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31.704.381 - PU 503 | 502 | 501 (Globe+) and 424 (Globe): Support for updated Australian ANZ bank statement CSV format
By Chee Wai Tham
There is an update to the ANZ bank statement's CSV format. You must install this product update to continue importing bank statements from ANZ bank.The new CSV format has the following characteristics...
Release notes detail
08-01-2024
25.220.252 - Product Update 407: Encrypted bank file can be exported (Malaysian, Singaporean, Australian, and Chinese legislations)
By Jo-Anna Goh Li Ping
Previously, the bank file generated was in a plain text file format which should be confidential, and it should not be amended during the process of data transmission to the bank. In this product upda...
Release notes detail
10-05-2017
22.176.687 - Product Update 402: Managing your creditors (Australian, Russian, International, Middle East, Polish, Thai, Singaporean, Indonesian, Malaysian, Philippines, Vietnamese, Romanian, Moroccan, Japanese, Spanish, French, Italian legislations)
By Sumathi K. Karalasingam
The following changes are implemented and applicable only for Australian, Russian, International, Middle East, Polish, Thai, Singapore, Indonesian, Malaysian, Philippines, Vietnamese, Romanian, Morocc...
Release notes detail
09-05-2017
19.379.149 - Product Update 395: Option to Include Balancing Line in Bank Files Generated for Westpac Bank
By Suthichana Tharmapalan
IntroductionWestpac is the largest bank in Australia by market capitalization. Depending on the service of the actual account, the electronic bank file submitted may require a balancing line. You are ...
Release notes detail
11-05-2017
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
19.046.491 - Product Update 394: Implementation of Business Activity Statement (Australian Legislation)
By Suthichana Tharmapalan
IntroductionIn Australia, all businesses need to report their taxation obligations by submitting a Business Activity Statement (BAS) to the Australian taxation office, which includes Pay-as-you-go (PA...
Release notes detail
11-05-2017
18.236.331 - Product Update 392: Consistent Database Records Between Cash Flow and Bank or Cash Journal Entries (Australian, Hong Kong, Indonesian, Japanese, Malaysian, Filipino, Singaporean, Thai, and Vietnamese Legislations)
By Seow Yung Gan
BackgroundIntroductionBank reconciliation is a process of verifying and matching transaction records from your bank accounts against the transactions listed in the bank statements. The reconciliation ...
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
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
06.119.309 - Batch 325: Fixed Payment Days 1- 5 for different country legislations
By Juliet Looi
New Page 1In Batch 325, it is possible to add up to 5fixed payments days accounts maintenance, Financial tab for different countrylegislations. The following are the country legislations involved:1. ...
Release notes detail
09-05-2017