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Searching Total Credits and Debits in Journal Entry Batches
In Journal Entry batches we are able to add columns for Total Credits and Total Debits, but are unable to search for those amounts using the search function or filter. It would help with ease of access and quick searching for journal entries.
Created 6 Dec 05:17pm by Guest
General ledger
0
No Status
2
Vote
Updating invoice date changes the post date to match - Why? It causes errors if not caught.
Don't automatically update the post date to match the invoice date. They are rarely the same date.
Created 6 Dec 02:29am by Guest
Invoices
0
No Status
1
Vote
How to use a Voucher payables batch that has been posted to directly create its respective Cash Disbursement batch?
The Voucher Payables batch that has been posted already includes the correct invoices (under the Payables tab) in one batch, and traditionally in order to move these invoices to disbursement we would need to look for these same invoices again unde...
Created 5 Dec 07:55pm by Guest
Invoices
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2
Vote
Invoice amount in A/P entry should not change using mouse vs. tab.
When entering invoice amounts, if you use your mouse to move between fields vs. tabs, the wheel will change the amount of the invoice in error.
Created 5 Dec 07:07pm by Joanne Masse
Invoices
0
No Status
1
Vote
Add a step to review and approve bank information for vendors
Currently there is no review process for bank information for vendors. It would be nice if one user adds or modifies bank info for vendor, and another user is prompted to review and approve it. OR Blackbaud should be able to produce a list of vend...
Created 3 Dec 09:15pm by Guest
Vendors
0
No Status
3
Vote
Make posting batches easier in NXT
When posting a subledger, create a validate and post button withing editing the post parameters. It's just extra steps to go in, change dates, etc, save it, and then validate and post.
Created 3 Dec 02:27pm by Molly Maher
0
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4
Vote
Import EFT Email Addresses into EFT Bank Records for EFT Payments
Currently, you have to add EFT emails into the EFT bank record manually one by one. It would be so much easier if we could import our vendor emails into the EFT bank records.
Created 2 Dec 09:51pm by Margaret Piskorz
Payables
0
No Status
2
Vote
Add Address System IDs to Query
Currently, individual Address system record IDs are only viewable in the Database View's Export function. In NXT, one can create a Vendor Query under Accounts Payable and add all sorts of fields from the Vendor Address, but not the individual addr...
Created 2 Dec 07:59pm by Craig Glass
Payables
0
No Status
1
Vote
How to update vendor payment terms in bulk
No description provided
Created 27 Nov 06:58pm by Guest
Vendors
0
No Status
2
Vote
Add description field to NXT Version of Client Account Activity Report
The database version includes this field on the report, which is helpful in identifying the payment that you're posting
Created 27 Nov 01:41pm by Guest
Receivables
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