Versions Compared

Key

  • This line was added.
  • This line was removed.
  • Formatting was changed.

Office - Release Notes

Table of Contents
maxLevel3
excludeOffice - 02.13.17 - Releases

Enhancements

 

Accounts Payable

...

- Pay Bills

...

 

Inventory Count Wizard

  • Added click and drag support to the Inventory Count Wizard grid.

    Use Case:  Previously, the grids within the Inventory Count Wizard did not support drag and drop features.  Now, easily rearrange/reorder columns by clicking on the header, and dragging to desired location.

    Image Removed

 

Membership

Approve Charge Batches

  • Added a "Has Private Note" column option to the Invoice Detail view on the Approve Batches Grid.

Use Case:  Previously, the “Has Private Note” details were not easily visible when viewing the Approve Charge Batches grid.  Now, easily identify and view batches with Has Private Note.  If Has Private Note column is not visible, remember to right-click on grid, select Customize Columns, and move Has Private Note column into grid for viewing.

Image Removed 

 

Billing Schedules

  • Added support for Deferred Dues Billing to Billing Schedules.

    Use Case:  Previously, Revenue that had to be deferred over a future period (like annual billings) needed manual Journal Entries to allocate the revenue properly.  With this new powerful feature, indicate that the billing is a Deferred Dues Billing, and associate a Liability account with the deferral on the new Deferral tab.  The system will then auto-generate batches for each of the periods needing to have revenue allocated, and the liability relieved properly.  To learn more, click here.

    Pre-Bill Example: For $12,000 Annual Dues billed in December 2017 to be recognized January - December 2018, indicate pre-bill with a start month of January.  Use Billing Item tied to Dues Income.  December Entry would be full amount ($12,000) in Dec 31 2017 to AR/Deferred Dues(Liability Account). Jan - Dec 2018 monthly entries for $1,000 Deferred Dues(Liability Account)/Dues Income.

    Regular Example: For $12,000 Annual Dues billed in January 2018 to be recognized January - December 2018, indicate start month of January, but NOT pre-bill.  Use Billing Item tied to Dues Income.  Jan 2018 entry would be $11,000 Deferred Dues(Liability Account) + $1,000 Dues Income / $12,000 AR.  Feb - Dec 2018 entries would be $1,000 Deferred Dues(Liability Account)/Dues Income.

    Image Removed

    Image Removed

     

Credit Book Expiration/Gift Card Expiration Wizards

...

POS - Shift 4 - Tab Processing

  • Added support for Charging Tabs in POS with Shift4.

    Use Case: Previously, when utilizing Shift 4 for credit card processing, tab payment functionality was not yet integrated.  With this upgrade, easily process tab payments when utilizing Shift 4 as your processor.

    Image Removed

 

Bug Fixes

  • Fixed an issue where viewing a custom field value without making any changes would still prompt the user to save.

  • Fixed an issue with the Inventory Transaction History report sometimes not including transactions that occurred on the end date.

  • Fixed an issue with scrolling regions in the Member, Employee, Events and Items forms where the bottom would sometimes get content cut off if the screen resolution is too low.

  • Fixed an error when attempting to load a saved Chart of Accounts report layout.

  • Fixed the Member Charge Wizard warning about exceeding a member's AR balance threshold even if the member's AR balance threshold is set to zero.

  • Fixed an issue when discounting an item multiple times with a required POS Reason Codes that includes an overridden GL account. 

  • Added ability to filter the Pay Bills form by VCardPaymentType.

    Use Case:   Previously, the custom fields node displays in these various modules were inconsistent, and depending on field length, would wrap causing misalignment of the fields.  This update improves the viewability and consistency with which these fields display.

    Image Removed

    Image Removed

    Image Removed

Items

Manage Price Schedules

Added the ability to link a Price Schedule Discount to a POS Reason Code in order to override the discount ledger.

Use Case:  Previously, the G/L code on a Price Schedule could not be overridden.  Now, link a Price Schedule to a Reason Code, to have G/L account overridden for the price schedule.

Image Removed

  • Fixed an issue in Retail POS when adding a discount to an item when the area is set to Require Comp/Discount Selection and the POS Reason Code does not have a predefined amountPreviously, filtering bills to pay based on this payment type was unavailable, and selection had to be manually performed.  Now, easily filter the VCard Payment Type to let the system automatically define the Vendors to pay.

    Image Added

     

Employees - Timekeeping Export

  • Added support for Ultipro Timekeeping Export format.

    Use Case:  Previously unavailable, now easily export payroll data in the format required by Ultipro (payroll processor Vendor).

    Image Added

Interactive Reports

Installment Billing

  • Added ability to filter the Installment Billing report by item.

    Use Case:  Previously, Items (and Item Combos) were not an available filter for the Installment Billings report. Now, easily review Installment Billings based on selected Item or Item Combo in addition to Member, or type of Installment Billing.
    Image Added 

Trial Balance

 

  • Improved performance of Trial Balance report by grouping and summing transactions more than two years before the As of Date.

    Use Case: Previously, performance of the Trial Balance was not optimal as large amounts of historical data slowed the report’s ability to run efficiently.  With this enhancement, now quickly obtain data needed from the report, while maintaining necessary transactional details within 2 years of the as of date.

    Image Added

 

System - Tax Code Items

  • Updated Tax Code Item editor to require a Ledger Account to be selected when saving.

Use Case:  Previously, ledger accounts were not required to be populated when saving a tax code item, oftentimes requiring Clubs to later post reclassification entries when the default account was not desired.  This enhancement ensures the posting occurs to the proper account by requiring input of this field.

Image Added

  • Updated Tax Code Item editor to prevents duplicate names from being created.

    Use Case:  Previously, when a Tax Code Item name was in the process of being created, there was no understandable warning to indicate it was a duplicate. Now, easily recognize when Tax Code duplication is attempted, and prevent creation of the duplicate record.

    Image Added

 

Bug Fixes

  • Fixed an issue when scrolling on the Rental Item -> Custom tab.

  • Fixed an issue with invoices posting to the wrong AR account when clubs have multiple companies with separate member charge invoice payment types.

  • Fixed an issue where CMA would crash when an employee was entering journal entries and the system would try to save the employee's settings.

  • Fixed an issue where the Player Type column was not showing up on POS member grid lookup.

Downloadable Guide