Latest Release Notes
Patch 2.0.0.47 (11/04/2026)
✨ New Features & Improvements
🌱 EU ETS Enhancements
🧾 Auto Invoice Numbering – Invoice numbers can now be auto-generated based on company code, incrementing with each invoice. Child invoices will follow sequential numbering when sent to IMOS.
🔄 Internal Selling Between Business Units – Added support for internal trading of EUAs across business units.
🏷 Default Remarks on Internal Trades – Ability to auto-populate remarks on internal buy/sell trades using tags such as PL, Vessel, Voyage, etc.
💱 Dynamic Pricing on Internal Selling – Prices are now automatically populated based on the selected trade date.
🔗 Dual Integration – Ability to integrate both sides of an internal trade simultaneously upon confirmation.
🧾 Flexible Invoice Handling –
Ability to integrate pending invoices without linked trades
Ability to send receivable invoices to IMOS before receipt
Ability to edit invoices after integration for greater flexibility
📊 Inventory View Control – Expand/collapse functionality added to Inventory Overview in Financials.
📅 Delivery Date Logic – Delivery Date now defaults to Trade Date when internally selling for improved tracking.
📈 Internal Selling PnL Setting – New setting to control PnL handling for internal EUA trades.
🪟 Internal Selling Popup – New UI popup for handling internal selling directly from AP/AR.
💹 Price Matrix (PM)
🧩 Custom Price Sources per Contract – Users can now define custom price sources per contract, merging functionality from legacy pricing.
🔗 Price Source Integration –
Added as a field in calculation settings
Included in rate imports via PM UI
Available in Historical Prices
Integrated into Price Scenarios
⚙️ Query Enhancements – Updated queries for retrieving and inserting prices to include Price Source parameter.
🧮 Data Center
🔄 Custom API Standardization – All provider import jobs have been migrated to Custom API, improving maintainability and flexibility.
🔀 Advanced Data Handling – Ability to merge, combine, append, and redirect data sources within Custom API.
🧾 Algo Enhancements –
TradeNo and Remarks can now be added via algo for financial trades
New flexible Option Algo for TCs across multiple data sources
📊 Column Stability – Columns with no values will now remain visible with blank values instead of disappearing.
🏷 Header Field Expansion – Increased length of header value field in Custom API for more complex imports.
🧩 New Field Support – TradeCompanyCodeNo can now be populated for ETS Physical Trades.
🔧 Source Simplification – Removed SourceType from Raw Reports for more dynamic data handling.
💼 Deals
📊 PL Adjustments – New fields in PL Settings (UI & API) allow dynamic adjustments to underlying rates using Percentage, Flat, or Lumpsum.
🔍 Column Selector – Column selector is now available in Financial Deals.
🔗 API Improvements – Remarks are now available via Find Deals API.
🚢 Cleaner Filters – Deleted ships no longer appear in advanced filter options.
🚨 PL Setting Indicator – Trades with applied PL settings are now highlighted in red for visibility.
⚙️ Settings
🔑 Token Support – Users can now use tokens for Code endpoints.
📧 Email Enhancements – Additional fields can now be included as tags in emails.
🐞 Bug Fixes
📊 Fixed issue where Additional Fields were blank when exporting from Find Deals to Excel.
📅 Fixed incorrect delivery date when performing internal selling.
⚙️ Fixed recalculation issue in PM Add Price algo.
👁 Fixed issue where hidden columns reappeared in Find Deals.
☁️ Fixed issue where Dropbox-imported reports could not be opened.
💾 Fixed issue where Saved Windows were not saved correctly.
🔒 Fixed issue where From Date lock was not applied correctly in Data Center.
📉 Fixed issue where predefined pegs were not working.
💱 Fixed issue where contracts had incorrect default price units in Deals.
🔧 Fixed issue in Find Deals endpoint source code.
🧩 Fixed issue where string data type was not saved correctly in calculated columns.
📊 Fixed issue where Balmo pricing incorrectly used Worldscale instead of PMT.