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VersionQFD 23.02
Release Date2/1/2023
DescriptionPatch Release
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Warning
titleRequired Hotfixes

The following hotfix packages MUST be installed with this version of QFD:



Table of Contents

Table of Contents
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Updates and Improvements


Split Decision in Recovery

NEW

Overview: 

Added the ability for users to review for merchant credits within the Review Representment assignment, which allows users to reduce the remaining dispute amount for any credits identified.
Additionally, added the ability for users to split the liability decision to write off and customer liable. 

How it works:

When users have a Review Representment assignment they are able to select the ellipse to "Accept with Partial Merchant Credit". 



Merchant Credit Check - Duplicate Reviews

UPDATE

Overview: 

Updated the merchant credit check date ranges to ensure that the date range is only searching for merchant credit checks from the date the last credit check was performed until current date to avoid users having to acknowledge the same credit multiple times throughout the life of the claim

How it works:

When an automatic merchant credit check identifies a credit and the user addresses the credit, any subsequent credit checks will not review the same date range and the same credit will not be presented to the user.




Cross Border Transaction Support

UPDATE

Overview: 

Added chargeback currency conversion for Cross Border Transactions

How it works:

When a Cross Border Transaction is in dispute and the issuer country is not the United States, QFD will submit the chargeback in USD and force the recovery currency to be USD.



Configurations


Title

UPDATE

Overview: 

Text

How it works: 

Text
Please talk to your Customer Experience Liaison to enable this feature. 



Correspondence

Money Transfer Letter

UPDATE

Overview: 

Updated the Money Transfer letter to reference the <Final Resolution> verbiage instead of utilizing the hard coded verbiage in the letter. 
Please review the Money Transfer Letter for additional information.



Reports

Potential Claim Abuse Report

UPDATE

Overview: 

Moved the Potential Claim Abuse report to the Risk report category. For more information on the report please see the Potential Claim Abuse page. 




Compatibility 

Bug Fixes

Written Statement of Dispute - Incorrect Checkbox Selection

UPDATE

Overview: 

Resolved an issue where when an ACH claim was initiated the generated Written Statement of Dispute (WSUD) form was selecting the incorrect  dispute reason.

How it works: 

This fix ensures that the dispute reason selected during intake matches the selection from the generated WSUD form.




Partial Merchant Credit Letter Merge Issues

UPDATE

Overview: 

Resolved a letter merging issue where when a merchant credit was applied to a dispute and a second credit was applied separately the letter merged showing an incorrect dispute amount. 

How it works: 

This fix ensures that if multiple credits are being applied to a dispute at different times a letter will go out for each adjustment to ensure the dispute amount is always accurate. If multiple credits are applied at the same time only one letter will be generated for the adjustment.




Out of Timeframe Den Reason - Reg Z

UPDATE

Overview: 

Resolved an issue where  Out of Timeframe was showing as an available denial reason for Reg Z Fraud Claims. 

How it works: 

This fix ensures that claims protected by Reg Z will not have the denial option of Out of Timeframe. 
Out of Timeframe is still a valid denial reason for Reg Z Convenience Check and Balance Transfer claims. 




Intake Question Duplicated - "Is the dispute in regarding a 'No Show" charge?" 

UPDATE

Overview: 

Resolved an issue the intake question "Is the dispute in regards to a "No Show" charge? was duplicated.

How it works: 

This fix ensures that the question is not duplicated and once the question is answered the subsequent questions appear as expected. 



ATM Deposit - Adjusted Dispute Amount

UPDATE

Overview: 

Resolved an issue where users were unable to dispute more than the posted transaction amount for an ATM deposit claim.

How it works: 

This fix ensures that users can dispute more than the transaction amount for an ATM Deposit claim and the recovery amount will properly reflect the dispute amount. 




Attachment Types via RTSI

UPDATE

Overview: 

Resolved an issue where attachment types were not limited when attaching documents via an RTSI call. 

How it works: 

Prior to this change, QFD allowed users to attach PNG images which would result in a failed RTSI call. This fix ensures that the attachment types are limited and if the RTSI call failed due to the document attachment a message would display "Only TIFF, JPEG and PDF file types are allowed and each file must be less than 10MB." 




Reclassification - Missing Incorrect Amount

UPDATE

Overview: 

Resolved an issue where when a single dispute claim was reclassified the option for Incorrect Amount was not an available option.   

How it works: 

This fix ensures that the option is available for reclassification and provides a disclosure for users to adjust the dispute amount through the Adjust dispute Amount option in the Actions Menu.




ACH Enrichment - Company ID Field

UPDATE

Overview: 

Resolved an issue where during manual enrichment of an ACH claim, the Company ID property field was set to an incorrect field type. 

How it works: 

This fix ensures that the Company ID field during manual enrichment is a text field, allowing users to enter a value.




Letters not Generated Due to Large Attachments

UPDATE

Overview: 

Resolved an issue where when a user added a large attachment to the letter and the letter did not generate the letter was not treated as a failure even though the letter was not sent. 

How it works: 

This fix ensures that if a user attempts to add a large attachment an error message will display stating the attachment exceeds the size limit. If the letter is not generated due to the large attachment the failure error message displays that the letter was not generated due to exceeding the max page count.



Configured Address Line Break

UPDATE

Overview: 

Resolved an issue where if the Client Address did not have any details in Address 2 or Address 3 field the letter would generate with a line break for these fields 

How it works: 

This fix ensures that if a user has no Address 2/Address 3 information configured there will not be a line break for these fields when the letter is generated.




DRE Work Routing - Funds Disbursements

UPDATE

Overview: 

Resolved an issue where when Quavo DRE was enabled all funds disbursement assignments were routed to a user workbasket instead of a DRE workbasket.

How it works: 

This fix ensures that if configured for DRE to work assignments Visa funds disbursement assignments will route to a DRE workbasket and Alt Network funds disbursement are routed to a user workbasket.




Jack Henry - Claim Credits Appearing in Merchant Credit

UPDATE

Overview: 

Resolved an issue where credits issued for claims were appearing in the disputable transaction list as well as the identified merchant credit list.

How it works: 

This fix ensures that the any credits issued by QFD for a claim will not appear as a disputable transaction or a selectable merchant credit.




Process Claim Accounting Issue

UPDATE

Overview: 

Resolved an issue where ProcessClaimAccounting was not picking up pending assignment when another assignment with the same flow name exists on the dispute object and is in an errored state.

How it works: 

This fix ensures that accounting is fired per the SLA timing even if there is a Provisional Credit assignment in the failure queue. 




Blank Deny Justifications on Reopen Denials

UPDATE

Overview: 

Resolved an issue where when a claim was reopened and then re-denied and deny justifications are enabled the deny justifications were not contained in the letter. 

How it works: 

This fix ensures that when a reopen request is reviewed and redenied, deny justifications will not appear blank on the letter.




Wrong Amount Posted - Incorrect Validation

UPDATE

Overview: 

Resolved an issue when completing the questionnaire for Wrong Amount Posted chargebacks where the amount validation was incorrect resulting in the users unable to pursue a chargeback for Visa or Mastercard claims. 

How it works: 

This fix ensures the valid amount can be greater than the dispute amount and users are able to pursue chargebacks as usually. This fix was hotfixed to clients environments with QFD 23.01.




External Case Status - Withdrawing Paid Dispute Letter Issues

UPDATE

Overview: 

Resolved an issue where when a intake user attempted to withdraw a paid claim through the External Case Status widget the Withdrawn letter was not being generated. 

How it works: 

This fix ensures that when a user withdraws a paid dispute through the External Case Status Widget the Withdrawn letter generates as expected. 




Pending Deny Dispute - Incorrect SLA Goal

UPDATE

Overview: 

Resolved an issue where QFD was setting the incorrect Goal/Deadline time on Pending Deny Dispute task for a withdrawal request, which resulted in the system denying a dispute a day before the true deadline date.

How it works: 

This fix ensures that when a case is withdrawn, the pending deny debit date task is set accurately and the debit is performed as expected on the date indicated in the letter




Work Queue Inventory Report Not Loading

UPDATE

Overview: 

Resolved an issue where the Work Queue Inventory report was not loading results











API Updates

Interaction APIs


Title

Update

Overview: 

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How it works: 

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