Load Balancer
Introduction
Load Balancer is an element of the K2 architecture that can be used to distribute the load among multiple application servers. The K2 API thus has the ability to connect to multiple application servers simultaneously. When sending a request, the least busy server is evaluated first and it receives the request for processing.
Picture: Load Balancer and K2 API
Example of using Load Balancer and K2 API:
The K2 API receives the request for processing. Load Balancer is addressed for the fastest request processing. The Load Balancer sends a request to all ASs and finds out their current load. It evaluates the least busy server and passes this information to the K2 API. The K2 API thus sends the request directly via the selected application server to the Load Balancer.
LoadBalancer can also be used for web K2, which when the user logs on, finds the most suitable application server and connects the user to it.
Picture: Load Balancer and Web K2
Example of using Load Balancer and Web K2:
Web K2 accepts the user's login request. The web K2 Load Balancer will contact the request to process the request as quickly as possible. The Load Balancer sends a request to all AS and finds out their current load. Web K2 passes the information on the least busy server. Web K2 will use the best evaluated server and thus the fastest processing of the user's login request will take place. Every other request of a given user is already processed by a specific selected AS.
Each K2 API and K2 web installation has its own Load Balancer. In the installation, you can set a specific list of application servers and the configuration of the Load Balancer, which can affect the algorithm for selecting a suitable application server.
Load Balancer evaluates the most suitable application server for request processing in two modes:
- Loading and evaluating the best AS before each connection request (preLoadingEnabled = false)
- Before each request to create a connection, the application servers are bypassed with a request for their statistics, which are processed and evaluated. The most appropriate AS is then used for the given request.
- Load and evaluate the best AS continuously (preLoadingEnabled = true)
- Statistics are read in the specified time interval and the best AS is evaluated. Each connection request is evaluated based on the calculated result of the statistics.
Load Balancer parameters
- requestTimeout:(default 1s) Each connection request is evaluated based on the calculated result of the statistics. If a connection fails with the AS by this time, or the AS does not respond by this time, the AS will be dropped for this particular evaluation. Upon the next request, it will be added to the list of possible application servers again.
- validTimeout: (default 0 u preLoadingEnabled = false, 1000- preLoadingEnabled = true) - the time for which the detected statistics and thus the best AS are valid.
- maxHistoryCount:(default 0) - number of records in history. If the number is 0, the history is not recorded. It is used only for debugging the optimal setting of parameters, when we can look into the history of the distribution of requests and adjust the parameters accordingly.
- preLoadingEnabled:(default false) - enable / disable mode with continuous loading of statistics. If set to true, then validTimeout means the time interval in which the statistics are updated.
- The appServers section defines the application servers that will be used by the Load Balancer. The default is the one used in the K2 API / K2 Web configuration
- Ex. for K2 API (Web K2 is similar only, configuration is done in JSON) "<add server =". "pipe =" ScriptService "/>”
- server: IP or PC name
- pipe: pipe AS name
- the multiplier section is used to set the weight of individual statistics and thus to influence the calculation algorithm
- Ex. for K2 API (Web K2 is similar only, configuration is done in JSON) <add uid="bscSystemCPUAvg" value="1"/>"
- uid: statistic identifier
bscSystemCPUAvg - average CPU usage over time
bscSystemFreeMemory - currently free operation memory
bscAppPoolSpandAvg - average waiting time for the K2 AS request before it is serviced
bscAppNCLSessions - number of connected web K2 users
bscAppAnonymousSessions - number of anonymous threads for K2 API
bscAppSchedulerSessions - number of running scheduled tasks
- value: the value by which the received statistic value will be multiplied by AS. This makes it possible to influence the weight of a given parameter.
A value of 0 disables the evaluation of this parameter during the calculation.
If in any mode the Load Balancer does not connect with the AS in the required time interval, or the AS does not supply statistics in the specified time, it is excluded from the evaluation for the given AS pass. In the next pass, the Load Balancer will try to connect to the AS again.
News in version
News K2 iris.08
Universal Forms
Possibility of sorting and searching in simple lookups - parameter LABS_SIMPLELOOKUPLOCATOR
A new LABS parameter LABS_SIMPLELOOKUPLOCATOR has been created, which allows to toggle the sort (Alt+Z) or activate the search (Ctrl+Shift+F) in simple lookups.
Meaning of parameter values:
0 ... original behavior - cannot search or switch sorting (Alt+Z)
1 ... in lookups you can change the sorting (Alt+Z) and turn on the search (Ctrl+Shift+F)
2 ... in lookups, you can change the sorting (Alt+Z) and turn on the search (Ctrl+Shift+F), in addition, compact information about the filter is displayed at the moment of active search.
Container saving / loading in new UI
From iris.08 and album.04, the option to [b]save and load container "backups" has been added to the new UI.[/b] The option is available in [i]Menu - Container - "Load / Save Container"[/i ].
All available container operations, including the "Load / Save Container" function, are now also available under the Container option in the menu for switching module status (Book, Filter, Container).
We "create" a backup of the created container with the Ins key and save it. This saves a set of records from the current container under the defined name. The stored container can be deleted with the "Delete" key. The backup can be renamed with the F5 key, the set of saved records will not change.
We can load, add or limit the stored record container using the buttons [i]"Load" / "Add" / "Limit"[/i].
My Office
Workflow
Adding attachments using Drag and Drop in the Pending book
In the book Pending, it is now possible to add attachments on individual steps using Drag and Drop.
Logistics
Internal transfer notes on the stock card
We have changed the displaying rules for internal transfer notes on the article stock card. The Internal transfer notes checkbox remained, but as internal transfer notes are considered not only transfer notes within one warehouse (when physical warehouse is set), but also transfer notes between two warehouses that belong under one summing warehouse (when summing warehouse is set).
Travel orders - Links added
To tab Attachements we have added Links inTravel orders documents.
Projects
Projects - Count the values of "Scheduled on ......."
In Projects, a new checkbox [i][b]Count values "Scheduled on ......"[/b][/i] has been added to the Record Preview, which is disabled by default. Thus, the [i]"Scheduled on ....." section is not counted on the form[/i]
If the checkbox is checked, the behavior is the same as before.
This function was added to speed up work in projects.
Finance
Bank API for Citibank
Since K2 alba.04 and K2 iris.08 versions, it has been incorporated into the K2 banking API for Citibank.
When using the API for Citibank, a file with transactions is generated and loaded via homebanking into K2 with the parameter set for automatic pairing (AutoPairDocuments). By default, downloaded statement files are stored in the K2/Mandant/HomebanCiti directory.
Settings are made on the bank account in the Banking API button. You need to fill in the following fields and use the Test settings button to test the connection with the bank.
You can get the Citi account number, API ClientID and API ClientSecret from your bank. This is the data required to connect K2 and the Citibank API, or specific bank account.
The Citi signing cert and the Citi encryption cert are bank certificates that can be obtained from the Citi developer portal. They are usually valid for 1 year, after the expiration date new certificates need to be uploaded here.
You can get the client certificate for signing (signing cert) and the client certificate for encryption (encryption cert) from a certification authority supported by the bank (e.g. DigiCert, Verisign, Comodo, Thawte) or directly from the bank.
The connection with the bank takes place using encrypted communication with the bank via the client certificate for SSL.
All certificates are stored in the K2 database, so there is no need to keep them available on disk.
Rest payment of the document in the currency of the paid document - extension of the function for other liabilities and other receivables
The function for rest payment of invoices in the currency of the paid document has been extended to include other liabilities and other receivables.
The function is intended for additional payment of other liabilities and other receivables that are paid in a foreign currency (e.g. EUR, PLN...) and are underpaid or overpaid by a penny in the company's own currency. The function is located above other payables and other receivables in universal forms in the ribbon in the Payments tab and also in the Bulk actions tab.
After starting the function, a form will appear for entering the book of internal documents into which the payment will be made. It is necessary to enter the book of internal documents that has a checkmark Exchange documents, because it is an exchange rate difference. In the function form, it is also possible to enter the date on which the internal document will be created. After approval of the form, an internal document will be created. If the function will be triggered from mass actions, the documents must be marked with an asterisk. One internal document will be created, in which the items will include payments for individual other liabilities or other receivables. The function creates an exchange rate internal document in the entered book of internal exchange rate documents, and the documents will be paid in the company's own currency.
Accounting
Check box "Change of RT taxpayer in the month of removal" on the vehicle card
According to information from the Financial Administration, when a taxable vehicle is sold in a given calendar month, the vehicle is subject to tax only for the new taxpayer. (In the tax period of 2022 and 2023, both or all entities were taxpayers in the calendar month of the sale of the vehicle or the registration of the change of operator, if multiple transfers occurred in that month). The changes resulting from the amendments to the law will be applied from 1 January 2024, but will only be reflected in the tax return submitted in January 2025.
For this reason, the checkbox "RT taxpayer change in the month of removal" has been re-added to the vehicle cards in the K2 system. It is checked if the vehicle is removed and at the same time there is a change of road tax payer in the month of removal (when sold during the month).
Possibility to delete the posting key on the confirmed document
In the change of the confirmed document, the Delete posting key action was added to the form. After starting the action, the posting key in the header and in the document items is deleted.
Recalculation of matching symbols
We have created a new function Recalculate matching symbols. The function will recalculate the turnovers and update the Paired field of the matching symbols of all accounts and can be run from the Accounting - Service Functions tree or from the Task Scheduler.
Right to "Use a blocked record" when selecting an invalid axis
Right to "Use a blocked record" is no longer checked when selecting an invalid axis in the General Ledger, Economic Analysis, Chart of Accounts and Correlations. It is thus possible to evaluate invalid axes as well.
Create an internal document script also transfers other analytical axes
Script Creating an internal document from an invoice, OP/OV (INV_CreateInternalDoc.pas ) now also transfers other analytical axes (codes 3-6) to the created internal document.
Assets
The plan type on asset tab cannot be edited
The plan type is set in Asset Books and is only displayed on the asset tab. Editing of the Plan Type is no longer allowed on asset tab.
Matching symbol Asset inventory number
In the Asset Movements posting key, an Inventory Number option has been added to the Matching Symbol.
Web and e-shop
EshopXMLFeedExport.PAS - new "FieldForID" parameter
We added a new FieldForID parameter to the EshopXMLFeedExport.PAS script. The parameter indicates which field should be filled into the product ID. Possible parameter values ??are Id, Abbr1, Abbr2, EAN. The default value is Id.
If the given field is not filled in on the product card (e.g. EAN), the default field (Id) is inserted into the product ID.
News K2 iris.07
My Office
Workflow
New functionality for working in procedure editor
New functionality has been added to work in the procedure editor:
- created nodes can be marked in bulk using ctrl and selecting an area using the right mouse button
- marked nodes can be moved arbitrarily
- there are 3 new icons in the editor toolbar: delete nodes, Copy and Paste to/from clipboard
Sale/Purchase
Extension of the functionality of the user parameter Copy reference number in sales to other receivables and received advances
The functionality of the parameter Copy reference number in sales has been extended for other receivables and received advances. Until now, the parameter only worked for issued invoices.
Copy reference number in sale:
• On - when creating a new free document with the F6 key, the reference number is copied from the invoice, other receivables or advances received on which we stand with a cursor. If we copy a document that has an attached contract, the reference number from the contract is copied.
• Off - when copying an invoice issued, other receivables or advances received, the reference number is generated according to the preset definition from the sales book or we can add it manually. It works in the same way with a free document.
Setting EKO-KOM packaging according to the other article card
Added a feature to allow starred article cards or container item records to add packaging that another article card already has set in bulk. The function is called EKO-KOM packaging settings and can be launched from the ribbon of article tab from the Bulk actions tab. After running, article card that already has packages set is selected in the form, and these packages are set to article cards being processed after the function is completed.
Logistics
Handling of requirements - nonvisual mode
The functions Handling of requirements - Create purchase orders / transfer notes / internal sales orders support the nonvisual mode. With this mode activated can be these functions used in the Task scheduler for the automatic ordering.
Contracts
Creating advance from the contract
We have added Advance check box to the contract item. When creating documents from the contract using the Periodic invoicing and Installment invoicing functions, an advance received / provided is created for the items marked in this way.
Contracts – display of contracts with the same code on the Documents tab
In the Contract - sale and Contract - purchase documents, we have added the Contracts tab to the Documents tab - contracts that have the same Contract Code as the current document (addenda to the contract) will be displayed here.
Transfer of comments, header and footer text from the contract to the created documents
We have added the section Transfer from the contract to the created documents and checkboxes Comments, Header Text and Footer Text to the Books of Contracts for Sale and Cpntracts Books for Purchase.
In the Periodic invoicing and Installment invoicing functions, when creating documents, entered comments, header and footer texts are also transferred from contracts (depending on what is enabled in the contract book settings).
In the event that the contract creates a Contract with invoice / Contract with invoice, comments, header and footer text are transferred from the contract to the issued order / contract, and these data are added to the invoice according to the settings of the user parameters Copy comments and Copy header, footer and item text.
Contracts - planned tasks Periodic invoicing and Installment invoicing
We have created functions Periodic sales invoicing, Periodic purchase invoicing, Sales installment invoicing and Purchase installment invoicing that can be included in the Task Scheduler. Documents can thus be created automatically from contracts. After the action is completed, a notification with a link to the protocol with information about the created documents is sent to the user who is linked to the set contact person.
Finance
Termination of the calculation of late payment interest
A new function, End of interest calculation, has been implemented in K2, which will allow you to set and change the end of interest calculation date on unpaid invoices issued, invoices received, other liabilities and other receivables. The function is intended for use on documents issued to a customer who is insolvent. The function is launched from the Ribbon of the Payments tab. After the date is set, the accrual of late payments and the calculation of late payment interest will stop. It is also possible to restart the calculation of late payment interest by entering the date of Resumption of late payment interest calculation.
In this context, new fields were created on the invoice received, invoice issued, other liability and other receivable documents on the Payments tab in the Maturity and late payment interest button:
• Termination of interest calculation
• Restarting the interest calculation
A new right Purchase and sale/General/Change of interest calculation dates for arrears has been added, which will allow the user to enter a date for ending the calculation of arrears even in the blocked period.
Copy reference number option in the Create repeated documents function
The option Copy reference number symbol has been added to the function Creating repeated documents in advances and other receivables/commitments. If the option is active, the reference number is copied from the actual document.
Exchange rate on paid advance
The function Change rate on paid advance has been added to the received and provided advance module. To use the function, you need to have the Purchase and Sell/General/Rate Change right set on the paid advance. After changing the exchange rate on the advance, the payments on the bank statement (cash receipt, internal receipt) will be updated and the receipt must be rebilled.
Accounting
Editing fields on purchase/sale items when subordinate documents are confirmed
Editing of certain fields on purchase/sales items is forbidden if subordinate documents are confirmed. Editing fields is now not allowed:
- Posting key I , Account number and Matching symbol if a confirmed invoice is issued/received
- Posting key of the warehouse document, if the delivery/receipt note is confirmed
- Posting key R, if the reservation sheet is confirmed
New functions in economic analyses
In the Rows of Economic Analysis, we have added the Book of Accounting to the Conditions for Analytical Axis. In this way, data from different accounting books can be loaded into different rows or columns of the analysis.
We have created a bulk action Populate the list of rows. The action will allow you to insert the sum or difference of other analysis columns into the List of rows section on economic analysis rows in bulk.
Control report - cancellation of the item Data box identifier
Due to the information of the Financial Administration regarding the forms for value added tax for the year 2024, we have canceled the filling of the item Identifier of the data box (Id_Dats) in the xml file of the control report.
Assets
Assets - for the "Contract Validity until" field, the validity history has been added
The "Validity of the contract until" field, which is on the Basic data of asset card under the Additional data button, has been supplemented with an "alarm clock". When you press the alarm clock icon, the validity history of the field value is displayed.
Deletion of the last annual asset depreciation
The last Annual Depreciation can be deleted on the asset card, if no other items are created on the card for the given year (e.g. monthly depreciation) and the previous year's depreciation is processed.
Asset conversion – new option for transfer to depreciation history and inclusion in task scheduler
Asset conversion – new option for transfer to depreciation history and inclusion in task scheduler
A new option has been added to the Asset Conversion function - Load the processed depreciation and other movements after the conversion date into the depreciation history. If checked, asset items that have a date higher than the conversion date and are written off are also saved to the Depreciation History in the new asset.
A scheduled task has also been added for asset conversion, it can be run via the Task Scheduler.
Payroll
Electronic filing - modifications
The [i]Default settings[/i] tab of books for [i]Electronic submission[/i] has been made the following changes regarding communication with the CSSS:
- personal certificate field has been renamed to [i][b]Signing Certificate (Qualified)[/b][/i]
- a new field was added [i][b]Encryption certificate (Commercial)[/b][/i] - this is a commercial certificate that will be used to encrypt the response data of the CSSS. If the [i]Signature certificate (Qualified)[/i] is also encryption, then there is no need to fill in the encryption certificate and a qualified certificate is used for data encryption.
- the Personal certificate download from contact person check box was renamed to [i][b]Signature and encryption certificate download from contact person[/b][/i] and at the same time an encryption certificate (qualified) was also added to the settings on the contact person.
[u]If you have electronic filing books set up and communicate with the CSSA using electronic filings, then there is no need to change anything in the book settings after reinstallation.[/u]
Interval type - Priority
A new "Priority" field has been added to the Interval Type codelist.
Until now, it was not possible to process a worksheet if an overlay of planned absences was entered. The system warned of an error.
Now, if this happens and absences with different priorities overlap, then the higher priority absence will be used in processing. When two absences with the same priority overlap, the behavior remains the same, the worksheet cannot be processed.
The priority is set by initialization when switching to versions with modification, then it can be modified by the user.
1 = highest priority - the lower the number, the higher the priority.
Web and e-shop
Email Order confirmation with QR code for payment
When creating an order from the e-shop, it is possible to send the customer an email [i]Order Confirmation[/i] including a [b]QR code for payment.[/b]
A new icon for generating a QR code has been added to the email body (for a template in K2 format - WYSIWYG).
[u]Payment data is taken according to this logic:[/u]
1. if the method of payment is an advance - take over from the advance,
2. if not and there is already an invoice for the order - take over from the invoice,
3. if not - take over VS directly from the order.
Rounding of the stock quantity on the e-shop
In the e-shop, the method of rounding the actual disposition in the warehouse has been changed.
The stock quantity is now rounded down to the whole unit. Previously, the quantity in stock was rounded mathematically.
The display of the number of decimal places for the stock quantity depends on the Web and e-shop settings / Shopping basket - field Number of des. Place the quantity in the shopping cart:
number of decimal places in the basket = 0, then 12.5 => 12
number of decimal places in the basket > 0, then 12.5 => 12.5 Rounding of the stock quantity in the e-shop
Minimum weight for transport mode
It is also possible to define the Minimum weight for the given transporter in the Mode of transport code list.
If article do not reach the minimum weight specified in the order in the Mode of transport code, then this carrier will not be offered in the selection of the transport method.
Display of free documents on the e-shop
The filter conditions for displaying documents/items have been modified on the e-shop.
If we check the options "Display documents by customer" and "Display documents created outside the e-shop" in the Settings of the website and e-shop / Documents section, then free invoices, delivery notes and their items will also be displayed in the account of the logged-in user (with a set partner) .
In the account of the logged-in user (without a partner), only documents related to the order on which he is listed as a contact person will still be displayed.
Allowed method of payment / transport - invalidation of record
We have added the option to invalidate a record to the Allowed payment methods and Allowed transport methods lists on the Supplier/Customer tab.
If the record is blocked and at the same time set on the customer, then this restriction will not be taken into account and all available payment/shipping methods will be displayed.
Administrator
New type of alert - license expiration
We have created a new type of alert that will warn about the upcoming license expiration (ID 2000000010).
If there are less than 10 days left until the license expires, an alert will be triggered containing information about how many days are left until it expires. The check of this type of alert cannot be started manually from the Alerts book, but only via the scheduled Diagnostics task.
User parameters - Copy links
Added Copy Links option to User Parameters. If it is set, then when creating a copy of the document, a copy of the links will also be automatically created. If it is disabled, links are not copied when creating a copy of the document.
The parameter defaults to the value of the Copy Items parameter.
News K2 iris.06
Introduction
Changing the behavior of saving surfaces
We adjusted the behavior of saving surfaces. By default, surfaces are not saved at all. If the user wishes to save the desktop, he must save it via the menu Settings - Save desktop.
The original behavior ("U" surfaces are saved straight away without query when K2 is turned off, others with query) can be enforced with the INI parameter CHECKUNSAVEDLAYOUT=1.
Basic Code Lists and Supporting Modules K2
Bulk action VAT rate change on Article tab - added Legislation
We have added the Legislation field to the VAT rate change bulk action form above the Article tabs. It is now possible to collectively enter a VAT Rate valid from a certain date even for legislation other than the current multi company legislation.
Sale/Purchase
Editing simple code lists
A new right Code lists/General/Edit simple dials has been added. The right allows the user to edit code lists:
- shipping method,
- terms of delivery,
- order form,
- type in personal data.
New parameter Copy values of analysis axes when copying an item in purchase and sales documents
The parameter When copying an item, transfer values from the analytical axes of the copied item has been added to the Sales books and Purchase books settings. If it is checked, when copying an item in the document, the values of the analytical axes will be copied according to the copied item. If unchecked (the default), then the current item copy behavior will be preserved.
Definition of price groups
Adjustments were made to the Definition of price groups function (Customer/Supplier book, Sales tab), when the option to define the validity from-to was added to individual records. Now you can define two records with the same price group and different discount for different periods, or you can set different price groups for customers for different periods.
The decisive period for selecting records from the Definition of price groups is the setting of the Prices by date field in the Price List Settings.
Change of bank account number on confirmed invoices
A new function Change bank account number has been created above invoices received and issued. The function is located in the ribbon in the Functions tab in the Others section. The function will make it possible to change the bank account of the given customer/supplier on confirmed invoices even in blocked periods. It is intended especially for the case when the confirmed credit note needs to be supplemented with the bank connection to which the credit note is to be reimbursed and the document may already be in the closed period.
Purchase and sale/General/Change bank account right on the confirmed invoice is required to use the function.
Check for duplication of the External number on invoices received and advances provided
If, when saving the document of the received invoice or advance payment, the External number field contains a value that is already in these documents for the given supplier, then the program will alert you to this duplication, similar to the way it already does with the Reference number field.
Logistics
Handling of requirements - by batches
The functions Handling of requirements - Create purchase orders / transfer notes / internal sales orders support ordering according to requirements for particular batches.
Worker performance
We have created a new function for monitoring and evaluating the activity of warehouse workers during their shift. This function is based on the entries in the Mobile Terminal Statistics book and, when started, displays a graph (gantt) that compares the activity of warehouse workers within a shift. The form also contains 3 additional sub-graphs for evaluating warehouse performance in terms of time or number of events.
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Contracts
Creation of documents from the contract - contract
If Create document = "Contract" ("Order") was entered on the contract, when creating documents from the contract, a contract (issued order) with a subordinate invoice was always created until now. Only a new contract (issued order) without a subordinate document will be created.
For creating documents from the contract, we have added new options "Contract with invoice" and "Order with invoice" - when creating a document from the contract, a contract / order issued with a subordinate invoice is created.
When reinstalling to version K2 iris.06 or K2 album.02, the value in the Create document field changes from "Contract" to "Contract with invoice" and from "Order" to "Order from invoice" on the contract documents and in the Type of financial performance of the contract number list - this preserves the existing functionality when creating documents from the contract.
Finance
Offset - marking Default configuration
From versions K2 iris.06 and K2 alba.02, there has been a change when starting offset from the button [i]Offset[/i] from the ribbon above Cust./Suppl.
Until now, the "Default" label was not used in the credit configuration, and the credit configuration last started by the user was launched from the Offset button.
The [i]Offset[/i] button will now start Offset configuration, which will be marked as "Default".
Offset to date
We added new functionality to the Offset function from version K2 iris.06 and K2 album.02. After starting the Offset, a form for entering the Offset date will be displayed, and then only documents with an issue date less than or equal to the Offset date will be displayed.
If the Offset date is changed in the Offset form (top left), the documents will be reloaded according to the entered date.
Until now, it was only possible to set the offset date and the documents were displayed for the current day.
Also, a new field Issued/Acquired (IssueDateCalc) was added to the columns in the Offset form, in which the date of issue of the document is displayed. Users can pull it into the offset form.
Offset - the right to Edit Offset Configuration
A new Right Offset Configuration Editing has been added. Without this right, you cannot edit, delete, add or copy a new configuration.
Offset - a check on the payment of documents was added to the editing of the offset proposal
A check to see if the document has not been paid was added to the Editing of offset proposals. If a document has been paid in full, a red exclamation point will be displayed for the customer and the document.
Management reports
OLAP - tree structure of the Officer dimension
There is the support to display the Officer dimension in the OLAP views as a tree structure. To activate the tree structure of the Officer dimension please turn off the new parameter: Referent jako lineární (single-level).
Accounting
Change in the VAT rate from 1 January 2024
The approved consolidation package 2024 also represents, among other things, changes in VAT rates from 1 January 2024. The basic VAT rate of 21% will continue to apply, but from 1 January 2024 only one reduced rate will be introduced, namely 12%.
Most of the items from the reduced rates will remain at the reduced rate, the new 12%. However, some items of article or services are also moved between reduced and basic rates. The delivery of books will be exempt from VAT from 1 January 2024 and will be reported on line 26 of the tax return.
As a result of these changes, there will also be minor adjustments to the control report form and the VAT tax return. Packages with the necessary modification will be published when the necessary documents are available on the website of the Financial Administration.
Due to legislative changes in VAT rates, the following steps need to be taken in the K2 system:
1. Creation of a new VAT rate (SS 12%) in the codebook with the relevant legislation
2. Change in the VAT rate with effect from 1 January 2024 on the relevant article cards
3. Addition of zero VAT rate and "RN" tax type on article cards - books
4. In the Client Parameters, it is advisable to turn on the Update VAT rate according to the Article tab parameter
5. Adding a new VAT rate to the Settings for the VAT return form in the VAT Book
6. Adding a new VAT rate to the VAT accounting settings
7. Setting the new VAT rate in other code books (Travel Order Cards, Cash Receipt Cards, ...)
8. Change in the VAT rate on contract items
9. Change of the VAT rate in the sales price lists
10. Change of VAT rate in EDI
Invoices with an ac. transac. date from 1 January 2024, on which advances with the old VAT rate were deducted, must be corrected.
A more detailed procedure is given in the attachement.
OSS parameters - Sales books and Tax types can be entered by selecting from the code list
In Multi Company Management, on the OSS Parameters tab, where Sales Books and Tax Types for OSS (One Stop Shop) mode are entered, it is now possible to enter these data by selecting from the given code lists.
Road tax return - rounding when calculating the tax
According to the new [url=https://www.financnisprava.cz/assets/tiskopisy/5408_31.pdf?202401041550]Instructions[/url] for filling out the road tax return for the year 2023, the values of column 21 (Road tax in CZK without application of exemptions and discounts), 24 (Exemption), 25 (Tax discount) and 26 (Partial vehicle tax) are rounded to two decimal places.
In this context, we have made the necessary adjustments to the xml file.
The modification package for versions K2 ori.09, K2 iris.05 and K2 alba.01 is available in Partial Updates (Admin - System - K2 Partial Updates).
New VAT return form from 1 January 2024
On the website [url=https://www.financnisprava.cz/cs/dane/danove-tiskopisy]Finanční zpravá[/url] a new form, model 24, for [i]Value added tax return[/i is published ].
This new sample form will be used for the period from January 2024.
Packages with modified [i]VAT Declaration Form [/i]for versions K2 ori.09, K2 iris.05 and K2 alba.01 are available in [i]Partial Updates[/i] (Admin - System - Partial Updates K2).
Assets
Consolidation package - asset depreciation
1. The possibility to apply extraordinary property depreciation was extended, but only for road motor vehicles that are also emission-free vehicles and are purchased from 1.1.2024 to 31.12.2028.
2. The application of tax write-offs for M1 category vehicles (a vehicle with a maximum of eight seats in addition to the driver's seat) was limited to a maximum of CZK 2,000,000, regardless of the actual entry price.
Reports Statement of assets – parameter for displaying the account balance from the General Ledger
New parameters have been added to the Asset Statement (AssetStatement.AM) and Asset Statement - basic (BasicAssetStatement.AM) reports, which will enable the accounting balance on a given asset/depreciation/amortization account to be displayed on a given date. These are the parameters:
AccBooks – Semi-separated accounting books.
CurrentMulticompanyAccountingBook – Accounting book according to the current multi company.
ShowGenLedgerBalance – Show account balance from General Ledger.
If the report is then run with the parameter GroupBy = 106 (grouping by account), the account balance in the General Ledger is displayed in the report and the Difference is calculated.
Payroll
Attendance - scripts
The Employee Portal (PERS_EmployedPersonPortal.PAS), Person Attendance Terminal (ATTT_PersonalTerminal.PAS) and Attendance Terminal (ATTT_Terminal.PAS) scripts, if they have the TerminalAbbr parameter specified, now require the user to have right #2029 - Attendance Terminals - View to run the scripts .
Attendance - worksheets
Adjustments have been made regarding worksheets:
A sub-tab Additional data per worksheet has been added to the Account Totals tab on the worksheet, where Entitlement to food stamps is now displayed
A checkbox has been added to the attendance books Check confirmation of work sheets when exporting to payroll documents - if checked, only payroll files from confirmed work sheets can be exported
Worksheet Day form has been reworked - data on passes, intervals, work accounts, comments and attachments have been placed on separate tabs and an Additional Data tab has been added with information about who changed the given day
Added All Days Confirmed check box to the Record Preview to indicate that the days on the worksheet have been confirmed
Icons for confirming and disconfirming the day of the worksheet have been added to the Worksheet Days tab
Web and e-shop
Language versions for links (images, videos, files, etc.)
Added support for language definition for links (images, videos, files, etc.).
If there is a link for that language (e.g. English), this link will be displayed (e.g. image for banners). If there is no link for that language, the link for the default language will be displayed.
News K2 iris.05
My Office
Workflow
Adding "Show invalid persons" field in workflow roles
A "Show invalid persons" field has been added to the Roles book in the Workflow module, which will also display invalid persons according to the validity from/to from org. structures. By default, the cross is disabled, that means invalid persons are not displayed. To display this field, it is necessary to have a workflow connected to the organizational structure.
Logistics
Bulk insertion of items via the WMS assistant
Items can now also be entered in bulk via the WMS Helper in the function Bulk insertion of items into documents. The Space key can be used to insert the entire availability of the item from the helper, and the Enter key can be used to display the form for entering the quantity and then insert the item.
Contracts
Contracts - Links added
We have added Links to the documents Contract - sale, Contract - purchase and Contract - others on the Attachments tab.
Management reports
OLAP - Costs and incomes: dimensions Code3 - Code6
The Costs and incomes cube supports creation of dimensions for Code3, Code4, Code5 and Code6.
Accounting
Cancellation of the report Economic analysis - shortened
The report Economic analysis - shortened (UCT_EKAZ.AM), which displayed only non-zero rows of the current economic analysis, was canceled. Instead of this report, the report Economic Analysis - 4 Columns (UCT_EKAN4S.AM) is available, to which the parameter Show_Null_lines = No can be added.
Assets
New Depreciation posting key field on the asset card
On the asset card, we have added a Depreciation posting key field to the Basic data tab (under the Additional data button).
When creating an asset card, the Depreciation posting key field is not filled in automatically – posting key is added to the depreciation from the Asset book settings.
If we enter the Depreciation posting key on asset card, when creating or recalculating depreciation, this posting key will be entered into the "Depreciation" and "Depreciation of partial removal" movement.
Stocktaking processing – when codes are changed, the description field is filled in for asset movements
During stocktaking processing, the description: Stocktaking processing + number of Stocktaking Document is now added to the created asset movements of the "Code change" type.
Addition of texts to asset stocktaking reports
Lines with texts were added to the Asset stocktaking (AssetStocktaking.AM, AssetStocktaking_X.AM) and Asset Stocktaking List (AssetStocktakingList.AM, AssetStocktakingList_X.AM) reports on the last page of the reports:
Asset stocktaking + Stocktaking number / Stocktaking sheet + Stocktaking sheet number, Initiation of stocktaking, End of stocktaking, Method of ascertaining the actual conditions, Signature of the person responsible for ascertaining the fact, Signature of the person responsible for carrying out the stocktaking.
Payroll
Attendance system - adjustments
- Added the option to change the order of buttons for default passes on the terminal to [i]Attendance Terminals[/i] settings.
- The last day of the previous month and the first day of the following month and the name of the employee were added to the graph display on the worksheet.
- The fields used for entering Date and Time were divided into two fields Date and Time (passes in the [i]Passes[/i] book, [i]Processed passes[/i] in the worksheet) for easier data entry.
- In [i]Processed intervals[/i] on the worksheet, it is now possible to edit also generated intervals, i.e. not only manually entered ones.
- Added [i]Manual Edited[/i] and [i]Reason checkboxes to [i]Processed Passes[/i], [i]Processed Intervals[/i] and [i]Worksheet Day Accounts[/i] editing[/i].
- In the [i]Processed intervals[/i] button [i]Prefill by shift[/i] was added to the form for inserting a new interval - which will create an interval [i]Working shift[/i] according to the contractual time on the scheduled shift of the given day.
- [i]Insert break[/i] button was added to [i]Processed intervals[/i] - which will go through the processed intervals and insert a break according to the break setting on the shift type, if there should be a break according to the setting.
- Added [i]Shorten break by previous absence[/i] checkbox to [i]Work Time Model Shift Type Break Items[/i] on [i]Shift Type[/i]. If it is checked and there is an absence on the day before the break, then the break is shorter by that absence.
Administrator
License management - obtaining AS callstacks
In [i]License management[/i], tab [i]Logged in users[/i], buttons were added above the record for AS for the possibility to remotely [b]obtain the callstack [/b]of the application server, or [b]a series of callstacks [/b]of the application server.
The result of the operation will be stored in the user directory of the user who started the action.
New K2.ini parameters - switching surfaces
New parameters have been added to K2.ini to hide the option to switch surfaces and environment settings (visual styles, display size and universal forms preferences):
DISABLELAYOUTMENU=1 ... Menu [i]Settings \ Desktops [/i] is disabled - cannot switch desktops or manipulate them
DISABLEUIMENU=1 ... Menu [i]Settings \ Environment Settings[/i] is disabled - cannot switch visual styles, display size and preferences of universal forms
DISABLEVCXMENU=1 ... Menu [i]Settings \ Environment Settings \ Visual Styles[/i] is disabled - cannot switch visual styles
Web K2
Marking records in web K2
In web K2, records can now be marked with the mouse using the keyboard shortcut:
Ctrl + mouse click, or
Shift + mouse click.
Selection of calendar color in web K2
In web K2, it is possible to define your own color for individual calendars.
News K2 iris.04
Universal Forms
Import reports and scripts from gray F9 to blue F9 - new option "Ignore print groups"
As of ori.09 and iris.05, Import scripts and reports from old F9 to blue F9 (Ctrl+Shift+F6 in gray F9) has been added to the action selection new option "Ignore print groups".
Now work with groups of prints like this:
"Ignore Print Groups"
- No roles are created, no users are assigned to roles.
- This option ignores print groups and the conversion to blue F9 will take place without assigning roles to the CLIENT level.
"I manually map existing user roles and then run the import"
- Classification in gray F9 with print group is saved to the GROUP level with the selected role according to the mapping.
- [i]Users are not assigned to any roles.
"Create new user roles automatically and use them for import"
- New user roles named "ST_original print group name" will be created. These roles do not contain any rights.
They are actually just labels that are used to save assemblies and scripts to a specific group - now a role.
- According to the assignment of print groups to users, these newly created (empty) roles are also assigned to these users.
The grayed out F9 with print group is saved to the GROUP level with the new role selected.
A gray F9 assignment that was "[i]Locally assigned for a user[/i]" is converted to a blue F9 to USER level with that particular user - [i]regardless of the choice of working with groups method.[/i]
Ribbon in F9 in universal forms
As of K2 iris.04, F9 in universal forms is supplemented with ribbon.
New options for switching the display have been added to the ribbon: Show from F9 and the bar / Show only from F9 / Show only from the bar.
List of bookmarks in local menu
On the component with bookmarks, we have added a list of all available bookmarks to the local menu (via the right mouse button). You can switch to individual tabs with the left mouse button.
It works on all tabs of the new UI, only on desktop K2.
Basic Code Lists and Supporting Modules K2
Document types can be sorted into folders
We have added a new field Folder to the "Type of documents" codelist. Document types can thus be newly sorted into folders or a tree.
My Office
Workflow
Option to copy procedures parameters
Two ctions Copy to/Paste from clipboard were added to the "Parameters" items in the procedures action. Actions are only available in the new UI in the ribbon above the parameters module.
1. action copies all/selected records to clipboard
2. the action adds records from the clipboard to the Parameters item module
Notification
Notifications - new action: Confirmation of job card operation
We have added new action to notification system: Confirmation of job card operation.
Sale/Purchase
Retail sale – News (version 2023.04)
- An option to set codes 3 to codes 6 has been added to the retail sale configuration settings.
- The Discount per item in amount function has been added, which will allow you to enter a discount in the amount per item.
News in (new) EDI - K2 iris.04
Starting with version K2 iris.04, we have added to the EDI tab on the Customers and suppliers tab the option to define the default sales and purchase ledgers for importing EDI messages. If the field is filled, then the value from this field will take precedence over the value of the parameters of the same name from the EDI configuration.
In the EDI Message Queue book, an option was added to attach an xml file with a message for a given record in the book. The automatic connection occurs after the successful processing of the record in the EDI Message Queue book. The prerequisite for automatic connection of xml files is to have the Connect EDI message parameter set in the EDI configuration in multicompany and to have the type defined in the Document configuration code list in the next parameter Document type for EDI messages (see documentation description)
Logistics
Sounds of standard mobile terminals
The basic mobile terminal sounds are now part of the IS K2 installation and do not need to be recorded additionally. There is a Sound folder in the IS K2 root directory and then in the Conf directory. Basic terminal sounds are stored here.
There is also a Special folder available here. This is used for special reader sounds. These must be named just like the standard sounds. The function will then prioritize them. They will not be deleted after reinstallation.
Travel orders – expansion of the Means of Transport code list
In Travel Orders, we have added Boat and Own Motorcycle to the Means of Transportation code.
Finance
Cash register stock taking – change of right
Cash register stock taking function now checks the right to Finance/Cash Receipts/New Cash Receipt.
Until now, the function controlled the right to change the receipt. For some customers, the presence of a superior employee is required to change the receipt. Cash register stock taking should be possible even without the presence of a superior employee. That's why we changed the control to the right New cash receipt for the Cash register stock taking function.
Report Reminder (REM_DOC01.AM) - parameter Export_AttachmentFilename for influencing the name of the file sent by email Report Report (REM_DOC01.AM) - parameter Export_AttachmentFilename for influencing the name of the file sent by email
The Export_AttachmentFilename parameter was added to the Reminder report (REM_DOC01.AM), which can be used to influence the name of the file sent by email.
E.g. If the parameter Export_Type=1 (according to delivery/receipt) and the parameter Export _AttachmentFileName=[Name] are set, the attached .pdf file will contain the Company Name.
Configuration of bulk payments - the possibility to enter the conditions for filtering breakdown items using regular expressions
In the configuration of bulk payments in the function of HB - bank statement (HB_Statement.pas) was added the possibility to enter the conditions for filtering breakdown items by means of regular terms.
Financial Management - renaming fields
The Currency field has been renamed to Show Balance in Currency.
The Displayed bank accounts field has been renamed to Filter documents with BA.
Furthermore, the Show all documents checkbox was added to the Create bank order form. It is thus possible to expand or limit the display of documents directly in the Create bank order form. If the option is not checked, only the documents that can be inserted into the bank order for the selected bank account are displayed.
Accounting
Update of internal OSS document for domestic VAT return
From versions K2 Gaia.12, K2 Ori.08 and K2 Iris.04, the created internal One Stop Shop (OSS) document for the domestic VAT return can be updated. It is not necessary to cancel the original document and create a new one.
If an internal document already exists for the given month for the domestic tax return, by running the OSS script - creating an int. document for VAT return (OSS_CreateInternalDocument.PAS), the internal document is updated.
Analysis update Overview of changes in equity
We have updated the definition of economic analysis "Changes in equity" (Overview of changes in equity - Annex to the financial statements according to Proclamation No. 500/2002 Coll. in the stamp of late regulations).
Attached is an xml file with analysis for the K2 ori and K2 iris versions.
After the calculation in Economic Analysis Rows, the analysis can be printed using the Economic Analysis - 4 Columns report.
New check on the same Invoice date for all IN, CD and BA items
When posting an internal document, a cash document and a bank statement, a new check is carried out to see if the Taxable Transaction Date is in the same period for all items.
If the document contains items with different Invoice Dates, the message: "Invoice date of items are in different periods" will be displayed. The document is not posted.
Intrastat
Script for transferring customs tariffs to other legislations as well (K2 iris.04)
From version K2 iris.04, a script was added to the standard to facilitate the filling of the Customs Tariff field for other legislations on article cards. Although the customs tariff field is divided into legislations, because each country can have its own legislation regarding the division of article into customs tariffs, but in practice it is common that the customs tariffs are the same with exceptions.
Therefore, if article cards have the Customs Tariff field filled in and additional legislation is added to article card, then this script, after running, will allow the current value of the customs tariff from the legislation, which is set to the current multicompany, to be transferred to other legislations for article cards. Therefore, the same customs tariff value will be filled for all legislations defined on the product cards (if the customs tariff for another legislation is already filled, then the record will be skipped). At the same time, the given record will also be created in the codebook of the customs tariff for the given legislation, if the record is not found.
The script is executed above article card filter that the user creates and which will not include those article cards where the tariff rate value will be different.
Assets
Inventory card report – new parameter for choosing to display processed depreciation
The AllDepreciations parameter has been added to the Inventory Card report (AssetInventoryCard.AM) for choosing to display all processed depreciation or only depreciation processed for the specified period.
Yes - All processed depreciation will be displayed, No - Only after the period selected when starting the report in "Period to:".
Payroll
Reporting the status of employees to LO
The report Reporting the status of employees at the LO (PDP_STAVUP.AM) was modified.
Data that the monitoring questionnaire does not currently contain were removed from the report, and new data were added at the same time.
Creating worksheets
The creation of worksheets can now be scheduled as a scheduled task.
Shift types of the working time model - new code
Shift types for rest time models have been separated as a separate codebook and added to the tree menu Attendance system - Basic data - Work time model shift types.
If there were Shift Types on the payroll calendars, then this codebook will be filled with these already existing types from the calendars by initializing the version. Now, shift types will not be defined on each payroll calendar (working time model) separately, but will be defined directly in this new codebook and then assigned to the payroll calendars.
One shift type will therefore be possible to use in several salary calendars and it will not be necessary to create a new shift type for each calendar if the same shift type already exists.
At the same time, new rights were added:
- Attendance - Working time model shift types - Browsing
- Attendance - Working time model shift types - Record change
Web and e-shop
Do not enter the product name - the item description value from the document is loaded for the EshopArticleNameCalc field
If the option "Do not enter the name of the product" is checked on the Goods tab, then the item description value from the document is loaded into the EshopArticleNameCalc field (in the Order Confirmation email, in the List of orders, invoices, parcels and the List of ordered items in the e-shop).
If the description on the document is not filled in, the product name for the e-shop will be displayed by default.
Analysis of the shopping cart - display of units and change of the default value
In the DataMining_Parameters.pas script, units are newly displayed for individual parameters.
Furthermore, the default value of the "Minimum support" parameter was reduced from 1% to a value of 0.01%.
Eshop_ExportSitemap.PAS - new CreateBlogSiteMap and ExportAllLanguages parameters
2 new parameters have been added to the Eshop Export Sitemap.PAS script:
Export All Languages - generates sitemaps for all languages
CreateBlogSiteMap - generates files with links to blog articles.
EshopXMLFeedExport.PAS and DropshipmentAlzaXMLFeed.PAS - new "UploadToFTP" parameter
A new "UploadToFTP" parameter was added to the EshopXMLFeedExport.PAS and DropshipmentAlzaXMLFeed.PAS scripts, set to TRUE by default.
The parameter can be turned off, in which case the files will not be saved to the (S)FTP server.
Administrator
Manage scheduled tasks - History button
In Scheduled Tasks Management, we also added a History button to the window with the list of scheduled tasks to speed up work.
To view the execution history of a scheduled task, it is no longer necessary to open the record of the given action.
Management of planned tasks - new tabs "Periodically" and "One time"
To visually separate one-time and recurring tasks, we added 2 new tabs to the Scheduled Tasks Manager:
Periodically - records that are triggered repeatedly are displayed here
One-time - all one-time records are displayed here
Switching companies in menu
From version K2 iris.04, the form for switching your own companies in the menu has been modified.
Web K2
Clicks in web K2 on a linked field
From the K2 iris.04 version, in web K2, after using the keyboard shortcut Ctrl + clicking the mouse on the lined field, the dialer will open.
ClearCookiesAfterLogout parameter
From version K2 iris.04 it is possible to use URL parameter ClearCookiesAfterLogout=1 in web K2. This parameter is only used in conjunction with the AutoLogin=1 parameter. The default value is set to 1 - cookies are deleted when the user logs out. If the parameter is set to 0 after the user logs out, cookies will not be deleted and the user will be logged in again after the page is refreshed.
Allow web session takeover
On the Basic Data tab in the Users book, a new check box has been added, Allow taking over of web sessions. A user who has this option checked is enabled to log in multiple times in web K2.
News K2 iris.03
Basic Code Lists and Supporting Modules K2
Bank account - prefilling the recipient's address
There was an adjustment when pre-filling the company name and data from the company address on the foreign bank account on the Suppl./Cust. Card. So far, the company name and data from the company address have been overfilled in the event that Suppl./Cust. state differed from the company's own state. Newly, these data will be pre-filled after marking the foreign bank account with the Foreign check mark.
There was also a change in behavior in Wage deductions.
Sale/Purchase
EKOKOM - input of invoices according to the date of the accounting case/Date of confirmation
In the EKO-KOM packaging production calculation form, the fields Take into account the date of the accounting case of the invoice issued and When calculating the date of the accounting case of the received invoice have been added. If it is checked, then the documents that have the date of the case in the interval for calculating the EKO-KOM will be sent to EKO-KOM. If it is not checked, then the EKO-KOM calculation behaves as before... i.e. the documents will be sent to EKO-KOM according to the invoice confirmation date.
Price Lists - Function to copy the price list tree (K2 ori.07 and K2 iris.03)
A new function has been added to the Price lists module, which serves to simplify the creation of new price lists during revaluation. For the selected price list record, it creates a copy of the current and all subordinate price lists based on the price list, with options to terminate the validity of existing price lists and to set the validity of new ones from the specified date.
New right to enter a bank account on purchase documents
A new right to Enter any bank account value on purchase documents has been added.
If the user has this rigt set, user can enter any bank account value on purchase document.
If the user does not have this right set, it will be possible to select a bank account for the purchase documents only from the accounts entered on the supplier.
Logistics
Handling of requirements - Create orders - UoM from supplier's price
We have added new parameter Order in unit from supplier's price to the Handling of requirements - Create orders function.
- True: Order proposal is in the unit of measure loaded from the applied supplier's price.
- False: Order proposal is in the unit that is default for purchase.
Handling of requirements - Create orders - Load unlimited coverage
In case, the function is run with the activated parameter Enter limit date for loading requirements at start, the Load unlimited coverage button is available. It enables to display all records in the coverage - that is also those, which are not calculated in the order proposal. (We recomend to change format of those records (for example a colour) for better visual differentiation - use condition on the field "IsBeyondLimitDateCalc"). Displaying the unlimited coverage is not saved - after reloading / restart it turns off.
Handling of requirements - summary data
In the functions of Handling requirements is now the preview panel with summary data of this type:
- Requirements breakdown - summary
- Requirements breakdown - detailed
- Summary for items to be processed.
Balíkobot - Return shipments (B2A)
We have implemented the support of return shipments for shipment services via Balíkobot. More details can be found in the help, the topic Implementation of Balikobot.
Recalculate planned stock price - Warehouse, own company
We have added the Warehouse and Own company fields into the Recalculate planned stock price shortcut function.
Maintenance
Extension of maintenance rights
The following rights have been added to K2 iris (2023.03) and must be assigned after installation.
Contracts
Installment calendar report - tax document
We created a new report Installment calendar - tax document (SaleContract_Doc01.AM). The report can be run above the sales contract with the payment type "Instalment calendar". The installment calendar will be displayed according to the contract items.
Insertion of the External number in the document created from the Contract
When creating an invoice, other liability or receivables from the Contract, the External number indicated on the contract is also inserted into the document
Finance
New options in Bulk payment configuration in the HB function - bank statement
Fields have been added to the Bulk Payments Configuration in the HB - Bank Statement function (HB_Statement.pas):
- Deviation from the loaded amount - deviation from the amount that is taken into account during filtering to find documents in the defined range. (There is sometimes a difference of several hundredths between the amount of the document and the amount of the statement.)
- option Use amount for - option how to handle the loaded amount. Either it is also used for filtering or it is only inserted into the document. Filtering will then only take place based on the variable symbol or other selected field.
New options in List of coins function
A new description field has been added to the List of coin function (CashBrList.AM). The entered description is copied to the created receipt.
Also added a new ReceiptForm parameter to display a custom report instead of the standard one. If the user does not want to run the standard cash receipt report (CASHBRLIST2.AM), he can create his own and enter its full path name in the ReceiptForm parameter.
Polish exchange rate
Added function to load Polish Exchange List [b][i]Import Exchange List Poland[/i][/b] (ExchangeListImportPolandDaily.PAS).
The function will be used for own company In Poland. If the own company has the Your own exchange list, the CompanyId parameter must be entered in the script parameter to make it clear for which own company the exchange list will be loaded.
Setting the current exchange rate in the exchange rate sheet
From the versions K2 gaia.11, K2 ori.07 and K2 iris.03 there was a change in setting the current rate. In the exchange rate sheet, the current exchange rate is written into the header of the exchange rate sheet only if your own company is not selected on the exchange rates (CompanyId = 0).
The function Creating a bank order in the open item book and financial management worked with the current exchange rate from the header of the exchange rate sheet. Both functions now take the current exchange rate from the exchange rate sheet item according to the respective own company.
Financial management - new field Descriptio
A Description field has been added to the Financial Management module, which displays the description from the initial document. The user can sort the fields into columns.
Creating a bank order in the Financial Management book
The Create bank order function in the Financial Management book has changed since versions K2 gaia.11, K2 ori.07 and K2 iris.03:
- the current exchange rate is set from the items of the relevant exchange rate sheet (so far it was set from the header of the exchange rate sheet),
- only documents that have the same company name as the company name of the bank account to which the bank order is created are loaded into the function.
Creating a bank order in the Open item book
There has been a change in the Create bank order function in the Open item book since versions K2 gaia.11, K2 ori.07 and K2 iris.03:
- the current exchange rate is set from the items of the relevant exchange rate sheet (so far it was set from the header of the exchange rate sheet),
- only documents that have the same company name as the company name of the bank account to which the bank order is created are loaded into the function.
Management reports
Loading measures and dimensions in saved views of real-time data pivot table
We have modified loading measures and dimensions in saved views of real-time data pivot table. When launching a saved view, only measures and dimensions used in the view, are loaded. If needed, other measures and dimensions can be added (right mouse button on nodes of Measures or Dimensions, function Add new measure (dimension) into field list. The only measure, that is always loaded, is the measure "Count".
This modification speeds up the loading of views.
Accounting
New field Posting on initial documents changed by.
On the Initial documents, we added the Changed by posting field on the Posting tab, which displays information about the user, date and time of the last change of the accounting document.
Update of Not posted book after posting the documents in the container
If we create and open a container of documents in the Not posted Book (e.g. a container of internal documents), post the documents in the container and return to the Not posted Book with the Esc key, the not posted documents will be restored (previously, during this procedure, the documents remained in the not posted Book).
New function Export of accounting journal items to csv
We have created a new function Export accounting journal items to csv. This function is intended for exporting a large number of accounting journal items to a csv file and can be used if the company uses the Task Scheduler.
Attachements to the Annual Report of Economic Entities of Selected Production Sectors (P 5-01)
We have created economic analyzes for the calculation of the following attachements to the Annual Report of Economic Entities of Selected Production Sectors:
• "P5-01 A024" - attachement A024a Revenues
• "P5-01 A025" - attachement A025a Costs
• "P5-01 A160A" - attachement A160a Selected balance sheet items - net asset part
• "P5-01 A160P" - attachement A160a Selected balance sheet items - liabilities part
• "P5-01 A143" - attachement A143m Financial assets - net
Attached is an xml file with analyzes for the K2 ori and K2 iris versions. A more detailed description is in the attached document.
Documents for the Quarterly report on the import and export of services (ZO 1-04)
In invoices issued and received, we created factory filters Invoices for the report on import and export of services (ZO 1-04) and automatic reports Invoices issued for the report on import and export of services (ZO 1-04) and Invoices received for the report on import and export services (ZO 1-04). The values for the statistical report can be read from these reports.
Posting key – Transfer notes - new parameter for Costr center field
For Transfer notes, a new parameter "Warehouse cost center From warehouse" was added in the posting key (accounts) for the Cost center field.
Assets
Viewing the selling price for asset retirement
A Sales Price field can now be added to asset card list. The sales price entered when the asset was retired will be displayed.
Additional sorting options have been added to the reports above the new asset module
The following sorting options have been added to reports above the new asset module where sorting can be selected:
126 – By date of acquisition
127 – According to the date of inclusion in use
128 – By date of withdrawal
Payroll
Cash on delivery payroll - new parameters
Parameters have been added to the report [i]C.O.D. Payroll[/i] (MZD_DOLI.AM):
- [b]ByEmployedPerson[/b] - defaulted to No. When set to Yes, one employee is printed per page.
- [b]SuppressDetail[/b] - defaulted to No. If set to Yes, employees will not appear on the report.
Annual tax settlement - transfer of tax overpayment - adjustments
The [b]CreateZeroAmountComp[/b] parameter was added to the function [i]Annual tax settlement - transfer of tax overpayment [/i](PREMP_TaxCre.PAS) - also create an input component of zero overpayment.
The parameter is implicitly set to the value NO (zero wage component is not created).
At the same time, a log was added, which is displayed after the action is started and can display the following warnings:
- In this concurrent employment relationship is not tax payment
- "Perform annual settlement" is not checked.
- The input component of the annual tax overpayment has already been created.
- The overpayment is zero (it did not reach the decisive amount).
Image with user signature
Parameter [b]Sign [/b] - an image with the user's signature was added to the selected reports.
This parameter has a default value of 0 (the image is not displayed on the report, i.e. the same behavior as before). To display an image with a signature, the parameter can be set to the value:
- current logged in user: [b]@akt;;;[/b]
- login name to K2 - i.e. picture of a specific user (e.g. user Novák): [b]NOVAK;;;[/b]
A more detailed description of the parameter is part of the documentation.
The modification applies to the following reports:
- Confirmation of monthly earnings for ÚP (MZD_MESVYD.AM)
- Confirmation for the purposes of assessing entitlement to unemployment benefits (MZD_PONEZ.AM)
- Confirmation of income for benefits st. support (MZD_PRIC.AM)
- Confirmation of taxable income (MZD_PRIJ.AM)
- Confirmation of taxable income DPP (MZD_PRIJ_DPP.AM)
- Confirmation of employment (MZD_SEZZ.AM)
- Calculation of tax and tax benefits (MZD_VDAN.AM)
- Confirmation for claiming a tax benefit (PDP_ChildorderConfirm.AM)
Electronic submissions - personal certificate
Added a setting to retrieve a personal certificate from a contact person in the book settings for [i]Electronic submissions[/i].
Has been added:
- check mark [b][i]Receive personal certificate from contact person[/i][/b] - the user's personal certificate can now also be set on the contact person (Contact person book). It is advisable to use this option if more than one person provides communication with the CSSA and each person has their own certificate for communication. In this case, the [i]Personal certificate[/i] field in the book settings is not filled in and is left empty, while the [i]Take over personal certificate from contact person[/i] checkbox is checked and the [i]Site type[/ and].
The user's contact person, who ensures communication with the CSSA, then needs to fill in the certificate. If there are more such persons, then certificates need to be set for all persons who ensure communication.
- Field [b][i]Website type[/i][/b] - If the checkmark [i]Personal certificate from a contact person[/i] is checked, then [i]Website type[/i] must be filled in at the same time . A new VREP type is used for this type of communication.
Furthermore, a new function was also created in the book Electronic submissions - [b][i]Prepare for submission again[/i][/b], which is accessible in the record change. Thanks to this function, it is possible to set an already submitted record in a state to be submitted again. The function can be used, for example, in the case of an initially incorrectly set certificate, or if there is manual intervention in the entered sentence.
Notice of intention to apply discount on insurance premium - name of the employee in the description
When exporting (CTRL+F3) the report [i]Notice of intention to apply a discount on the insurance premium[/i] (PREMP_OZUSPOJ.PAS) to the book [i]Electronic submissions[/i] is now added to the field [i]Description[/i] on add the name of the employee to whom the submission relates to the record.
Standard extension HR and payroll - adjustments
Modifications were made to the standard K2 extension for Human Resources and Payroll.
[b][i]Employer Bulk Notice:[/i][/b]
- Added option to [i]Process only employment[/i] in the update
- Added function [i]Mark as not exported[/i]
- Fields on the personnel card related to health insurance registration ([i]HI registration, Change code, Date of change code[/i]) were divided into their own companies (these are new fields) and now they can acquire different fields in each company values. If these fields were extracted in the columns on the personnel card in the lower version, then the original fields need to be removed and new fields extracted. This change is also related to the initialization of these fields through the companies to which personnel cards are included. [b]After reinstallation, it is necessary to run the script [i]Initialization of HOZ data[/i] (PERS_HealthInsuranceInit.PAS) above the book [i]Personal data[/i], which will set these fields to the correct value. The script only needs to be run if the standard Payroll and HR extension is used. [/b]It is possible to play it repeatedly and over selected records.
[i][b]Notice of employment start :[/b][/i]
- After the update, the message from the text log, which describes the action performed and any errors related to this action, is newly saved in the comment to the created record
- Added function and bulk action to [i]Delete records[/i]
- Added function [i]Mark as not exported[/i]
- Added option to [i]Process only employment[/i] in the update
Web and e-shop
Support for SEO when indexing images on the website/e-shop
In order to improve support for SEO when indexing images on the website/e-shop, the format for editing the file/image name when connecting it to the Links module and uploading it to the repository (FTP, SFTP) has been changed.
Newly, the titles do not use underscores to separate words, and the text is converted to lowercase letters.
Existing attached images and files are not affected by this modification, they will only be applied to newly attached ones.
Sales to several countries on the e-shop
As part of the K2 e-shop, it is possible to [b]sell to multiple countries[/b] under one domain from version Iris.03.
Selling to different countries within one e-shop will significantly simplify administration, you only use different language mutations on the e-shop, you sell in different currencies.
The user selects the country for delivery in the e-shop header, and other features of the e-shop are set accordingly (offer of carriers and correct VAT rates).
[u]Selling to multiple countries on the e-shop includes three basic points:[/u]
1. Option to select the country of delivery in the header of the e-shop page
2. Recalculation of prices according to applicable VAT rates based on the legislation of the country in question
3. Filtering the mode of transport for the given state
More information can be found in the K2 iris.03 documentation, chapter [i]Web and e-shop/List of related documentation/[b]Sale to several countries[/b][/i].
Google Analytics 4
According to Google's announcement, it will no longer be [b]1. July 2023[/b] the [i]Universal Analytics[/i] service will be available and will be replaced by the new [b]Google Analytics 4[/b] service.
For these purposes, we have added the option "[b]Use Google Analytics 4[/b]" to [i]Web and e-shop settings / Analytics tools[/i], where the ID for GA 4 must be filled in.
E-shop recalculation - "Transfer calculated data to production by renaming tables" option
The option "[b][i]Transfer calculated data to production by renaming tables[/i][/b]" was added to the form "[i]Recalculation of article for e-shop[/i]".
The option can only be checked if a complete recalculation will be started over all e-shops.
Checking this option will speed up the calculation, as the calculated data will not be moved between tables (with indexes turned on and off), but the original tables will be deleted and the temporary table (including indexes) will be renamed to the production one.
Banners - user accessibility
In the [b]Banners[/b] book, on the [i]Basic Data [/i] tab, we have added a new [b]User Accessibility[/b] field.
The value in this field determines to whom the banner will be displayed - only non-logged in users, only logged in users or all users.
Administrator
Alerts book
Starting with the K2 iris.03 version, a new Alerts book has been created, in which you will find notifications that are reported by a regularly running diagnostic task on the application server.
New data module Progress of license usage over time
In the tree menu in the administration section a new data module Progress of license usage over time was created. This data module replaces the LicenseCounterGraph.am report.
The right to changes has been added for the Asset Location codelist
A new right Change the asset location (Asset / Asset location / Change the location of asset – No. 2252) was added for the codelist Asset Location . It will enable editing and new records in the Asset Location codelist for authorized users.
Internet of things (IoT)
Web K2
Simple chart
The Simple chart component is available and supported by the web K2.
Web K2 - switching styles
From version K2 iris.03 it is possible to choose different styles for working in web K2.
Web K2 - Password change
From version K2 iris.03, it is possible to change the user's password in the Main menu in the Administrator section of K2 web.
Editing text format in web K2
In web K2, the option to change the text format, switch languages, and switch between plain and formatted text within the formattable input component has been added.
Web K2 - Map component
From version K2 iris.03, the Map component is displayed in web K2. The user can move freely in the map and after clicking on the icon in the lower right corner of the map, they will be redirected to mapy.cz.
The Radio box component
The Radio box component is available and supported by the web K2.
News K2 iris.02
My Office
Workflow
Sort comments in the Own pending steps book
The action "Sort comments from the most recent" was added to the list of comments in the Own pending steps book.
After activating the action, the list will be reloaded and sorted from the most recently added to the oldest comments.
The state of the action is stored in the user parameter.
Bulk insertion of attachments in the book Own pending steps
It is now possible to add attachments in bulk in Own pending steps book. After centering to the book from which the attachments are added, just mark requested records with an asterisk and press the enter key. All stared records will be placed in the attachments.
Calendar
New factory templates and providers
New factory templates have been created for providers and calendar date factory providers.
It is about:
- [i]Calendar of significant days[/i] - here it is a condition to have filled in the field [i]Calendar of free days and holidays [/i]in [i]Clients parameters[/i]
- [i]Project work queue [/i]- for the contact person of the logged in user
- [i]Schedule of shifts[/i] - for the contact person of the logged-in user
- [i]Planned absences[/i] - for the contact person of the logged-in user
Sale/Purchase
Option Documents without VAT - books of purchase/sale and books of Other liabilities/receivables
A check box Documents without VAT has been added to the books of purchase/sale and books of other liabilities/receivables. When creating a document in such a book or when changing suppl./cust., the VAT flag will always be turned off on the document. The VAT flag cannot be edited on such a document.
Production
Planned resource shutdown - fill capacities only
We have added new parameter "FillWorkshiftsOnly" into the script Planned resource shutdown.
- False (default value): Shutdown (operation) is scheduled also out of the resource capacities. This is the original functionality of the script.
- True: Shutdown (operation) is scheduled only into capacities (into workshifts).
Contracts
New bulk action Update contract attribute set
We've created an Update Attribute Set bulk action that can be run on unconfirmed contracts. After the action is started, a set of attributes and attributes specified on the Contract Type will be added to the contracts. Attribute values can then be added to contracts using the Change Attributes bulk action.
New field Variable symbol on contract item of type Periodic invoicing
We have added the Variable symbol field to the contract item with the method of financial performance "Periodic invoicing". If the field is filled, the variable symbol is transferred to the header of the document created from the contract.
The automatic creation of a variable symbol on contract items can be ensured by setting a template for creating variable symbols in Contract books - sales.
Finance
Bank Statement Items - Bulk Name Change
Added Bulk Name Change which is run in bank statement change above marked bank statement items (asterisk). It is possible to enter your own name or select from the list of Bank document cards. If the name on the item is empty and the user wants to keep the values on the item, then the values from the card will be transferred in the same way as when changing manually. It also matters if the bank receipt card to which we want to change the name of the item in bulk has the Do not copy name check box. If the Do not copy name check box is set on the bank documents tab and a name is entered on the bank statement item, the name will not be overwritten, but the other fields entered on the selected bank documents tab will change.
Open item books - option to display only confirmed documents
An option to display only confirmed documents has been added to the open item books in the ribbon.
Extension of the Cash register stock taking function - comment and difference
A new field Difference (CashRegisterInventoryDifferenceCalc) has been added to the cash receipts, which can be pulled into the columns in the cash receipts. The Difference between the actual balance of banknotes and coins in the cash register and the cash register balance calculated by the Cash register stock taking function is entered in the field.
A new comment type "INVPO" was also created, into which the comment from the cash register tock taking function is written.
Cancellation of EET in K2
Following the cancellation of EET in Act No. 458 / 2022 of 14.12.2022, which was published in the Collection of Laws on 28.12.2022 and which takes effect on 1.1. 2023 the EET setting in K2 was cancelled:
• the EET node would be removed from the tree menu,
• fields related to EET settings were removed from the forms in the books of cash and internal documents,
• the button for jumping to the EET book was canceled in the receipts and the icon was sent to EET,
• the Update EET function was cancelled.
• fields related to EET (FIK, establishment...) were deleted in the print reports.
Accounting
Account settings for settlement of payments with TO for individual VAT accounts
In the VAT Accounting Settings function in the VAT Accounts section, the "Account for payment settlement with TO" column has been added for the possibility of distinguishing VAT settlement against different tax offices.
If the field in this column is filled in, during Transfer of balances on VAT accounts, the balances will be preferentially transferred to this set account. If the Account for settlement of payments with TO is not filled in in this field for individual VAT accounts, rebilling will occur according to the account set for settlement on the VAT Rebilling tab.
General Ledger - jump to matching symbol
In the General ledger, we have added the Matching symbols tab with the Matching symbol function to the ribbon. If the cursor is set in the table with matching symbols in the General ledger on the Matching symbols tab, this new function can be used to open the Matching symbols book - the basic data of the current matching symbol will be displayed.
New features above Rows of Economic Analysis
Working with Rows of Economic Analysis has been modified with the following functionality:
- The function Copy column definition – has been expanded with the option Copy without conditions for analytical axes (so far it was possible to copy the definition of a column always including conditions).
- Bulk action Setting conditions for analytical axes – after marking the lines of the economic analysis, it is possible to select axes and enter values for the selected columns through this bulk action. After agreement, the conditions will be set on all marked lines.
Canceled the checkbox "SD taxpayer change in the month of removal" on the vehicle card
The checkbox "Change of SD taxpayer in the month of removal" on the vehicle card has been removed. The field canceled the tax liability for road tax in the month of withdrawal, after the amendment of the Road Tax Act it is no longer applicable.
According to the Explanatory Report on Section 2, Paragraph 4 of the Road Tax Act, in cases where there is a change in the person of the operator (or other taxpayer) during the course of a calendar month, the taxable vehicle in which such a change has occurred will now be subject to tax with both operators (or other taxpayers).
On lower versions, the field will not be checked for these reasons.
Road tax - adjustments in connection with the new return form for 2022
Due to the new [b]road tax return[/b] form for 2022, we have made related adjustments in the K2 system.
- The report [i]Road tax return - List of values[/i] (VOZ_RTD_Values.AM) was modified to correspond to the new form of the return form
- The [i]XML file[/i] of the road tax return has been modified for electronic submission
Adjustment packages are available in Updates (Administrator - System - K2 Updates).
Account settings for settlement of payments with TO for individual VAT accounts
In the VAT Accounting Settings function in the VAT Accounts section, the "Account for payment settlement with TO" column has been added for the possibility of distinguishing VAT settlement against different tax offices.
If the field in this column is filled in, during Transfer of balances on VAT accounts, the balances will be preferentially transferred to this set account. If the Account for settlement of payments with TO is not filled in in this field for individual VAT accounts, rebilling will occur according to the account set for settlement on the VAT Rebilling tab.
Assets
Creation of asset card from other liability
We have extended the Create Asset Card script (CreateAsset.PAS) with the ability to create an asset card from an Other Liability item.
Property tax – EPO document and adjustments in the parameters for return
Based on the information from the tax portal about the introduction of a new EPO document for submitting a tax return for real estate tax (the DNEDP4 document also remains valid), K2 has prepared an adjustment for loading the .xml file in the form of DNEDP5.
In connection with the different structure of DNEDP5 compared to the original EPO document DNEDP4, the following modifications were also made in K2:
- "Historical" items entered after running the script "Property tax - parameters" (Delivery address, Bank account, Second bank account) have been removed.
- On the Property tab, Property Tax, Lands tab, the field "Determined price (for type C and D)" has been added - for the possibility of indicating the price determined according to the applicable price regulations for land types C and D. This means that if it is indicated in EPO form price found, there is no need to fill in the land price per 1 m2 (line 211); the value of the price determined in CZK is entered on row 212 and this value will not be recalculated in the EPO form.
The modifications made are available from K2 gaia.09.120535, K2 ori.05.120535 and K2 iris. 01.120535.
Change in coefficients for property tax
Due to adjustments to the coefficients and new codes for [b]immovable property tax[/b], we made adjustments in K2 related to loading via web services.
Newly, the local coefficients are determined with an accuracy of one decimal place. The local coefficient can be determined for a list of parcels or for the entire cadastral territory. The calculations now use the new EPO code.
The fixes are deployed from K2 gaia.09.121004, K2 ori.05.121004 and K2 iris.01.121004.
Modification packages are available in partial updates (Admin - System - Partial Update K2). They can be applied from versions [url=https://infoservis.k2.cz/SupportErrorEdit.aspx?ThreadID=210608]with this new feature[/url].
Inventory card report in new asset - added Overview of asset price increases and changes
"Overview of asset price increases and changes" was added to the Inventory card (AssetInventoryCard.AM) report in the new asset. This section of the report displays confirmed asset movements with Technical Valuation, Price Change, Price Breakdown and Partial Discard with information on the date of movement, type of movement, amount and description of the movement.
Account assignment of accounting documents report - new parameter for displaying the inventory number of asset
A new InventoryNumber parameter has been added to the Account assignment of accounting documents (UCT_PRKD.AM) report. When you run the report above Asset Movements with this parameter, the asset inventory number will be displayed instead of the asset number.
Payroll
Do not report insufficient entitlement to regular leave
A new wage constant [b]MSG_LEAVECLA[/b] has been created - [i][b]Do not report insufficient ordinary leave entitlement[/b][/i].
The wage constant has also been added as a checkmark to the user wage constants per form in the [i]Reporting[/i] section.
During the check calculation, the holiday entitlement is recalculated - the entitlement is checked from the beginning of the year (or the beginning of the relationship) to the current month, i.e. the entitlement to the date = until the end of the current month. Therefore, the taking of leave is checked against the actually incurred claim. If this entitlement is lower than the leave taken, then a warning about this situation is displayed in the error log.
With this check mark (wage constant) it is possible to suppress the report.
Check for duplication of birth number
Added check for duplication of birth number to the [i]Personal data[/i] book. If, when entering the personnel card, a birth number is entered that is already stored in the book, the program will alert you to this situation and the card may not be saved.
Probable Average for Wage Compensation - Adjustments
Adjustments have been made regarding the calculation of the probable mean. Until now, this calculation was influenced by only one wage constant - SKIPPRECMPAV. Two more wage constants have now been added to differentiate the way the probable average is calculated in different situations.
[b]SKIPPRECMPAV[/b] - Another calculation of zero probable average earnings in the month of occurrence or after absence over the entire qualifying period.
[u]Wage constant values:[/u]
[b]NO[/b] (implicitly) - the calculation of the probable average is calculated by pre-calculation from the entered negotiated values - basic salary and personal remuneration (without bonuses) divided by the fund from the calendar for the previous quarter. If the average is zero after the pre-calculation (if, for example, the input data is missing), then the error log reports this fact, and after adding the data, the probable average is calculated by a control calculation from the current month's data.
[b]YES[/b] - the calculation of the probable average is calculated from the output values of the current month.
[b]SKIPPRECMPA2[/b] - Another non-zero probability average earnings calculation. That is, the calculation of a non-zero probable average earnings, i.e. when 21 days were not worked in the relevant period, but something was worked.
[u]Wage constant values:[/u]
[b]1[/b](implicit) - the probable average is calculated from the actual values from the decision period
[b]2[/b] - the probable average is calculated from the entered negotiated values - basic salary and personal evaluation (without bonuses) divided by the fund from the calendar for the previous quarter.
[b]3[/b] - find the last improbable average. Thus, the last average for wage compensation, which was not calculated as a probable average, is substituted.
[b]SKIPPRECMPA3 [/b]- Another zero probability average earnings calculation. That is, the calculation of zero probable average earnings after absence over the entire previous quarter.
[u]Wage constant values:[/u]
[b]1[/b] (implicitly) - according to the SKIPPRECMPAV constant
[b]2 [/b]- find the last improbable mean. Thus, the last average for wage compensation, which was not calculated as a probable average, is substituted.
The wage constants are implicitly set so that the calculation is the same as before and thus the import of these wage constants does not change the existing functionality. Pay constants are available in [i]K2 Partial Updates[/i].
Regeneration of open items - adjustment
An adjustment was made to [i]Payroll posting[/i] regarding the function for [i]Regenerate open items[/i].
After starting the action, you will be asked whether to fill in the empty open items values as well. Implicitly, addition is checked, i.e. if there is a deletion of a open item on a payroll component in the codebook, then this deletion will also be reflected in the posting of wages and the payroll component will not have an open item and therefore will not be posted. If the user were to remove the check mark, then only the changes to the accounts in the number list of wage folders will be reflected, but the possible deletion of the account on the folder will not be reflected, and the original account will remain in the payroll. The question does not concern the regeneration of analytical accounts.
Leave - calculation based on the expected end date
Adjustments have been made regarding the calculation of leave entitlement. Up until now, the assumed leave entitlement was calculated only in connection with the date of termination of the employment relationship. Now it is also possible to use the calculation based on the [i]Expected termination[/i] field. When calculating leave entitlement, the expected end date will only be taken into account if the end date is not filled in.
This functionality can be turned on with the new wage constant [b]LEAVEEXTD[/b] - [i]recalculation of entitlement dov. even according to the "Estimated end date"[/i], which is implicitly set to the value NO, i.e. implicitly the same behavior as before is maintained.
The wage constant is available in [i]K2 Partial Updates[/i].
Web and e-shop
Modifications to the K2 e-shop reflecting the amendment to the Act on Consumer Protection
As part of the [b]amendment of the Act on Consumer Protection [/b]based on the European directive, the following modifications will be made to the January release versions of gaia.10, ori.06, iris.02:
1) [u]Original price and calculated discount[/u]
The stated original price must now be the lowest amount for which the product was sold in the e-shop in the previous 30 days. It is no longer possible to artificially increase the original price in order to produce a higher discount.
In K2, the record of the price history at which the product was sold will be added, as well as the function which, from the data from this price history, will fill the Original price field on the product card or Flags for a specific e-shop.
2) [u]Customer reviews and ratings[/u]
The law newly treats fake reviews written by the seller himself. The seller must prove the origin of the review. The simplest solution is to ensure that only real customers who have purchased the product can submit reviews.
In K2, it will no longer be possible to add product ratings for any e-shop user. It will only be possible for users from the overview of orders, or ordered article.
3) [u]Button "Send order"[/u]
Newly, the button for sending the order must clearly state that by using it, the customer undertakes to pay for the goods.
To fulfill this obligation, just change the text of the button to "Order obligating payment" or "Buy now", "Pay now".
This change must be made by changing the value in the Site Texts module. It is a record with the abbreviation "sendOrder".
A more detailed overview of all the changes introduced by the amendment can be found here: [url=https://www.e15.cz/eshopy-zmeny-podminky-reklamace-slevy-vraceni-zbozi]https://www.e15.cz/eshopy-zmeny-podminky-reklamace-slevy-vraceni-zbozi[/url].
Price history - change of initialization of initial prices
The price history is now initialized after a query when the option [i]Record changes in int. shops prices is checked.[/i] in [i]General settings of the website, e-shop[/i], instead of optional initialization.
E-shop - Canceled check on the mandatory VAT Reg. number in the order
If in [b]Web and e-shop settings[/b], section [i]User accounts[/i], the option [i]Mandatory entry of the VAT Reg. number in the billing address[/i] is checked, then the entry of the VAT Reg. number is mandatory only when registering. The check of entering the VAT Reg. number when filling in the billing address in the order has been cancelled.
Administrator
Management of scheduled tasks - bulk disable/enable tasks, quick start and delete active task
3 new functions have been added to [i]Scheduled Task Manager[/i]:
1. Marked tasks can be disabled in bulk with [b]Ctrl+Shift+D[/b] keys or enabled with [b]Ctrl+Shift+E[/b] keys.
2. Added the option to delete the selected non-running scheduled task directly from the [i]Enabled tab [/i]using the keyboard shortcut[b] Ctrl+Shift+Del[/b]. This is a quick delete and does not require the task to be disabled.
3. Added [b]"Run"[/b] button to the window with the list of scheduled tasks to quickly start the task. The task starts immediately, regardless of the settings.
Editing of the Users and User Roles books
A new Groups tab has been added to the [i]Users[/i] book, which displays information on whether the user has permission to view or change specific records.
In the [i]User Roles[/i] book, on the Record Groups tab, the following fields have been added to the Rights Groups form:
- Group users (for viewing),
- Group users (for reading),
- Role for reading,
- Role for a change.
OAUTH settings for online calendar in Office 365
According to Microsoft's information, when using the Exchange Web Services API for Office 365, Basic Authentication support ends on 12/31/2022, and only OAUTH will work. Modifications in K2 associated with this are from versions K2 gaia.09.120985, K2 ori.05.120985, K2 iris.01.120985.
For the online calendar in K2, it is now necessary to make the appropriate configurations so that the calendar in Office 365 can be accessed.
In the calendar settings, a new function Edit OAUTH authorization settings (see fig. 1, fig. 2) was created, where the administrator can set whether he wants to turn on authentication using the OAUTH method. It also fills in the values that are necessary for this verification. Specifically, these are the Client Id, Client Secret and Tenant Id values. They can be found in Azure Active Directory (https://aad.portal.azure.com/), where the administrator must log in. User must register a new application here, which will have permission to use the EWS API and use "app-only authentication". The whole procedure is described [url=https://learn.microsoft.com/en-us/exchange/client-developer/exchange-web-services/how-to-authenticate-an-ews-application-by-using-oauth ]here[/url]. A brief procedure in Czech is described in the attached PDF document.
If the administrator would like to limit the permission of an application that thus has access to all Office 365 accounts, he can do so and allow access to a part of them. More on that is [url=https://learn.microsoft.com/en-us/graph/auth-limit-mailbox-access]here[/url].
After entering the Client Id, Client Secret, and Tenant Id values, individual users can set up their accounts to access their calendar as usual.
"Logout" function in License Management - logout of a specific session of the given user
As of gaia.10, ori.06 and iris.02, we modified the [b]"Logout"[/b] function in [i]License Management[/i].
The existing "Logout" function logged out all sessions of the given user. The new function logs out only the specific session of the selected user.
The limitation compared to the original functionality is that only users on the same principal can be logged out.
News K2 iris.01
Universal Forms
New bulk change - Add attachements
New bulk actions "[b]Add Attachments[/b]" and "[b]Import and Add Attachments[/b]" can be run on data modules to which documents can be assigned. Actions can be run on marked records or on records in a container.
The [b]"Add Attachments"[/b] action opens the [i]Documents[/i] code list. One or more documents can be inserted at the same time (marking and pressing the Enter key). The selected documents are attached to the Attachments tab.
The action [b]"Import and add attachments"[/b] will display the selection of the type of documents, after selecting the type, a file selection window will appear where you can select 1 or more files. After confirming the selection, these files are imported into DM documents and at the same time they are attached to the Attachments tab.
F9 display of scripts and reports at the level of all custom companies
If [i]Service mode[/i] is enabled in universal forms in [i]F9 (Scripts and reports)[/i], then scripts and reports listed at the level of all custom companies are displayed. This also applies to Filters administration, Charts and Tables.
Basic Code Lists and Supporting Modules K2
New Excise Tax field on Article tab
We have added an Excise Tax field to the Article tab. The field is filled in automatically when selecting Excise Tax Nomenclature and can be changed.
The excise tax entered in this new field will be added to the document items.
As part of the initialization of the version, the Excise tax field on the Article tab is filled with the excise tax entered in the Nomenclature.
New right to edit the electronic address types code list
In the Marketing/Electronic Addresses section, the Right to change code list of electronic addresses type has been added. If it is set, then the user can change the types of email addresses, if it is not set, an error message will be displayed saying that this right is not set.
The right is not set by default.
Division of selected fields on Suppl./Cust. to separate value in sale and purchase
In the K2 iris version, the selected fields were divided on Suppl./Cust. to separate value in purchase and sale. There is also a new option for these selected fields to define the value of the fields separately for different multi companies. The division applies on fields:
- Payment method
- Trasnport method
- Shipping method
- Delivery terms
- Order form
The fields were divided into separate values in purchase and sale:
- Allowed transport methods
- Allowed payment methods
My Office
Workflow
Division of procedures and processes into multi company
A new function has been added to divide procedures and processes into multi company. In Administrator - System - Multicompany management, it is possible to divide procedures into individual companies in the Workflow procedures module. This action also splits the processes. The name of the own company can then be found in the preview record.
Support for modules from OD as a workflow product
After checking the Product workflow field in the object designer, after performing actions (e.g. Deploy), the module will start to be offered when working with the workflow. New from the Ori version is that more modules can be enabled.
Marketing
Logobox - web service for downloading company logos
Logobox is a web service that allows you to download the Logo of a specific company according to its ID number (similar functionality to ARES, Creditcheck, etc.). The service can be started on the Partner tab in the preview. After starting the function, the logo will be uploaded to K2.
In connection with the Logobox service, a new field has been added to the partner book, which displays the Logo of the given company. A scheduled task was also created that will automatically upload these logos for newly created companies.
Sale/Purchase
Handling of requirements - Contract codes
The functions Handling of requirements - Create purchase orders / Create transfer notes / Create internal sales orders support ordering according to contract codes. Set the Break down by contract codes check box to activate this functionality. It is also necessary to set Contract code for rounding. With this contract code is ordered quantity resulting from conditions of supplier price lists and quantity that represents requirement to minimum / maximum stock level.
Books Sales items and Purchase items (rights handeling)
To access the Sales Items book, you need to have at least one of the user rights to view any of the sales documents. That is, contracts, orders received, reservation sheet, release notes, delivery note issued or invoices issued. Analogously, this also applies to the entry in the Purchase items book. there you need to have at least one viewing right for document order issued, delivery confirmation, receipt note or invoice received.
Creating advance from contract / order issued
When creating an advance for contract (issued order), it is possible to calculate the % of advance from the total amount of the order (issued order) by checking the % of total amount option.
Sales books - option to set the accounting transaction date of the invoice according to the date of release note confirmation
An additional value "Release note Confirmation Date" was added to the accounting transaction date parameter in the sales books.
If this new value is set, when a new invoice is created, the Accounting Transaction Date of the invoice case will be set according to the highest release note confirmation date on the invoice items.
VAT Reg. No. Verification (VIES) function over selected Sale and purchase documents
For contract documents , orders issued, invoices out and in, advances provided and received, other liabilities and receivables, the VAT Reg. No. Verification (VIES) function can be called. The date, evaluation and consultation number (unique code) are stored for each document, and these values can be used to prove to the Financial Office, for example, that the customer or supplier has been verified for the given document. The function is available from the Functions tab in the document ribbon or by pressing the button for VIES in the document header.
BCN field on documents was canceled
BCN field has been removed from the Payment terms tab in the purchase, sale and other documents form. The field appeared on documents:
- invoices in
- invoices out
- advances received
- advances provided
- other commitments
- other receivables
- bank orders
- items of payment documents
- contracts
- liabilities from wages.
Display of the discount in the sales document, if the discount is entered in the Definition of price groups on the customer card.
If the specified discount is on the customer's card in the Definition of price groups section, then this discount will no longer be added to the field Discount on the sales item, but will be displayed as a new record in the Progress of price calculation on the sales item section.
Logistics
Summing warehouse zones
It is possible to create summing warehouse zones. A summing zone can contain only zones from one warehouse. There is also possibility to view stock details: summing values for zone in the Preview panel and detailed values according to warehouse locations on the card of zone.
Logistics manager - Handling of logistics tasks
We have created the successor for the Logistics tasks module - Logistics manager. Main features and functionalities:
- displays selected documents (based on defined filters) from purchase / sales modules and the transfer notes;
- supports handling of purchase orders, receipt cards, sales orders, release notes, delivery notes, and transfer notes;
- enables to prepare these documents for their processing in the warehouse - to set WMS dimensions (priority, queue, warehouseman, handling equipment, required date and time for handling, expected job duration);
- setting or clearing the WMS dimensions is possible using the buttons (functions), or via drag and drop method;
- enables to evaluate the actual duration of document processing;
- enables to set worker, queue and handling equipment together using defined combinations in Competence matrix.
External batches
Recording of batches has been extended with the possibility to record external batches.
External batches can be used for unique marking of supplier's supplies, where supply of one external (supplier) batch can be recorded in the K2 system with more K2 internal batches on more receipt items. The second possible application of external batches is for manufacturing - marking of production lots, where there are more completion job cards (more K2 internal batches) but just one external batch.
Production
Adjusting production schedule
News in manual adjustment of production schedule in the book of Resources and Workplaces:
- Manual adjustment is possible also using the Drag and drop method.
- Operations that were manually adjusted can be re-adjusted.
- Manually adjusted operations can be filtered according to date, workshift and resource marked in the Preview panel. There is new checkbox Detailed filtering of manually adjusted schedule.
- Time collisions in schedule can be evaluated via new columns: "PriorOperationTimeGapCalc" and "NextOperationTimeGapCalc" which displays the time gap in operation sequence.
Finance
Banking API for KB - Notification of new movements on the account
The option to enable receiving notifications about new movements on the account has been added to the connection to Komerční Banka's banking API. This functionality at KB exists to bypass the limit on the number of queries per hour on their API. Every time a transaction occurs, it sends a message to the K2 API that this change has occurred, and K2 can immediately download information about new movements on the account after receiving this information. If this action is enabled in K2, transactions are automatically withdrawn from the account.
Two buttons have been added in the banking API settings in the book of bank accounts. With the "Log in to KB" button, the user can start the action of logging in to their account, so that they can enable the downloading of information from their account and do not have to start it when downloading the information in the bank statements itself. In order to press this button, he/she must first fill in the K2 API URL.
Once the user is logged in and their access information is stored in K2, pressing the second button, which is used to turn on/off the notification service, is enabled. The text value also indicates the current on/off status of this service. If this service is turned on, information about new movements on the account should be automatically downloaded to K2. Currently, all transactions that are no more than a day old are downloaded each time, older transactions must be downloaded manually.
Cash register stock taking
A new Cash register stock taking function was created, which is used to compare the actual state of banknotes on the cash register with the balance of the cash register in accounting.
The function is started above the last cash document in the book of cash documents from the Ribbon, tab Functions. After starting the Cash register stock taking function, the balance in the selected cash register book will be recalculated and the "Enumeration" form will open. In the form, the user fills in the actual amount of banknotes and coins from the cash register, moves with the mouse or arrows and presses the Enter key to enter the value. After pressing the Difference button, the difference between the data entered in the enumeration and the cash balance in accounting will be calculated. If the difference were other than 0, the field for writing a comment will be activated, where the user writes the reason for the difference. We save the stock taking with the Save button and then we can print it with the Print button. The function ends with the Save and exit button.
It is possible to edit the enumeration so that the stock taking of cash registers function is started again above the cash document with the completed stock taking. A Enumeration form is displayed with saved values that the user can correct, save and reprint. The information from the enumeration is saved in the xml header field of the receipt. A blue "i" icon will appear in the preview for the receipt for which the stock taking was created.
Cash register stock taking can be performed for cash registers in CZK, EUR, HUF, PLN and $. In the menu in the Enumeration form, it is possible to use the function Editing banknotes and coins for currencies, where you can add another currency or edit banknotes and coins of one of the existing currencies.
Bank documents cards - Item Type
An Item Type field has been added to the Bank Document Cards where you can enter:
• Receipt,
• Payment.
After selecting a bank document card with the specified Item Type on the bank statement item, the item type will change from U (unpaired), R (receipt), P (Payment) to the type specified on the bank document card.
Open item to date - new report Stock taking of receivables and payables
A new Stock taking report (InventoryToDate.AM) was created, which is launched from F9 above the Open item book to date book. The report displays an overview of unpaid invoices issued, received, other liabilities and other receivables and undrawn advances received and issued to a given customer on a given date (Values as of date in the Open item book as of date). Implicitly, the report prints separately Stock taking of receivables and Stock taking of liabilities separately. If the SurveyTogether parameter is set to Yes, it will print the Accounts Receivable and Accounts Payable Stock taking together.
The report is an alternative to the Open item – stock takinf report (OIL_Survey.AM). Both reports are designed like a letter, but the new Stock takinf report (inventoryToDate.AM) displays data from the Open item to date.
Modernization of Offset
The function for Offset has been reworked into universal forms.
Offset is started above the Suppliers/Customers module from the Functions tab, Offset section.
Before creating a offset proposal, you need to configure the offset creation, where the offset book, currency and other parameters for creating the offset are set.
The offset form displays a list of receivables and payables that can be offset against each other with the selected customer. The form is first displayed in "Proposal" mode, in which it is possible to create a offset proposal. After pressing the button Create offset proposal, a Bank order is created. The offset proposal created is saved and can be viewed and edited in "Editing saved proposals" mode, where it can be confirmed/rejected, Cancel, Create offset using the buttons in the ribbon. By pressing the Create offset button, a Bank Statement is created and the offset is settled.
From the Offset form in „Proposal" mode, you can print the Offset - List of liabilities and receivables (OffsetLD.AM) report.
From the Offset form in "Editing saved proposal" mode, the report Offset – Preview (Offset.AM) is printed. The report can also be printed on a credit bank order or statement.
You can also create your own offset in one step from the "Proposal" mode. A bank order and a statement are created at the same time and the offset is settled immediately.
The function for Offset can be added to the "Favourites" using the shortcut (New – Finance – Offset). The configuration must be filled.
The original offset creation script OffsetN.PAS has been deprecated.
Accounting
Displaying a simple billing address in the VAT module
If the VAT Reg. No. field from the addressee is checked on the initial document and the customer listed on the document has a Suppl./Cust. the Do not register box checked, the Name of the simple address will be displayed in the name of the company in the items of VAT Documents and in the reports for the VAT return and Control report (if it is entered on the document).
New report Documents that were not included in the VAT calculation
We created a new report Documents that were not included in the VAT calculation (VATD_Check.AM). The report displays documents that have an Invoice date in the checked period and are not loaded into any VAT document. Invoices, paid advances, other receivables and payables, cash receipts with items of type Receipt and Release notes and internal documents with items of type Receipt and Release are checked.
Cancellation of script and report Taxable transactions effected made in RSC mode
We canceled the Invoice date annex - in the Reverse charged system (FA_RevCharg.PAS) script and the Taxable transactions effected in the Reverse charged system (FA_RevCharg.AM) report. This is an attachment to the VAT Return, which was submitted until 2015. There is currently no reason to print this report.
Moving road tax parameters to Multi company Management
We have removed the Road Tax Parameters function in the tree menu and on the Group Member. The road tax parameters have been moved to the multi company management - Road Tax tab. The parameters can be set after pressing the Road tax return - parameter setting button.
In the initialization of the version, the road tax parameters, set on Group Members, are moved to companies that have a link to the respective group member. The parameters entered in the Road tax parameters function will be moved to the other companies.
Setting the displayed columns in the functions General ledger in columns and Economic analysis in columns
We have added a Columns display button to the settings of the General Ledger in Columns and Economic Analysis in Columns functions. After pressing the button, the columns to be displayed can be marked with an asterisk.
New check box "VAT Reg. Number from addressee on sales documents" on the Suppliers - Customers tab
On the Suppliers - Customers tab, a new check box "VAT Reg. Nr. from addressee on sales documents" has been added to the tabs Sales and Taxes and billing.
If the field is checked, the settings from the Supplier-Customer card are taken over on the Issued Invoice and Received Advance:
- Check on the document "VAT Reg. Nr. from addressee on sales documents".
- Completes the VAT Reg. number from the address of the head office, if Billing address from the head office is checked on the customer's card.
- Then fill in the VAT Reg. number of the addressee on the VAT documents.
Changes in road tax 2022
Act No. 142/2022 Coll., which among other things amended Act No. 16/1993 Coll., on road tax, introduced changes in vehicle taxation. This law takes effect from 1 July 2022, while according to the transitional provisions it applies for the entire tax period 2022, i.e. it has retroactive effect from 1 January 2022. More information on the website of the Financial Administration.
In connection with the announced changes in road tax, the following adjustments were made in the K2 system:
The form Road tax return – calculation and export (VOZ_RTD.PAS) and Road tax parameters (VOZ_RTDP.PAS) are reworked into blue forms.
New road tax rates can be imported into K2 via the Import Road Tax Code script (VOZ_RoadTaxRates.PAS).
In the Vehicle book, new records have been added to the Body type index. For the purposes of road tax, it is necessary to select from the list: BA - truck, BB - box car, BC - semi-trailer tractor, BD - road tractor, O - trailer.
In order to create a road tax declaration, the following must be filled in on the vehicle card: Body type, Weight (Load capacity), Vehicle type, Number of axles and Road tax.
The road tax return - calculation and export script (VOZ_RTD.PAS) will calculate the road tax for individual vehicles for the whole year. When a commitment is issued, the amount for the entire year is entered in the items for individual vehicles.
The Road Tax Records book and the List of Business Trips by Private Vehicles report have been abolished, as it is no longer necessary to register passenger cars for road tax purposes.
Modernization of VAT accounting check
We modified the Check VAT posting parameter for a tax type not included in VAT and OSS – now, when this parameter is checked, posted documents with tax types entered in the current multi company in the OSS parameter (OG, OS, OI, OM) will not appear in errors.
Additional filters for the Unposted ledger set in Multicompany Management are now taken into account when checking VAT posting.
The VAT Posting Check report (CHECKVAT_LIST.AM) can be printed.
Report CVAT_SEZ01.AM was cancelled.
Modernization of Accounting check of receivables, liabilities and payments
Check of posting of receivables, payables and payments is reworked into a function in universal forms.
After starting the function, a form is displayed in which the previous month, the minimum difference of the amounts to be checked, is preset.
All accounts used on document types that are marked in the right panel are checked.
After pressing "Check posting", the results of the check will be displayed in the table of the form.
The previous settings will be remembered the next time the check is run.
Additional filters for the Unposted ledger set in Multicompany Management are now taken into account during the check.
You can print the Check Receivables, Payables and Payments Posting report (CHECKRELATIONSPAYMENTS_LIST.AM).
Reports KK_FA_PL.AM, KK_Fa_PLX.AM, CheckPosting_Advance_Payments.AM have been canceled.
Modernization of warehouse accounting checks
The warehouse posting check is reworked into a function in universal forms.
After starting the function, a form is displayed in which the previous month, the minimum difference of the amounts to be checked, is preset.
In the Do not check these types of accounting field, it is possible to insert types of accounting that will not be included in the warehouse accounting check.
All accounts used on document types that are marked in the right panel are checked.
After pressing "Check posting", the results of the check will be displayed in the table of the form.
The previous settings will be remembered the next time the scan is run.
Additional filters for the Unposted ledger set in Multicompany Management are now taken into account during the check.
You can print the Check stock posting report (CHECKSTOCKLIST.AM).
Reports KK_U_Skl.am, KK_U_SklX.am, KK_U_Skl_sql.am were canceled.
Modernization of Asset Accounting checks
Asset posting check is reworked into a function in universal forms.
After starting the function, a form is displayed in which the previous month, the minimum difference of the amounts to be checked, is preset.
All accounts used on document types that are marked in the right panel are checked.
After pressing "Check posting", the results of the check will be displayed in the table of the form.
The previous settings will be remembered the next time the check is run.
The Asset Posting Check (CHECKASSET.AM) report can be printed.
The report Asset_CheckPosting.AM has been canceled.
Assets
Parameters for further user sorting have been added to the Asset statement and Asset statement-Basic reports
Parameters have been added to the Asset Statement (AssetStatement.AM) and Asset Statement – basic (BasicAssetStatement.AM) reports:
- GroupBy2 – 2nd grouping
- GroupByAccount2 – Account for 2nd grouping
Adding a Description to function the Change Asset Codes
We have added a Description to the input form of the Change Codes function. The entered description is saved in Asset Code Changes.
Payroll
Overview of the amount of the insurance premium - adjustment, cancellation
The report [b][i]Overview of insurance premiums[/i][/b] (MZD_VYSR.AM) was modified.
In the case of a correction report or cancellation, it is necessary to set the XML_TYPE parameter to the corresponding value and also set the parameters - XML_corrIDStorna and XML_Note. The program warns about this again if the report is started with a parameter such as correction or cancellation and these parameters are not filled.
If the ElectronicSubmissionBook parameter is filled in at the same time, i.e. reports are sent via [i]Electronic submission[/i], then the program will ask whether to read the identifier of the canceled/corrected report from the book for electronic submissions. After answering YES, the [i]Electronic submissions[/i] book opens and the corrected/cancelled overview is selected with ENTER or double-click on the corresponding record. This will load the submission number into the XML_corrIDStorna parameter and there is no need to fill in this parameter manually.
Confirmation for claiming a tax benefit - adjustments
Added [b]ChildValidFrom[/b] parameter to [i][b]Tax Benefit Claim Confirmation[/b][/i] report (PDP_ChildOrderConfirm.AM) - show "Valid Date From", default to the value NO - the behavior is the same as before - the date entered on the input form will be displayed for the family member.
When the parameter is set to YES, [i]Date from[/i] from the family member will be displayed on the report.
Calculation of leave entitlement
Long-term absences entered in the employment relationship are now taken into account when calculating the assumed leave entitlement. If there are no specified absences, then the future, as before, is taken as a fully worked out assumption.
Therefore, if we want the calculation to take into account any absence during the year that we already know will occur, then it is necessary to enter it in the items on [i]Employment relationship - Long-term absences[/i] to calculate the assumed leave entitlement.
Long-term absences will be taken into account wherever the assumed leave entitlement is calculated. So in these cases:
- Calculation of leave entitlement at the beginning of the year or relationship
- Recalculation of leave entitlement when entering the date of termination of the employment relationship
- Button [i] When changing the calendar[/i] on page [i]Before calculation[/i] in the book [i]Wage data[/i]
Long-term absences are used under certain conditions even if the [i]Entitlement calculation[/i] button is used on the [i]Before calculation[/i] page in the [i]Wage data[/i] book - here the entitlement is calculated for the current period from the values ??actually calculated and the future period (or also the current period, if the control calculation is not started) is taken as fully worked (this is therefore an assumption), if long-term absences are not entered on the employment relationship. Therefore, if we want the calculation to take into account any absence during the year that we already know will occur, then it needs to be entered in the items on [i]Employment relationship - Long-term absences.[/i]
Web and e-shop
Subscriptions for e-shop - new field Delivery terms
A new field [b]Delivery conditions[/b] has been added in the book [i]Subscriptions for eshop[/i]. The value entered in this field is filled in the [i]Delivery conditions[/i] field on the order in K2 when the order is sent from the e-shop.
If [i]Delivery conditions[/i] are defined in the [i]Subscriptions for eshop[/i] book and on the [i]Supplier/Customer[/i] tab, then the value from the [i]Subscriptions book is added to the order for eshop[/i].
Text pages - new field Indexing text pages
A new Page Indexing Type field has been added to the Text Pages tab, Basic Data tab. The value of this field determines how the given text page should be indexed by search engine bots.
- index follow - content and links will be indexed
- noindex nofollow - content and links will not be indexed
- index nofollow - content will be indexed and links will not be indexed
- noindex follow - content will not be indexed and links will be indexed
If no value is specified in the field, then the text page is indexed as an Index follow type.
General settings of web, e-shop - option Clear URL with immersion
A new [b]Clear URL with immersion[/b] option has been added to [b]General e-shop settings[/b], [i]URL settings[/i] tab.
When this option is checked, the website will display the clean URL with the structure (immersion) preserved.
Field Translation function (Ctrl+F11) can be started from the ribbon
The function [b] Field translations [/b] (Ctrl+F11) can now be started directly from the ribbon (Home tab). The function is available in the ribbon only in modules that support field translations.
Fields translations (Ctrl+F11) - new buttons for exporting and importing translations to Excel
The function [i]Field translations[/i] (Ctrl+F11) now includes the buttons [b]Export translations to Excel[/b] and [b]Import translations from Excel[/b].
The [i]Export[/i] button will export the currently displayed or starred items to Excel in the format Item Number (ItemId), Item Name (ItemName), Field Identifier (ProgName), Field Name (FieldName), Default Language (DefaultValue) and language codes available in K2.
The button [i]Import translations from Excel[/i] loads the translations defined in the imported file. This can have a different format than the file generated from the export, but it must contain the columns ItemId, ProgName and DefaultValue, the other columns are optional (ItemName and FieldName are only for translation information). After the import is complete, the number of imported items and the error log will be displayed.
Recalculation of article for the e-shop - check within the company and legislation
The function [b]Recalculation of article for e-shop[/b] newly calculates only records for article that are assigned to the [i]company[/i] of the given e-shop.
From version K2 ori.05, the functionality is extended to include [i]legislation[/i] check, i.e. if the article are assigned to a different legislation than the legislation of the e-shop company, then these article will not be charged for the given e-shop.
Analysis of shopping cart
[b]Shopping Cart Analysis[/b] is a new feature designed to offer the customer additional related items they want or need while shopping, thereby increasing sales.
The analysis processes the selected data for the selected period. From this data, it generates a set of rules in the form of "if there is product X in the basket, there is also product Y". Each such rule connects two types of article by a link. The resulting product combinations can be linked as "related", this related product will then be displayed as recommended on the e-shop.
The analysis includes 3 scripts:
- [i]DataMining_Parameters.pas[/i] - setting parameters and selecting data for analysis
- [i]DataMining.pas[/i] - analysis calculation
- [i]DataMining_Results.pas[/i] - display of results and links to related goods
The results of the analysis can also be used only for listing the results, thanks to which a better overview of sales in the company can be obtained.
Eshop - Category for Heureka SK and export of xml feed in Slovak language
A new field [b]Category for Heureka SK[/b] has been added to Article tab with a link to the new number list [i]Category for Heureka SK[/i].
Following this field, a new parameter "IsHeurekaSK" has been added to the [i]EshopHeurekaCatImport.pas[/i] script, which determines whether this is an import for Heureka SK.
The [i]EshopXmlFeedExport.pas[/i] script has been modified to export according to the selected language. Slovak = takes the category for SK eureka, any other language = takes the category for CZ eureka.
Administrator
New functions in the Reinstallation Manager
New functions have been added to the Reinstallation Manager – object designer diagnostics, notification control, database backup, and the option to convert special scripts. You can find a more detailed description of these functions in the Administrator – System – Reinstallation Manager documentation.
User roles - Add, remove and delete rights in bulk
New bulk actions [b]Add Rights[/b], [b]Remove Rights[/b] and [b]Delete Rights[/b] have been added in the book[i]User Roles[/i]:
[i]Add rights[/i] - allows one or more rights to be assigned (marked with an asterisk) to selected user roles. These rights will have a green icon in the definition of the selected roles.
[i]Remove rights[/i] - allows one or more rights to be disabled (marked with an asterisk) by the selected user role. These rights will have a red icon in the definition of the selected roles.
[i]Delete rights[/i] - allows you to delete one or more rights (by marking them with an asterisk) for selected marked user roles. These rights will be deleted from the definition of the selected roles.
User book
Since the K2 iris version, the book [i]Users - Security Settings[/i] has been renamed to [i]Users[/i]. New user settings can be created and changed in this book. The [i]Users - parameters[/i] book has been removed from the tree menu.
New rights Purchase - General
In connection with the division of selected fields into Suppl/Cust. new rights have been added for Purchase - General:
- Confirmation of the document even with not allowed method of transport
User has the right to confirm the purchase receipt, even if it shows a Transport method that is not on the Suppl./Cust. tab allowed.
- Confirmation of the document even with not allowed payment method
User has the right to confirm the purchase receipt, even if it shows a payment method that is not on the Suppl./Cust. tab alowed.
Web K2
Web K2 - option to send a notification via the right mouse button
In web K2, you can [i]Send a notification[/i] via the right mouse button.
A form will open in which we select a contact person and fill in the text of the message for the recipient. This message will appear on devices that are set to receive notifications.
Web K2 - Taking over the license
When a user logs in to web K2, all active sessions of the given user are newly detected. If we log in from the same or another device (mobile phone, tablet) under the same user, then a table with a list of open sessions will appear.
[u]The user has 3 options:[/u]
1. [i]Take over existing session[/i] - the existing session will be terminated and the new one will get exactly to the state in which the existing one was
2. [i]End existing session(s) and open a new one[/i] - the existing session will end and the new one will remain on this form with the possibility of a new login
3. [i]New login[/i] - the existing session will remain in its original state and a new one will be opened.
Web K2 -main menu
The K2 web desktop now includes [b]Main Menu[/b]. The K2 Administrator can modify the structure of this menu according to his/her own needs.
For this purpose, a new module [b]Main Menu[/b] was created in K2, which is launched from the tree menu [i]Administrator - System - Main Menu.[/i]
To work with the module, you must have the rights [i]Other - General - New main menu[/i] (2215), [i]View main menu[/i] (2213) and [i]Change main menu[/i ] (2214).