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25.539.247 - Product Updates 407 and 406: VAT reversal calculation adjusted for Flexible VAT system
By Hung Hui Lan
The VAT reversal calculation for invoices that have been written off has been revised to adopt the full reversal calculation in this product update. The same effect reflects on the partial payments wi...
Release notes detail
10-05-2017
25.262.634 - Product Updates 407 and 406: Prepayments can be matched with invoices using Flexible VAT system
By Jo-Anna Goh Li Ping
The flexible VAT system (cash based VAT) was available in Exact Globe Next since product update 381 (see Release 381: VAT cash system supported on VAT return). However, there were limitations to the u...
Release notes detail
10-05-2017
24.681.482 - Product Update 407: VAT cash system report has been added
By Jo-Anna Goh Li Ping
In certain countries, some companies are required to use the cash based VAT system instead of the invoice system, whereby VAT payment will only be paid once payment is made. As of year 2013, the invoi...
Release notes detail
10-05-2017
24.676.702 - Product Update 407: Multiple taxes supported for XML financial and SDK with flexible VAT system
By Jo-Anna Goh Li Ping
In product update 405, XML and SDK functionalities were supported for multiple taxes for the invoice system (see Product Update 405: Multiple taxes supported for XML financial and SDK). In Exact Globe...
Release notes detail
10-05-2017
24.384.459 - Product Update 405: Enhancements to cash-based VAT system
By Jo-Anna Goh Li Ping
Some companies are required to use the cash-based VAT system (see Release 390: Extension of cash-based VAT system in bill of exchange and payment in transit). VAT overviewIf the cash-based VAT code is...
Release notes detail
10-05-2017
20.181.996 - Product Update 397: Enhancements to Opening and Closing Balance Calculations (British, French, Spanish, Malaysian, Mexican, Thai, Vietnamese, Irish, Canadian, and New Zealand Legislations)
By Suthichana Tharmapalan
IntroductionEnhancements have been made to the way the system calculates the opening and closing balances in bank/cash journals and cash flow entries. The system will calculate the opening and closing...
Release notes detail
10-05-2017
19.137.517 - Product Update 394: Option to Display Bank Reconciliation Differences Based on Transaction or Reporting Date (British, French, Spanish, Malaysian, Mexican, Chinese, Thai, Vietnamese, American, Irish, Canadian, and New Zealand Legislations)
By Suthichana Tharmapalan
IntroductionWhen a company’s records show a difference between balance in the cash instrument and the bank statement, reconciliation of the records is necessary to ensure the difference is resolved. I...
Release notes detail
10-05-2017
19.137.399 - Product Update 394: Change in System Generated Payment Reference
By Suthichana Tharmapalan
IntroductionA payment reference is used to identify a specific payment and is also used for reference in the export or import of bank files in electronic banking. The “XX” that is displayed before and...
Release notes detail
09-05-2017
19.005.231 - Product Update 394: Enhanced Logic for Handling Reconciliation of Cash Flow Entries (New Zealand Legislation)
By Hairani Zainal
IntroductionYou can record payments and receipts at the cash flow and bank/cash journal entries. Once recorded, you can reconcile the entries or statements with the physical or imported electronic ban...
Release notes detail
10-05-2017
18.456.340 - Release 392: Non-perpetual inventory supported in Rental and FieldService
By Former employee
In release 392, non-perpetual inventory is supported. When the following conditions are satisfied, fulfillment entries are created according to the logic of non-perpetual inventory:Legislation is one ...
Release notes detail
08-07-2018
17.594.792 - Release 390: Automated Non-perpetual Inventory Process for Project Realization (Belgium, French, Italian, Luxembourg, Morrocan and Spanish Legislations)
By John Cheok Chee Yoong
Introduction The automated non-perpetual inventory process was implemented in release 380. The automated process is required to include the order fulfillment transactions generated vai project realiza...
Release notes detail
09-05-2017
16.773.653 - Release 390: VAT to Report General Ledger Account
By Michelle Low Wai Yee
IntroductionBefore the VAT return, user will compare the balance of the revenue and costs general ledger (GL) against the balance to the VAT to pay and VAT to claim GL. When all the VAT balances are c...
Release notes detail
09-05-2017
16.267.207 - Release 381: Show message when changing payment condition if advance invoice exists
By Angellyn Low Ai Pek
BackgroundMenu pathOrder/Entries/Sales ordersBackgroundThe Advance Invoice functionality was implemented for Czech Republic and Hungary in release 350 (see release note Batch 350: Advance Invoice). P...
Release notes detail
09-05-2017
14.969.616 - Release 380: VAT official exchange rates functionality for more legislations
By Elaine Chai
PurposeMenu pathFinance/VAT/Statistics/VAT Revaluation ProposalBackgroundThe VAT official exchange rates functionality was implemented for selected legislations including Germany, Romania, Czech Repub...
Release notes detail
09-05-2017
14.768.506 - Release 380: Automate perpetual or non-perpetual inventory process
By Kim Fu Loke
Background Previously, perpetual or non-perpetual inventory process was only generated when manually execute via separate menu path Inventory/Warehouse management/Perpetual inventory or Inventory/Ware...
Release notes detail
09-05-2017
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