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27.328.977 - Product Updates 413 and 412: ACH Autopay bank format enhanced for HSBC Singapore
By Khairunnisa Binti Rosli
The following bank format has been enhanced for both domesticand foreign payments: Country Bank name Description Singapore HSBC DCT and FCT in Autopay format Note: The...
Release notes detail
12-01-2017
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
21.021.230 - Product Update 399: Revaluation of Neutral General Ledgers Displayed with Compliance to Storno Presentation (Romanian Legislation)
By Suthichana Tharmapalan
Revaluating the general ledger (GL) accounts in a foreign currency is usually done to offset differences due to currency fluctuations. For more information, see Generating Revaluation for General Ledg...
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
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
17.779.816 - Release 390: VAT Screen Displayed When Processing Payments and Printing Deposit Report (Czech Republic, Hungarian, Malaysian, Moroccan, Slovakian, Romanian, Russian, Singaporean, and International Legislations)
By Wan Chee Lau
Menu pathIntroductionIn cash flow entries, the additional VAT information can be added to the payment slip printed from the VAT screen displayed for Czechs, Hungarian, Malaysian, Moroccan, Slovakian, ...
Release notes detail
09-05-2017
17.485.839 - Release 390: Enable Fulfillment Date for Financial Overviews (Polish, Czech, Hungarian, Russian, Moroccan, Malaysian, Italian, Slovakian, Vietnamese, Columbian and Singaporean Legislations)
By Siok Pei Goh
IntroductionIntroduction For Polish, Czech, Hungarian, Russian, Moroccan, Malaysian, Italian, Slovakian, Vietnamese, Columbian, and Singaporean legislations, users are able to enter the fulfillment da...
Release notes detail
10-05-2017
16.637.321 - Release 390: Storno Presentation – Opening Balance of General Ledgers (Polish, Czech, Slovakian and Romanian legislations)
By Lee Choo Lim
BackgroundIntroductionWith the implementation of the storno presentation, Closing balance will be displayed correctly and according to the rules of the storno presentation whenever the settings Revers...
Release notes detail
10-05-2017
16.287.080 - Release 381: Reverse Revaluation - Grouping by Projects to be optional
By Elaine Chai
New Page 1Menu pathFinance/General ledger/Revaluation/Invoices & Bank/CashBackgroundThe New Revaluation Method Per Invoice Group was implemented Polish, French, Malaysian and Singaporean legislations ...
Release notes detail
09-05-2017
15.690.586 - Release 380 : Storno entry for Profit and Loss ledgers
By Fong Yin Chan
BackgroundMenu pathSystem/Settings/General ledger settings Finance/General Ledger /Charts of GL BackgroundStorno entry allows user to select positive or negative sign of a transaction to be shown in f...
Release notes detail
09-05-2017
15.596.894 - Release 380: New Revaluation Method Per Invoice Group
By Fong Yin Chan
BackgroundBackgroundThe legislation of some countries requires that financial reports show the amount of Accounts receivable and Accounts payable revaluated according to the current official exchange ...
Release notes detail
09-05-2017
15.596.492 - Release 380 : Synchronize Tax Calculation for Payment Discount in Sales Invoice
By Kian Beng Quah
New Page 1Background Inprevious release of Exact Globe, when the General Ledger Settings: Tax &Discount Calculation option is set to Tax calculated over net invoiceamount including discount (menu path...
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
14.850.002 - Release 380 : Improvements of cash slip layout
By Ivan Wang
BackgroundBackground In release 370, new functionality for petty cash has been added to Exact Globe as described in release note:Release 370: Improvements of cash slip layout (Russian Legislation). Al...
Release notes detail
09-05-2017
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