Scheduled maintenance is currently in progress. We will provide updates as necessary.
Posted Jun 30, 2026 - 16:00 UTC
Scheduled
• Release Notes
- Schedule payouts now use the new initiate schedule payout flow for all organisations. - Transaction monitoring has been improved with a Data Integrity view for receipts and payments, including clearer processing statuses, health indicators, exports, and manual cancellation support for eligible cheque payments.
- Payout reconciliation has been improved with an additional auto-reconciliation rule. - Fiduciary balancing support has been added/advanced, covering key accounting balance checks across receivables, payables, brokerage, funding, claims trust, cash, clearing, and P&L- related accounts.
- External remittance ingestion has been hardened to prevent exact duplicate remittance files from creating duplicate bank transaction sets. - Premium split data integrity has been strengthened by enforcing one non-null premiumId per aggregated_split row, preventing duplicate premium read-model failures. - EventX outbox publishing has been made more resilient under concurrent processing by reducing MySQL deadlock risk and adding bounded retry handling. - Portal table rendering has been fixed so expanded bulk/group rows no longer overlap column headers. - Internal frontend quality workflows have been improved with Storybook support for shared components and an AI-assisted PR review workflow. - Backend maintainability and diagnostics have been improved through cleanup of unused code and clearer contextual error logging.
Posted Jun 30, 2026 - 11:45 UTC
This scheduled maintenance affected: Portal - UK and Backend API.