This release includes
- The ability to Edit Payments and Receipts from within a Bank Reconciliation
- A new Version Number Popup
- Enhancing the Search in Quotes & Orders
- The ability to add new nominal codes from the master group accounts & edit the code description
- And some additional performance improvements
Bank Reconciliation- Payment and Receipt Edits
We have added a new feature to the bank reconciliations, whereby you can edit the details of the bank payments or receipts directly. For more details click here.
Version Number
We have added a new version number popup which you can display by clicking the BrightBooks logo at the top left corner of the screen. For more details click here.
Search Of Notes In Quotes and Orders
Searching in Quotes & Orders now includes the ‘Notes’ field, aligning this functionality with the search in Invoices & Credit Notes. For more details click here.
Group Accounts
You can now add Nominal Codes from the Master list in Consolidated/Group accounts and edit the descriptions of these codes.
Quick Invoices/Credit Notes and Quick Payments/Receipts
To improve performance, on editing existing entries, the batch will not be re-saved where no changes have been made.