Park Sale Backend Flow Changes - We are changing the backend process of the park Sale functionality to avoid missing receipts. The update ensures that all parked sales are properly saved and tracked in the system. When a parked sale is resumed and completed, the receipt is generated correctly, even in cases of system or network issues. This change helps maintain accurate receipts and reliable transactions.
Layaway Backend Flow Changes - We are updating the backend process of the Layaway functionality to prevent missing receipts and to restrict receipt generation only to active layaway transactions. The revised process ensures that all layaway transactions are properly saved, validated, and tracked before a receipt is generated. This change improves receipt accuracy, prevents duplicate or invalid receipts, and ensures better transaction control and reliability.
Closed Receipt Date Issue BO and POS - We have analyzed and fixed the business date behavior when previous-day receipts are opened for exchange or refund. As part of this analysis, we will identify issues related to business date changes and define a fixed and consistent time period for processing exchanges and refunds. This will ensure accurate transaction handling, correct reporting, and compliance with defined business rules.
Cosmetic Text Changes In POS - We are updating the text of error/prompt message across the pos for better user experience
Mix And Match Discount Gap Functionality - We are going to implement the Mix and Match discount feature for retail, allowing predefined combinations of items to be offered at special pricing or discounts. This enhancement will enable flexible promotional offers, ensure automatic discount application at checkout, and improve customer experience while maintaining accurate pricing and reporting.
Octopus Integration Related Updates - Octopus payment has been integrated into the Retail POS system to enable seamless and secure transaction processing. The integration supports key payment functions including sale with real-time communication between POS and the Octopus platform. efficient payment option through Octopus.
Modifier Grouping – Grouping modifier flow in POS Order screen, Receipts, KDS, Custom app, Online ordering, Call center.
Bulk Delivery Completion and Cash-Out– Select and complete multiple delivery orders at once mark them delivered, cash out combined cash orders, and auto-close card/online payments in a single action.
Generate Driver Receipt after Driver is Assigned from POS – A new Generate Driver Receipt toggle has been added under Receipt Settings in BO, with an improved flow for generating driver receipts when a driver is assigned from the POS.
Moving URL Parameters to Request Headers – The back office API headers will display Linga details, while parameter details will be hidden.
V2 and Redis URL Changes – The Redis URL has been changed to Sync servers in V2.
Optimized the Labor report to resolve time out issue for larger date range
The Hide in Kiosk toggle is added for Modifier Groups and Products/Items (Restaurant only)
Fixed a bug where the Labor Report in BO was not working when the current business date (Today) was selected
Fixed a bug where Inactive menu items in BO were showing in Kiosk
Addressed an intermittent issue where exported Sales Recap Reports were not formatted correctly
Addressed an intermittent issue where in the Menu Item Report when filtering by Employees, the total sales per employee for specific departments does not display unless the report is exported
Fixed an Audit Log bug for Void Items
Corrected a Gross Receipt values mismatch between the Sale Recap and Weekly Summary reports
Addressed an intermittent issue where when attempting to create a 11th line item in the Till Settings denominations, it is not reflected in the UI
Fixed a bug where the Inventory Vendor page wouldn't allow, spaces and letters for the ZIP/Postal code
Fixed a bug where when a store has a comma as a decimal separator and a menu item has the price level option enabled, the price displays an incorrect value in the P&I menu items
Resolved a discrepancy between the Old and New BO UI having differences in the price level option for Dept, Category, Subcategory and Menu items reports
Fixed a bug where when the custom sort option is selected in the P&I display group and then attempting to add another menu item, the previously selected items are not maintained properly
Fixed a bug where not all employees were receiving email notifications for schedule updates in Scheduler
Fixed bugs where an OLO Order cancellation did not initiate a refund
Addressed an intermittent issue where stores configured with 4-decimal precision, the application displays incorrect values after receiving inventory items
Fixed a bug where when an ingredient item is mapped at the subcategory level, the recipe unit is not displayed on the Update Sub-Recipe page
Fixed a bug where checks could not be completed or closed in Offline Mode in LINGA Go
Resolved a discrepancy where the Receive Time had been changed to Pickup/Delivery Time on the kitchen print
Addressed an intermittent issue where Items couldn't be deleted from a check after it was split
Fixed bugs where when a check was split by seat, the newly added item could not be voided and already placed item was automatically voided
Addressed an intermittent issue where duplicate payments would appear during Close All Cashiers due to multiple Cash/Void selections
Fixed a bug where the dual price was being applied to partial payments when the pax approved the dual price value for an incorrect partial amount
Fixed a bug where active tills were not appearing in Till Management under the active till status
Fixed a bug where Store Credit couldn't be applied to a customer's check
Fixed a bug where the balance due was displaying even after payment was completed
Fixed a bug where when voiding an item, the Void Reason field could be left blank
Resolved a Subtotal mismatch in the reports when an item service charge with tax was assigned to both a category and its menu items in BO
Resolved Service Charge tax discrepancy when increasing the menu item quantity after applying a check tax and pre-tax discounts
Fixed a bug where when a check-level discount was applied to multiple quantities this caused an inflated tax amount on the receipt and UI