What's New in CenterPoint Fund Accounting
- Released to keep the version number consistent with other CenterPoint products.
- Released to keep the version number consistent with other CenterPoint products.
Purchase Orders
Reports > Reports > Transaction Reports > Purchase Orders (Detail) - Added Project, Profit Center, and Production Center report selection filters to the report.
Fixes
Processes > Purchases > Receive Purchase Orders - When the quantity shipped is changed, the selling price will no longer be changed based on the price matrix.
- Released to keep the version number consistent with other CenterPoint products.
General Accounting
System - A message will now be displayed when the SQL Server cannot be accessed that includes a link to a document describing how to restart the SQL Server.
- Transactions
- When you look up a Name or Vendor from a database with the Purchase Order module, the list will no longer include a column for FEIN/SSN#.
- Processes
- Banking > Positive Pay Issue Files - Added positive pay functionality which allows banks to match the checks a company issues with those that are presented for payment. Enhanced the format and file creation process.
General Journal > Options > Auto Reversing Entry - When set, the Use Auto Reversing option will be saved per session and a warning is displayed if a general journal date is greater than the reversing date at which time the reversing selection is turned off if the entry is continued.
Setup
- Names > Names, Customers, Vendors - Increased efficiency of editing and savings Names, Customers and Vendors, especially where they have many addresses.".
Accounts > Accounts > Detail tab - Added the ability to assign a Lender to liability accounts in the Current Portion Long Term Debt and Accrued Interest account categories.
Reports > Reports
- Setup Lists
- Vendors > Vendors - Added Group Abbreviation and Group optional columns and added a Group optional report selection filter to the report.
- Names > Names List - Added Group Abbreviation and Group optional columns and added a Group optional report selection filter to the report.
User-defined/Tax Reports
- When the 1099-S report is selected, you now have the option to print the 1099-S form through Aatrix from the Print Tax Forms button.
When the 1098 Mortgage Interest report is selected, you now have the option to print the 1098 Mortgage Interest form through Aatrix from the Print Tax Forms button.
Interfund/Intercompany Payroll
- Payroll Company Distribution Setup List - Lists the companies/funds that are paid by a payroll company/fund and the percentage of distributions for each.
- Interfund/Intercompany Payroll Payables - Added a new report that will display the amounts due to a payroll company/fund that processes payroll on behalf of other companies/funds. To use this report the Account Payable account category that is assigned to the liability account must maintain balances by Associated Company/Fund.
- Interfund/Intercompany Payroll Receivables - Added a new report that will display the amounts due from the companies/funds that are paid by a company/fund designated as the payroll company/fund. To use this report the Receivables account category that is assigned to the Accounts Receivable account must maintain balances by Associated Company/Fund.
- Interfund/Intercompany Payroll Distributions - Added a new report that will display the "Due From" and "Due To" journal entries distributed by the payroll company/fund to the companies/funds it is paying the payroll for. No entries are made when the payroll company/fund and the accounting company/fund are the same.
- Transaction Reports
- General Ledger > General Ledger Account Activity and General Ledger - Added a new Display Line Description to Notation report selection filter that when set to No will display the Line Description and Notation in separate columns (if you use both, both columns must be added to the report) and when it is set to Yes the Line Description will override the Notation and display in the notation column.
Purchases & Accounts Payable > Invoice Payments - Added Cash Payments and Terms Discount optional columns and renamed the Amount column to Total Paid and the Trans Date report selection filter to Transaction Date.
- Transaction Journals > Transaction Journal - Added a new Display Line Description to Notation report selection filter that when set to No will display the Line Description and Notation in separate columns (if you use both, both columns must be added to the report) and when it is set to Yes the Line Description will override the Notation and display in the notation column.
- Fixes
Processes > Purchases > Vendor Invoices (A/P) - Numbering sequences will now check for duplicates, if set, without error when saving or tabbing off the Reference # field.
- Transactions > Add/Edit Recurring Transactions - You can now use the Alt+S function key to save a recurring transaction without receiving an error.
- Processes > Sales > Billing Statements - Multiple page plain paper billing statements for customers that have the same First and Last Name will now print header information on all pages of the statement.
Reports > Reports
- Financial Statements
- Income Statement - When the Tracking Number 1 column is added to the report, it will now display transactions entered without a tracking number 1 as a blank row, for example entries for expenses for payroll would not be entered with a production year.
- Balance Sheet 2 Column - When the Display Personal Liquidity report selection filter is set to Yes, the report will now display successfully.
Transaction Reports > Trial Balance - Individual transactions will now display when you drill-down on a parent Fixed Asset Account.
Setup
- Customers > Email/Print tab
- When the Print Customer Statements selection is changed for one customer and the next customer(s) is viewed via the VCR buttons, the selection will no longer be changed for all customers.
- If an invalid email address is entered, a message will now display indicated which email address is not valid.
- Customers/Vendors or Names > Names
- When editing or adding a customer/vendor/name you will no longer receive an error if there is no default communication method.
- When the City/State/Zip is changed to Address 3, the data entered into Address 3 will now be saved.
Vendors > Email/Print tab - If an invalid email address is entered, a message will now display indicated which email address is not valid.
Financial Institutions - Financial Institutions can now be copied successfully and includes detailed messages indicating which information that must be entered prior to saving the setup.
Enhanced Accounts Receivable
File > Security> Security Policies - Added security policies for Setup > Customers and Setup > Vendors.
- Reports > Reports
- Setup Lists > Customers > Customer List - Added Group Abbreviation and Group optional columns and added a Group optional report selection filter to the report.
- Transaction Reports > Sales & Accounts Receivable - Improved the efficiency of processing and displaying/printing the report.
Tools
- CenterPoint Data Importer
- Added the version number to the title bar of the module.
When the Type of Import is set to Transactions - General Journal, a new AssociatedCompany column is now available for importing general journal entries with an associated company id.
When the Type of Import is set to Transactions - General Journal, a new MultiSegmentedAccount column is now available for importing multi-segmented accounts.
Added a Column# column to the grid where you can enter a number that indicates the column in the import file that contains a field's data and is used when the First row contains column names check box is selected which allows you to import a file even if it contains no "heading" row. Also added a DefaultValue column to the grid that allows you to set the value of the column.
- CenterPoint Data Browser - Added the version number to the title bar of the module.
Purchase Orders
- Processes > Purchase Orders
- Approve Purchase Orders - Approved purchase orders will now save attachments that can viewed when the purchase order is edited, received, or invoiced.
Purchase Orders and Purchase Order Maintenance - Purchase orders can now be entered/edited with a Deliver To set to Other and an alternative Delivery Address without the Enhanced A/R module.
- Fixes
Processes > Purchases > Purchase Orders - When editing a purchase order that was entered with the Deliver To set to Other, the Delivery Address originally entered will now display correctly.
- Released to keep the version number consistent with other CenterPoint products.
- Fixes
- System - Implemented a process to handle dead-lock messages when more than one user is trying to access data at the same time in a CenterPoint database.
General Accounting
- System - In the Filter or Report Selection Filter screens, when an item is selected on the Available List and moved to the Selected List, the Available list will now display the next item at the top of the Available List instead of the first item.
Processes
Purchases > Payments - When you right-click and select New Fixed Asset to purchase a fixed asset using the DT - Increase Asset template, the Quantity will now default to 1.
Processes > Batch Transactions - When a a group of recurring batch transactions are posted, unprinted transactions assigned an incrementing sequence will be assigned a new sequence number .
- Setup
General > Numbering Sequences - Redesigned the Numbering Sequences screen to improve entry and provide a separate screen that displays formatting help.
- User-defined/Tax Reports > General tab - Added a Balance Sheet Data Source field that is used to determine where, if applicable to the report, balance sheet balances come from; the options are Book, Modified Cash, or Market. Also added a Depreciation source field that is used to determine, if applicable to the report, which Amount value to use in the general journal Book or Tax schedule.
- Reports
- Financial Statements
- Balance Sheet 2 Columns - Added an optional Display Whole Dollars report selection filter that when set to Yes will round amounts to the nearest whole dollar.
Income Statement > Preview - When Quantity and Price type columns are added to the report, they will not total in the group footers (Revenue, Cost of Goods Sold, Gross Profit, etc.).
- Tools
- CenterPoint Data Importer
- When the Type of Import is selected, information will now display about each of the fields available for import for that type.
Fixes
File > Copy Database - When a database is configured to save preferences at the Database level in File > Preferences > General > Base Settings - Right Click Options, a database can now be successfully copied.
- Setup > Names > Names > List tab > Activate/Deactivate - When you right-click on a name/customer/vendor and select Activate/Deactivate, the accurate active status will now display.
- Reports
When the preference is set to always warn before exiting the program and a warning displays from an attempt to close CenterPoint that is denied immediately after you preview a report and then any report is previewed or printed, you will no longer receive a "This report is no longer available for use within the system" error.
Purchases & Accounts Receivable > InvoicePayments - The Invoice Number column will now display the invoice being paid with each check written for the specified date range.
Purchase Orders
Processes > Purchases > Purchase Orders or Purchase Order Maintenance - Changed the hot key for the Order tab from Alt + O to Alt + D.
- Released to keep the version number consistent with other CenterPoint products.
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Fixes
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System – For databases using security, when the Database Startup Preference is set to Open a Selected Database in File > Preferences > General > Base Settings, the database can now be opened after entering the username and password without receiving an error.
- CenterPoint Data Importer - A .CSV file can now contain data fields (columns) that are blank for non-required fields, and the blank value will not update the database.
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General Accounting
Transactions
- You can now save/post on most transaction screens by using the keyboard shortcut Alt-S (indicated on the screen with an underscore character either on the S on the Save button or s on the Post button).
Options > Review Transactions - Added a Created Date column to the Review Transactions screen. This column can be removed, moved, or sorted to display in ascending or descending order.
Names, Customers and Vendors > Mass Update > Printing - Added an option to update the Print Notes on Forms check box.
- Setup
- Accounts > Accounts > Detail tab
- Accounts in the "Long Term" and "Loans" account categories will now allow you to right-click in the Accrued Interest Expense box and create a new account or fixed asset item.
- Fields under the Company Specific Detail Information section for checking and liability accounts will now all be visible on the screen.
Form Designers > Invoice Form Designer - When the Customer Payment Check Number field is added to the footer section of the AR invoice, the Custom Check Number will now display either a check number entered as a payment on the invoice before the invoice was saved, or a check number entered as a receipt that pays the invoice.
Account Distributions - Added the ability to add/change/remove/reset account distribution detail lines and recalculate the remaining details when the distribution is "at transaction" (in Transaction Entry Grid > Distribution Button) and "later" (in Process > Periodic > Apply Distributions > Edit).
- Reports.
Transaction Reports
- Sales & Accounts Receivable > Accounts Receivable Open Invoices - Added an optional Discount Date column to the report.
Transaction Journals > Transaction Journal
- Added an optional Batch report selection filter.
Added Batch Comment as an available optional column.
Fixes
Setup
- Names > Names
- Additional notes from one customer will no longer display on the next edited customer.
Projects - When creating project abbreviations that are over 10 characters, an error will no longer display when you click Save.
- QuickList - If the program is maximized and is closed while it is loading, the QuickList will no longer be cleared.
- Reports
- Transaction Reports > Transaction Journals > Transaction Journal - The report will now display without error even when specific filters are added and columns and group/sorting is applied.
Accounts Receivable
Processes > Sales > Customer Invoices - When the Remaining Credit is less than or equal to zero, the background of the box and the label will now display highlighted in yellow.
- Setup
- Sales > Items > General tab - Changed the Weight box label to Weight (Stocking Unit). Setup > Forms Designers > Sales Orders Forms Designer - Added Item Weight and Total Weight as available fields.
Form Designers > Invoice Form Designer - When the Customer Payment Check Number field is added to the footer section of the AR invoice, the Custom Check Number will now display either a check number entered as a payment on the invoice before the invoice was saved, or a check number entered as a receipt that pays the invoice.
Names, Customers and Vendors > Mass Update > Printing - Added an option to update the Print Notes on Forms check box.
Reports
- Setup Lists > Sales Items - Added the following columns to the report: Commission, Returns & Allowances Account (Name, Number, Abbreviation), Inventory Account (Name, Number, Abbreviation), and Expense Account (Name, Number, Abbreviation). Changed the Account Number, Name, and Abbreviation columns to Sales Account Number, Sales Account and Sales Account Abbreviation. Also added optional report selection filters for Item Type, Inventory Account, and Additional Description.
- Transaction Reports
- Sales & Accounts Receivable
- Daily Sales - Added a Customer PO Number optional available column to the report.
- Customer Ledger - When a receipt is entered on the same day as the invoice, the Accts Rec Balance column will now be accurate.
- Sales Journal - Added the following optional available columns to the report: Salesperson Abbreviation, Salesperson, Terms, Terms Abbreviation, Commission Amount, and Commission Override. Also added optional Salesperson and Terms report selection filters to the report.
Fixes
- Setup > Customers
- When the Set As Default right-click option is used, the default settings will now display when creating other customer records.
- Accounting tab - The Exemption Id can now be entered regardless of whether the Not Subject to Tax check box is selected.
- Reports > Reports > Transaction Reports > Sales & Accounts Receivable > Customer Ranking and Customer Sales - When a customer deposit is created via an overpayment, the reports will now display accurate amounts and quantities.
Processes > Sales > Calculate Finance Charges - If a calculated finance charge is overridden and changed to 0.00, a finance charge transaction will not be created when finance charges are posted.
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Fixes
- System – In very specific circumstances with databases using SQL 2008, when updating to version 11 an error will no longer display during the update.
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Reports > Reports > Transaction Reports > Purchases & Accounts Payable > Open Invoices - Improved the efficiency of the report to eliminate time out situations in certain large databases.
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Fixes
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Transactions
- If a vendor name is entered and the vendor does not exist in the lookup, when you click New the vendor name that you entered will now display in the Company box.
- You will no longer receive a Specified Cast is Not Valid message when changing to some custom templates on the core transaction screens.
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CenterPoint was updated to improve the validation when a template is changed on the data entry grid to ensure that the selected account is valid for the selected template.
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Setup > Names > Names > General tab and Setup > Vendors > General tab - The Phone, Fax, and E-mail entered on the General tab, will now be saved when a record is created or edited and saved.
- Processes
- Sales > Receipts - If a receipt is entered to an expense account, the default sign will now display correctly.
- General Journal Entries - When a journal entry is entered with both Quantity 1 and Quantity 2 amounts, the Quantity 1 amount will no longer replace the Quantity 2 amount.
- Reports > Reports
Transaction Reports > Purchases & Accounts Payable > Open Invoices - When the report is filtered to not display detail and you add the Offset Account, Offset Acct Abbr, or Offset Acct Number columns to the report, the report is now displayed without error.
Financial Statements
- Income Statement (Current vs Year-to-Date) - When the report is filtered for a single period, the correct beginning period for the company fiscal year will now display.
Income Statement
- When the report is filtered to include Internal Accounts and to Display Account Categories, the report is now displayed without error.
- When the Reporting Method is set to Cash for multiple company databases with specific setups, Balance Sheet accounts will no longer appear on the report.
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Fixes
- System - If you have large custom indexes set up in your database, you will no longer see "insert error here" when updating to version 11.
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Transactions
- A "Missing Template" warning will now display if the Template column does not contain a template when entering a detail line on the data entry grid.
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If the default template for the account selected has a filter that excludes the selected account, the Detail button will display in red as in previous versions and you will no longer receive an error.
Enhanced Accounts Receivable Module
Fixes
- Setup > Customers > Accounting tab – The Not Subject to Tax check box will now display the taxability (Y/N) set in the database for the customer properly.
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Fixes
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Reports > Reports > Transaction Reports > Sales & Accounts Receivable > Invoice Receipts – The Receipt Amount will now display for receipts applied against open invoices.
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Fixes
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Processes > Batch Transactions - The transaction number will now be saved after editing the number in batch General Journal transactions.
- Reporting Tools > Transaction Search – When AP Invoices/AR Invoices (Basic) are edited, the account used in the transaction will now display instead of the default AP or AR account.
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Fixes
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Processes > Purchases > Vendor Invoices (A/P) - When the Copy Reference # to Inv/Ref# option is selected, the Reference # will now copy to the Inv/Ref# column in the data entry grid.
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Enhanced Accounts Receivable Module
Fixes
- Setup > Customers > Accounting tab - The accurate accounting detail balances (Y-T-D Sales, Open Invoice, etc.) will now display for the selected customer/company combination.
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Fixes
- Transactions
- AP Invoices/AR Invoices (Basic) - Saved recurring and recalled transactions will now be included in AR/AP balance for the customer, and will also be displayed on transaction reports.
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Recurring button – The saved Calculation Type will now be displayed when editing a recurring transaction.
- Transactions
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Fixes
- Transactions
- Saved recurring transactions will now affect the cash account selected on the transaction instead of the default account displayed when the screen is loaded.
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When there are locked periods in a database, recurring transactions can now be saved into a current open period.
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Processes > Sales > Receipts - Recalled receipts with a negative expense detail line can now be saved without error.
- Transactions
System
Updated the US Zip Codes and Canadian Postal Codes that were current as of February 1, 2017.
Added an Alt + O keyboard shortcut to the Options button.
General AccountingProcesses
Customer Invoices (Basic), Customer Invoices, Vendor Invoices (A/P), Receipts, and Payments - If the Distribution column is added to the data entry grid, after a dollar amount is entered and a distribution is being used for the account entered, the name of the distribution will display in the row being entered under the Distribution column. If a distribution is not being used, None will display in the Distribution column.
Batch Transactions > Transaction Activity tab - Added a new right-click Change Batch selection that will allow transactions that are added to a batch to be moved to a different batch.
General Journal Entries - Added a new Recurring button that allows you to create recurring entries for balanced general journal transactions. Recurring general journal transactions can be recalled by clicking the Recurring icon to the right of the Company lookup.
Purchases > Print/Email Checks/Invoices - When the File > Preferences > General > Date Settings is set to "Make No Changes to the "To" when entering a date into the "From" date", and the From date is changed in a custom date range, the To date will now display today's date.
Banking > Bank Reconciliation > Reconcileand Summary tabs - Added a Print Statement button that displays the available Bank Reconciliation reports on the Reports tab.
Setup
- Setup screens
- Additional Notes - Added a Stamp button that when selected will add a time stamp that is filled in with "Edited on (current date and time)", if you are logged into a database without security and "Edited by (username) on (current date and time)" in a database with security set up.
- Combine - The By box will now default to the column that is currently being sorted on.
Names > Names
- Mass Update
- Added four new options to the General section: Is Customer, Is Vendor, Is Employee, and Is Salesperson that will allow you to mass update the Name Type for names.
Added a new Name Group option to the General section.
Credit Cards tab - The Security Key can now accept up to four digits.
Customers and Vendors
- Credit Cards tab - The Security Key can now accept up to four digits.
Mass Update - Added a new Name Group option to the General section.
General > Numbering Sequences - If a numbering sequence is checking for duplicates and there are no unused values available for this sequence, a message will display informing you that you must either modify the format allowing for more numbers or modify the Duplicate Search Date allowing older values to be reused.
Accounts
Distributions > General tab - Added an Active check box. When a distribution is inactivated, accounts can no longer be assigned on the Assign Accounts tab. If accounts are assigned when the distribution is inactivated, a message displays reminding you that the accounts will be removed when the distribution is saved.
- Accounts
- Combine - A message will now display if either account being combined is an account in an Inventory account category. Inventory accounts cannot be combined as this would potentially lead to problems with balances, costing, and unit of measure conversions. Inventory accounts should be deactivated instead of being combined.
Detail tab - Added Check Label 1 and Check Label 2 boxes to Cash and Line of Credit accounts. Both are 50 character user-definable fields and add the flexibility of placing information you determine somewhere on your checks (the boxes must be added to the check in the Check Designer first).
- Account Categories
- Changed the account type on all interest expense account categories (Interest Expense - Other, Interest Expense - Mortgage, Term Interest, Non-Term Interest). All interest expense accounts in these account categories will now report in the Other Expense section of the Income Statement.
Assigned a Personal account type to the Personal Income, Personal Expense and Personal Liabilities account categories. The Personal account type will appear in the Personal Income and Expense section in the bottom section of the Income Statement below Other Revenue and Other Expense. Personal Income and Expense does not affect Income From Operations, but it does affect Net Income.
Projects - You can now enter 24 characters into the Abbreviation field and 50 characters in the Name field.
- Forms Designer
- Forms Manager - Added a new menu option that allows you to import custom check/stub designs created with the Check/Stub Designer module.
Invoice Form Designer - Added a Total Quantity Shipped to the available fields.
Check Forms Designer
- Added an available Payee Contact field to the check designer.
Added Check Label 1 and Check Label 2 fields as available fields. The fields are used in conjunction with the user-definable Check Label 1 and Check Label 2 fields from Cash and Line of Credit Accounts set up in Setup > Accounts > Accounts > Detail tab.
Reports
Preview > Columns and Group & Sort tabs - Columns are now organized and easier to navigate with the addition of Available and Selected tabs. When a column is selected from the Available tab, it will appear on the Selected tab so at a glance you can see which columns are selected on the report.
- Financial Statements
Income Statement - The Income Statement has been modified to allow more robust and flexible reporting options.
- Income statement comparative reporting - The Income Statement now includes new “Specified Columns” to build your comparison report with the detail of your choice. Choices include companies, profit centers, production centers, production years, projects, production center details, profit center groups, or production center groups. Up to 12 columns of comparisons are available.
- The Columns and Group & Sort tabs were redesigned to clarify which column details go together and the selections for your report. The Available columns organize the column details by main components for the report at the top level of the tree with its details at a second level. This makes it easier to find the detail you wish to include, as well as indicates which pieces go together. Selected columns display in a separate tab to simplify your selections and to order and group the report as needed.
- Filter changes were added to enhance the display levels available in the report.
- The Income Statement used prior to CenterPoint version 11 will no longer be available in the Reports tree, however, if you've saved Income Statement favorites from the base report, the Favorites will be available. To take advantage of the features available in future versions of CenterPoint, please redefine those favorites using the Income Statement now on the Report tree.
- For detailed information regarding these changes, please see the Understanding and Modifying the Income Statement topic.
- Sources & Uses > General Summary - Added the following optional columns to the report: UOM 1 Abbreviation, UOM 1 Abbreviation YTD, UOM 2 Abbreviation and UOM 2 Abbreviation YTD.
Income Statement Comparisons - Added the option to add UOM Abbreviation and UOM Name columns after each quantity value for prior years.
Cash Flow Detail - The report was changed to add similar filters and options as the Cash Flows by Month report. The report now accepts any account in the Line Account filter and if a Level 1, 2, or 3 account is selected, the report selects all of the child accounts of that account. An optional Account Category filter was also added.
User-defined/Tax Reports > 1099 Preview reports - Added an optional Report View Report Selection filter that allows you to determine how you want to view the preview report; Full 1099 Per Vendor (the detail and grouping changes based on the Display Level filter), Vendor Summary (no grouping and one row per vendor), and 1099 Line Summary (the detail and grouping changes based on the Display Level filter).
Setup Lists > Customers > Customer List - Added the Salesperson Name as an available column.
Transaction Reports
Purchases & Accounts Payable
- Vendor Aging - Added the following optional columns to the report: Memo Line 1 and 2 and Custom 1 - 8.
Open Invoices - Added the following new columns to the report: Quantity 1 and 2, Q1 and Q2 Unit Cost, Unit of Measure 1 and 2, and UOM 1 and UOM 2 Abbreviation; the Show Detail report selection filter must be set to Yes for values to display in any of these columns.
Sales & Accounts Receivable
Customer Ledger - Added the following optional columns to the report: Memo Line 1 and 2 and Custom 1 - 8.
Open Invoices - Added the following new columns to the report: Quantity 1 and 2, Q1 and Q2 Unit Cost and Unit Price, Unit of Measure 1 and 2, and UOM 1 and UOM 2 Abbreviation.
- General Ledger
- GL Account Activity
- The Q1 Price and Q2 Price columns 1 Price will now display as positive values on all account types whether the quantity is positive or negative which will allow an accurate calculation of price.
- When either the Line Description or Notation column is included on the report and the contents of the Line Description are not empty, the contents will now be copied and displayed in the Notation column.
General Ledger - When either the Line Description or Notation column is included on the report and the contents of the Line Description are not empty, the contents will now be copied and displayed in the Notation column.
Reporting Tools
Transaction Search
- When editing transactions entered in Vendor Invoices (A/P) a new Review Payments menu option has been added to the Options button that allows you to review payment history for the invoice being edited. When editing transactions entered in Customer Invoices or Customer Invoices (Basic) or (Detail) a new Review Receipts menu option has been added to the Options button that allows you to review receipt history for the invoice being edited.
When the Display Activity Linked to the Original Transaction option is selected on the General tab and the Notation column is displayed, payments on vendor invoices now display the notation from the vendor invoice.
Fixes
QuickList - The QuickList will now be saved when closing a database.
File > New > Copy Database - A database can now be copied with account numbers and employees (without existing pay information) to the new company successfully.
Setup
- Names > Names > Combine - Names with name locations on a purchase order which references the location of a different name than a name being combined can now successfully be combined without receiving an error message.
- Companies - Saving companies that did not have a change to the report used for cash balances will no longer time out.
- Accounts > Accounts > Balances tab - Changing Market Value no longer changes Book Value if transactions are posted to the beginning period.
- Processes
General Journal Entries - When the Cancel button is selected without entering an offset account, a message will no longer display and the journal entry will be canceled.
Banking > Bank Reconciliation - Filters set from the Filters tab will now only affect what is displayed on the List tab. The filters will not effect creating a new bank reconciliation or editing a previously completed bank reconciliation.
- Reports
Reports will no longer display an error in a Date column when a user changes the Windows Date and Time Formats (In Windows 10, Settings > Time and Language > Date and Time > Change Date and Time Formats).
- Transaction Reports
- Liability Activity
- Line of Credit Activity - When a journal entry is entered in Processes > General Journal Entries that contains a Line of Credit account in the first line, it will no longer be duplicated on the report.
Credit Card Activity - The correct beginning balance will now be reported when the report is run for dates mid-month, for the first transaction period in the database.
Receipts > Receipts Journal (Summary), Receipts by Customer,and Receipts by Payment Type - Removed the Memo: prefix for the Memo Line 1 and Memo Line 2 columns when they are included in the report.
Transaction Journals > General Journal - The report will now display without error when the Include General Ledger filter is set to Yes.
- Fixed Assets > Fixed Asset Activity
- Fixed asset purchase lines with the same account and amount on will now be reported.
The report will now print without error when it is filtered by an account category that contains both fixed assets and accounts with balances.
- Reporting Tools
Transaction Search - Removed the duplicate Payments Entry Screen filter.
Enhanced Accounts Receivable
- Processes > Sales > Customer Invoices (Detail)
- Additional Description button - Renamed the Additional Description window to Additional Description (Notation).
Invoice tab > Sales Grid - Added a new Price Level column that contains a button that an be clicked to select different price levels on-the-fly.
Added a Notation column as an available column. When the column is added, it will display the additional description from the Sales Item.
Setup
- Sales > Items - The Name of an item has been extended to 50 characters.
- Added a Notation column as an available column. When the column is added, it will display the additional description from the Sales Item.
Reports > Reports > Transaction Reports > Sales & Accounts Receivable > Sales Commission Accounts - Added drill-down functionality to the transactions displayed on the report when the report is previewed in Interactive mode.
- Fixes
Reports > Transaction Reports
- Sales Tax > Sales Tax Summary by Invoice - The Invoice Total and Sales Tax Amount column will now display a credit for sales tax from a negative customer invoice saved with the customer deposit (refundable credit) option.
- Sales & Accounts Receivable > Item Sales - When an item has multiple selling units of measure, the quantity sold unit measure will now display on the report.
Purchase Orders
- Processes > Purchases
- Receive Purchase Orders - Added Line Sequence as an available column.
Purchase Orders and Purchase Orders Maintenance - Added a Refresh selection that will allow you to reorder the lines when the Line Sequence column is added to the rows in the data entry grid.
- Fixes
Processes > Purchases > Purchase Orders - The purchase order number will now advance to the next available number when a sequence number has already been used (no duplicates allowed) and the purchase order is posted.
Tools
CenterPoint Data Importer - Added new tool that gives you the ability to import transaction and maintenance screen data from outside sources. The following data can be imported: Customers, Names, Vendors, Production Center Details (Crop), Production Center Details (Livestock), Projects, and Transactions - AP Invoices, AR Invoices (Basic), Cash Payments, Cash Receipts, and General Journals. Please contact Red Wing Software Technical Support for additional information.
CenterPoint Data Browser - Added a new tool that allows third parties to access CenterPoint data programmatically via the same functionality used
by CenterPoint to gather data for reports.