Release Notes
2026.1.0
February 2026
Release notes describe the enhancements and bug fixes contained in new releases and maintenance releases for Prophix Cloud deployment only.
Tip: To find the release note that contains a specific issue, search on the Prophix Support Desk ticket number.
What’s new
To learn about the new features or enhancements in this release, please see the What's New page.
Resolved issues
The following are the issues we resolved in this release:
| Released | Ticket Number | Area | Description |
|---|---|---|---|
| February |
169650, 193498, 202153, 202152, 200843 |
Global | Non-English characters were not displayed correctly on the page. |
| 191751 | Reports > Analysis Reports > Reports | Reports did not display comparative amounts for the reference period. | |
| 191751 | Reports> Analysis Reports > Reports > Consolidated Accounts | Custom reports omitted lines that contained only descriptions or had no amounts. | |
| 191757 | Standard Report > General Ledger | The Journal Entry report column length was insufficient. | |
| 199660 | Reports > Consolidation reports > Consolidation Reports - Summary | On generated reports, it was not clear that the Date column was showing Opening Date values. | |
| 199946, 205346 | Reports > Documents Repository | Files uploaded to the document repository were deleted or displayed with a strikethrough after scheduled jobs ran. | |
| 201328 | Excel Add-in | Slowness was experienced when refreshing Excel workbooks. | |
| 201373 | Configuration > System Structures > Journals > Define Views | Journal Reports combined views even though they were defined differently. | |
| 201470 | Excel Add-in | Non-English characters were not displayed correctly. | |
| 201474 | Data Entry > Validation Reports > Bundle Validation | Validation reports produced inconsistent results for dimensions between AWS and Azure. | |
| 201721 | Advanced Formulas | Advanced formulas involving analytical dimensions did not execute automatically after data entry. | |
| 202062 | Adjustments > Adjustments | Adjustments passed to subgroups using a different currency were translated using an incorrect reference period closing rate. | |
| 202305 | Adjustments > Adjustments | Placeholder text (for example, Select Company and Select Flow) appeared excessively, causing visual clutter. | |
| 202799 | Data Entry> Validation Reports> Intercompany Validation | Converted currency values differed when intercompany reports were generated for the same company across different periods. | |
| 203091 | Adjustments > Adjustments | The Others account type was incorrectly included in the T081 Elimination journal, causing the journal not to balance. | |
| 203536 | Consolidation Reports - Entity - Translation adjustment difference | Reports duplicated values when more than one company was selected | |
| 203933 | User Settings | The Hide Lock Periods feature was missing in the new version of the application. | |
| 204061 | Transfers > HUB > Authorization | A warning was incorrectly triggered for SAGE integration when Auto HUB Authorization was enabled. | |
| 204222 | Adjustments >> Adjustments | Accounts and data lines were not visible for certain Journal Entries, and those entries could not be deleted in the Current period. | |
| 204452 | Carry forward process | Reverse adjustment behavior was incorrect when transitioning to a new fiscal year. | |
| 204857 | Automation > Jobs > Schedules | An invalid license key error occurred when using Flex Sheets through automation. | |
| 205247 | Adjustments > Adjustments | Exchange rate calculations were inconsistent between AWS and Azure. | |
| 205965 | Transfers > Data > Import Data | Display issues occurred when switching between import file structures, causing mapping options to open automatically. | |
| 206294 | Transfers > HUB > Authorization | Data was not loaded into Financial Consolidation when Auto HUB Authorization setting was enabled and the Job was set to Run on Schedule. | |
| 206361 | Consolidation Process | Proportional elimination results were incorrect in reports when Intercompany, Dimension, Bundle, and Adjustment were combined. | |
| 206817 | Automation > Jobs > Schedules | Scheduled import jobs failed with an OperationCanceledException while manual runs succeeded | |
| 207453 | Reports > Analysis Reports > Reports | Reports did not show empty rows in AWS but did show them in Azure. | |
| 207555 | Reports > User Reports > User Reports | Cash Flow reports did not calculate correct summations. | |
| 207579 | Excel Add-in | Formula results were inconsistent across tabs. | |
| 207843 | Data Entry > Validation Reports > Bundle Validation | Error messages were incorrectly triggered for total appropriations. | |
| 208519 | Excel Add-in | Refreshing one worksheet negatively impacted other worksheets. | |
| 208832 | Consolidation Process | The consolidation process took longer than expected to complete. | |
| 209133 | Consolidation | Slowness and errors occurred during consolidation. | |
| 209135 | Adjustments > Adjustments | Hover text for descriptions was limited to 150 characters. | |
| 209845 | Reports > Analysis Reports > Reports | Financial statement headings (such as Balance Sheet) did not appear on generated reports even when included in the filter list. | |
| 210916 | Data entry > Bundle Transfers | Performance issues occurred during bundle upload and download operations. | |
| 212170 | Automation > Jobs > Schedules | FC Import Job failed with “@ConsoID should be provided” error. | |
| 212795 | Automation > Jobs > Schedules | Intermittent ChangeConflictException during ImportDataJob. | |
| Reports > Standard reports > Consolidation Adjustments | Report columns were too narrow by default, limiting readability. |