Release documentation - P&C Enhancements and requests
Summary #
| Key | Customer | External issue id | Component(s) |
|---|---|---|---|
| SICSR-25369 | Reale Mutua Assicurazioni | Accounting Orders | |
| SICSR-26803 | Renaissance Re | COREF-2085 | Accounting Functional Currency |
| SICSR-27196 | Swiss Re Zurich | 1552811 | Accounting general |
| SICSR-27801 | Triglav Re | TRSI-1299 | Accounting Technical Worksheet |
| SICSR-27946 | DXC | Accounting general | |
| SICSR-28319 | Malaysian Reinsurance Berhad | Accounting Outward Premium Accounting | |
| SICSR-28534 | Continental Re | Accounting general | |
| SICSR-28654 | DXC | Accounting general | |
| SICSR-28656 | SOMPO JAPAN INSURANCE INC. | RE0112 | Accounting general |
| SICSR-28714 | Toa Re Europe | Accounting Non-Prop Recovery | |
| SICSR-28739 | Africa Re | ARC-680, SICS-365 | Accounting general |
| SICSR-28825 | AON | Accounting Orders | |
| SICSR-28908 | China Re | Accounting general | |
| SICSR-28945 | Swiss Re Zurich | 1882914 | Accounting Remittance Worksheet |
| SICSR-29086 | SOMPO JAPAN INSURANCE INC. | RE0028 | Accounting Orders |
| SICSR-29112 | Renaissance Re | SICSOPS-3260 | Accounting Technical Worksheet |
| SICSR-29126 | DXC | Accounting general | |
| SICSR-29185 | AON | Accounting Orders | |
| SICSR-29196 | DXC | Accounting Reinstatement Premium | |
| SICSR-29242 | DXC | Accounting general | |
| SICSR-29244 | DXC | Accounting general | |
| SICSR-29405 | Accounting Reserve Orders | ||
| SICSR-29411 | Assicurazioni Generali S.p.A. | <a href='https://isbjira.dxc-ins.com/browse/SICSR-22672' title='Error response in SICS Server during CreateWorksheetRequest' class='issue-link' data-issue-key='SICSR-22672'><strike>SICSR-22672</strike></a> | Accounting general |
| SICSR-29460 | DXC | Accounting general | |
| SICSR-29481 | AON | Accounting general | |
| SICSR-29527 | Swiss Re Zurich | Bug 1940709 | Accounting Technical Worksheet |
| SICSR-29598 | Swiss Re Zurich | Bug 1950324 | Accounting general |
| SICSR-29600 | Swiss Re Zurich | Bug 1950283 | Accounting general |
| SICSR-29608 | Swiss Re Zurich | Bug 1950586 | Accounting general |
| SICSR-29706 | Lusitania Seguros | Accounting Outward Premium Accounting | |
| SICSR-29843 | Swiss Re Zurich | Bug 1997267 | Accounting general |
| SICSR-29860 | Swiss Re Zurich | Bug 1940709 | Accounting Technical Worksheet |
| SICSR-29863 | Swiss Re Zurich | ID 2000126 | Accounting Technical Worksheet |
| SICSR-29901 | Swiss Re Zurich | ID 2016478 | Accounting general |
| SICSR-28630 | Allianz AG | SICS-2073 | Business Premium/Limit Condition |
| SICSR-28758 | SOMPO JAPAN INSURANCE INC. | Dezie3398 | Business Protection Assignments |
| SICSR-28829 | SOMPO JAPAN INSURANCE INC. | RE0112 | Business Structure |
| SICSR-29233 | MS Reinsurance | #12707? | Business Structure |
| SICSR-29493 | Axis Group | Business Copy, Renew, Status Change | |
| SICSR-29566 | DXC | Business Find | |
| SICSR-29847 | Hamilton Ins | DevOps178222 | Business Create New |
| SICSR-27687 | Renaissance Re | COREF-2420 | Claims |
| SICSR-27743 | Swiss Re Zurich | 1660932 | Claim FGU |
| SICSR-27920 | DXC | Claim Headline Loss | |
| SICSR-28774 | Allianz AG | Claim Worksheet | |
| SICSR-29056 | Allianz AG | Claims | |
| SICSR-29136 | Swiss Re Zurich | Claims | |
| SICSR-29151 | Swiss Re Zurich | 1876615 | Claim Program |
| SICSR-29153 | Swiss Re Zurich | 1876613 | Claims |
| SICSR-29198 | Partner Re | Claims | |
| SICSR-29235 | Unive Herverzeker | Claims | |
| SICSR-29379 | DXC | Claim Program | |
| SICSR-29424 | DXC | ClaimAPI | |
| SICSR-29485 | DXC | Claim FGU | |
| SICSR-29525 | Swiss Re Zurich | Bug 1940709 | Claim Worksheet |
| SICSR-29578 | Allianz AG | SICS-2141 | Claim Worksheet |
| SICSR-29612 | Swiss Re Zurich | Bug 1952456 | Claim Program |
| SICSR-29697 | DXC | Claim Program | |
| SICSR-29828 | Axis Group | TFS147003 | Claim Headline Loss |
| SICSR-29651 | Axis Group | TFS146169 | EDI |
| SICSR-28415 | Renaissance Re | COREF-2902 | eMessaging |
| SICSR-28427 | Renaissance Re | COREF-2496 | eMessaging |
| SICSR-28652 | Swiss Re Zurich | 1781194 | eMessaging |
| SICSR-29176 | Swiss Re Zurich | 1880055 | eMessaging CM |
| SICSR-29200 | Swiss Re Zurich | eMessaging TA | |
| SICSR-29265 | Renaissance Re | SICSOPS-3289 | eMessaging CM |
| SICSR-29268 | Renaissance Re | SICSOPS-3290 | eMessaging TA |
| SICSR-29422 | Renaissance Re | SICSOPS-3315 | eMessaging |
| SICSR-29594 | Renaissance Re | SICSOPS-3370 | eMessaging TA |
| SICSR-29610 | Partner Re | 346161 | eMessaging TA |
| SICSR-29630 | Hamilton Re. | eMessaging TA | |
| SICSR-29727 | Triglav Re | TRSI-1389 | eMessaging |
| SICSR-29779 | DXC | eMessaging | |
| SICSR-29841 | DXC | eMessaging | |
| SICSR-29842 | Echo Reinsurance Limited | eMessaging | |
| SICSR-29533 | Triglav Re | TRSI-1381 | Documentation - Admin Guide |
| SICSR-27635 | Länsförsäkringar AB | Reporting | |
| SICSR-28357 | Samsung Reinsurance PTE Ltd | Reporting | |
| SICSR-28925 | DXC | Reporting | |
| SICSR-28939 | AON | Reporting | |
| SICSR-29215 | Triglav Re | Reporting | |
| SICSR-29247 | MISR Insurance Company | Reporting - Accounting | |
| SICSR-29295 | FFH Management Services Limited | Reporting - Business | |
| SICSR-29337 | Triglav Re | Reporting | |
| SICSR-29349 | Triglav Re | TRSI-1363 | Reporting |
| SICSR-29351 | Triglav Re | Reporting | |
| SICSR-29353 | Triglav Re | Reporting | |
| SICSR-29360 | DXC | Reporting | |
| SICSR-29364 | FFH Management Services Limited | Reporting | |
| SICSR-29384 | DXC | Reporting | |
| SICSR-29418 | DXC | Reporting | |
| SICSR-29420 | Triglav Re | Reporting | |
| SICSR-29430 | DXC | Reporting | |
| SICSR-29475 | Triglav Re | Reporting | |
| SICSR-29477 | Triglav Re | TRSI-1372 | Reporting |
| SICSR-29483 | FFH Management Services Limited | Reporting | |
| SICSR-29505 | Triglav Re | TRSI-1377 | Reporting |
| SICSR-29538 | Triglav Re | TRSI-1243 | Reporting |
| SICSR-29639 | Unive Herverzeker | Reporting - Claims | |
| SICSR-29641 | Triglav Re | TRSI-1101 | Reporting |
| SICSR-29708 | Triglav Re | TRSI-1386 | Reporting |
| SICSR-29710 | Triglav Re | TRSI-1284 | Reporting |
| SICSR-29712 | Triglav Re | TRSI-1284 | Reporting |
| SICSR-29723 | Triglav Re | TRSI-1387 | Reporting |
| SICSR-29740 | Triglav Re | TRSI-1391 | Reporting - Task Management |
| SICSR-29742 | Triglav Re | Reporting | |
| SICSR-29745 | Triglav Re | Reporting | |
| SICSR-29750 | Triglav Re | TRSI-1343 | Reporting |
| SICSR-29752 | Triglav Re | TRSI-877 | Reporting |
| SICSR-29758 | Triglav Re | TRSI-1312 | Reporting |
| SICSR-29762 | DXC | Reporting | |
| SICSR-29799 | Triglav Re | Reporting | |
| SICSR-29535 | Assicurazioni Generali S.p.A. | SICS Server | |
| SICSR-29721 | AON | System Parameters | |
| SICSR-26235 | Hamilton Ins | 106281 | User Defined Fields |
| SICSR-28152 | AON | Multi GAAP - Business | |
| SICSR-28156 | AON | Multi GAAP - Business | |
| SICSR-28178 | AON | Multi GAAP - Business | |
| SICSR-28262 | DXC | Multi GAAP - Accounting | |
| SICSR-28538 | Swiss Re Zurich | 1767612 | Webservices |
| SICSR-28762 | Triglav Re | TRSI-1332 | Technical - Base System |
| SICSR-29010 | Hamilton Ins | Log Functionality | |
| SICSR-29187 | Hamilton Ins | Log Functionality | |
| SICSR-29192 | DXC | ||
| SICSR-29356 | Swiss Re Zurich | 1916923 | Webservices |
| SICSR-29670 | FFH Management Services Limited | Database Updating | |
| SICSR-29738 | Triglav Re | TRSI-1390 | Interface - General Ledger |
| SE-26121 | DXC | Business | |
| SE-26867 | Renaissance Re | Claims | |
| SE-23788 | Hamilton Re. | eMessaging | |
| SE-23790 | Hamilton Re. | eMessaging | |
| SE-24996 | Renaissance Re | COREF-2846 | eMessaging |
| SE-26516 | Renaissance Re | COREF-2632 | eMessaging |
| SE-20551 | Sirius International Insurance Corporation | MG & Reserve Orders | |
| SE-21847 | Renaissance Re | SICSOPS-3162 | MG & Reserve Orders |
| SE-22406 | DXC | Other | |
| SE-24384 | Triglav | Other | |
| SE-26178 | Aon | MG & Reserve Orders | |
| SE-26179 | Aon | MG & Reserve Orders | |
| SE-28045 | DXC | DARE | |
| SE-28682 | DXC | DARE |
Cases #
SICSR-25369 - Intra-Group transfer error #
| Product line | P&C |
| Component(s) | Accounting Orders |
| Affects version(s) | SICS 21.1 SSP8 |
| Fix version(s) | SICS 24.2 |
| Customer | Reale Mutua Assicurazioni |
Problem: Solution: |
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SICSR-26803 - USD:USD (Orig.Curr VS Functional Curr) Rate not 1:1 but 1:0.999677 #
| Product line | P&C |
| Component(s) | Accounting Functional Currency |
| Affects version(s) | SICS 21.2 SSP12 REN1 |
| Fix version(s) | SICS 24.2 |
| Customer | Renaissance Re |
Problem: Solution: Recovery Method for Existing Data Affected |
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SICSR-27196 - Bug 1552811: TA - Deposits - SICS 23.1 SP4 TECSNT02: Premium scenario 2 - validation AC0395 expects 0 deposit retained booked (ISSUE 111) #
| Product line | P&C |
| Component(s) | Accounting general |
| Affects version(s) | SICS 23.1 SSP4 |
| Fix version(s) | SICS 24.1 SSP1 SICS 24.2 |
| Customer | Swiss Re Zurich |
Problem: Solution: Workaround: |
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SICSR-27801 - Reverse / Copy / Reverse&Replace -> Worksheet is not available for imported worksheet. Only Balance option is active #
| Product line | P&C |
| Component(s) | Accounting Technical Worksheet |
| Affects version(s) | SICS 4.9.2 SSP13 |
| Fix version(s) | SICS 24.2 |
| Customer | Triglav Re |
Problem: Solution: When a worksheet contains of more than 1000 details the options to Copy, Reverse, Reverse and Replace Worksheet are all disabled. This is an intended limitation, but we need to look at if this is still relevant and see if we can remove this limitation or increase the number of details on the worksheet before the option is disabled. |
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SICSR-27946 - Booking Definition saved incorrectly in Booking Terms maintenance window #
| Product line | P&C |
| Component(s) | Accounting general |
| Affects version(s) | SICS 23.3 |
| Fix version(s) | SICS 24.2 |
| Customer | DXC |
Problem: Solution: |
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SICSR-28319 - User is unable to save New Premium Adjustment Order #
| Product line | P&C |
| Component(s) | Accounting Outward Premium Accounting |
| Affects version(s) | SICS 21.3 SSP17 |
| Fix version(s) | SICS 24.2 SICS 21.3 SSP20 |
| Customer | Malaysian Reinsurance Berhad |
Problem: User is unable to save New Premium Adjustment Order Solution: When creating an Adjustment Premium order from the Adjustment tab on the Premium and Limit conditions on a prop treaty OCC AND the Base Company on the OCC is also Selected in my User Preferences under My Default Base Companies for Retrieve Information, then the system must be able to save this Adjustment Premium order to the database without falling over with a walkback. Workaround: Do not select the Base Company on the OCC in the User Preferences under Retrieve Information |
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SICSR-28534 - Error on Entering instalment condition #
| Product line | P&C |
| Component(s) | Accounting general |
| Affects version(s) | SICS 21.3 SSP5 |
| Fix version(s) | SICS 24.2 |
| Customer | Continental Re |
Problem: Error on Entering instalment condition Solution: When Premium Paymet Warranty is defined on the CL (Clauses) Conditions, the same number of days is automatically updated on the Payment of first and subsequent Instalment on Instalment Conditions. When calculating instalments on the Premium and Limit Conditions, Instalment tab, the system is using these days when the payment days are set on the instalments. But if the Premium Payment Warranty is defined as blank, it also becomes blank on the Payment days on the Instalment conditions and this not a valid number of days when instalments are calculated. The system must handle this information as 0 and add 0 days to the payment days. Workaround: When defining the CL conditions make sure the Premium Payment Warranty is defined with correct number of days/months, and if it shall be zero, make sure you enter 0 as an amount and not just keep it blank. |
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SICSR-28654 - Adjustment booking wrong based on AC Split% #
| Product line | P&C |
| Component(s) | Accounting general |
| Affects version(s) | SICS 23.4 |
| Fix version(s) | SICS 24.2 |
| Customer | DXC |
Problem: Solution: When booking Adjustment Premium on a non-prop treaty OCC with AC Split % is defined on the Premium & Limit Conditions, the system shall book split amount on each of the Accounting Classifications only once, so that the total of the Adjustment Premiums booked on all ACs sums up the the Adjustment amount on the conditions. |
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SICSR-28656 - Mandatory reporting unit in accounting classifications removed even open if worksheet involves AC [ Sompo] #
| Product line | P&C |
| Component(s) | Accounting general |
| Affects version(s) | SICS 23.3 |
| Fix version(s) | SICS 24.2 |
| Customer | SOMPO JAPAN INSURANCE INC. |
Problem: Mandatory RU in the accounting classifications should not be removed when an open worksheet involves the AC Solution: Preconditions: 1) When the system parameter 'Restrict Invalid Accounting Classification when bookings exist' is ON, and booking exists on an Open (pending) worksheet and the user is removing the mandatory SCoB value from the Classification tab on the business, the system correctly stops the user with message BS00276 because it is used in AC on an Open worksheet. This message shall also be presented when the user removes the mandatory RU on the Classification tab, and not BS0687 telling the user that reversal of bookings should be considered. 2) When the system parameter 'Restrict Invalid Accounting Classification when bookings exist' is ON, and booking exists on a Closed worksheet and the user is removing the mandatory SCoB value or RU value from the Classification tab on the business, the system correctly stops the user with message BS0687 because it is used in AC on a Closed worksheet telling the user that reversal of bookings should be considered. 3) When the system parameter 'Restrict Invalid Accounting Classification when bookings exist' is OFF, and booking exists on an Open (pending) worksheet and the user is removing the mandatory SCoB value from the Classification tab on the business, the system correctly raises message BS00276 because it is used in AC on an Open worksheet. This message shall also be presented when the user removes the mandatory RU on the Classification tab, and not just allow this without any warning. 4) When the system parameter 'Restrict Invalid Accounting Classification when bookings exist' is OFF, and booking exists on a Closed worksheet and the user is removing the mandatory SCoB value from the Classification tab on the business, the system correctly raises confirm message BS00279 telling the user that existing AC will be made invalid. This message shall also be presented when the user removes the mandatory RU on the Classification tab, and not just allow this without any warning.
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SICSR-28714 - Abend when FGU advisory on Stop Loss Outward Cedent's Contract #
| Product line | P&C |
| Component(s) | Accounting Non-Prop Recovery |
| Affects version(s) | SICS 21.1 SSP8 |
| Fix version(s) | SICS 24.2 |
| Customer | Toa Re Europe |
Problem: Solution: Workaround: |
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SICSR-28739 - System Tolerance Limit is not respected when creating Minor Adjustment as Write Off during Balance Pairing #
| Product line | P&C |
| Component(s) | Accounting general |
| Affects version(s) | SICS 23.1 SSP7 |
| Fix version(s) | SICS 24.2 |
| Customer | Africa Re |
Problem: System Tolerance Limit is not respected when creating Minor Adjustment as Write Off during Balance Pairing Solution: Precondition for this issue to occure is that the Entry Code defined for the Write Off under Accounting, Currency, General must be the same as the Entry Code defined as Minor Adjustment under Accounting, Tolerance Limits. When balance pairing takes place between two balances of same currency but not fully matching amounts the system creates Write Off amount in the pairing object. The Write Off may be booked as a Minor Adjustment on a technical worksheet (TW) if the system parameter named Entry Code For Write Off is defined under Accounting, Currency, General. If such a TW is created and the Minor Adjustment amount is exceeding the tolerance limit defined for Minor Adjustments in the system parameters under Accounting, Tolerance Limits, then the system must present an error message and prevent the technical worksheet and the pairing to take place. The error message AC0348 should appear in the same way as if the user manually create a TW with a Minor Adjustment that exceed this limit. Workaround: It is possible to define an upper limit for Write Off in balance pairing in the Domain Restriction named 'Accounting Balance Pairing Exchange Amount Limit' with the same amount as defined for the upper limit for the Minor Adjustment in the Tolerance Limit. This will stop the user for creating a balance pairing with a Write Off that exceeds this limit and therefore will also prevent the user from creating a technical worksheet with a minor adjustment that exceed this limit.
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SICSR-28825 - Retro Calc Order not properly working for estimates and IGC involved #
| Product line | P&C |
| Component(s) | Accounting Orders |
| Affects version(s) | SICS 23.3 SSP1 |
| Fix version(s) | SICS 24.2 |
| Customer | AON |
Problem: Retro Calc Order not properly working for estimates and IGC involved Solution: When running the Retrocession Calculation order with the Include Estimates and Close Worksheet selected on the order and it includes estimates details from the As Original ledger, then the system shall Close the worksheets both on the OCC and on the ORPs. If any of the ORPs has an intra group company link to an Assumed Business, then also worksheets with the estimate details shall be created on this business.
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SICSR-28908 - Domain Retrieval for Accounting Classification error #
| Product line | P&C |
| Component(s) | Accounting general |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | China Re |
Problem: Domain Retrieval for Accounting Classification error - shown as valid even if Type of Participation (Method) in the AC is not found on the Business Classification. Solution: When the Domain Retrieval for Accounting Classification is executed by use of the object_id or name for a certain section the system correctly shows all available Accounting Classifications for this section and it shows the Accounting Classification as valid/invalid in the element |
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SICSR-28945 - System is not considering message settlement due date when creating Paid Remittance even if the new Modifier Rule is active #
| Product line | P&C |
| Component(s) | Accounting Remittance Worksheet |
| Affects version(s) | |
| Fix version(s) | SICS 24.1 SSP1 SICS 24.2 |
| Customer | Swiss Re Zurich |
Problem: System is not considering message settlement due date when creating Paid Remittance even if the new Modifier Rule is active Solution: When a remittance is created from a Settlement Message in eMessaging and the Modifier Rule is Active, and the Due Date and Value Date are set from the message and opened by the user, then the Due Date and Value Date shall not be reset by other logic even if 'Prepopulate due date/value date for Remittance Creation' parameter is enabled. Root Cause: SE-22506 and SE-22594, both implemented in 23.4
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SICSR-29086 - Mark As special Flag is missing in ORP As Account (Group Order). #
| Product line | P&C |
| Component(s) | Accounting Orders |
| Affects version(s) | SICS 23.4 |
| Fix version(s) | SICS 24.2 |
| Customer | SOMPO JAPAN INSURANCE INC. |
Problem: Mark As special Flag is missing in ORP As Account (Group Order). Solution: When running the Retrocession Account Order with the Special radio button selected under Items Included, then the system shall look at details on the As Booking ledger of the ORPs, but only extract details on worksheets marked with the Special flag. If the Special radio button is not selected on the order, e.g. it runs with the Normal selected, then details on all worksheets will be extracted as before, both those marked as Special and normal worksheets. Workaround: When Retrocession Account Orders are created from the Retrocession Account Order Group they will be created without the Special flag selected. If the user wants these orders to extract details only on worksheets marked as Special, then the Special radio button on the order must be selected manually by the user.
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SICSR-29112 - Possible to create Worksheet on Inactive Entry Code (EC) via API #
| Product line | P&C |
| Component(s) | Accounting Technical Worksheet |
| Affects version(s) | SICS 23.1 SSP10 |
| Fix version(s) | SICS 24.2 |
| Customer | Renaissance Re |
Problem: Possible to create Worksheet on Inactive Entry Code (EC) via API Solution: When executing the web services/APIs createWorksheet and createClaimWorksheet, the system must check all involved entry codes if the Active box is selected on the entry code properties or not. If it is NOT Active, then an error message must be presented saying that the given Entry Code is not Active. Workaround: Avoid using inactive entry codes in API by informing the users about which entry codes to be used and which entry codes that shall not be used. |
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SICSR-29126 - Rename the labels of Threshold Limits on Accuracy Validation Rules #
| Product line | P&C |
| Component(s) | Accounting general |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | DXC |
Problem: Rename the labels of Threshold Limits on Accuracy Validation Rules Solution: On the Accuracy Validation Rule, the Threshold Limits labels' must be renamed to have more appropriate names for better understanding. The three labels shall be placed under a single frame with the name 'Threshold Limits'. Within this frame and the 3 threshold limits shall be renamed with below labels. AC0399 - Target Amount without a corresponding Business Condition AC0395 - Trigger Amount without a Target Amount AC0392 - Target Amount without a Trigger Amount Since the Label for these fields are longer now, the amount fields must be resized to fit the frame and window accordingly. This mustbe done both for the Accounting and Claims Accuracy Validation Threshold Limits labels'. The claim only have the Treshold Limit AC0399 and AC0395.
Root Cause: Implemented in 24.1 according to SE-22245https://jira.dxc.com/browse/SE-22245
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SICSR-29185 - Retro Calc Order not working with the WS status #
| Product line | P&C |
| Component(s) | Accounting Orders |
| Affects version(s) | SICS 23.3 SSP1 |
| Fix version(s) | SICS 24.2 |
| Customer | AON |
SICSR-29196 - Abend when removing business from order - missing element on remove #
| Product line | P&C |
| Component(s) | Accounting Reinstatement Premium |
| Affects version(s) | SICS 23.4 |
| Fix version(s) | SICS 24.2 |
| Customer | DXC |
Problem: Abend when choosing to remove business from accounting order for the second time - 'missing element on remove' Problem: Abend when choosing to remove business from accounting order for the second time Solution: The system should 'refresh' list after first removal, and remove the second when option is chosen for the second time Workaround: Refresh/save - and repeat
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SICSR-29242 - Validation Erro Message repeats when the target amount is less than or equal to the AC0392 Threshold limit #
| Product line | P&C |
| Component(s) | Accounting general |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | DXC |
Problem: Validation Error Message repeats when the target amount is less than or equal to the AC0392 Threshold limit. Solution: On the business when a business condition is added, it can be either a Deduction condition or Deposit condition, and on the technical worksheet where only the target amount is added, and the base detail is missing. Then whether the target amount is greater than the threshold limit or the target amount is less or equal to the threshold limit, the Accuracy Validation Log Message should be recorded similarly and there should be only one record added for one error AC0392. |
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SICSR-29244 - AC0395 failed to verify the base amount, even though Deposit Condition or Reinstatement Condition exist in business #
| Product line | P&C |
| Component(s) | Accounting general |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 SICS 24.1 SSP2 |
| Customer | DXC |
SICSR-29405 - Business with Estimation Complete flag in Pricing and adjusted estimates is being listed under the eligible business container of Underwriter's Estimation Calculation Order #
| Product line | P&C |
| Component(s) | Accounting Reserve Orders |
| Affects version(s) | SICS 24.2 |
| Fix version(s) | SICS 24.2 |
| Customer | |
The Business with Estimation Complete flag ON in Pricing and adjusted estimates is being listed under the eligible business list container of Underwriter's Estimation Calculation Order. The Order should not include the business which has the Estimation Completion flag as YES |
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SICSR-29411 - Error response in SICS Server during CreateWorksheetRequest - UDF instruction #
| Product line | P&C |
| Component(s) | Accounting general |
| Affects version(s) | SICS 22.2 |
| Fix version(s) | SICS 24.2 |
| Customer | Assicurazioni Generali S.p.A. |
Problem: Error response in SICS Server during CreateWorksheetRequest - UDF instruction Solution: When running the web service createWorksheet, including the elements then the system must be able to create the worksheet with the related details including the given user defined field values. |
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SICSR-29460 - SICS 24.1 | SE-22677: Upload of Remittance spreadsheet | 'Level of Business - OCC' field does not work #
| Product line | P&C |
| Component(s) | Accounting general |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | DXC |
Problem: Upload of Remittance spreadsheet | 'Level of Business - OCC' field does not work Solution: Preconditions: When the above system parameter is selected and the xl spreadsheet contains the value Outward in the column Direction and a valid OCC business Id in the column Level of Business - OCC, then the system shall allow this information and create the actual remittance with these values present. If the above system parameter is not selected, then it shall not be allowed to give neither of the above information in the xl spreadsheet, i.e. it shall raise an error message in the Error List in the Import window.
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SICSR-29481 - Duplicates of Default Settings on Booking Terms Maintenance #
| Product line | P&C |
| Component(s) | Accounting general |
| Affects version(s) | SICS 23.3 SSP1 |
| Fix version(s) | SICS SQL SICS 24.2 |
| Customer | AON |
Problem: Duplicates of Default Settings on Booking Terms Maintenance Solution: Even if new Booking Terms have been created, assigned to a Base Company, later deleted and finally created and assigned to the Base Company again, without any refresh of the system until now, the system shall NOT create any duplicate of the <Default Settings> terms. The system shall not allow to have duplicate names of booking terms including the name <Default Settings>.
Recovery Method for Existing Data Affected We need to delete the duplicate <Default Settings> now created in the latest DB as we are not able to edit the Default settings because of validation 'Booking Term definition already exist'. |
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SICSR-29527 - Bug 1940709: TAWV - SICS 24.1 Incorrect system behaviour when booking RIP on TM with no active RIP condition active/available #
| Product line | P&C |
| Component(s) | Accounting Technical Worksheet |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.1 SSP1 SICS 24.2 |
| Customer | Swiss Re Zurich |
Problem: Incorrect system behavior when booking RIP on TM with no active RIP condition active/available Solution: Preconditions: When booking Reinstatement Premium detail on a business with Reinstatement Conditions available but not defined and the detail amount is BELOW the Threshold Limit for AC0399 on the accuracy validation rule, then the system shall NOT raise the error message AC0399, but instead just log the information that booking of Reinstatement Premium expect corresponding conditions. Only if the detail amount is HIGHER than the Threshold Limit for AC0399 that the system should raise this error message and should be able to add Category and Comments so that the worksheet can be closed.
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SICSR-29598 - Bug 1950324: CL - Deposits - SICS 24.1 SP0 TECSNT02: AC0770 - Loss Deposit Release strange behavior (ISSUE 157) #
| Product line | P&C |
| Component(s) | Accounting general |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 SICS 24.1 SSP2 |
| Customer | Swiss Re Zurich |
Problem: AC0770 - Loss Deposit Release strange behavior (ISSUE 157) Solution: When the relevant business condition is defined on a business, and on the worksheet both Trigger and Target ECs are present, then system should consider lower and higher Threshold limit values on the rule and trigger the AC0770 error accordingly. If the deviation(+/-) of the target amount booked is less than the Lower Limit on the rule, then system should just allow the user to close the worksheet. If the deviation(+/-) is in between the lower and Higher Threshold limit defined on the rule, then system should allow the user to close the worksheet but there should be an Auto-log of the deviation amount error on the Accuracy Validation Log Message. If the deviation(+/-) of the target amount if more than the Higher Threshold limit defined on the rule, then system should trigger and Hard-Stop error but should allow user to override the error using the Category and Comments fields on the worksheet. |
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SICSR-29600 - Bug 1950283: TA/CL - Deposits - SICS 24.1 SP0 TECSNT02: AC0395 not triggered with EC3000 Premium/Claim deposit various scenarios (ISSUE 176) #
| Product line | P&C |
| Component(s) | Accounting general |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 SICS 24.1 SSP2 |
| Customer | Swiss Re Zurich |
Problem: AC0395 not triggered with EC3000 Premium/Claim deposit without releasing the premium deposit retained earlier. Solution: On the business when Deposit Condition is added for both Premium and Loss and the worksheet is booked with only a claim booking without releasing the premium deposit retained from last 4th quarter in previous accounting year, then the system raise AC0395 telling that the Premium Deposit Release (from previous accounting year) is missing and also for the missing Loss Deposit Retained (for the current worksheet Claim booking). User should be allowed to override these error with Accuracy Validation Category and Comments. |
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SICSR-29608 - Bug 1950586: TA - SICS 24.1 SP0 TECSNT02: Worksheet Validations - AC0392/AC0411 showing double Autolog details (ISSUE 158) #
| Product line | P&C |
| Component(s) | Accounting general |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | Swiss Re Zurich |
SICSR-29706 - SICS abend - Clean Cut - Release Next Account with Transfer Next Insured Period #
| Product line | P&C |
| Component(s) | Accounting Outward Premium Accounting |
| Affects version(s) | SICS 23.2 |
| Fix version(s) | SICS 24.2 |
| Customer | Lusitania Seguros |
Problem: SICS abend when running retrocession calculation order when calculate Deposit. Solution: |
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SICSR-29843 - Bug 1997267: TAWV - TA - TECSNT02 24.1 SP1 - No hardstop if booked amount smaller than original amount but deviation higher than threshold (ISSUE 188) #
| Product line | P&C |
| Component(s) | Accounting general |
| Affects version(s) | SICS 24.1 SSP1 |
| Fix version(s) | SICS 24.2 SICS 24.1 SSP2 |
| Customer | Swiss Re Zurich |
Problem: No hard stop if booked amount smaller than original amount but deviation higher than threshold Solution: When the relevant business condition is defined on a business, and on the worksheet both Trigger and Target ECs are present, then system should consider lower and higher Threshold limit values on the rule and trigger the AC0770 error accordingly. If the deviation(+/-) of the target amount booked is less than the Lower Limit on the rule, then system should just allow the user to close the worksheet. If the deviation(+/-) is in between the lower and Higher Threshold limit defined on the rule, then system should allow the user to close the worksheet but there should be an Auto-log of the deviation amount error on the Accuracy Validation Log Message. If the deviation(+/-) of the target amount if more than the Higher Threshold limit defined on the rule, then system should trigger and Hard-Stop error but should allow user to override the error using the Category and Comments fields on the worksheet. |
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SICSR-29860 - Bug 1940709: TAWV - SICS 24.1 Incorrect system behaviour when booking RIP on TM with no RIP condition active/available on Business #
| Product line | P&C |
| Component(s) | Accounting Technical Worksheet |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 SICS 24.1 SSP2 |
| Customer | Swiss Re Zurich |
Problem: Incorrect system behavior when booking RIP on TM with no RIP condition(R tab) active/available on the Business Solution: Preconditions: When booking Reinstatement Premium detail on this type of business without Reinstatement Conditions available and the detail amount is BELOW the Threshold Limit for AC0399 on the accuracy validation rule, then the system shall NOT raise the error message AC0399, but instead just log the information that booking of Reinstatement Premium expect corresponding conditions. Only if the detail amount is HIGHER than the Threshold Limit for AC0399 that the system should raise this error message but should be able to add Category and Comments so that the worksheet can be closed.
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SICSR-29863 - Bug 2000126: CL - Deposits - SICS 24.1 SP1 TECSNT02 - Deposit Regulation Years produces system crash and incorrect AC0770 (ISSUE 193) #
| Product line | P&C |
| Component(s) | Accounting Technical Worksheet |
| Affects version(s) | SICS 24.1 SSP1 |
| Fix version(s) | SICS 24.2 SICS 24.1 SSP2 |
| Customer | Swiss Re Zurich |
Problem: Deposit Regulation Years produces system crash and incorrect AC0770 (ISSUE 193) Solution: Precondition: When the user books the Original Loss Reserves and Claims on Q2 directly skipping the Q1, and on the next Quarters system should allow to book the Loss Reserves without any abend. |
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SICSR-29901 - Retest failed of SICSR-27196 - Premium scenario 2 - validation AC0395 expects 0 deposit retained booked (ISSUE 111) #
| Product line | P&C |
| Component(s) | Accounting general |
| Affects version(s) | SICS 24.1 SSP1 |
| Fix version(s) | SICS 24.2 SICS 24.1 SSP2 |
| Customer | Swiss Re Zurich |
Problem 1: AC0395 not triggering properly when target EC is missing. Solution 1: When the Business condition is added and on a worksheet, if we have the Base amount added and no target detail added, then system should look for 'AC0395 - Trigger amount without a Target Amount' Threshold Limit of the Accuracy Validation Rule. If the Base amount is less than or equal to the defined Threshold Limit, then system should Auto-log the error and allow user to close the worksheet. And if the Base amount is greater than the defined Threshold Limit, then system should raise a Hard-stop error and also allow user to override the error using the Category and Comments fields on the worksheet. Problem 2: AC0770 not triggering Hard-Stop error when the target amount is less than the Threshold Limit. Solution 2: When the relevant business condition is defined on a business, and on the worksheet both Trigger and Target ECs are present, then system should consider lower and higher Threshold limit values on the rule and trigger the AC0770 error accordingly. If the deviation(+/-) of the target amount booked is less than the Lower Limit on the rule, then system should just allow the user to close the worksheet. If the deviation(+/-) is in between the lower and Higher Threshold limit defined on the rule, then system should allow the user to close the worksheet but there should be an Auto-log of the deviation amount error on the Accuracy Validation Log Message. If the deviation(+/-) of the target amount if more than the Higher Threshold limit defined on the rule, then system should trigger and Hard-Stop error but should allow user to override the error using the Category and Comments fields on the worksheet.
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SICSR-28630 - Premium Instalments not copied from outward cedent's contract to retrocessionaire #
| Product line | P&C |
| Component(s) | Business Premium/Limit Condition |
| Affects version(s) | SICS 23.4 |
| Fix version(s) | SICS 24.2 |
| Customer | Allianz AG |
Problem: When placing an outward cedent's contract to a retrocessionaire, after the user has added one premium instalment to the contract, the system does not copy this instalment to the retrocessionaires. Solution: When creating a retrocessionaire after the user has added One Instalment to the OCC, the system should copy this premium instalment to the retrocessionaire. It should copy this instalment also when there were other instalments present on the OCC before adding the one by the choice One Instalment. |
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SICSR-28758 - abend when placing non proportional facultative Intermediary from sub section to retrocessionaire when assumed has no Type of Business Covered #
| Product line | P&C |
| Component(s) | Business Protection Assignments |
| Affects version(s) | SICS 4.8.6 SSP33 |
| Fix version(s) | SICS 24.2 |
| Customer | SOMPO JAPAN INSURANCE INC. |
Problem: The system abends when placing a non proportional facultative Intermediary, created from a sub section, to a retrocessionaire if the Assumed Business does not have a Type of Business Covered being the same as its own Type of Business Method. Solution: When placing a Non-Proportional Facultative Intermediary Protection to a Retrocessionaire Participation, the system should NOT abend when the Assumed Business Type of Business Covered is missing or is different from the Type of Business Covered by of the Intermediary. Instead, the Retrocessionaire should either get the same Type of Business Covered as the parent intermediary (or it should derive it from the assumed business it’s covering by using its ToB METHOD as ToB Covered.) Workaround: -Open the Assumed Business.
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SICSR-28829 - possible with missing mandatory classification on sub section #
| Product line | P&C |
| Component(s) | Business Structure |
| Affects version(s) | SICS 23.4 |
| Fix version(s) | SICS 24.2 |
| Customer | SOMPO JAPAN INSURANCE INC. |
Problem: Solution: |
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SICSR-29233 - abend when saving settings of changed column views on business highlights #
| Product line | P&C |
| Component(s) | Business Structure |
| Affects version(s) | SICS 23.1 |
| Fix version(s) | SICS 24.2 |
| Customer | MS Reinsurance |
Problem: Solution: |
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SICSR-29493 - abend when renewing stop loss treaty with different insured period than reinsurance program #
| Product line | P&C |
| Component(s) | Business Copy, Renew, Status Change |
| Affects version(s) | SICS 4.9.5 |
| Fix version(s) | SICS 24.2 |
| Customer | Axis Group |
Problem: Solution:
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SICSR-29566 - search for Business in SQL Database abends after removing one out of several business partners from searching criteria #
| Product line | P&C |
| Component(s) | Business Find |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | DXC |
Problem: Solution: |
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SICSR-29847 - Classification Values lost after Registration of outward cedent's contract #
| Product line | P&C |
| Component(s) | Business Create New |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 SICS 24.1 SSP2 |
| Customer | Hamilton Ins |
Problem: Solution: |
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SICSR-27687 - Selecting the scope of cover (claims section) unnecessary - Message has already referenced IP and Section #
| Product line | P&C |
| Component(s) | Claims |
| Affects version(s) | SICS 21.2 SSP12 REN1 |
| Fix version(s) | SICS 24.2 |
| Customer | Renaissance Re |
Problem: When using find claims search option Business Identifier without defining a Business ID, and retrieving a claim which is linked to many sections/businesses, and user preference 'transfer automatically if unique match' is selected, the system automatically opens the first listed soc-to-claim. In emessaging, when the Business Insured Period and section has already been referenced, and then searching for the claim, the user is requested to choose from the list of scopes of cover if search option is Claims to which the claim is linked.
Solution
Workaround:
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SICSR-27743 - System abend when opening FGU tab - Cannot read field 'scale' because 'val' is null #
| Product line | P&C |
| Component(s) | Claim FGU |
| Affects version(s) | SICS 23.1 SSP7 |
| Fix version(s) | SICS 24.2 |
| Customer | Swiss Re Zurich |
Problem: Abend when opening FGU when ACR is in use and claim limits are defined and Cover amount is unlimited Solution: When claim is a multi currency claim and cover is defined as unlimited on the claim limits, the cover amount in all currencies should be unlimited for paid cover, incurred cover, cibnr cover and acr cover. The system must not return null in the calculation. |
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SICSR-27920 - Headline Loss Calculate button on claim list disappears #
| Product line | P&C |
| Component(s) | Claim Headline Loss |
| Affects version(s) | |
| Fix version(s) | SICS 24.2 |
| Customer | DXC |
Problem: The calculate button on the HL Claim list disappears when tabbing out of the currency field Solution: The calculate button should be displayed and enabled |
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SICSR-28774 - Accounting Period From To cannot be entered on Claim worksheet due to an error message #
| Product line | P&C |
| Component(s) | Claim Worksheet |
| Affects version(s) | SICS 22.4 ALL4 |
| Fix version(s) | SICS SQL SICS 24.2 |
| Customer | Allianz AG |
Problem: Accounting Period From To cannot be entered on Claim Worksheet due to an error message. This worked correctly in 20.4, but not in 22.4. Looks like a duplicate of Solution:
Workaround: Activate Accounting information based on as of date parameter (Claim Accounting). When set the accounting year, accounting period is set based on as of date in booking detail, but you can still override in worksheet.
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SICSR-29056 - Claim Action Date is not updated when worksheet with reserves is booked #
| Product line | P&C |
| Component(s) | Claims |
| Affects version(s) | SICS 22.4 ALL4 |
| Fix version(s) | SICS 24.2 |
| Customer | Allianz AG |
Problem: Action Date is not set or updated correctly with various combinations of as of date parameters. Solution: The system should update/clear action date based upon the combination of all parameters and worksheets.
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SICSR-29136 - Incorrect AC0399 and AC0770 for missing Paid loss on Claim worksheet #
| Product line | P&C |
| Component(s) | Claims |
| Affects version(s) | SICS 23.4 |
| Fix version(s) | SICS 24.2 |
| Customer | Swiss Re Zurich |
Problem: AC0770: When Reinstatement condition is defined, AC0770 not triggered when booking with only RIP (no Paid Loss booking). Solution: AC0770: |
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SICSR-29151 - System Abend when Remove All Country Groups on Claims Program Business Search Screen #
| Product line | P&C |
| Component(s) | Claim Program |
| Affects version(s) | SICS 23.4 |
| Fix version(s) | SICS 24.1 SSP1 SICS 24.2 |
| Customer | Swiss Re Zurich |
Problem: The system abends when removing all country groups in the Claim Program's Business Find window Solution: The system should allow removal of all country groups in one go
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SICSR-29153 - Country Groups not shown correctly on Claims Program Business Search Screen #
| Product line | P&C |
| Component(s) | Claims |
| Affects version(s) | SICS 23.4 |
| Fix version(s) | SICS 24.1 SSP1 SICS 24.2 |
| Customer | Swiss Re Zurich |
Problem: When adding Business to a Claim Program which is defined with location being country/countries or a mix of country group/groups and country/countries, the system populates the Country Groups with all groups containing the Claim programs countries. Solution: The Find Business should only populate Country Groups and Countries exactly as they have been defined on the Claim Program Workaround: Remove the country groups not matching Root Cause: SE-21793
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SICSR-29198 - abend opening claim and Domain Restriction 'Business Structure' used for filtering Use Case 'Business Administration' #
| Product line | P&C |
| Component(s) | Claims |
| Affects version(s) | SICS 22.3 SSP7 |
| Fix version(s) | SICS 24.2 SICS 22.3 SSP9 |
| Customer | Partner Re |
Problem: Abend when opening claim list when Domain Restriction Business Structure preventing business updates Solution: The Business Structure domain restriction should not impact the viewing of Claims
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SICSR-29235 - Issues with the Claim Upload Functionality #
| Product line | P&C |
| Component(s) | Claims |
| Affects version(s) | SICS 23.1 SSP2 |
| Fix version(s) | SICS 24.2 SICS 24.1 SSP2 |
| Customer | Unive Herverzeker |
Problem: The FGU Upload fails to populate settlement date correctly / this is always set to same as As of Date. It also fails to populate worksheet tile, booking month, and due date for all rows not deemed as 'first'. For these rows the value is set to default, or blank. Solution: The FGU record and worksheet should be generated with the values provided in the input file for each claim
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SICSR-29379 - Missing validations when adding business to claim program #
| Product line | P&C |
| Component(s) | Claim Program |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | DXC |
Problem: When adding businesses to a claim program, and there is either a gap or an overlap, the system should return warning or error. If businesses are added in the create claim program wizard, the warnings appear twice. If businesses are added to an existing Claim Program, the warning/error does not appear at all. Solution: The warning/error should only appear once. The warning/error should appear both in create and update.
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SICSR-29424 - include zero bookings in createFGUWorksheet API does not work as intended #
| Product line | P&C |
| Component(s) | ClaimAPI |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | DXC |
Problem: The element 'includeZeroBookings' in createFGUClaimWorksheet APIs does not work as intended. Solution: When the above element is set to true, the API should create worksheet with both adjustments and zero adjustments.
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SICSR-29485 - Create Zero WS option should be enabled simultaneously along with Create WS when Distribution triggers Creation of Both #
| Product line | P&C |
| Component(s) | Claim FGU |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | DXC |
Problem: Solution:
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SICSR-29525 - Bug 1940723: CLWV - SICS 24.1 - TECSNT02 Incorrect system behaviour when booking RIP on CM with no active RIP condition active/available #
| Product line | P&C |
| Component(s) | Claim Worksheet |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | Swiss Re Zurich |
SICSR-29578 - Add confirmation message for claim worksheet when clicking 'Inactivate' #
| Product line | P&C |
| Component(s) | Claim Worksheet |
| Affects version(s) | SICS 22.4 ALL5 |
| Fix version(s) | SICS 24.2 |
| Customer | Allianz AG |
Problem: User can inadvertently inactivate a claim worksheet without warning. Solution: The existing warning CM0607 should appear on the worksheet edit page, and not only on closing page.
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SICSR-29612 - issue Claims Program - Claims Location - All Claims Programs do not have any Location - SICS 23.4/24.1 #
| Product line | P&C |
| Component(s) | Claim Program |
| Affects version(s) | SICS 23.4 |
| Fix version(s) | SICS 24.1 SSP1 SICS 24.2 |
| Customer | Swiss Re Zurich |
SICSR-29697 - Certain Claims Program with no Claims linked location cannot be edited #
| Product line | P&C |
| Component(s) | Claim Program |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | DXC |
Problem: |
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SICSR-29828 - When trying to retrieve claims attached to a Headline Loss system crashes #
| Product line | P&C |
| Component(s) | Claim Headline Loss |
| Affects version(s) | SICS 22.4 SSP8 |
| Fix version(s) | SICS 24.2 |
| Customer | Axis Group |
Problem: Abend when retrieving claims on a Headline Loss Solution: The system should retrieve the claims without any abend
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SICSR-29651 - SICS Crash Searching Find EDI Batches #
| Product line | P&C |
| Component(s) | EDI |
| Affects version(s) | SICS 22.4 SSP8 |
| Fix version(s) | SICS 22.4 SSP9 SICS 24.2 |
| Customer | Axis Group |
Problem: Solution: Workaround: Root Cause: Extent of Impact:
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SICSR-28415 - eMessaging - FA not processed once Remittance is created and set to final #
| Product line | P&C |
| Component(s) | eMessaging |
| Affects version(s) | SICS 23.1 SSP10 |
| Fix version(s) | SICS 24.2 |
| Customer | Renaissance Re |
Problem: Solution: Workaround: Root Cause: Extent of Impact: |
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SICSR-28427 - Reversal message not to execute new/additional accounting validations #
| Product line | P&C |
| Component(s) | eMessaging |
| Affects version(s) | SICS 23.1 SSP10 |
| Fix version(s) | SICS 24.2 |
| Customer | Renaissance Re |
Problem: Description: A reversal message should not trigger additional accounting validations besides ensuring that the reversal amounts are matching the originally booked amounts. Otherwise, when asking the sender for a correction because something was missing (in our example FET) raises unnecessary errors. The original message did not raise the error as the Respective FET condition was not set-up, the reversal message than raises the error but serves no purpose as its a reversal: Solution: Workaround: Root Cause: Extent of Impact: |
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SICSR-28652 - No Error Triggered for Responsible Partner in Alert Status #
| Product line | P&C |
| Component(s) | eMessaging |
| Affects version(s) | SICS 23.1 SSP10 |
| Fix version(s) | SICS 24.1 SSP1 SICS 24.2 |
| Customer | Swiss Re Zurich |
Problem: The rule is active on LPC FA messages as well but not triggering. The question is now, If it's not triggered because of a bug or because of some LPC specific 'settings'. LPC Payment process is a little bit different we still would need to inform Portfolio Management in case of received FA's for Financially Troubled clients. Therefore, we would like to understand the different behavior for B2B and LPC. B2B FA - TRIGGERS ALERT ERROR - CORRECT BEHAVIOR B2B FA Due to Sender : f67d3a75-f8cd-43c8-b3e2-e6fa44b57b04 - goes to error 'Responsible Partner is in alert status, balance is due to sender' (Rule CheckResponsiblePartnerAlertStatusBalanceDueToSender) LPC FA - DOES NOT TRIGGER ALERT ERROR - INCORRECT BEHAVIOR Solution: Root Cause: However it does not state that no balance should be referenced if possible, Extent of Impact: |
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SICSR-29176 - Bug 1880055: Error when processing CM eMessage A Non-recoverable database error has occurred #
| Product line | P&C |
| Component(s) | eMessaging CM |
| Affects version(s) | SICS 23.1 SSP10 |
| Fix version(s) | SICS 24.2 |
| Customer | Swiss Re Zurich |
Problem: Solution: From version 2006.1 of the ACORD standard, most object (Contract, Claim etc.) references have been updated to allow up to 255 characters to be supplied when using XML messaging. The EDI standard remains unchanged and, as before, will only allow references of 35 characters or less. Therefore, implementers are strongly advised to continue to supply references of 35 characters or less where so indicated in the RLC Data Dictionary under “EDIFACT size”. Many back-office systems, as well EDI implementations and all previous XML versions of the RLC standard, cannot accept references of greater length, especially in the case of contract or group references. Workaround: |
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SICSR-29200 - 'First Message' Logic Clarification #
| Product line | P&C |
| Component(s) | eMessaging TA |
| Affects version(s) | |
| Fix version(s) | SICS 24.2 |
| Customer | Swiss Re Zurich |
Problem: Solution: Workaround: For TechAccount or Placing a Subsequent Message is a message For ClaimMovement a First Message has message function New Claim For ClaimMovement a Subsequent Message has message function Existing Claim or For all other message types all messages are considered a first message |
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SICSR-29265 - eMessaging - Ceded Claim Reference - Expand #
| Product line | P&C |
| Component(s) | eMessaging CM |
| Affects version(s) | SICS 23.1 SSP10 |
| Fix version(s) | SICS 24.2 |
| Customer | Renaissance Re |
Problem: Claim reference field length is smaller than ACORD recommendation. Solution: Increase claim reference from current 30 to 50.
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SICSR-29268 - TA eMessage incorrectly booked to Main Section instead of sections #
| Product line | P&C |
| Component(s) | eMessaging TA |
| Affects version(s) | SICS 23.1 SSP10 |
| Fix version(s) | SICS 24.2 |
| Customer | Renaissance Re |
Problem: Message processed without applying section split as necessary. Message 2e3d74e0-4986-47ba-b254-84a555b1dda6 has processed fully automatically without any human intervention: However, the bookings have all been assigned to the main section which does not have an adjustment condition set-up whereas there are also no accounting classifications linked to the main section either: Main Section has no adjustment condition definition. Whereas Child sections do- Solution: The AdjustmentReferenceRule and Highlights edit of Adjustment must consider if the Adjustment condition is hidden due to Instalment status (not having instalments or being overridden on sub-section. If the Adjustment is hidden then any Adjustment present should not be considered for referencing. Workaround: |
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SICSR-29422 - 2 way Query - ACORD 2016 - Outward ACK - Message function not displayed #
| Product line | P&C |
| Component(s) | eMessaging |
| Affects version(s) | SICS 23.1 SSP10 |
| Fix version(s) | SICS 24.2 |
| Customer | Renaissance Re |
Problem: The query message function is not displayed on the highlights screen We have set up the Query message functions and inwards acknowledgements work ok: Solution: Workaround: Root Cause: |
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SICSR-29594 - eMessaging - discarded TA message not linked to the FA #
| Product line | P&C |
| Component(s) | eMessaging TA |
| Affects version(s) | SICS 23.1 SSP10 |
| Fix version(s) | SICS 24.2 |
| Customer | Renaissance Re |
Problem: This FA is processed and we manually indexed the worksheet after the FA has arrived. But originally it showed only status pending and not the uuid or anything. It does not show the uuid now either. This way it is hard for us to identify what this balances is for. And the uuid is available in the message, we just need to search for it today on the rendered view. In our opinion it should be displayed as such: Solution: |
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SICSR-29610 - Reversal Message Booking Incorrectly #
| Product line | P&C |
| Component(s) | eMessaging TA |
| Affects version(s) | SICS 22.3 SSP8 |
| Fix version(s) | SICS 24.2 SICS 22.3 SSP9 |
| Customer | Partner Re |
Problem: Solution: Workaround: These should not be overridden but rather ensure that the Reversal message is booked first. Root Cause: When booking Replacement before Reversal a timed cache of bookings for the instalment is incorrectly not refreshed. If subsequently booking the Reversal on the same instance within 300 seconds of the timed cache being established then the replacement bookings are missing. This leads to the wrong Worksheet Origin being assigned to a subsequent Reversal thus causing the entire instalment to be Reversed. The Worksheet Origin being set to Automatic will reverse the Instalment as per acting on the Business Condition. |
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SICSR-29630 - Difference in upper and lower tolerance limit set up #
| Product line | P&C |
| Component(s) | eMessaging TA |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | Hamilton Re. |
Problem: While setting up the limit for tolerance in any of the validation rule system allows set upper limit till 4 places whereas for lower limit it is allowed up to 22 places. Solution: |
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SICSR-29727 - LOV's in the eMessaging universe are wrong for some objects and should be corrected. #
| Product line | P&C |
| Component(s) | eMessaging |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | Triglav Re |
Problem: LOV's in the eMessaging universe are wrong for some objects and should be corrected. Solution: Need to change the LOV'S SQL for the below mentioned objects.
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SICSR-29779 - Removal of Technical Worksheet field for Placing messages #
| Product line | P&C |
| Component(s) | eMessaging |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.1 SSP1 SICS 24.2 |
| Customer | DXC |
Problem: Solution:
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SICSR-29841 - ACORD Code Set 20240531 #
| Product line | P&C |
| Component(s) | eMessaging |
| Affects version(s) | |
| Fix version(s) | SICS 24.2 |
| Customer | DXC |
Problem: Solution: |
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SICSR-29842 - Blocking behavior of e-messaging FA #
| Product line | P&C |
| Component(s) | eMessaging |
| Affects version(s) | SICS 23.4 SSP2 |
| Fix version(s) | SICS 24.1 SSP1 SICS 23.4 SSP3 SICS 24.2 |
| Customer | Echo Reinsurance Limited |
Problem: Validation error: FAIBalanceReferenceRule As per the rule description the solution is as follows: the user has two main options. Either he can reject the FA Item, or you can link it to a SICS balance. If the item is left in pending status, the message cannot be processed. To reject the item, press the 'Reject this item' button. After having pressed processed, the message gets back to status pending. We would need to discard the message and create the settlement balance manually taking away the full e-messaging effect. Solution: Corrected as part of Swiss Re. issue - |
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SICSR-29533 - Image not displayed in System Administration Guide #
| Product line | P&C |
| Component(s) | Documentation - Admin Guide |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | Triglav Re |
Problem: In SICS System user guide under Business objects tab there is a one deleted image. But still the path of the image is not deleted. Solution: Need to delete the path of the image. |
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SICSR-27635 - BOAC005 run time #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 23.1 |
| Fix version(s) | SICS 24.2 |
| Customer | Länsförsäkringar AB |
Problem: Slow runtime of BOAC005 Solution: Additional indexes to be added for performance improvement .
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SICSR-28357 - To view Access Rights in a easy way in BO Report in the same way as it is displaying in SICS for Ref Data Universe #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 4.3.1 |
| Fix version(s) | SICS 24.2 |
| Customer | Samsung Reinsurance PTE Ltd |
Problem: We are not able to get the same one row extract as it is possible to see in SICS. Solution: Need to adjust the Report Script of Reference Data Universe to get the Exact data same as in SICS.
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SICSR-28925 - BOAC_PC_FACT table needs to replace with view to improve performance. #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 23.4 |
| Fix version(s) | SICS 24.2 |
| Customer | DXC |
Problem: The BOAC_PC_FACT table needs to replace with view V_BOAC_PC_FACT to improve performance. Solution: View V_BOAC_PC_FACT needs to be altered also the views V_BOOK_PERIODS & V_ACCT_PERIODS needs to be created then all the objects that are coming from BOAC_PC_FACT should change to come from this view.
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SICSR-28939 - BOAC_DIM_TIME index adjustment. #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 23.3 |
| Fix version(s) | SICS 24.2 |
| Customer | AON |
Problem: BOAC_DIM_TIME index adjustment for faster and efficient running of reports. Solution: Creation of index is needed in SICS to increase the performance. |
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SICSR-29215 - Triglav Re - Worksheet Status of FRK_STATUS field on BOAC_PC_FACT table is wrongly defined #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 23.4 |
| Fix version(s) | SICS 24.1 SSP1 SICS 24.2 |
| Customer | Triglav Re |
Problem: Worksheet Status of FRK_STATUS field on BOAC_PC_FACT table is showing as null. Solution: We need to change the FRK_STATUS field data type to varchar from char.
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SICSR-29247 - Min and Deposit Premium-PC Main Universe #
| Product line | P&C |
| Component(s) | Reporting - Accounting |
| Affects version(s) | SICS 23.3 |
| Fix version(s) | SICS 24.2 |
| Customer | MISR Insurance Company |
Problem: We are not getting the proper data for the objects Min and Deposit % and amounts in PC Main Universe. Solution: Need to add column for the tables BO_PREM_CURR and BO_PREM_CURR_MAIN. Also need to make code changes for the view V_BOAC_PREM_CURR and need to adjust select statement for the object Deposit(Original).
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SICSR-29295 - Premium Basis field not available in SICS PC BP Universe. #
| Product line | P&C |
| Component(s) | Reporting - Business |
| Affects version(s) | SICS 23.2 SSP2 |
| Fix version(s) | SICS 24.2 |
| Customer | FFH Management Services Limited |
Problem: 'Premium Basis' is not available in the Business Object Universe, so the respective report can be created with proper information.
Solution: To resolve the issue, we need to add 'Premium Basis' field to the BO_PREM_CURR & BO_PREM_CURR_MAIN tables and add a new object for Premium basis in the universe level which will fetch the required data.
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SICSR-29337 - Triglav Re -performance issue for Underestimate views V_UW_EST &V_UW_EST_LATEST in SQL&Oracle databases- runtime #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 23.3 |
| Fix version(s) | SICS 24.2 |
| Customer | Triglav Re |
Problem: Performance issue for Underestimate views V_UW_EST &V_UW_EST_LATEST in SQL&Oracle databases. Solution: Need to replace the existing script with new one for better performances. |
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SICSR-29349 - Outer joins inconsistency issue in PC Main 24.1 Universe #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | |
| Fix version(s) | SICS 24.1 SSP1 SICS 24.2 |
| Customer | Triglav Re |
Problem: Outer joins inconsistency issue in PC Main 24.1 Universe. Solution: Need to adjust the join structure in universe for a number of views (as attached in the excel file below) in such a way that we should always have CODE=FRK and SUBCLASS=FSK in one join and not in two joins as it is easier to maintain and get right data.
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SICSR-29351 - PC Main universe - pairing structure #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.1 SSP1 SICS 24.2 |
| Customer | Triglav Re |
Problem: There are few tables in PC Main Universe that can be taken out which are not in Use. Solution: Need to delete few alias tables that are no longer needed in the structure and do not have any associated objects.
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SICSR-29353 - Missing some Joins and joins alteration in the PC main universe 24.1. #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.1 SSP1 SICS 24.2 |
| Customer | Triglav Re |
Problem: Missing some Joins and joins alteration in the PC main universe 24.1. Solution: Need to add the missing joins and joins alteration for PC main universe for the coming release.
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SICSR-29360 - The views V_BOOK_PERIODS and V_ACCT_PERIODS are replacing V_BOOK_PERIOD_TO_MONTHS #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | DXC |
Problem: The view V_BOOK_PERIOD_TO_MONTHS needs to be replaced with V_BOOK_PERIODS & V_ACCT_PERIODS. Solution: Replacing the view V_BOOK_PERIOD_TO_MONTHS with the two new views V_BOOK_PERIODS & V_ACCT_PERIODS. (script is attached below). We also need to create tables for the two new views like we had earlier BOAC_BOOK_PERIOD_TO_MONTHS table for V_BOOK_PERIOD_TO_MONTHS view. |
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SICSR-29364 - To Update views and universe adjustments for pairing history dates: SICSR-28003 #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | FFH Management Services Limited |
Problem: To Update the views and make universe adjustments in PC Main Universe. Solution:
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SICSR-29384 - Wrong object used for Cover Basis % of Gross in 24.1 PC Main Universe. #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | DXC |
Problem: Wrong object used for Cover Basis % of Gross in 24.1 PC Main Universe. Solution: The object should be defined correctly using the existing development object 499. The existing development object 499 should be modified and renamed as 'Cover Basis % of gross- NEW OBJECT SHOULD BE HIDDEN'. Then the object should be moved to the correct location i.e., General limit Information>Limits Information>Limits and Premium Condition>Business Information. The Select statement of the existing development object 499 after renaming it and moving it to the correct location should be modified as 'LPC_LIM_PREM_COND.LIMIT_PCT_ORIG'. Thereafter, we should make the object hidden. |
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SICSR-29418 - SICSR-28925 - Replacing BOAC_PC_FACT table with a view to get more performance #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | DXC |
Problem: BOAC_PC_FACT, REPORTING_TABLE & AC_LEDGER_BALANCE tables and associated alias tables need to replace with views to get better performance. Solution: Need to adjust all the object definitions and joins to replace tables with views to get more performance.
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SICSR-29420 - Need to adjust view V_BALANCE_TIMELINE_PC and a few objects to get faster LOVs while running report for PC Main (TRIG Re). #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | Triglav Re |
Problem: The view V_BALANCE_TIMELINE_PC needs to be adjusted. The select statements of a few objects should be modified as well so that it comes from the view V_BALANCE_TIMELINE_PC for better report performance. Solution: The view V_BALANCE_TIMELINE_PC should be adjusted. The FROM part should start with AC_LEDGER_DETAIL instead of AC_LEDGER_BALANCE. (As per the script attached CREATE OR ALTER-REPLACE VIEW V_BALANCE_TIMELINE_PC.sql The Select statement of a few objects namely Pairing BYRP Date, Reval Bal BYRP Date, Reval dtl BYRP Date, Pairing BYRP date to, Reval bal BYRP date to and Reval dtl BYRP date to, should be modified so that it comes from the adjusted view V_BALANCE_TIMELINE_PC. Like for eg, the modified SELECT statement of Pairing BYRP Date should be: V_BALANCE_TIMELINE_PC.FIRST_DAY_OF_MONTH Likewise for Pairing BYRP Date to it should be: V_BALANCE_TIMELINE_PC.LAST_DAY_OF_MONTH |
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SICSR-29430 - Collateral detail amount does not reflect if increase or decrease in Partner Universe BI. #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 23.1 |
| Fix version(s) | SICS 24.2 |
| Customer | DXC |
Problem: Collateral detail amount does not reflect if increase or decrease in BI. Solution: We need to add this object FRK_LOC_AMT_TYPE from BP_LOC_DTL. table in partner universe for the below three folders: Collateral LOC
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SICSR-29475 - 24.1 SICS PC Main Universe issues with Pairing Timeline Objects #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.1 SSP1 SICS 24.2 |
| Customer | Triglav Re |
Problem: Pairing timeline objects are mixing information from two pairing database views and this is causing a long run time for reports. Solution: Add aggregate aware function in the select statement for the pairing timeline objects (namely pairing booking year, pairing booking period(code), pairing booking year period, pairing date, pairing booking year period start date, pairing booking year period end date, pairing timestamp, annulment date and unsettled date) as shown in the attachment below and settlement indicator as at and settlement indicator as at(code). Then for all these objects we also need to adjust the LOV so that the LOV does not contain a prompt but rather come from the required columns. And lastly aggregate aware needs to be set up. (Refer to the attachment Triglave Re - PC Main - Pairing Timeline Objects.xlsx After making all these changes the report needs to be verified (as per the attached report - 24.1 - Remitance - Pairings and Exchange Rate Difference.wid
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SICSR-29477 - LOV Performance issue with underwriters-estimate- PC Main Universe. #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.1 SSP1 SICS 24.2 |
| Customer | Triglav Re |
Problem: Problem with some prompts that you must wait some time before values are retrieved - Underwriters Estimate. Solution: Need to create the object and also need to change the expression for the SQL.
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SICSR-29483 - FFH - customizations to PC Main Universe #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | FFH Management Services Limited |
Problem: To help FFH to maintain customization to PC Main universe we need to make changes for the objects and derived tables. Solution: Need to update descriptions for the objects and comments to the derived tables in PC Main universe.
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SICSR-29505 - Responsible and Payment Partner Reason For Alert in PC Main Universe #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.1 SSP1 SICS 24.2 |
| Customer | Triglav Re |
Problem: Adding partner alert objects under responsible partners, payment partners and as well as under reinsurer and cedant (business information>business partner) to reduce cost, run time and improve report efficiency. Solution: First add four alias table for REFERENCE_DATA i.e., BOAC_RP_Alert_Reason, ACLB_RP_Alert_Reason, BOAC_PP_Alert_Reason and ACLB_PP_Alert_Reason. Next join the two new alias tables (Refer to the screenshots below) ACLB_Alert_Reason.CODE=PTY_SecPayPartner.FRK_RSN_FOR_ALERT AND ACLB_Alert_Reason.SUBCLASS=PTY_SecPayPartner.FSK_RSN_FOR_ALERT Thereafter create a new sub-class Alert status with two objects- Reason for Alert & Reason for Alert(code) for responsible partner, payment partner, cedant and reinsurer. Reason For Alert: @Aggregate_aware(BOAC_Alert_Reason.NAME,ACLB_Alert_Reason.NAME) Reason For Alert (Code): @Aggregate_aware(PTY_BOAC_RP.FRK_RSN_FOR_ALERT,PTY_SecPayPartner.FRK_RSN_FOR_ALERT)
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SICSR-29538 - Triglav Re - TRSI-1243 - SICS 24.1 - chapter 16.11 in System administration guide (SICS docs) in relationship to V_ORP_DATES #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | Triglav Re |
Problem: SICS 24.1 R&D still forget to remove sentences regarding view V_ORP_DATES on several places in chapter 16.11 in System administration guide (SICS docs). Solution: Need to remove the sentence regarding view V_ORP_DATES in System administration guide. |
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SICSR-29639 - PC Main Universe-Claim Estimates #
| Product line | P&C |
| Component(s) | Reporting - Claims |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | Unive Herverzeker |
Problem: Table with associated objects do not have any join to connect with universe that will result in cartesian product. Solution: Need to adjust the SQL of the objects that are associated with the table SJ_IND_CL_LOS_EST to come from the view V_SJ_IND_CL_LOS_EST.
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SICSR-29641 - Pairing Timeline Objects - PC Main Universe #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | Triglav Re |
Problem: Need to adjust definition & LOV SQL of the pairing Timeline objects for better performance in PC Main universe. Solution:
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SICSR-29708 - LOV's in the Partner universe are wrong for some objects and should be corrected. #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | Triglav Re |
Problem: LOV's in the partner universe are wrong and should be corrected. Solution: Need to change the LOV'S SQL for the below mentioned objects.
Need to add a table for reference to the below objects.
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SICSR-29710 - Missing space between first name and last name Bank Account Created By, Bank Account Updated By-Partner Universe #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | Triglav Re |
Problem: Missing space between the first name & Last name in LOV's also we are getting all the User LOV's not restricting to subclass. Solution: Need to adjust LOV SQL for the objects so that we can have space between First name & last name in LOV and also to restrict the data.
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SICSR-29712 - The latest update information on bank accounts is updated even when rating is changed #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | Triglav Re |
Problem: The bank account updated by gets updated even when rating is changed, which is not related to bank account. The bank account updated by is not reading the correct information from SICS. Solution: Change the SQL of the LOVs for Bank Account Updated by to: SELECT DISTINCT Also change the object definition of Bank account Updated by to: concat(concat(CNU_BankAcc_UpdBy.FIRSTNAME,' '),CNU_BankAcc_UpdBy.LASTNAME) |
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SICSR-29723 - Ref Data Universe SICS 24.1 issues with LOVs for a number of objects #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | Triglav Re |
Problem: The Lovs for a number of objects are picking up all the data from the reference and not just the required data from reference data table. Solution: Restrict the SQL of the Lovs of the mentioned objects i.e., JV Entry Code, Type code, Base company name, Responsible roles, User role notes, User Case description, accounting function and accounting calculations by adding a subclass, so that we get the correct data output for that particular subclass. Like for eg, the SQL of Lovs for JV Entry Codes will be: SELECT FROM ORDER BY
After modifying the SQL of LOVs of all the objects mentioned above it should give the right data while fetching the Lovs as well. |
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SICSR-29740 - LOV's in the Task Manager universe are wrong for some objects and should be corrected. #
| Product line | P&C |
| Component(s) | Reporting - Task Management |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | Triglav Re |
Problem: LOV's in the Taskmanager universe are wrong for some objects and should be corrected. Solution: Need to change the Lov's SQL for the mentioned objects.
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SICSR-29742 - Replacing reference to BOOK_PERIOD_TO_MONTHS in BO001 for truncation of BOAC tables #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | Triglav Re |
Problem: Because of reference to BOOK_PERIOD_TO_MONTHS in BO001 for truncation of BOAC tables, it is sometimes picking up wrong references. Solution: Replace the reference of BOOK_PERIOD_TO_MONTHS with BOOK_PERIODS and ACCT_PERIODS as provided in the attached script. |
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SICSR-29745 - 24.1 BOAC 4 and 5 #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | Triglav Re |
Problem: Functions RTRIM,LTRIM & UPPER are effecting the performance of BOAC Scripts. Solution: Need to take out this RTRIM,LTRIM & UPPER from BOAC scripts that will improve the performance.
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SICSR-29750 - Business ID Notes is picking wrong LOVs in PC Main universe #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | Triglav Re |
Problem: Business ID Notes is picking wrong LOVs in PC Main universe. Solution: Change the SQL of LOVs of business id notes to: SELECT DISTINCT After making this change it will limit the data. |
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SICSR-29752 - List of values in Reference data universe are wrong for some objects. #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 4.9.3 |
| Fix version(s) | SICS 24.2 |
| Customer | Triglav Re |
Problem: List of values in Reference data universe are wrong for some objects. Solution: Need to change the Lov's Sql for the mentioned objects in the Reference data Universe. Rating |
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SICSR-29758 - Missing Base Company Full Name Object and Wrong LOVs for various Partner Full Names objects in PC Main Universe 24.1. #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | Triglav Re |
Problem: Missing Base Company Full Name Object and Wrong LOVs for various Partner Full Names objects in PC Main Universe. Solution: Need to add the missing object Object Name: Base Company Full Name. Sql definition :Base_CON.FULL_NAME The Wrong Lov's needs to be corrected . Base Company Full Name Cedent Full Name Broker Full Name Orginal cedent full Name Former Orginal cedent full Name Former cedent full Name Former Broker Full Name Producer Full Name Reinsurer Full Name Tax Authority Full Name Former Reinsurer Full Name Orig Reinsurer Full Name etc.. we have to correct the Lov's for the highlighted Objects. For reference I'm mentioning one correct Lov SQL similarly we can do for all the objects. ObjectName:Broker Full Name LOV:SELECT DISTINCT Object Name:Cedent Full Name
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SICSR-29762 - BOAC stored procedures BOAC004, BOAC005, and BOAC006 must check the schema before dropping indexes #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | DXC |
Problem: Issue in the BOAC stored procedures BOAC004, BOAC005, and BOAC006 logic. These procedures do not check the schema owner before attempting to drop an index. Solution: Want to ensure the index is checked against the correct schema. SQLSERVER SELECT 1 FROM SYS.indexes I INNER JOIN SYS.tables T ON (I.object_id = T.object_id) INNER JOIN SYS.SCHEMAS S ON (T.SCHEMA_ID = S.SCHEMA_ID AND S.NAME = CURRENT_USER
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SICSR-29799 - Join issues in 24.1 PC Main universe #
| Product line | P&C |
| Component(s) | Reporting |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | Triglav Re |
Problem: Joins are not given properly between a few tables in PC Main universe. Solution: BAL_BASE_COMP_BANK_PARTY.OBJECT_ID = BAL_BASE_COMP_SWIFT.FK_PARTY and BAL_BASE_COMP_SWIFT.FRK_PARTY_ID_TYPE=’SWIFT’ Modify the join between BAL_BASE_COMP_BANK_AC_TYP & BAL_BASE_COMP_BANK_ACCOUNT BAL_BASE_COMP_AC_TYP.CODE=BAL_BASE_COMP_BANK_ACCOUNT.FRK_BNK_ACC_TYP AND BAL_BASE_COMP_AC_TYP.SUBCLASS=BAL_BASE_COMP_BANK_ACCOUNT.FSK_BNK_ACC_TYP Modify the join between BASE_COMP_BANK_ACCOUNT & BASE_COMP_BANK_ACC_TYPE BASE_COMP_BANK_ACCOUNT.FRK_BNK_ACC_TYP=BASE_COMP_BANK_ACC_TYPE.CODE AND BASE_COMP_BANK_ACCOUNT.FSK_BNK_ACC_TYP=BASE_COMP_BANK_ACC_TYPE.SUBCLASS |
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SICSR-29535 - Ceded share cannot be recorded for outward cedent's contract proportional treaty by web service #
| Product line | P&C |
| Component(s) | SICS Server |
| Affects version(s) | SICS 4.9.2 |
| Fix version(s) | SICS 24.2 |
| Customer | Assicurazioni Generali S.p.A. |
Problem: It is not possible to record Ceded share on a Proportional Treaty Outward Cedent's Contract by Web Service. Solution: It should be possible to record Ceded share by Web Service on an Outward Cedent's Contract, in the same way as it is possible to record this on an OCC online.
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SICSR-29721 - Booking Terms Maintenance - System Admin Rights - Unauthorized User #
| Product line | P&C |
| Component(s) | System Parameters |
| Affects version(s) | SICS 23.3 SSP1 |
| Fix version(s) | SICS 24.2 |
| Customer | AON |
SICSR-26235 - viewing item with not yet any layout shows user defined fields of previously viewed layout #
| Product line | P&C |
| Component(s) | User Defined Fields |
| Affects version(s) | SICS 20.4 SSP10 |
| Fix version(s) | SICS 24.2 |
| Customer | Hamilton Ins |
Problem: Solution: Workaround: |
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SICSR-28152 - Rounding issue on ORP's Period Estimates #
| Product line | P&C |
| Component(s) | Multi GAAP - Business |
| Affects version(s) | SICS 22.2 SSP11 |
| Fix version(s) | SICS 21.2 SSP17 SICS 23.3 SSP3 SICS 24.2 |
| Customer | AON |
SICSR-28156 - Abend when running the MG Recalculation Order #
| Product line | P&C |
| Component(s) | Multi GAAP - Business |
| Affects version(s) | SICS 23.3 |
| Fix version(s) | SICS 21.2 SSP17 SICS 23.3 SSP3 SICS 24.2 |
| Customer | AON |
SICSR-28178 - MG Recalculation Order not working on ORP #
| Product line | P&C |
| Component(s) | Multi GAAP - Business |
| Affects version(s) | SICS 22.2 SSP11 |
| Fix version(s) | SICS 21.2 SSP17 SICS 23.3 SSP3 SICS 24.2 |
| Customer | AON |
SICSR-28262 - Period Estimation Rule - Not properly working on Retrocessionaire's Placements #
| Product line | P&C |
| Component(s) | Multi GAAP - Accounting |
| Affects version(s) | SICS 23.2 |
| Fix version(s) | SICS 21.2 SSP17 SICS 23.3 SSP3 SICS 24.2 |
| Customer | DXC |
Problem: Period Estimation Rule - Not properly working on Retrocessionaire's Placements Solution: When Period Estimation rule having a selection of 'Calculation on Retrocessionaire', we make sure system should do the calculation on ORP level as per their 'our share amounts' for all type variable (example Deposit Premium, Minimum Premium, Premium amount and Flat premium) and if it's not selected then value should retrieve from the OCC as per their ORP shares even though share within more than 2 decimal places. It should work from both the places (Manually and from the Recalculation Order).
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SICSR-28538 - BUG - 1767612- issue with Webservice Replacement Calculation with Claim ID/HLL id for FAST source system | #
| Product line | P&C |
| Component(s) | Webservices |
| Affects version(s) | SICS 23.1 SSP10 |
| Fix version(s) | SICS 24.2 SICS 24.1 SSP2 |
| Customer | Swiss Re Zurich |
Problem: Issue with Webservice fastCreateTechnicalWorksheet when using Replacement Calculation with Claim ID/HLL id Solution: As per the web service createWorksheet, make sure that Claim Id, HLL and other values included in replacement value rules, are populated on the new detail created by the web service before any calculation of previous amounts takes place, also when running the web service fastCreateTechnicalWorksheet. For the fastCreateWorksheet web service, if the Replacement Value is set to True and the New Amount is given, the worksheet will not be closed automatically but remain Open. In this case, the user must go to the SICS workstation and close the worksheet manually. Workaround: If the Replacement Value is set to True and you want to enter the New Value, it is recommended to use the createTechnicalWorksheet SOAP web service instead of fastCreateTechnicalWorksheet to have a worksheet that closes automatically. Root Cause: |
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SICSR-28762 - Configuration Manager not working in SICS 23.3 SSP01 and SICS 23.4 #
| Product line | P&C |
| Component(s) | Technical - Base System |
| Affects version(s) | SICS 23.4 |
| Fix version(s) | SICS 24.2 SICS 24.1 SSP2 |
| Customer | Triglav Re |
Problem: We have problem that when we try to use Configuration Manager. Solution: The issue was resolved by updating the constructor call in the 'SicsConfigurationManagerCalculateMainTableVisitor' class to include the 'configurationManager' parameter. This ensures that the 'configurationManager' instance is properly initialized, preventing the walkback error when clicking on Configuration Manager.
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SICSR-29010 - Changes in insured period identifiers not logged for intermediary participation #
| Product line | P&C |
| Component(s) | Log Functionality |
| Affects version(s) | SICS 23.2 SSP2 |
| Fix version(s) | SICS 24.2 |
| Customer | Hamilton Ins |
Problem: Solution |
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SICSR-29187 - Changes in Claim Conditions not logged for intermediary participation #
| Product line | P&C |
| Component(s) | Log Functionality |
| Affects version(s) | SICS 23.2 SSP2 |
| Fix version(s) | SICS 24.2 |
| Customer | Hamilton Ins |
Problem: When on the claim conditions of an outward cedent's contract, updating information, the changes are not shown in Log View here nor in the log view of sub businesses, like an intermediary participation. Solution: |
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SICSR-29192 - Claim Program location is empty for all CPs created prior to multi location #
| Product line | P&C |
| Component(s) | |
| Affects version(s) | SICS 23.4 |
| Fix version(s) | SICS 24.1 SSP1 SICS 24.2 |
| Customer | DXC |
Problem: Find Claim Program and Claim Program properties display empty location for existing Claim Programs (ie created prior to support for multi location). Solution: The location must be displayed both on Claim program and in Find Claim Program. Workaround: 1) If no claims are linked to the Claim Program, edit the Claim Program, and add the location. Root Cause: SE-21793
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SICSR-29356 - BUG 1916923 : SICS 24.1 - TECTAP01 : Remittance Authorization from CREW via SOAP call results in unexpected validation for missing Due Date #
| Product line | P&C |
| Component(s) | Webservices |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.1 SSP1 SICS 24.2 |
| Customer | Swiss Re Zurich |
Problem: Remittance Authorization from CREW via SOAP call results in unexpected validation for missing Due Date Solution: When running the web service changeStatusRemittanceBalance and change the status from e.g. In Progress to Authorized or from Authorized to Final, the system shall NOT set neither the Value Date nor the Due Date to null, but keep them as they are and validate them according to existing functionality. Root Cause: Caused by enhancement case SE-22506 in version 23.4
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SICSR-29670 - Annulment Date for the views and the join OBJECT_ID to TS_AND_OBJECT_ID needs to be adjusted in the PC Main Universe. #
| Product line | P&C |
| Component(s) | Database Updating |
| Affects version(s) | SICS 23.2 |
| Fix version(s) | SICS 24.2 |
| Customer | FFH Management Services Limited |
Problem: Annulment date issue in the two views V_BOAC_STL_PAIRING_BAL1 and V_BOAC_STL_PAIRING_BAL2 and the OBJECT_ID on BOAC_STL_PAIRING this should be adjusted. Solution: In order to get the correct data we need to adjust some changes in the database and Universe.
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SICSR-29738 - Issues with LOVs-GL Interface Universe #
| Product line | P&C |
| Component(s) | Interface - General Ledger |
| Affects version(s) | SICS 24.1 |
| Fix version(s) | SICS 24.2 |
| Customer | Triglav Re |
Problem: LOV's for few objects are wrong and also missing space between Year and Month. Solution: Need to Adjust the Object definition for Booking Year Period. It should be defined as: concat(concat(GL_T_ALL.BAL_BOOKING_YEAR,' '),SJ_REF_BYPPeriod.NAME) Need to Adjust LOV SQL for Booking Period, Entry Code Sub Category, Origin Of Business and Settlement Indicator from all different folders.
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SE-26121 - SICS UI/UX Improvements - Handle Offer and Bouquet Calculation Groups #
| Product line | P&C |
| Component(s) | Business |
| Affects version(s) | |
| Fix version(s) | SICS 24.2 |
| Customer | DXC |
Aim of function The user experience of grouping contracts has been improved. The user can now manage offer groups, merger groups, bouquet calculation groups and master treaty groups from one and the same place on the contract, namely on the groups tab. Also, while being on the contract, the user can now use new icons for finding, listing, creating and assigning groups. Business value for customers Improved user experience and usability. System Parameters Affected N/A Existing functionality affected Manage Offer Group
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SE-26867 - Display FGU Advisory creator and timestamp API changes #
| Product line | P&C |
| Component(s) | Claims |
| Affects version(s) | |
| Fix version(s) | SICS 24.2 |
| Customer | Renaissance Re |
Aim of function: Business value for customer System Parameters affected Existing Functionality affected |
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SE-23788 - Search/Filter - Receiver Business Reference #
| Product line | P&C |
| Component(s) | eMessaging |
| Affects version(s) | |
| Fix version(s) | SICS 24.2 |
| Customer | Hamilton Re. |
Aim of function
Business value for customers
System Parameters Affected None Existing functionality affected Processing of eMessages. |
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SE-23790 - Additions to results grid in Find eMessaging messages - Transaction Type & Transaction Reference #
| Product line | P&C |
| Component(s) | eMessaging |
| Affects version(s) | |
| Fix version(s) | SICS 24.2 |
| Customer | Hamilton Re. |
Aim of function
Business value for customers
System Parameters Affected None Existing functionality affected Processing of eMessages |
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SE-24996 - Extend the functionalities of Accounting classification mapping and Previous message mapping to CM Messages #
| Product line | P&C |
| Component(s) | eMessaging |
| Affects version(s) | |
| Fix version(s) | SICS 24.2 |
| Customer | Renaissance Re |
Aim of function When the rule ModifyCMAccountClassificationReferencing is defined the reference to AC is required according to eMessaging Processing option. By Extending the functionalities of Accounting classification mapping and Previous message mapping to CM Messages reference to AC is maintained automatically by mapping rules. Business value for customers System will make a reference to the Accounting Classification on CM Messages. System Parameters Affected Classification Mapping Previous Message Mapping AccountingClassificationAfterSectionReferenceRule AccountingClassificationReferenceRule PreviousMessageMappingRule Existing functionality affected Accounting Classification Reference |
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SE-26516 - New Modify rule: ModifyCompareDuplicateEntryAmounts for Lloyds #
| Product line | P&C |
| Component(s) | eMessaging |
| Affects version(s) | |
| Fix version(s) | SICS 24.2 |
| Customer | Renaissance Re |
Aim of function To book the missing detail amount of a Multiple Account Type Group when emessage is received with only one detail amount along with a total amount in a group. Business value for customers
System Parameters Affected CompareDuplicateEntryAmountsRule Existing functionality affected Booking of individual items in Multiple Account Type Group |
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SE-20551 - Update ULR & UW Est Supporting Figures upload to use tabular framework #
| Product line | P&C |
| Component(s) | MG & Reserve Orders |
| Affects version(s) | |
| Fix version(s) | SICS 24.2 |
| Customer | Sirius International Insurance Corporation |
Aim of function Business value for customers System Parameters Affected Existing functionality affected |
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SE-21847 - The logic of summing up the ORP details on OCC level #
| Product line | P&C |
| Component(s) | MG & Reserve Orders |
| Affects version(s) | |
| Fix version(s) | SICS 24.2 |
| Customer | Renaissance Re |
Aim of function To enable the flow of figures generated through MultiGAAP Retrocession order on Non-Prop ORP to Prop OCC (i.e., linked through PP condition on Non-Prop OCC) and to enable the flow of manual bookings present on 'Non-Prop ORP' to 'Prop OCC' which is linked through PP condition on 'Non-Prop OCC'. Business value for customers User can now notice the figures generated through MultiGAAP Retrocession Order also flow to linked 'Prop OCC' as how the manual bookings are transferring as per existing functionality. User can now notice the Manual bookings present on Non-Prop ORP transfer onto Prop OCC which is linked through PP condition on Non-Prop OCC. System Parameters Affected NA Existing functionality affected MultiGAAP Retrocession Order. |
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SE-22406 - Generate SOAP API Documentation: Part 4 #
| Product line | P&C |
| Component(s) | Other |
| Affects version(s) | |
| Fix version(s) | SICS 24.2 |
| Customer | DXC |
Aim of function Generate nearly all of the API documentation from code - we will have a template framework which may include other elements. Business value for customers Provide easily accessible, up to date generated documentation for SOAP webservices for SICS API Server. System Parameters Affected None Existing functionality affected None |
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SE-24384 - Remove remaining DB2 elements from System Admin UX #
| Product line | P&C |
| Component(s) | Other |
| Affects version(s) | |
| Fix version(s) | SICS 24.2 |
| Customer | Triglav |
Aim of function Business value for customers System Parameters Affected Existing functionality affected |
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SE-26178 - Offset Period expressed in Month Base Company specific #
| Product line | P&C |
| Component(s) | MG & Reserve Orders |
| Affects version(s) | |
| Fix version(s) | SICS 24.2 |
| Customer | Aon |
Aim of function To introduce a new option under Booking Terms i.e. ‘MG/UW Specific’ for Period Offset expressed in Months for both Multi GAAP & Underwriters Estimates will be available under ‘Booking Terms Maintenance’ window. Period Offset from system parameter Multi GAAP/General should be considered as the default setting if the newly introduced option is left blank. Business value for customers This newly introduced option will enable the user to specify any base company, where they wish to record the period offset in months for Multi GAAP & Underwriters Estimates. System Parameters Affected Period Estimate Offset Quarter Existing functionality affected Period Offset from Multi GAAP system parameter will be overwrite when newly introduced period offset is in use. |
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SE-26179 - Add ToB Facultative on MG Retrocession Order #
| Product line | P&C |
| Component(s) | MG & Reserve Orders |
| Affects version(s) | |
| Fix version(s) | SICS 24.2 |
| Customer | Aon |
Aim of function To enhance the Multi GAAP Retrocession Order, so that users can book Estimates/Accruals on Facultative Business as well, using the Period Estimates on Facultative OCC. Business value for customers Automating the booking of Estimates/Accruals on Facultative Business, as we have for the Treaty Business. System Parameters Affected None Existing functionality affected The Type of Business for Multi GAAP Retrocession Order. |
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SE-28045 - 24.2 AI Reinsurance Contract Validation PoC #
| Product line | P&C |
| Component(s) | DARE |
| Affects version(s) | |
| Fix version(s) | SICS 24.2 |
| Customer | DXC |
Analyze the Reinsurance contract documents to identify discrepancies between the original PDF contract wording and the digital contract entry represented in JSON format. Focus on key areas such as:
1. Contract Parties: Ensure the names and addresses match between the PDF and the JSON entry. 2. Policy Limits and Terms: Compare policy limits, coverage terms, and expiration dates to verify consistency. 3. Premiums and Payments: Check that the payment terms, amounts, and schedules align. 4. Special Conditions and Exclusions: Identify any mismatches in special conditions or exclusions listed in the documents. 5. Signatory and Date: Confirm that the signing parties and date of agreement are correctly recorded.
Report any discrepancies found, categorizing them by the type of mismatch (e.g., policy terms, payments, conditions). Provide a brief summary of each discrepancy and suggest potential reasons for the mismatches if apparent from the context. Include direct quotations from the documents where relevant to support your findings.
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SE-28682 - Enable asynchonous logging capability #
| Product line | P&C |
| Component(s) | DARE |
| Affects version(s) | |
| Fix version(s) | SICS 24.2 |
| Customer | DXC |
Aim of function Business value for customers System Parameters Affected |
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This report was generated 2024-06-20 08:20:38.