Intercompany v21.1

Release notes:

Make it easier to find your content with:

Expand content Collapse Content New Features Only Issues Resolved Only Release Only Pre Release Only Change in Functionality Important Only

Know the release number? Use quick search:

211.0.15

Issues Resolved
Issues Resolved
  • Resolved balancing issue with account transfers. Previously, nominal postings did not balance when transferring different currencies when overriding the exchange rate. Now, they should balance correctly.

Date applied: December 7, 2023

211.0.14

Issues Resolved
Issues Resolved
  • Receive, Transfer and Allocate Form –  Resolved issue with payments and receipts going to the wrong bank accounts.

Date applied: November 22, 2023

211.0.13

Issues Resolved
Issues Resolved
  • Fixed a rounding problem on the Intercompany batch stock transaction

Date applied: May 18, 2023

211.0.12

Issues Resolved
Issues Resolved
  • Fixed an issue with the ‘Back To Back’ setting ‘Update associated prices between linked orders with the same price’, where it wasn’t updating correctly

Date applied: May 3, 2023

211.0.11

Issues Resolved
Issues Resolved
  • Fixed a rounding problem on the Intercompany stock transfer.
  • When doing a back to back IC transaction you can now select the warehouse in the receiving company.

Date applied: March 29, 2023

211.0.7

Issues Resolved Important
Important Info
  • There was a problem when doing an IC SO to PO using a SL control account as the customer where it was only showing the N/A project. This has been fixed in version 211.0.45 of projects.

Issues Resolved
  • Fixed problem with Intercompany with EP back to back where orders were not updating to received.

Date applied: November 22, 2022

211.0.5

Issues Resolved
Issues Resolved
  • Fixed an issue where tabbing in intercompany transactions ‘could’ result in crashing under certain scenarios

Date applied: November 20, 2022

211.0.4

Issues Resolved
Issues Resolved
  • Corrected the information displayed on the ‘ Nominal Detail’ screen of the Intercompany wizard when coming from an original transaction of ‘Nominal Payment’
  • Fix to set the tax code and narrative when adding lines on the child company when doing a direct Intercompany transaction
  • Fix to allow the tax value to be edited when doing a direct transaction

Date applied: May 20, 2022

211.1.3

Issues Resolved Pre-release Hot Fix Enhancements

Pre-Release Version: features are only available to customers using a pre-release version who have signed up to the Early Adopter Programme.


Issues Resolved
  • Fix to get the correct nominal analysis item when doing intercompany transactions through the wizard and the top nominal in the parent company would have a goods value of 0 [“The tax goods analysis total does not match the transaction net value”]
  • Override insufficient stock warning when creating a SOP from a POP
  • Fix to get the correct control bank account in the child company when using the pay and receive screen. The control bank account selected will be the same as the trader’s currency
  • Fix when amending large sales or purchase order lines that are linked through Intercompany back to back and it would take a long time to save
  • Fix corrected the mirror of deleting an item on either SOP or POP. This now get reflected on the opposite order
  • Fix to not update the SOP status on the save event of a sales order as this is not necessary as we only want to update when despatching and invoicing
  • Increased the narrative length to 6000 when posting journals
  • Fix when posting Intercompany postings that originate from a ‘Nominal Non-Vatable Payment’ with project integration [“SiJcJob with DbKey = ‘0’ could not be found”]
  • Added a message to not allow stock item bins to be renamed if they are associated to an Intercompany Batch Stock Transfer
  • Fix to allow negative numbers to be inputted on the ‘Nominal Detail’ screen when the originating transaction was a NonTaxableReceipt or NonTaxabalePayment
  • Fix for displaying the correct positive or minus symbol on the transaction summary screen when the original transaction was a bank receipt or payment
  • Fix only when auto IC referencing in the parent company is turned on and the user would save a purchase invoice [“StackOverflow (Sage would just crash without error)”]
  • Fix to apply the exchange rate when using Intercompany same VAT group with different currencies
  • Default the ‘From Nominal’ when there is only one line on a SOP order to be this line when on the ‘Transaction Detail’ window
  • Fix for displaying the necessary columns on the ‘Nominal Detail’ screen of the Intercompany wizard dependant on whether a company has Sicon projects integration turned on or off
  • Fix to not add child nominals when template nominals have already been added when doing an Intercompany transaction through the wizard
  • Fix when doing Intercompany SOP to POP or POP to SOP to allow the user to select the tax code that will be used on the associated order line
  • Fix when doing Intercompany POP to SOP and the original POP Document number would go out of sync (1 ahead)
  • Fix to allow the user to set the tax code when using free text items on SOP to POP or POP to SOP

Change in Functionality
  • Added a new setting for to default check the Intercompany checkbox on sales orders
  • Updated the SOP to POP to SOP to POP feature in Intercompany with EP, this is now more structured between both modules in regards to updating each linked order

Date applied: February 25, 2022

211.0.3

Issues Resolved
Issues Resolved
  • Fix when doing Intercompany SOP to POP or POP to SOP to allow the user to select the tax code that will be used on the associated order line
  • Fix when doing Intercompany POP to SOP and the original POP Document number would go out of sync (1 ahead)
  • Fix to allow the user to set the tax code when using free text items on SOP to POP or POP to SOP

Date applied: February 17, 2022

211.0.2

Issues Resolved Hot Fix Enhancements
Issues Resolved
  • Added a message to NOT allow stock item bins to be renamed if they are associated to an Intercompany Batch Stock Transfer
  • Fix to allow negative numbers to be inputted on the ‘Nominal Detail’ screen when the originating transaction was a NonTaxableReceipt or NonTaxabalePayment
  • Fix for displaying the correct positive or minus symbol on the transaction summary screen when the original transaction was a bank receipt or payment
  • Fix only when auto IC referencing in the parent company is turned on and the user would save a purchase invoice [“StackOverflow (Sage would just crash without error)”]
  • Fix to apply the exchange rate when using Intercompany same VAT group with different currencies
  • Default the ‘From Nominal’ when there is only one line on a SOP order to be this line when on the ‘Transaction Detail’ window
  • Fix for displaying the necessary columns on the ‘Nominal Detail’ screen of the Intercompany wizard dependant on whether a company has Sicon projects integration turned on or off
  • Fix to not add child nominals when template nominals have already been added when doing an Intercompany transaction through the wizard

Change in Functionality
  • Added a new setting to default check the Intercompany checkbox on sales orders

Date applied: February 7, 2022

211.0.1

Issues Resolved
Issues Resolved
  • Fix to get the correct control bank account in the child company when using the pay and receive screen. The control bank account selected will be the same as the trader’s currency
  • Fix when amending large sales or purchase order lines that are linked through Intercompany back to back and it would take a long time to save
  • Fix corrected the mirror of deleting an item on either SOP or POP. This now get reflected on the opposite order
  • Increased the narrative length to 6000 when posting journals
  • Fix when posting Intercompany postings that originate from a ‘Nominal Non-Vatable Payment’ with project integration [“SiJcJob with DbKey = ‘0’ could not be found”]

Date applied: December 3, 2021

211.0.0

Issues Resolved New Features Important
Important Info

v21.1 RELEASE


New Features
  • Added the ability of set the IC reference in both the parent company and the child company when doing direct transactions

Issues Resolved
  • Integrated Sicon Projects with the direct invoicing screen
  • Default the nominal on the direct invoice to the default nominal of the control account
  • Added a new setting to copy the delivery address from the POP to the generated SOP in the other company
  • Correctly set the customer order number and supplier reference numbers to be the associated SOP or POP numbers from the other company
  • When doing SOP to POP or POP to SOP if a lines description has been amended this also gets pulled through to the associated transaction
  • Added the original narrative to the posted narrative through mapped nominal
  • Modified the control accounts screen to allow any control account customer or control supplier to be in any currency

Date applied: November 15, 2021