Finance Utilities

In this article
Product Information
Release Notes

10.0.40.20250122

This document describes the features that are either new or changed in the release version 10.0.40.20250122.

Release 10.0.40.20250122

Build 10.0.40.202501221

Release date: 22 January 2025

New features

Number Module Functionality Description
20611 Cash and bank management Bank statement format Increased Custom line code’s Line code from 5 to 10 characters
20434 Various Encryption DXC Encryption 10.0.40.202412121. Ability to setup lower level of encryption. User guide
Key type options:
• Encrypt
• Encrypt and sign
• Decrypt
• Decrypt and verify
DXC encryption parameters

Bug fixes

Number Module Functionality Description
20860 Cash and bank management Mark as new - offset to intercompany account When using Post button in bank reconcilidation’s New transactions and unselected new transaction record’s Line details were offset to intercompany account, these records were also incorrectly posted in the intercompany and also still showed as unposted on the bank reconciliation.
20960 Cash and bank management Import bank statements Removed Recurrence on Batch processing for Import bank statements. Also fixed issue where duplicate bank statements where imported when:
Batch processing enabled and
Was an issue with automatic reconcile after import and running default matching rule set.
20959 Cash and bank management Reconcile after import with default matching rule set Similar to 18174, also fixed issue where subsequent rules not run when the matching rule set contains a rule that errors and was automatically run with reconcile after import (set as default matching rule set on bank account).