Versions Compared

Key

  • This line was added.
  • This line was removed.
  • Formatting was changed.

...

Expand
titleSales
Customer Activity Report taking a long time to print.
Expand
titleCash Contract Management
Checkbook out of balance when voiding check with different void date than check date
[Bank Reconciliation] - Bank Account balance has difference
Error in upgrading database
Expand
titleCredit Card ReconciliationTank Management
 Default Location is being used when selecting vendor in Dealer Credit Card

Enhancements

Expand
titlePayrollEnergy Trac
PR
1550
HDTN-207384 - issues with w2 file - 17.3
 Base Export - remove cash.csv from export list
Expand
titleSales
 Base Import - Discounts do not work on import.