Withdrawals & deposits are split into two separate tables in Treasury
Wording slightly changed from transaction to withdrawal where applicable
Withdrawal jobs (former transaction jobs) are now on a separate page
Single withdrawals & deposits are now shown on a new page instead of inside a dialog
A booking state is added to withdrawals & deposits (and their respective tables) that indicates if there is at least one booking for a withdrawal or deposit
Possibility added to manually book unbooked withdrawals & deposits from their respective pages
Withdrawal & deposit tables are added as tabs to single customer pages
Bookings are added as a tab on single withdrawal & deposit pages
(2) Execution Engine / Trading Portal / RFQ
Customers can now receive PDF documents after successful executions
Bug fixes & improvements
Add a column to the summary in the execution details dialogs general tab, always showing the result with margin & risk
Add trading & withdrawing columns to table in the customer balance tab
Show the hop information when selecting a route in RFQ
Hide the reverse / reverse & new buttons if a user is not an accounting admin
Always show the asset of the available funds shown in the order component
Fix bug where the execution type would not be displayed in the RFQ quote table
Fix bug where the available funds shown in trading portal would not fully update after a successful execution
Fix spacing issues on newer Macbooks in the trading portal
Fix bug in Batchtrading where risk would be applied to early resulting in incorrect grouping
Fix bug where the settlements table would not stop refreshing, even after leaving the page
Fix bug where selecting a month from last/next year via the arrows in the datepicker would not be possible
Fix a bug where adding a new 2FA entry for a different environment would override the entry in Microsoft Authenticator