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