error message and inconsistencies in the posted G/L Entries when trying to apply entries which created Invoices to Cartera in the Spanish version. Finance
558582 Discrepancies when posting the Invoice and the Credit Memo that have non-deductible VAT and exempt VAT lines with the Include ImporteTotal node in the Spanish version. Finance

FR - France

ID Title Functional Area
557456 "The length of the string is xxx but it must be less than or equal to 250 characters" error message when using the Create Payment Slip action with a large amount of Payment Slips with the Create New Document action in the French version. Cash Management
557978 The Applies-to ID is incorrectly filled in the Vendor Ledger Entries after using the Suggest Vendor Payments function and no line is suggested on the Payment Slip in the French version. Finance

IT - Italy

ID Title Functional Area
555894 The Document Number in the Close Balance Entries section is blank when scheduling a Job Queue for the Close/Open Balance Statement report in the Italian version. Finance
555207 The Depreciation Book report shows incorrect values in the Total Depreciation % field in the Italian version. Fixed Assets
555392 The Depreciation Book report doesn't print acquisitions if reclassification is the first Ledger Entry for a fixed asset in the Italian version. Fixed Assets
558211 The Operation Type is not updated in the Purchase Credit Memo in the Italian version. Purchase

MY - Malaysia

ID Title Functional Area
559426 Products synced from Shopify are not created in the Business Central in the Malaysian version. Integration

NL - Netherlands

ID Title Functional Area
555433 The Vendor Name field accepts up to 100 characters. However, when applying SEPA on the ING and RABOBANK portals, an error occurs stating the maximum allowed is 70 characters in the Dutch version. Finance
557109 The VAT type is incorrectly filled in the Bank or Giro Journal line, as indicated by the Copy VAT setup to Jnl. Lines setting in the Dutch version. Finance

NZ - New Zealand

ID Title Functional Area
556918 The Default Dimension Priority is not taken into account in the Transfer Order in the New Zealand version. Inventory

US - United States

ID Title Functional Area
558660 Check stub information is incorrect when multiple remit-to codes are used on multiple posted invoices for a single vendor. After summarizing per vendor, the lines are grouped by remit-to but use a common document number to group the lines when printing the check in the United States Version. Finance
556770 The outstanding transaction doesn't take the Ending Statement Date into account in the United States Version. Finance
558365 Issue with Bank Deposit No. Series in the United States version. Finance
555554 Order Tracking data is not correctly rebuilt when a change quantity action message is carried out from the Planning Worksheet due to a change in the Demand Quantity or the Demand Date in the United States Version. Inventory
556951 The Vendor Pre-payment Journal Report fails to display the Payment Discount amount correctly on each Posted Purchase Invoices when the Posted Credit Memo with an amount exceeds the amount of any single Posted Purchase Invoice in the United States Version. Purchase

Resolution

How to install a Microsoft Dynamics 365 Business Central on-premises 2024 Release Wave 2 update

See How to install a Microsoft Dynamics 365 Business Central 2024 Release Wave 2 update.

Prerequisites

You must have Microsoft Dynamics 365 Business Central 2024 Release Wave 2 installed to apply this hotfix.

More information

See more information about software update terminology and Microsoft Dynamics 365 Business Central 2024 Release Wave 2.

Status

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