Coriunder

Release Notes - April 2026

9 releases  |  Platform updates, new features & fixes

April 2026 brings critical balance management improvements and bug fixes. Recent updates focus on transaction credit handling, settlement logic enhancements, and security validations across the platform.
Version 3.0.1.12 April 25, 2026
✚ New
  • DOC-59 - Signature validator documentation page
↑ Improved
  • WEB-177 - Updated API documentation and Postman collection
  • DOC-32 - Updated internal documentation
✗ Fixed
  • AD-2914 - Permission checkboxes cannot be disabled after enabling
Version 3.0.1.11 April 24, 2026
✚ New
  • AD-2818 - Refresh token functionality for Auth0 integration
↑ Improved
  • AD-2818 - Auth0Direct FinancialOperation validation
  • PAR-113 - Partner portal design changes
  • PUB-244 - Updated SQL scripts
✗ Fixed
  • AD-2914 - User and group permissions save resetting to empty
  • AD-2914 - Checkbox state not restored correctly on postback
  • AD-2914 - Admin permission tooltips and cache-clear fixes
  • AD-2818 - InternalIban assigned from list only after CustomerActivation
  • FlashPayment - Mark wire as InvalidBeneficiary on beneficiary creation failure
Version 3.0.1.10 April 23, 2026
✚ New
  • AD-2911 - Daily Risk/Status report pages with modal dashboards and Chart.js visualizations
  • AD-2905 - Settlements default setting for "Settled Only Paid Transactions"
  • IN-1274 - Auth0 direct token mode support
  • AD-2878 - Auto-Blacklist Chargebacks permission
↑ Improved
  • PAR-116 - Transaction view modal dialog UI refresh (approved, declined, disputes)
  • PAR-115 - Charts auto-loaded on page (no hover required)
  • ON-203 - Bank account combined into single view modal dialog
  • AD-2904 - EntraID SSO code-behind updates
  • WEB-177 - Updated API documentation and flow
  • AD-2818 - Phone number normalized to E.164 format
  • PW-9999 - Updated process website
✗ Fixed
  • ON-211 - Page scrolling disabled while modal dialog is open
  • AD-2909 - Back button retained in DOM on postback
Version 3.0.1.9 April 21, 2026
✚ New
  • AD-2818 - Auth0 Username-Password-Authentication flow
  • AD-2818 - InternalIban list page
  • AD-2904 - EntraID SSO setup, configuration, and documentation
↑ Improved
  • MCP-444 - Monthly statement menu item
  • AD-2904 - EntraID SSO improvements and per-user enforcement
  • MAR-6 - Updated shops project
  • ON-199 - Data protection section reordering and translations
  • ON-192 - Onboarding form fields hardcoded to resources
  • WEB-177 - Additional API validation
  • GEN-236 - Package updates
✗ Fixed
  • HPP-386 - BIN lookup no longer fires on every keystroke
Version 3.0.1.8 April 17, 2026
↑ Improved
  • DOC-44 - Updated 3D documentation
  • AD-2899 - Updated logic and release notes
  • BAN-190 - Updated text and layout
✗ Fixed
  • IN-1270 - Removed POS address info from acceptor
  • ON-190 - Validation removed from declaration letter
Version 3.0.1.7 April 19, 2026
↑ Improved
  • AD-2899 - Updated admin transaction credit balance
  • AD-2813 - Additional changes to balance limits
✗ Fixed
  • AD-2813 - Fixed build issue
  • AD-2833 - Fixed small issue
Version 3.0.1.6 April 14, 2026
✚ New
  • AD-2899 - Tiered (graded) fee pricing: per-currency tier editor with add/edit modal and IsGradedFees/IsICCPricing controls
  • ON-190 - Declaration letter PDF generation and saving on onboarding form
↑ Improved
  • AD-2889 - Graded fee calculation logic and tier breakdown display below settlement
  • AD-2898 - Settlement UI showing breakdown of why a settlement was not created
✗ Fixed
  • AD-2899 - CalcGradedFee currency filter and cross-month MTD calculation fix
  • AD-2899 - Edit/Delete tier buttons broken due to nested repeater event bubbling
  • AD-2899 - Graded fee currency dropdown resetting on postback
  • AD-2580 - Unsettled amount incorrect in monthly statements
  • AD-2893 - Tab save button hidden correctly for read-only users
Version 3.0.1.5 April 13, 2026
✚ New
  • AD-2887 - XE added as a currency exchange provider
  • AD-2886 - New SMS providers added to infrastructure
  • AD-2881 - Interchange and scheme fees at the transaction level
  • AD-2893 - Per-tab save button on admin form tabs
  • AD-2894 - Release settlement creation logic
  • AD-2580 - Monthly statement group logic with unsettled balance and fees
  • WEB-174 - transferPurchase method and transfer-by-phone-number support
  • PAR-107 - Partner portal login page with news feature
  • MCP - Monthly Statements page
↑ Improved
  • AD-2825 - API calls page with webservice response codes
  • AD-2397 - All notification templates updated
  • WEB-175 - TransferAmountBetweenBalances logic and notification templates endpoint
  • BAN-306 - Mobile app modifications
✗ Fixed
  • AD-2893 - NullReferenceException on tab save and read-only permission visibility
  • HPP-336 - Payment page log validation
Version 3.0.1.4 April 06, 2026
✚ New
  • BAN-306 - Android NFC tap-to-pay implementation
  • BAN-306 - Fingerprint login for merchant portal
  • WEB-175 - Account.svc GetNotificationTemplates and UpdateNotificationTemplates endpoints for per-template opt-in/out
  • WEB-173 - TempUser transfer flow
  • WEB-172 - SMS notifications on pending TempUser transfers
↑ Improved
  • BAN-305 - Merchant portal UI redesign and CSS consolidation
  • BAN-306 - MPOS layout and virtual terminal UI improvements
✗ Fixed
  • BAN-305 - Global CSS conflicts and scoped overrides
  • BAN-305 - Empty state layout in beneficiary and contact cards
  • BAN-306 - Merchant login URL relative path fix
  • MyAffiliates / RiskConfiguration - Responsive row/card layout redesign
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