Coriunder

Release Notes - July 2026

8 releases  |  Platform updates, new features & fixes

July 2026 completes the cross-border payout program (Thunes status webhook, settlement export, cash-out routing and corridor refinements, and Western Union pickup handling), introduces the Customer Risk Assessment (CRA) weighted onboarding engine, and adds dedicated payout admin profiles and a Wire Search dashboard. The second half of the month delivers the Israel Post purchase and cash-out program, hosted-page disable by order id, Hebrew (RTL) admin manuals, user-timezone rendering across admin lists, webhook log monitoring, a broad account-ownership and permission hardening pass across the partner, merchant and onboarding portals, and balance service reliability work.
Version 3.0.1.30 July 31, 2026
✚ New
  • HPP-394 - Disable a hosted payment page by order id, plus a Disabled Orders screen
  • AD-3079 - Hebrew (RTL) admin tutorial manuals and documentation site regeneration
  • WEB-198 - Israel Post card cash-out and Available balance field
↑ Improved
  • WEB-193 - Balance service: cap batch sizes and make PullAmountMultipleAccounts and ApproveWires idempotent
  • WEB-198 - Balance available amount and reservation handling
  • PAR-126 - Partner portal: enforce account ownership on balance, transfer, card and user-management actions
  • ON-232 - Merchant registration: ownership checks on bank, card and beneficiary actions plus safer file upload handling
  • ON-226 - Onboarding portal: ownership checks on signatories, bank accounts and stored cards
  • MCP-450 - Merchant panel: ownership checks on beneficiary bank accounts and payees
  • WEB-190 - AppIdentity SetFees: scope transfer-fee updates to the caller's account
  • AD-3056 - Balance action page: permission checks on batch customer delete and bulk actions
  • Utila - Select the network before the currency on beneficiary setup
✗ Fixed
  • IN-1391 - Pyross: stop blocking the request thread during onboarding IBAN creation
  • ON-227 - Prevent duplicate onboarding submissions on refresh or double-click
  • AD-3049 - Webhooks log now shows results on first load
  • AD-3019 - Editing fraud rules did not save changed parameters
Version 3.0.1.29 July 27, 2026
✚ New
  • External Login - IsSkipScoring setting to bypass scoring rules for a provider
↑ Improved
  • WEB-198 - Align Israel Post notifications across TransferPurchase and UpdatePurchase admin approval
  • WEB-197 - Balance status cache: write-through invalidation on balance state changes
  • AD-3074 - Balance settlement: include purchases without a Pay Date
  • ON-223 - Application form: country-of-issue dropdown, transactions-per-month wording, select2 search threshold and duplicate declaration removal
  • IN-1376 - Israel Post postal flow refinements
✗ Fixed
  • ON-222 - Application form mandatory field validation and BeneficiaryFullAddress attribute
  • ON-223 - Shareholder add, edit and save failed on a missing value
  • MCP-449 - Make the registration error more visible
  • MCP-220 - Payment page logo upload: date picker range, padding and modal scrolling
  • AD-3048 - Responsive overlay issue on mobile detail view
Version 3.0.1.28 July 22, 2026
✚ New
  • CLIEN-1664 - Webhook Log monitoring module
  • CLIEN-1664 - Action-page check for Thunes wires missing a pickup reference
  • CLIEN-1664 - Payout corridor CollectFrom and payout reminder SMS
  • IN-1376 - Israel Post RequestPurchase flow and scoring rules
  • WEB-189 - User metadata on the StorePaymentMethod service
↑ Improved
  • IN-1376 - UpdatePurchase becomes an admin approve and reject flow
  • ON-220 - Application form: affiliate programme name, field ordering and identity document number wording
  • ON-221 - Banking modal dialog UI, validation and overflow
  • Silverflow - Merchant acceptor activation after data updates
  • RequestPayment - Move scoring calculation into the stored procedure and send email separately
  • Post office - Use the log tag for service name instead of a hardcoded value
✗ Fixed
  • AD-3045 - The payout tab was not fully saved
  • AD-3046 - Cannot save permissions for a limited merchant login
Version 3.0.1.27 July 17, 2026
✚ New
  • AD-559 - Show the UI timezone in the admin footer and render admin list dates in the user's timezone
  • AD-3036 - Post Office menu items and a new admin user type
  • External logs - Provider-based external logging with Auth0 token alerts and tunnel delivery
↑ Improved
  • IN-1357 - Cash pickup: layout, payout logic and service updates
  • IN-1376 - Israel Post: quote and pricing logic, EntraID handling and chart totals
  • ON-213 - Application form logic updates
  • AD-3035 - Scope banking charts and the Home dashboard by parent company and program
  • WEB-187 - Additional data in API logs
  • WebServices - RequestAmount and balance request scoring optimization
  • Improve GetRows and GetRequests performance
  • Auth0 - Send requests through the tunnel
✗ Fixed
  • AD-2564 - Blank form on Billing Companies
  • AD-2860 - Merchant Groups: group name is now mandatory
  • AD-2902 - Remove the second filter on the Settlements screen
  • AD-3034 - Settlements screen: divide-by-zero error and redundant postback rebinding
  • AD-3035 - Cap the Completed Transactions Amount chart height
  • MCP-430 - Personal Info page: modal dialog and page reloading errors
  • Admin - Saving customer info and the Affiliate list page translation
Version 3.0.1.26 July 12, 2026
✚ New
  • AD-3028 - Wire Search dashboard: search wires by MTCN / Transfer Number with client-side navigation and Enter-key support
  • AD-3027 - Merchant Data tab: add Corporation Tax Number
  • IN-1367 - Silverflow: add taxRegistrationId to Create/Update Merchant
  • AD-3033 - Settings ActionPage: card-layout redesign with utility and data-change badges
  • AD-3030 - Pricing screens: provider-fee country flag/name and wire-pricing redesign
  • IN-1369 - Thunes settlement export: GMT+3 day selection and immediate-cancellation legs
↑ Improved
  • AD-3029 - Admin login: Microsoft logo on the Entra button and OTP button icon; role-conditional, admin-editable EntraID provisioning defaults
  • AD-3032 - Merchant application form: normalize dropdown and input CSS classes
  • AD-3031 - Balance actions: batch delete customers by group and HAAT group assignment
  • AD-1154 - Customer delete: extract ScrubForDeletion with a unique email suffix
  • IN-1341 - WU XRSI: drop redundant corridor re-resolution in the store path
  • IN-1356 - Cash-out routing: merchant-scoped requests no longer fall back to program rules
  • IN-1352 - Cash-out: surface corridor Payer/bank name and wire-form corridor block
  • IN-1351 - Cash-out: persist resolved corridor on the wire plus a Thunes fast path
✗ Fixed
  • Remove temporary Western Union RequestCashOutPayout pipeline logs
Version 3.0.1.25 July 8, 2026
✚ New
  • AD-3025 - Add PayoutCallCenter, PayoutFinance, and PayoutAdmin admin profiles
  • ON-214 - CRA Questions management and weighted-rule question linkage; "Delete All" for Rules, Results, and CRA Questions
↑ Improved
  • AD-3024 - Admin UI translations (English and Hebrew) across Accounts, Affiliates, App Identity, Fraud Rules, Payout, Charts, and Merchant application screens
  • AD-3006 - RTL redesign for charts and list screens: responsive tables, empty states, resourced edit/delete actions, and legend positioning
  • IN-1357 - Cash pickup operator layout, SMS provider updates, and SMS resend
  • IN-1365 - Silverflow: Update Merchant Acceptor
  • ON-215 - Center the main content section
✗ Fixed
  • AD-3006 - RTL checkbox error, empty-state text, and bold label fixes
  • AD-3024 - Fix label encoding issue that broke closing tags
Version 3.0.1.24 July 4, 2026
✚ New
  • Customer Risk Assessment (CRA): weighted onboarding rules engine with pillar and question weighting and banded risk scoring
  • Cross-border payouts: Thunes status webhook, vendor settlement export, and Western Union pickup-code handling
  • Scout SMTP/SFTP tunnel: base file download and upload over the tunnel
  • PayoutManagement admin user type
  • AD-3021 - Add login history information
↑ Improved
  • Wire pricing visibility on payout screens
  • Tranzila reconciliation: controller updates and Scout tunnel scripts
  • Regenerate documentation site from tutorial sources; adds the Western Union payout operator guide
✗ Fixed
  • DOC-63 - Fix duplicate title and broken anchor icon on documentation pages
Version 3.0.1.23 July 1, 2026
✚ New
  • PW-501 - Terminals: add Bank Rolling Reserve fee
  • ON-213 / ON-208 - Centranx MAF fields and per-purpose data-processing consent
  • PUB-249 - Tranzila reconciliation: external-login type in admin UI and lookup seeding
↑ Improved
  • PUB-249 - Balance V2: top-up metadata and timeout operations, plus program-limit headroom cache
  • IN-1344 - Western Union XRSI: map internal wire status onto Western Union's five-value vocabulary
  • IN-1363 - Utila: sign JWT with BouncyCastle and treat null asset IDs as fetch-all
  • AD-2950 - Ondato KYB: resolve KYC verdict from linked identification resource
  • Tranzila reconciliation - send request via tunnel
  • Banking portal - design-consistency pass and CSS cleanup
  • TD-2 - Replace em and en dashes with plain ASCII hyphen across the codebase; string updates
✗ Fixed
  • HPP-390 - Naked payment page: desktop and tablet layout, submit blocking and TOS handling, edit-details toggle
  • Admin performance - revert module and menu loading changes that caused a module uninstall problem
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