200.0.36
Issues ResolvedIssues Resolved
- Issue with authorising a corrected invoice picking up the incorrect nominal line.
- Reconciliation error on authoisation with multiple lines.
- Fixed issue with VAT variance on a Euro POP invoice.
- Grouped billing should be split out per project on the sales order.
- ‘Object not set’ error when adding a second new project after saving the first.
- Filter out STOCK transactions when. looking for invoice on ‘copy invoice’
- ‘Object not set…’ error on invoicing credit note screen.
- Fixed some exchange rate rounding issues on Project enquiry.
- Exchange rate issues found on Posting POP invoices.
- Changed payroll routine to use SQL script.
- Fix for no description on POP Invoice transactions in generate billing screen.
Date applied: August 17, 2021