Enhancements & Revisions
Adagio BankRec 6.8B
June 25, 2004
- If a Deposit
Only batch contained a transaction with a duplicate Bank Reference number but no
deposit transactions (only payments), an error resulted when the batch was
posted. Posting now detects duplicates and the batch is not posted. Data
Integrity Check now detects and rebuilds this type of error.
- When a batch was
copied, the revised date in the copied batch was blank.
- When you posted a copied
batch, the batch appeared to post correctly but nothing was actually
posted.
-
When entering a miscellaneous payment, the Check Number finder now shows only
transactions for the bank selected for the batch.
- If you change the Deposit Reference
for a deposit only batch, the change is now reflected in the details of the
Batch Listing. The Deposit Reference and Deposit Date have been added to the
header details for the batch on the Batch Listing report.
- When AP checks cleared with
error were posted in bank reconciliation and updated the check reconciliation in
Payables, duplicate GL transactions resulted when the check reconciliation was
posted in Payables.
- If you are reconciling a bank and have made pending status changes but
have not closed the reconciliation function yet, the Bank Transactions and Bank
Reconciliation reports warn you the pending status changes will not be reflected
on the reports. If you print the batch listing or click OK to close the bank
reconciliation dialog, the changes are saved and reflected on the
reports.
-
The 'Changed' date was not updated correctly in the Bank Reconciliation report
if you multi-selected transactions and cleared them during reconciliation. Only
the first one would have the date on it.
- When transactions cleared with error
checks were transferred to the Check Reconciliation in Adagio Payables, the
error amount was incorrect.
- When an AP check is reversed in BankRec but the vendor's
transactions or check reconciliation transaction have already been purged in
Payables, a warning is displayed to indicate the check must be reversed manually
in Payables. The Reconciliation Posting Journal also flags the transaction with
the warning "Check nnnn is not on file in Payables and cannot be
reversed.".
- In the reconciliation function, the finder and smart finder in the
Bank Reference field did not show any transactions if the bank code was less
than 6 characters.
- The Find in the reconciliation function now includes an option to Edit
as well as Highlight and View a transaction.
- The NSF button is now disabled on
reconciled checks, as by definition, a check on your bank statement must have
cleared.
-
The GL Summary on the Batch Listing and Posting Journal did not include
unapplied amounts triggered by early payment discounts on receipts.
- The Bank Transactions
report did not include transactions dated prior to the last statement date if
multiple banks were printed at the same time.
- The Batch Listing could not be
printed and an error was displayed if the batch contained a Miscellaneous Cash
Receipt and Adagio Time&Billing data was present in the data
directory.
- The running balance on the Bank Transactions report is now correct
when sorted by Bank Reference.
- The Bank Reconciliation report now
prints the correct information when you have a check marked to clear with error
but have not yet posted the reconciliation.
- The total discount taken was
incorrect on the Posting Journal in some cases.
- The 'Toolbar raised' option was not
retained after the program was closed.
- When you copy a bank, the Opening
Balance, Bank Statement Balance and Last Statement date are no longer copied to
the new bank.
- Fixes have been made for missing help links.
- Clicking the Help button on
the New Batch dialog caused the dialog to close.
- Users where able to access functions
not permitted for their security Group in some cases.
- Clicking the View button in
the Bank Inquiry List caused an error if no banks where defined yet. The View
button is now disabled in this case.
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