Bulk Transaction and Holiday Schedule Audit for entries where employee has no balance does not show accurately
Description of Issue
When assigning a bulk\holiday transaction that uses a pay code that has a benefit balance, the system is accurately assigning the time entries accordingly, however, the audit is showing what entries were applied when they weren't.
Context
ExecuTime
Time & Attendance
Bulk Transaction
Holiday Schedule
Audit
Cause
Resolution
At this time, there is no workaround. Please reach out to Support in order to be notified once this has been addressed by Development in a future build. timeandattendance@tylertech.com
Additional Information