Merge payment schedule for customer transactions or vendor transactions.
This feature enables the "Merge payment schedule" button on customer/vendor settlement transaction pages.
This feature enables the "Merge payment schedule" button on customer/vendor settlement transaction pages.
This feature provides additional capabilities to mark all bank transactions as cleared, and unmark all bank transactions in account reconciliation.
This feature enables prepayment option and posting profile when generating customer payment journal and vendor payment journal from bank reconciliation worksheet.
This feature enables default descriptions for automatic payment journal posting and voucher posting in advanced bank reconciliation.
There is a mandatory validation that checks whether one of the bank statement lines has the reversal field value set to 'Yes' in order to match it with the corresponding original statement line.
This feature redesigns advanced bank reconciliation including usability improvements, feature enhancements and performance improvements.
In advanced bank reconciliation, once user clicks 'Post' to process the 'Mark as new' statement line posting, if data volume is large, it will take long time for system to complete, which sometimes
This feature allows you to automatically clear bridged payment transactions through bank reconciliation instead of manually clearing them in general ledger.
This feature uses the latest exchange rate to post bank transactions in bank sub ledger. It fixes the reconciliation variance between general ledger and bank sub ledger.
This feature improves the performance of payment proposal by dividing the data into even batches.
You can use the petty cash functionality to automate operations for receipts and expenditures of cash, the creation of primary documents, and the printing of related reports.
This feature provides additional exchange rate type options for bank foreign currency revaluation.
This feature provides additional exchange rate type options for accounts payable and accounts receivable foreign currency revaluation.
This feature enables the netting capability between open customer balance and open vendor balance.
This feature supports to reverse bank reconciliation and cancel reconciliation relation with correction amount when use bank statements as confirmation of electronic payments parameter is enabled i
Prior to this feature, the bank foreign currency revaluation process considered every financial dimension value when calculating the gain or loss.
If a bank statement format uses time stamp to generate bank statement id, this feature will use the time zone option on bank statement import form instead of user option.
This feature enables a new parameter "Allow check number validation" in cash and bank management to validate check number when user generates payment.
When this feature is enabled, in advanced bank reconciliation, grouping conditions will be available in the reconciliation matching rules setup for user to match bank statement lines with bank docu
This feature enables importing bank statement files from SharePoint folder and allows user to set up recurrence rules to import the files periodically.
This feature further enhances the performance improvement on top of feature "Foreign Currency Revaluation performance Improvements" by splitting into even batches to avoid some batches containing a
This feature improves the analytics tab performance in Vendor payments workspace by a new PowerBI report VendPaymentBIReportV4 and a new entity Vendor payment measure V3.
If this feature is enabled, users will be able to do posting in bank reconciliation for bank statement lines which are marked as "New".
Allow to change a transaction date whilst settling clearing entries for postdated checks to post bank transaction in case the check maturity date has been missed.
When this feature is enabled, in advanced bank reconciliation, filtering will be available for user to select bank statement lines and bank transactions.
After enabling this feature, bank reconciliation reversal can be done even when bank statement is posted with new transactions.
When this feature is enabled, in bank statement, user can directly check vouchers from posted new transactions.
In advanced bank reconciliation, once all matchings are done, user clicks "Mark as reconciled" to complete the reconciliation.
This feature optimizes payment proposal automation.
When this feature is enabled, it improves the processing flow of cards payment (such as debit card, credit card, gift card).