211.0.3
Issues ResolvedIssues Resolved
- Filtered out JOURNALS and revenue Project header transactions.
- Trim whitespace on the reference field on NL Import to stop grouping issue.
- [ID:xxxxx] tags in narratives for Imported NL transactions will be cleared before processing.
- Option added to exclude control accounts on Nominal Reconciliation – defaulted off.
- Speed improvements to Project reconciliation screen.
- Fix for blank PSA being created on converting template even if template has other PSA + fix for item not found error when template has a planned purchase.
- Fix for Project analysis transactions not appearing on Authorisation (Fix for incorrect exchange rate when it’s not a euro currency).
- Fixed issues on POP invoice where the nominal value is not updating correctly and duplicating from the line below.
- Fix for error when using a not euro currency (Added a check to see if currency is euro-based).
- Fix for activities not loading on project if only activities are enabled.
- Fixed loading bar getting stuck on project enquiry. It occurred when the construction module is not installed.
Date applied: December 3, 2021