Version 24.03.20 posted on
Easily discover your assets with our renamed "Assigned Assets" tab in the customer portal and reference custom item data within Automation Smart Values. These updates aim to improve clarity and workflow efficiency.
Features and Improvements
Updated Feature: Assigned Assets
The dropdown option previously known as "Checkout Assets" in the portal has been renamed to "Assigned Assets" to align more closely with integrated Asset Management systems and enhance overall clarity.
Enhanced Automation SmartValues
The {{ItemNames}} and {{ItemCount}} automation rule smart values now also take into account any custom items that may be included within your Checkout order.
Stuff we fixed
Asset Type Schema Loading Issue
We've fixed an issue where the asset type schema was not loading correctly when Jira Assets was set as the default provider. All configurations, including the schema, will now display as expected without the need to toggle between providers.
Asset List Display Issue
Assets containing a '+' symbol in text fields will now properly display in the asset type-specific list views. This fix ensures all assets are visible and accounted for when grouped by asset type.
Incorrectly Formatted Asset Display
Issues with displaying ungrouped asset types have been resolved, ensuring assets now fully appear in the iFrame without any visual cut-off.
CSV Export Null Pointer Exception
We've resolved an issue where CSV exports were failing due to a null pointer exception in Data Center environments.
Translation for Bundle Tab Titles
Tab titles within bundles are now correctly translated, supporting a more accurate multilingual experience.
Cost Center Budget Issue
We’ve resolved an issue with the Checkout REST API not allowing budget updates for Cost Centers.
Incorrect Currency Names
We’ve resolved an issue with incorrect currency names in Data Center environments to ensure accurate financial data representation.
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