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Use values from:
https://github.com/kyma-project/btp-manager/blob/557b078a6c2fcd33ca9affcde18e5cc55f5a7f5d/examples/btp-operator-configmap.yaml
which are stored in BTP Manager's controller as vars:
ht…
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**Describe the problem you would like to solve**
Currently, reconciliation against Wikidata is done approximately once per month, on a volunteer basis, by a member of the curation board. Over tim…
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# Summary
Currently we not able to edit reconciliation parameter for `ApplicationSet` and it always default `3` minutes.
# Motivation
Currently we not able to edit `timeout.reconciliation` or…
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## Description
It would be very useful to allow for forecast reconciliation of hierarchical and/or grouped time series. This means that the sum of all forecasts that make up a hierarchy matches to th…
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**Real Submitter**
@regelkraut
**Resource(s)/Profiles incl. Version**
Extension addressAdditionalInformation
**Links**
https://fhir.hl7.at/r4-core-ballot_2024_stu2/StructureDefinition-at-cor…
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Using the latest stable versions of open refine and the extension.
I created a reconciliation service based on a RDF file.
The content look as follows:
```
a egp:LookupEntity ;
rdfs:label "Kerk…
ghost updated
4 years ago
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1. Show Account balance on both sides footer (Ghumais Ledger, Bank Ledger)
2. Display the Accounts Ordered by Transaction Date (now it is showing in reverse chronological order in each quarter)
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Introduce a bank reconciliation module that can do the work automatically from bank receipts
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# Summary
An ArgoCD Application has a "current sync status" and a "last sync result" which display commit SHAs that can differ.
It is not obvious why there would be a difference between these tw…
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I'll stop short of calling this a bug, because I know it's by design, but still presents a bit of a problem...
Consider a Stage employing the following promotion mechanisms:
```yaml
promotion…